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On the standard “Wollheimian” reading of Collingwood’s aesthetics, Collingwood held that something is art in the true sense of the word when it involves an act of “expression” – understood in a particular way – on the part of the artist, and that artworks in all art-forms are “ideal” entities that, while externalizable, exist first and foremost in the mind of the expressive artist. I begin by providing a fuller account of the Wollheimian reading. I then survey challenges to and defenses of this reading, identifying residual difficulties confronting anyone who seeks to defend Collingwood. I attempt to resolve these difficulties by developing the idea that we take at face value Collingwood’s (overlooked) claim that the work of art is identical to the expressive activity of the artist rather than being identical to the expressive product of that activity, reading this claim in light of Collingwood’s talk about the painter as one who “paints imaginatively.”
This chapter offers an exposition of Collingwood’s theory of imagination as presented in the commonly overlooked Book Two of The Principles of Art. I show how the standard objections to Collingwood’s view are relatively superficial, and also how the account in Book Two should be understood in the light of Collingwood’s remarks concerning the imagination in his earlier writings (especially Speculum Mentis and Outlines of a Philosophy of Art). For Collingwood, sense perception inseparably involves the imagination of possible objects of perception in any perceptual experience. Moreover, the imagination makes the sensory object thinkable – a position that blends Kantian and Humean motifs. Additionally, the crucial mark of the imaginary object is self-containment (“monadism”), a notion serving to clarify both Collingwood’s claim that the imagination is indifferent to reality or unreality and the conceptual connection, on his view, between imagination and art.
Despite R. G. Collingwood’s relation to British Idealism, a close reading of his subtle descriptions of imagination and expression reveals important points of contact with the phenomenological tradition. In the first section, I bring together Collingwood’s exploration of the role of imagination in art with Merleau-Ponty’s concepts of intentionality and expression. This provides insights into both thinkers’ attempts to describe lived experience and action, highlighting important aspects of their work overlooked by readers. In the second section, I explore how Collingwood and Merleau-Ponty both describe communication as an open and evolving movement of understanding that does not fall back upon a supposedly isolated consciousnesses, thereby eluding the threat of solipsism. In the third section, I outline the connection between Husserl’s identification of a “crisis” in the European sciences and Collingwood’s invocation against what he calls the “corruption of consciousness,” a particularly modern shirking of our responsibilities as expressive and active members of the community.
The word ‘Klavier’ occurs only twice in the texts of Schubert’s lieder, but both times in a prominent position – namely, in the titles of Christian Daniel Friedrich Schubart’s ‘An mein Klavier’ and Friedrich Schiller’s ‘Laura am Klavier’, both set to music in 1816 (respectively D342 and D388). The first poem deals with two figures – the narrative persona and his piano; the second with three – Laura, the piano and the narrative persona. In Schubart, the emphasis falls on the piano’s expressive potential; in Schiller, mainly on the impression it imparts. The two poems thus present the instrument in quite different, even antithetical, guises: introverted versus extroverted. Although Schubert turned to poems that were already a generation old (they were first published in 1785 and 1782, respectively) and had a different sound in mind compared to the two poets (this was an age of rapid evolution in keyboard instrument construction), the instrumental aesthetic displayed in Schubart’s and Schiller’s poems still applied with undiminished force in 1816. The antitheses marked by the poems Schubert chose with respect to the Klavier reveal the breadth of notions associated with the instruments that went by that name around 1800.
Expressivist theories of law focus not only on what legal arrangements do but also what they communicate. The expressivist view has gained special currency in the context of religious establishment. Even when governmental involvement with religion is not coercive or does not materially violate anyone’s rights, it may nevertheless be undesirable by virtue of expressing a preference for a certain religion or a privileged status for certain religious groups over others. The existing literature, however, lacks an equivalent expressivist analysis of the related but distinct domain of free exercise of religion. What is expressed when a religious individual or group is granted special relief from the legal requirements that would otherwise apply to them? I argue that just like religious establishments, religious exemptions not only implicate rights and material interests but also have important expressive dimensions that both help account for their value and impose limits on their desirability.
Although nowadays Vaughan Williams is sometimes associated in popular writing with a Romantic musical style, broadly conceived, this is a view that few of his contemporaries would have recognized. Indeed, his own understanding of the term suggests that he saw himself marking a break with the earlier, largely Germanic Romantic tradition that culminated in Wagner and Strauss. Nevertheless, several important aspects of his musical and aesthetic views form strong continuity with earlier Romantic thought. These include viewing music as (1) self-expression; (2) the expression of a community; and (3) a revelation or intimation of the beyond. The tension between these three, partially antithetical, conceptions of music informs his creative output in often productive ways that are teased out over the course of this chapter.
Micromelalopha troglodyta (Graeser) is an important pest of poplar in China, and glutathione S-transferase (GST) is an important detoxifying enzyme in M. troglodyta. In this paper, three full-length GST genes from M. troglodyta were cloned and identified. These GST genes all belonged to the epsilon class (MtGSTe1, MtGSTe2, and MtGSTe3). Furthermore, the expression of these three MtGSTe genes in different tissues, including midguts and fat bodies, and the MtGSTe expression in association with different concentrations of tannic acid, including 0.001, 0.01, 0.1, 1, and 10 mg ml−1, were analysed in detail. The results showed that the expression levels of MtGSTe1, MtGSTe2, and MtGSTe3 were all the highest in the fourth instar larvae; the expression levels of MtGSTe1 and MtGSTe3 were the highest in fat bodies, while the expression level of MtGSTe2 was the highest in midguts. Furthermore, the expression of MtGSTe mRNA was induced by tannic acid in M. troglodyta. These studies were helpful to clarify the interaction between plant secondary substances and herbivorous insects at a deep level and provided a theoretical foundation for controlling M. troglodyta.
We conclude our book with brief summaries of our responses to the challenges we outlined in Chapter 2. We argue that the account we offer here shows promise and that the evidence is clear that, of all theories of utterance interpretation, relevance theory is uniquely positioned to accommodate emotion and affect.
This chapter introduces the two essential challenges in accommodating emotional communication within a theory of utterance interpretation: the challenge of description versus expression and the challenge of propositions and ineffability. We sketch the prehistory of philosophical thought and show how the sidelining of emotional communication in modern linguistic pragmatics is very much a consequence of the propositional foundations on which modern theories of semantics and pragmatics are built. Consequently, such theories have problems accounting for expression and ineffability. Two further challenges are also articulated. The first of these concerns the nature of the term pragmatics, and this chapter concludes with some background on what we mean by pragmatics in this book. The second concerns the nature of emotion itself: what is emotion? We turn to that challenge in the next chapter.
It has long been received wisdom in semantics and pragmatics that 'the head' and 'the heart' are two opposing forces, a view that has led scholars, until now, to explore the mental processes behind cognition, and the mental processes behind emotion, as two separate entities. This bold, innovative book challenges this view, and provides an original study of how we communicate our emotions through language, drawing on both pragmatic theory and affective science. It begins with the assumption that emotional or expressive meaning plays such a central role in human interaction that any pragmatic theory worth its salt must account for it. It meets the associated challenges head-on and strives to integrate affect within one theory of utterance interpretation, showing that emotional meaning and rationality/reasoning can be analysed within one framework. Written in a clear and concise style, it is essential reading for anyone interested in communication and emotion.
During the Civil War, many Americans were prepared for censorship if free speech undermined preserving the Union. Journalists were unable to obtain timely accurate information on the military campaigns either for fear of helping the enemy or depressing morale at home. Self-censorship was far more important than official suppression of free speech, as spontaneous popular pressure curtailed freedom of expression at the beginning of the war and later on the army performed a similar function. For Federals, commitment to preserving the Union required treating Confederates as ubiquitous seditious conspirators. Combatting this internal enemy, in turn, especially in the Border States, required extensive suppression of free speech. Later in the conflict and right across the Union, the critical and urgent need to fill the ranks led to official censorship of any words that might discourage volunteering, and this conflicted with freedom of religion as well as speech and the press.
Chapter 1 defines the concepts of “protest” and “dissent.” It defends public protest on marketplace, self-government, autonomy, and tolerance grounds. The chapter explores the communicative and other characteristics of public protests and demonstrations. It examines public attitudes toward protest and protest movements and the state’s typically violent and negative responses to public protest. The chapter examines the typical purposes or goals of public protests. Finally, it responds to several arguments about protest “fatigue” and the continued efficacy of public protest as a means of democratic change.
The mass street demonstrations that followed the 2020 police murder of George Floyd were perhaps the largest in American history. These events confirmed that even in a digital era, people rely on public dissent to communicate grievances, change public discourse, and stand in collective solidarity with others. However, the demonstrations also showed that the laws surrounding public protest make public contention more dangerous, more costly, and less effective. Police fired tear gas into peaceful crowds, used physical force against compliant demonstrators, imposed broad curfews, limited the places where protesters could assemble, and abused 'unlawful assembly' and other public disorder laws. These and other pathologies epitomize a system in which public protest is tightly constrained in the name of public order. Managed Dissent argues that in order to preserve the venerable tradition of public protest in the US, we must reform several aspects of the law of public protest.
Intuitively, a speaker who uses slurs to refer to people is doing something morally objectionable even if no one is measurably affected by their speech. Perhaps they are only talking to themselves, or they are speaking with bigots who are already as vicious as they can be. This paper distinguishes between slurring as an expressive act and slurring as the act of causing a psychological effect. It then develops an expression-focused ethical account in order to explain the intuition that slurring involves an effect-independent moral wrong. The core idea is that the act of expressing a morally defective attitude is itself pro tanto morally objectionable. Unlike theories that focus only on problematic effects, this view is able to shift the moral burden of proof away from victims of slurring acts and onto speakers. It also offers moral guidance with respect to metalinguistic and pedagogical utterances of slurs.
Can there be something like a “Wittgensteinian” literary criticism? If so, what could it possibly be, given that Wittgenstein sought to make us give up the craving for generality? Through an analysis of “The Avoidance of Love,” Stanley Cavell’s epochal 1969 essay on King Lear, Toril Moi shows that a reader inspired by Wittgenstein does not have to set out to apply a given theory, or to answer certain “Wittgensteinian” questions. Rather it entails a wish to acknowledge the concerns of the text, and respond to them. For Wittgensteinian critics, the text is not an object to be “approached” but action and expression. The critic sets out to answer questions that matter to her, and stakes herself in her own perceptions and judgments in the act of reading. “The problem of the critic, as of the artist,” Cavell writes, “is not to discount his subjectivity, but to include it; not to overcome it in agreement, but to master it in exemplary ways.” To do this requires training. This chapter sets out the implications of all these claims, argues against formalist views of literature and reading, and insists on the fundamental role of human judgment, and acknowledgment in the work of criticism.
This is an advanced introduction to and original interpretation of Merleau-Ponty's greatest work, Phenomenology of Perception. Timothy Mooney provides a clear and compelling exposition of the theory of our projective being in the world, and demonstrates as never before the centrality of the body schema in the theory. Thanks to the schema's motor intentionality our bodies inhabit and appropriate space: our postures and perceptual fields are organised schematically when we move to realise our projects. Thus our lived bodies are ineliminably expressive in being both animated and outcome oriented through-and-through. Mooney also analyses the place of the work in the modern philosophical world, showing what Merleau-Ponty takes up from the Kantian and Phenomenological traditions and what he contributes to each. Casting a fresh light on his magnum opus, this book is essential reading for all those interested in the philosophy and phenomenology of the body.
In this article, I discuss two approaches to the phenomenon of gesture, constituted by the existential dimension of embodiment, intersubjectivity, affectivity, and language: while Martin Heidegger states that human bodily movement as a whole should be understood as gesture in contrast to the spatial movement of things, Vilém Flusser integrates under this notion a multitude of human practices and activities that common sense hesitates to call gestures. The dilemma of the phenomenology of gesture consists in this tension between the plural concreteness of gestural appearances and the irrepressible temptation to identify a unitary layer that would allow them to hold together.
Darwin's book on expressions of emotion was one of the first publications to include photographs (Darwin, The expression of the emotions in Man and animals, 1872). The inclusion of expression photographs meant that readers could form their own opinions and could, like Darwin, survey others for their interpretations. As such, the images provided an evidence base and an ‘open source’. Since Darwin, increases in the representativeness and realism of emotional expressions have come from the use of composite images, colour, multiple views and dynamic displays. Research on understanding emotional expressions has been aided by the use of computer graphics to interpolate parametrically between different expressions and to extrapolate exaggerations. This review tracks the developments in how emotions are illustrated and studied and considers where to go next.
This Element focuses on the development of drawing (and painting) in childhood. The author begins by examining children's representational drawing, a topic that has received quite wide attention from the nineteenth century on. The author then turns to issues that have received far less attention and discusses the aesthetic property of expression, weighing the claim that young children's highly expressive drawings bear an affinity to twentieth century modernist art. The author then examines the function of drawing for children's emotional development. Next, looking at art prodigies, the author turns to the how of drawing, considering the relation of drawing talent to IQ and to visual-spatial skills. Finally, the author considers the relation between development and education in art and how educators can best nurture children's artistic development.
The sequence of musical development is revisited. The origins of the underlying and evolving theory are considered, along with organisation and classification of the data of children’s compositions. The cumulative and recursive nature of the spiral is re-emphasised, and the dynamic relationship between the left and right side is clarified. The essential qualitative nature of the study is asserted and some possibilities for the future are considered, along with a two-dimensional model for curriculum and student evaluation based on spiral-related outcomes and the musical activities that promote and sustain them.