Introduction
Physical punishment in relation to labour coercion was likely common for many children, slaves, and other dependent persons. Just before the Third Dynasty of Ur (c.2100–2000 BCE) [hereafter, Ur III], Gudea, ruler of the Second Dynasty of Lagaš (c.2200–2100 BCE), claimed to have ended certain abuses while building a temple for Ningirsu. On one of his dedicatory statues, Gudea says: “No one was beaten by the whip or hit by the goad, a mother did not beat her child.”Footnote 1 Further, Gudea states: “I had debts remitted and ‘washed all hands.’ For seven days no grain was ground. The slave woman was equal to her mistress, the slave was allowed to walk side by side with his master.”Footnote 2 Although the actual implementation of these particular social reforms is not confirmed in other documents, these claims of pious acts relate to ideals dealing with ritual purity for the purpose of temple building.Footnote 3 This idyllic social picture reflects a practice of negative confessions by kings that is tied to ritual activity and purity ideals.Footnote 4 The text could be intended to reflect a social reform that fits in the tradition of earlier reforms, such as the one of Urukagina.Footnote 5 But more particular to the focus of this article, the text distinguishes between the negative and positive treatment of labour, envisioning an ideal that included societal harmony rather than physical abuse.
Again, although it is unknown if Gudea's reforms were ever practised, the text shows that there was, at the very least, a contemplative difference between the good treatment of dependent persons of differing statuses and the poor treatment of said persons. As would be expected, much like today, not everyone was treated poorly, and not everyone was treated well. Life was complicated, and the text cited above gives voice to a royal ideal that involved celebrating the proper treatment of dependent persons of all statuses. So, while it is unknown if the practice was implemented, the concept is clearly present in ancient Mesopotamia and indicates that the difference between good treatment and poor treatment of dependents was known. If the difference was known, and positive treatment was celebrated as a pious act, then it is reasonable to conclude that some dependents of various classes were treated well while others were treated poorly.Footnote 6 It was not all bad or all good. The everyday realities of life were complicated. Still, some distinctions do appear to emerge in the treatment of persons of differing statuses with respect to punishment and threats of punishment for labour coercion during the Ur III period.
In this article, I will discuss the punishment of slaves and other dependent workers during the Ur III period. While the Ur III period is the focus here, various texts from the Old Babylonian period (c.1900–1600 BCE) will also be referenced at points to elaborate upon practices and discuss some of the social changes that occurred.
To avoid the unintended impression that everything was great in Mesopotamia or that everything was terrible and violent, the present article will discuss the positive and negative aspects of the treatment of dependent persons to provide a fuller social picture. While the focus will be on approaches to and threats of punishment that resulted in and facilitated labour coercion, it should be kept in mind that the more extreme forms of punishment were likely exceptions and not the rule. The reasons for this are several. First, of the many surviving texts dating to the Ur III period, attestations to threats of extreme punishment are decidedly limited. Second, households, most of whom likely only possessed a few slaves,Footnote 7 did not want to mutilate or kill a slave and, by so doing, hurt the household. A brief discussion below will use texts from the later Old Babylonian period to offer a potential reason why such severe punishment could ever happen. But, in short, mutilating or killing runaway slaves would have been uncommon. Finally, other than accounting, writing was focused primarily on the exceptions and not the norms.Footnote 8 So, when extreme details of threats or expressed desires to punish come to the fore in documents, it is likely because the matter was not part of the usual course of life. With these caveats in mind, this paper contends that both slaves and “state” dependents could receive similar treatment, but the threats of the most severe forms of punishment – at least, as far as the record attests – were directed towards slaves. This suggests that slavery was ill-defined, sharing many features with other persons belonging to the lower stratum while also cautioning against flattening the lower stratum altogether. The primary focus of this article, however, is on how punishment was used to coerce labour during the Ur III period.
Ur III Period and Debate About Slavery
Despite only lasting approximately one hundred years, the Ur III period left a remarkable record of nearly 100,000 texts.Footnote 9 Most of these texts are administrative, as administrators sought to keep track of and allocate resources. Of particular interest here is how those in positions of authority during the Ur III period exerted control over human resources.
Despite the number of texts dealing with this subject, it is important to remember that only some things were written down and that not everything that was written down has been preserved. While texts like the Gudea above suggest that physical punishment could occur across social relationships in relation to labour acquisition and control, the written record indicates that there were some differences that one might observe when considering the punishment and threats of punishment of persons of different social statuses, but also a complex overlap in terms of context and treatment.
Still, determining social status in the Mesopotamian records is complicated. Degrees of functional overlap create challenges when attempting to distinguish between “slaves” and other lower-stratum workers.Footnote 10 This problem is exacerbated by the broad semantic range of the terms related to slavery, such as arad/arad2 and geme2, which can refer to slaves or servants.Footnote 11 In the field of Assyriology, legal and economic approaches were taken to solve the problem,Footnote 12 as well as attempts to focus on treatment when studying the distinguishing features of slavery.Footnote 13 While the discussion largely came to an impasse, the most recent approaches tend to deal with the question of slavery in the ancient Near East in relation to the legal question of alienability. In Daniel Snell's view, for example, although some slaves were never sold, the potential for sale was the critical feature of slavery.Footnote 14 When dealing with the Neo-Assyrian period, Heather Baker takes a “minimalist approach” in search of what she calls “firmer ground when dealing with those slaves whom we know to have been bought and sold in the ‘regular’ sale contracts”.Footnote 15 Still, as described by Laura Culbertson:
A study that isolates slaves for treatment, positing a uniform definition for “slave” while simultaneously neglecting the relationships around them, risks assuming that slavery is an inherent condition that takes a similar shape across time and place without regard for context. Slavery is not in fact definable without reference to relationships within the broader social, economic, and legal concepts that surround it.Footnote 16
Culbertson's edited volume advanced the state of the discussion by considering the household as offering insight into the nature of slavery through relationships. This article looks at the work context to provide insight into the coercion of slaves and other lower-stratum workers. The context of work outside the household is also where so many questions arise since slaves and other lower-stratum persons were worked in a particular context with singular oversight. This study highlights the overlap in treatment and context, suggesting that slavery was not an “inherent condition”. Slaves could benefit from working outside the household while earning trust and sharing in community projects. Slaves could be set free, often on the death of their owner. But slaves could also suffer consequences for flight. While most of the repercussions looked exactly like those meted out to other lower-stratum workers, more extreme punishment was sometimes threatened.
But a caveat is in order. Punishment for labour coercion cannot provide the fundamental means of isolating slaves in texts, but it does belong to the necessary groundwork for moving towards a greater understanding of slavery in its varied contexts. While the question of slavery cannot be solved in this brief paper, nor is it even attempted, it is worth noting that whenever extreme threats of punishment for labour coercion appear, one of the terms associated with slavery is present in the sources from the Ur III period.
Labour Context
Lorenzo Verderame summarizes the three primary sources of slaves in the Ur III period: prisoners of war, citizens, and unidentified.Footnote 17 Not all prisoners of war became slaves, but taking captives served as one source. Citizens could be reduced to forms of slavery through debt or because of crime. Still, the origin of many slaves in the Ur III period remains unpreserved.
It should be noted that it is generally agreed that slavery in ancient Mesopotamia was not a significant source of labour. As early as 1976, Ignace J. Gelb referred to slavery as a negligible part of the population.Footnote 18 This general viewpoint has only grown. As justification for a symposium on slavery and subsequent publication of the results, Culbertson states: “The increasing recognition of slavery's negligible role in labor spheres of the Near Eastern societies also prompts new questions about the place, purpose, and experience of slavery in specific Near Eastern contexts.”Footnote 19 Verderame writes that for the Ur III period: “The few references to slaves in the vast corpus of Neo-Sumerian documents seems to ground Gelb's statement that their number and impact was limited.”Footnote 20 Verderame, however, helpfully points to some potential exceptions in the evidence.
In one text, the inheritance of a household is divided. The total number of slaves is twenty-six (seventeen males and nine females).Footnote 21 More recently, the data from a construction project at Garšana during the Ur III period has led to further questions and reconsiderations among some scholars about the role of slavery and its impact.Footnote 22 In particular, the household of Šu-Kabta had approximately 175 “slaves”.Footnote 23 Considering this potentially notable exception,Footnote 24 it should be recalled that, given the broad semantic range of the term arad, as discussed above, it is unlikely that all of these “slaves of the household” were slaves instead of “servants” or dependents of the household.Footnote 25 At least a couple of reasons can be offered for this viewpoint. As Piotr Steinkeller points out, individuals in these texts from Garšana, such as CUSAS 3: 16, 30, and 33, who are described as arad2 e2-a-me-eš2 (servants of the household) and lu2-hun-ga2-me-eš2 (hirelings) are summarized in the total as eren2, who are typically considered as non-slave workers dependent upon royal households.Footnote 26
Further, scribal managers, for example, appear among these individuals described as “slaves/servants”. Given the semantic range of the terminology, it is more likely that some, if not many, of these persons were dependents rather than “slaves”. But even if it could be demonstrated that all these persons were “slaves”, the size of this household would represent the exception of a very large and influential household and not the norm, given the limited references to slaves in the existing corpora.
Rather than an economy that consisted primarily of slave labour, Steinkeller argues that most of the labour force entailed persons who “owed services – primary labour – to the king. In exchange for those services, the éren received various benefits from the crown. Most important, the king granted them the uso fructo rights to royal land”.Footnote 27 Numerous individuals who were not slaves worked for royal and institutional administrative bodies in regions under the governor's control.Footnote 28 There were certain benefits to be had by working in these contexts.Footnote 29 These dependents were moved around and placed under the authority of overseers to complete specific tasks. The overseers were accountable for the distribution of rations and related production.
Slaves, prisoners of war, human booty, and other human resources intersected at numerous points while working for the administrative bodies.Footnote 30 Once slaves, prisoners of war, and human booty were enveloped into the administrative oversight, they could be worked alongside other persons of different social statuses in the same context and under the same management. This was true of mature adults as well as children.Footnote 31 This intersection between workers of different statuses occurred in changing, non-stagnant contexts driven by needs and various factors.
For example, when fighting males went on campaign,Footnote 32 the net loss of workers would have increased the need for human resources, with females sometimes filling roles typically performed by males.Footnote 33 When successful campaigns brought an influx of prisoners of war under administrative control, the need for labour sources normalized. Further, an influx of human resources resulted in some males being used to fill jobs typically related to females, for example.Footnote 34
The focus of this article is not on prisoners of war and human booty, however. It should also be noted that the origin or status of an individual is only sometimes recorded in administrative documents. Once fully received into administrative control, human booty could be identified as such but could also simply be referred to by name and denoted as a dependent female.Footnote 35 As such, the method for identifying a person was more practical than programmatic, depending on the purpose of writing. So, while much is known about the treatment of human resources, many questions remain. With these qualifications, however, specific differences are evident in the record.
Persons of different statuses and origins were often worked in a singular administrative context. Even if differences are observable, there was also a complex overlap across statuses. Both slaves and other dependents received benefits such as barley rations, provisions such as garments,Footnote 36 and even opportunities to improve one's life in some senses. Still, those opportunities for advancement for slaves were at the discretion of the master, who held the primary authority over manumission.Footnote 37 So, while a slave might be able to earn trust and even gain access to wealth, the hope of freedom was usually restricted by the decision of their master.Footnote 38 Even after release, that individual was vulnerable since others might seek to gain access to their labour.Footnote 39 By contrast, persons working for the administrative bodies were obligated to fulfil their roles, as seen in the imprisonment of runaways. Still, it is unlikely that there was a permanent requirement to remain working for their administrative group or overseer.Footnote 40 While many were returned to their prior role after living under guard, the relatively short periods spent under guard suggest that service to the administrative bodies was not a “life sentence”.Footnote 41 For some, service to the “state” also meant benefits for their household, where corvée labour and acting as a “merchant” possibly meant gaining access to land, vocations, and commodities.Footnote 42
With punishment, some non-slaves certainly experienced forms of physical abuse, as they would have in households. But the most extreme forms of punishment, such as mutilation and death, do not appear to be attached to the threats of punishment for labour coercion as they were with slaves. So, while physical punishment likely did occur, and death and sickness are well attested in relation to workers utilized by the administrative bodies, slaves are the only persons who appear in texts that threaten more severe forms of punishment for labour coercion. While these examples of extreme punishment were likely limited and uncommon, the instances that do appear are only attached to labour coercion when the terminology related to slaves is present.
The following section will discuss the punishment of slaves and contextualize these threats of punishment with other texts. Next, dependents who worked in some capacity for the administrative bodies will be discussed. Finally, examples of punishment for labour coercion that extend beyond the individual offender are considered.
Slaves
A variety of punishments are attested concerning the control of slaves. Extreme physical punishment, such as the death penalty or mutilation, could happen to anyone found guilty of a “crime”. With respect to labour coercion, however, the most severe examples of corporal punishment are attested in relation to slaves. For example, the death penalty is the most extreme form of punishment threatened against runaway slaves. In one text, a captured slave was forced to take the following oath in the name of the king: “On the day I flee a second time, may I be destroyed.”Footnote 43 In another text, a slave takes the oath: “On the day I flee, let it be a (capital) crime.”Footnote 44 While it might appear to be counterproductive to threaten slaves with the death penalty, as it would result in a loss for the owner, the death penalty was an exemplary punishment.
Not all runaways faced the death penalty as corporal punishment. In one text, a slave of the palace ran away for three years.Footnote 45 In response, the slave was to have his nose cut as punishment. This would have been painful and humiliating, and the consequences of his flight would have been a visible mark on his body, which would have likely made it more difficult to blend in should another flight attempt be made. It should be noted that this text is not an idealized threat of punishment. Rather, it was a consequence of flight recorded in an administrative document, indicating that mutilation did sometimes occur and was not just threatened.
This evidence attests to differences in punishment practices for labour coercion during the Ur III period. While, as will be seen below, detention is attested in relation to runaway workers in the Ur III period, the more extreme forms of corporal punishment, such as mutilation and the threat of the death penalty, are not attested in cases of the labour coercion of dependent workers. But why would a master ever contemplate hurting or killing their slave who was considered their personal property? Texts from the later Old Babylonian period could provide some insight.
The death penalty is attested in the record from Old Babylonian Mari as an exemplary punishment. One text mentions a servant who ran away with two females. The person who caught the runaway gouged out his eyes and requested permission “to kill this man, let him be impaled so people learn from his example”.Footnote 46 The text demonstrates that the king had authority over the death penalty,Footnote 47 which, in this case, was thought of as an exemplary punishment to dissuade others from running away with human resources. In another text more closely tied to punishment for labour coercion, a letter writer grows frustrated with his inability to gather a group of nomads to be dispatched on a mission. He states that he has waited five days at the prearranged place and that he has written to the towns where they are pasturing their flock. As motivation, he writes: “If within three days they do not gather – and if my lord agrees – a criminal should be killed in jail. His head cut off, it should be paraded among these towns, as far as Ḫutnum and Appan, so that the frightened troops will quickly gather.”Footnote 48 In this case, the death penalty was a way to motivate troops to gather and be sent on an urgent mission. As such, this writer sought to utilize the death penalty to coerce.
These Old Babylonian texts from Mari dealing with the death penalty are not normative. Since they are written seeking permission to apply the death penalty, it demonstrates that this approach was far from the rule and considered more exceptional. Perhaps these texts help contextualize the more extreme examples of threats of punishment directed towards runaway slaves in the earlier Ur III period. First, the use of oaths to threaten extreme punishment could indicate that the slave owner desired a documented reason for carrying out the penalty should it be needed. Further, the oath adds solemnity to the threat, which indicates both the non-normative nature of such penalties and that the owner would not have wanted to lose his slave. Otherwise, the efforts to pursue and capture and the further opportunity to avoid applying the death penalty do not make sense.Footnote 49 In short, it seems that threats of mutilation or the death penalty were extreme, exceptional cases that only seem to make sense as instances of exemplary punishment that sought to deter others from running away. The non-normative nature of these texts is evidenced in other texts, as well, which deal with the capture of runaway slaves.
In one letter, Fs Sigrist 127–128, 1, a man named Nanatum pursues and captures a slave who ran away on more than one occasion.Footnote 50 Nanatum apparently caught the runaway slave and returned him to his owner, but the slave ran away again. Nanatum found the slave a second time, who was by this time the slave of another individual. Nanatum purchased the slave from the prior owner to sell the slave to the person who had possession of the slave after the second flight. In this instance, Nanatum was utilized on more than one occasion to capture a slave. Although it is conceivable that the slave was punished in some way, it did not rise to the level of death and likely not mutilation. At the very least, any punishment relating to the first incident did not prevent the slave from fleeing a second time.
In a text from Umma, Fs Sigrist 131, 4, a slave ran away from military service after the death of his owner.Footnote 51 The slave was discovered in the town of Anšan (modern-day Tall-i Malyan in the Fars province). A man named Gudea, not to be confused with the king from the earlier period referenced above, was able to identify the slave and take an oath as confirmation. The son of the deceased owner of the slave paid Gudea ten shekels of silver and returned the slave to his military service. The return price was steep, especially in comparison to the average cost of slaves in the Ur III period, typically between five or six shekels of silver for females and, on average, ten shekels of silver for males.Footnote 52 In part, the compensation recorded in Fs Sigrist 131, 4 is probably related to the distance to Anšan. More to the point of this paper, since the slave was forced into bowman service after flight, severe physical punishment was not likely implemented and was certainly not recorded in the present text. In short, most runaway slaves did not receive death penalties, and likely were not mutilated, but the potentiality is documented in the above examples, unlike with the treatment of dependent workers.
If the more extreme forms of punishment did not occur regularly, what likely happened when slaves ran away? While captured runaways probably experienced some form of corporal punishment that did not rise to the level of mutilation or the death penalty, it is certain that most runaways were guarded or restrained in some manner while being coerced to work. At Garšana, workers appear to have been housed in locked barracks in certain contexts relating to work projects.Footnote 53 This practice could be related to the status of those workers since many who ran away in that context were also called “slaves/servants of the palace”.Footnote 54 In short, slaves and other lower-stratum workers were detained during the Ur III period to force them to work.
Dependent Workers
In this period, one consequence of flight from labour assignments was detention. Classic definitions of prisons primarily concern detention as a means of punishment.Footnote 55 In Mesopotamia, if detention was ever used as punishment in a strictly legal sense, it was rare and not well-attested.Footnote 56 Rather, imprisonment was a multifunctional practice typically related to the judicial process and labour coercion.Footnote 57 While imprisoned, labour coercion occurred in a more restrictive context and would have been undesirable since imprisonment is consistently presented as a negative experience.Footnote 58
An example of imprisonment relating to work coercion can be found in the case of Lugal-niĝlagare, who was working as a potter.Footnote 59 This individual appears in another text as a runaway in prison, this time called Niĝlagare. In a third text, Lugal-niĝlagare appears again as a potter with his previous crew in the administration.Footnote 60 The imprisonment of runaway workers demonstrates one of the coercive options utilized to control the labour of even specialized workers such as a potter.
Detention could be used to control workers who ran away or were considered a flight risk. And while the practice does not necessarily qualify as punishment, in a strictly legal sense relating to crime, the act of detention would have been undesirable and a negative consequence. By detaining and coercing workers who sought to run away, the workforce was compelled to accept the work assignments given to them and any concomitant conditions since the process of flight and likely capture would only result in worse conditions with continued service to be rendered. As seen below, a collective punishment directed at family members adds to the coercive approach.
The pursuit of administrative workers was not a dominant practice in ancient Mesopotamia. While the flight of workers from most administrative contexts appears to have been permissible in the Old Babylonian period, unlike the Ur III period,Footnote 61 corporal confinement to coerce labour, however, is attested in the cases of the bīt asīrī at Uruk and the nēparum of the Mari. Detention in such houses was not like modern prisons used for punishment; these were workhouses that detained human resources.Footnote 62 Still, one letter mentions disposing of someone in the workhouse to never hear from them again.Footnote 63 The writer mentions the provision of rations of bread and oil. Although the end of the text is broken, the context indicates that, whether the prisoner lives or dies, he is not to be heard from again.Footnote 64
In sources dating to the Ur III period, the most extreme threats of physical punishment appear where terminology related to slaves occurs, and then only as exceptionally rare instances. Mutilation and the death penalty would not have been desirable means to coerce labour since such actions resulted in the loss or damage of human property. Corporal confinement does not appear to have been used in a punitive sense; still, detention was consistently considered an unpleasant experience in the record and was one way in which labour was coerced and controlled in early Mesopotamia. While forms of confinement for coercion existed as preventive measures for slaves, since any overseer working a person belonging to another would be responsible for ensuring that they did not flee, runaways living in prison appeared to have been primarily lower-stratum workers working in administrative contexts.Footnote 65 The use of imprisonment in labour contexts seems to have been used more expansively during the Ur III period than in the Old Babylonian period. For the former, the administrative bodies and controlling entities used detention to coerce labour from a variety of persons, while the later Old Babylonian examples appear tied more closely to prisoners of war, slaves, and what we would call criminals (in the context of modern judicial processes). While lower-stratum workers in the Ur III period do not appear to have been free to leave their work assignments for the administrative bodies, there were benefits to working for the “state”. They and their households gained access to provisions and, in some cases, land and other benefits that required taxes and services to be rendered in return. Perhaps the larger familial and household benefits of working for the “state” provide insight into why collective punishment for labour coercion could extend beyond the individual worker.
Collective Punishment to Coerce Labour
Punishment was not always restricted to the individual offender and could also have collective implications. Of course, corporal and collective punishments were not exclusive. These could intersect in a single context and arise from a singular event. There were a variety of ways in which a household or responsible party could face negative consequences for the actions of another.
Collective labour coercion can be seen through the accounting practices of the Ur III period. Accounts could end up with a surplus (diri) but often resulted in a deficit (la2-ia3 and si-i3-tum) owed to the “state”.Footnote 66 While these debts were often allowed to accumulate without any discernible consequence, at least in the preserved record, the overseer lived with the possibility of debt repayment being required by the palace. In such instances, the overseer could be imprisoned for being in debt.Footnote 67 Further, there are instances in which outstanding debts were collected from the household.Footnote 68 For example, lines obverse 1 to reverse 8 of MVN 10, 155, note the following:Footnote 69
142 litres of clarified butter, 180 litres of kašk cheese, the year, “Simurum was destroyed for the third time”; deficit of UrKAnara, the cattle herder. UrKAnara died; Baba, his child, Ba'aba …, Er-…, Agati, Zala'a, female slaves, as estate instead of the deficit, of the deliveries their deficit is removed (from his account).
This is an example of a deficit owed by a cattle herder. Since he has died owing a debt, his entire household is seized.
In another example, members of the native population are seized and forced to work in the stead of family members who have fled. Lines 4 to 16 of HLC 374, plate 141, reverse column 1 state:Footnote 70
Geme-Nungal, full output (worker receiving) 30 litres instead of Lu-Ninšubur, her husband, who ran away. Baba-Ninam, full output (worker receiving) 30 litres instead of Nig-Baba, her brother, who ran away. Nin-inimgina, full output (worker receiving) 30 litres instead of Lugal-x, her brother, who ran away. Geme-Agimu, full output (worker receiving) 30 litres instead of Ur-Ebabbar, her husband, who ran away. Geme-eškuga, full output (worker receiving) 30 litres instead of Elak-šuqir, her husband, who ran away. Work taken from the tablet(?) Wives of runaway workers (erin2). To the millers. Reverse column 2, line 6: [x x] and males and females who have been seized [with weapons].Footnote 71
In this instance, female relatives are seized to replace runaway husbands and brothers.Footnote 72 There is no indication that these runaways were slaves. Instead, they appear to be state dependents obligated to perform work. While, according to the records for this period, runaways would have been likely pursued,Footnote 73 the practice of seizing relatives would have served as an additional coercive measure to make workers report for work rather than attempting flight. Further, in the absence of these runaway male relatives, the negative consequences were directed towards their female relatives.
Collective punishments for labour control serve as powerful motivators. When one's family members could be seized because of flight or outstanding debt, this would serve as a motivating factor towards adopting approved actions and behaviour. It could also serve as a deterrent that extends beyond any negative personal consequences one might face.
Conclusion
There were benefits and threats attached to being involved in labour projects during the Ur III period. Working for the “state” provided access to rations and clothing.Footnote 74 Even when forced to work on “state” and community projects, much of the work performed related to meaningful community projects such as irrigation. Moreover, performing work for the temple might have had some positive benefits, at least notionally. Others working for the “state” were given opportunities to gain access to resources that could lead to personal advancement. So, while many often seemed to run a negative balance, the opportunity to benefit from the relationship as an “agent of the state” was present. As for slaves, they could be entrusted with business for their master and hope that faithful service could result in release, often with the death of the owner.
Although slave and non-slave workers in Mesopotamia were likely subjected to various forms of corporal punishment relating to labour coercion in all periods, the record indicates that differences were present in the punishment of slaves and other lower-stratum workers. It seems that while physical abuse likely occurred for persons of different statuses, the more extreme threats of physical punishment such as the death penalty or mutilation appear reserved for “criminals”, prisoners of war (for mobility control and labour creation),Footnote 75 and slaves (for labour coercion). Although the difference between mutilation for mobility control and mutilation for labour control is fine, it is worth highlighting. Yet, as argued above, even these more extreme examples of punishment were the exception and not the norm. Most slaves were simply returned to their positions and detained.
In conclusion, slavery seems to have made up a limited portion of the labour force needed to maintain and perform the various projects of the Ur III period. Slaves were worked alongside persons of different statuses who owed service to and were dependent upon the “state”. While outliers in treatment are attested, the most common response to flight appears to have been detention. State officials used existing structures, such as overseers and guards, to detain and coerce labour. Detention provided one of the means by which fluctuating labour needs were addressed by maintaining a more stable pool of human resources.
The study of punishment, as such, provides insight into the labour coercion of persons of different statuses, both in how their lives intersected and how they sometimes diverged. An area for future research will be to consider how overseers of individual and discreet projects during particular periods acquired and maintained access to the human resources necessary to meet changing labour needs, as well as how the terminology related to slaves might be elaborated upon and understood on a case-by-case basis.