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The final episode of the Anabasis dismays many readers: Xenophon takes a small group of associates to kidnap the household of the wealthy Persian, Asidates. Thereby he himself becomes wealthy. This paper examines several details of the account of that episode. The mature author gives us the unvarnished facts straightforwardly, through the uncritical perspective of the youthful agent. From these brute facts the reader may infer that the mature writer intends a negative judgement about the final episode. The mature Xenophon thus presents some self-criticism. That capacity for self-criticism may come from the influence of Socrates. There are reasons, however, to make a further judgement that Xenophon's admirable capacity for self-criticism was sadly limited. One cannot escape deep disappointment after reflecting on the final episode of the Anabasis.
Studies of slavery increasingly refer to ‘enslaved people’ rather than ‘slaves’, and, to a lesser extent, to ‘enslavers’ rather than ‘slave owners’. This trend began with scholarship in the United States on plantation slavery but has spread to other academic publications. Yet ‘slave’ continues to be widely used, indicating not everyone is aware of the change or agrees with it. Despite this, few historians have justified their terminology. After surveying the extent of the preference for ‘enslaved person’, I discuss arguments for and against it. Supporters of using ‘enslaved person’ argue that this term emphasises that a person was forced into slavery – but this emphasis means it is less able to accommodate early medieval cases where people sold themselves into slavery. The accompanying preference for ‘enslaver’ over ‘master’ obscures dynamics of ownership and manumission. In addition, ‘enslaved people’ and ‘enslaver’ do not necessarily bring us away from the perspective of slaveholders to the perspective of slaves. Nor are they essential for readers to appreciate the humanity of slaves. Overall, historians should use this issue as an opportunity to reflect on the extent to which scholarship of transatlantic slavery should set the terms of debate for slavery studies in general.
Contrary to the long-standing historical view that describes Brazilian independence (1822) as a peaceful pact among elites dominated by Emperor Pedro I, this chapter examines popular participation in this conflictual process. Recent scholarship has shown how elite divisions opened space for popular political actors, as did conflicts and military mobilizations in several provinces. The public sphere expanded by Portuguese constitutionalism encompassed broad sectors of society. Slaves understood the Portuguese constitution as a liberating document and used military mobilizations to pursue their interests. Indians under Luso-Brazilian rule demanded rights used the new language of citizenship to demand relief from labor and militia service while semi-autonomous groups aligned themselves with the contending parties to defend their claims to land. Widespread worries about the “classes of color” indicate the diverse ways in which free people of color’s demands rights and inclusion in the new polity threatened the status quo. While these popular challenges were largely defeated by 1825, they profoundly shaped the independence process and left a long legacy.
The development of Afro-Brazilian slave society and demography, the class of free persons and their occupations. The growth of port cities and São Paulo and the transitition from slave to free labor
Christians oriented their lives towards the expectation of a life in the hereafter and yet had to orient themselves in this world. This resulted in very different attitudes. While some were fundamentally anti-family or, rather, against sex in general, others thought about what it meant to have a Christian marriage. While some wanted to participate in the pleasures of everyday life, others rejected this. All tried to live a humble life and do good works, especially towards the poor, orphans and widows. Penance was an institution that allowed Christians to be absolved of their sins, but it also allowed bishops to gain power, albeit in varying degrees Therefore, the question of a Christian way of life was always controversial.
The first section of this chapter reworks ‘Les animaux dans le Daphnis and Chloé de Longus’ (2005) given to the second Tours colloque organized by Bernard Pouderon in 2002. After reviewing the roles played by animals (often of agents important for the plot), and noting their appearances’ frequent intertextuality with Homer, Hesiod, Alcaeus, Sappho and Theocritus, it turns to terms for the master-slave relationship, whose debut comes unexpectedly late in the novel: οἰκέτης, ‘house-servant’, first at 2.12; δουλεύω, ‘I am a slave’, first at 2.23; δοῦλος, ‘slave’, first at 3.31; δέσποινα, ‘mistress’, first at 3.25; δεσπότης, ‘master’, first at 3.26. It argues that a significant parallel (hinted at by the comparison between the obedience of Daphnis’ goats and that of οἰκέται to their master’s command at 4.15.4) should be seen between different relations of dominance – sheep and goats dominated by shepherds and goatherds; slaves and people of low rank dominated by members of Greek city elites – and that this parallel prompts readers to contemplate the control exercised by Rome over the Greek world and its city elites. Such contemplation is invited by the analogy between Longus’ story of a couple suckled by animals and that of Romulus and Remus suckled by a wolf, and by his choice of name for the couple’s son, Philopoemen, that of a historical character whom Plutarch says some Roman called ‘the last of the Greeks’.
This chapter documents Old Comedy’s presentation of alcoholic consumption, both in a sympotic context and elsewhere, and to bring out how different was the perception of the consumption of wine by discerning citizens in a symposium, mixed with water and in moderation, from that by women or slaves, typically indiscriminately, neat and to excess
This chapter explores the effect of the Norman Conquest as well as looking at the developments during the Norman period as a whole during the reigns of William I (1066–87), William II (1087–1100), Henry I (1100–35) and Stephen (1135–54). It falls into three sections. The first provides an overview of the main effects of 1066 in terms of law and order. The second and main section then discusses in detail what is often considered to be the most significant development under the Normans, the feudal system, and how this impacted upon law and order. Feudalism actually undermined the development of a common law by feudal lords presiding over their own feudal courts for their tenants. The king’s law and protection was only afforded to his own personal tenants. The third section then focuses upon two aspects that are often overlooked in accounts of the effect of the Conquest: the effect of the Norman era upon the position of slaves and women. The importance of the later Norman kings will be the focus of the conclusion.
Vernae—often but not exclusively taken to be home-born slaves—are usually thought to have had a privileged role within the ancient Roman household. While previous studies have highlighted how these individuals were represented with affection or as surrogate members of the freeborn family, this article uses epigraphic evidence from Pompeii to argue that the reality for at least some vernae was much more grim. A full examination of Pompeian attestations of the word verna reveals that there was a connection to prostitution in over seventy per cent of extant appearances of the noun. Furthermore, contextualizing this phenomenon within the corpus of prostitution-related graffiti more broadly reveals that verna was the single most commonly used descriptor in advertisements for sexual services at Pompeii. Ultimately, the epigraphic evidence from Pompeii suggests that vernae were not safe from sexual exploitation, and it may have been their status as vernae that made them attractive to those wishing to purchase sex.
One of the most remarkable features of the language of early Greek writing is a pervasive rhetorical strategy which consists in personifying objects for the purpose of identifying humans closely associated with them. Such ‘speaking objects’ have no Semitic parallel; how, then, is their conventional status in the Archaic Age to be explained? This article first considers the formulaic language of speaking objects, which is no straightforward transcription of speech, and seeks to explain where it comes from. It then turns to the question of why writers employed the curious strategy of personification by setting it in the broader context of early Greek writing and literature. Variously analogous to herms, slaves and skytalai, speaking objects are shown to have been conceived as messengers acting on behalf of their senders by not speaking in their name.
In contrast to Plato, Aristotle allowed and argued for the possibility that all human lives have some non-instrumental value. This valuation of life is premised on his teleological conception of nature: insofar as all human lives are natural ends of some sort, they are thus a good. However, this non-instrumental value of mere living is in itself not sufficient to make a life worth living. As in Plato, whether a life is lived well or badly is the decisive factor, and again the state of virtue or vice is the most important consideration. Vice makes a life worse than death, regardless of the other good things in it, but fully fledged virtue is not necessary for a life worth living. In contrast to those who are fully virtuous, other non-vicious humans may need other goods, or at least freedom from other bads, such as serious illness or grave misfortunes, to pass the threshold of a life worth living. In contrast to Plato, Aristotle is less optimistic about the chances of the non-educated elite having a life worth living, though he does not flatly deny that possibility.
The natural philosopher Robert Boyle, mentor of John Locke, took the view that the aim of science was ‘the Empire over the Creatures’. The task of Chapter 6 is to show how Robert Boyle’s new political system for an economics of natural science, primarily involving the utilitarian exploitation of nature and of trade, connected with his contribution to the development of a form of natural law and natural philosophy shorn of moral natural law. That idea drew on classical theological teachings on dominion over creatures (as set out in Genesis 1:26) together with the economic goal of making natural sciences productive – also considering the significant expansion that the British Empire was undergoing at that point in time. Theological principles about an omnipotent and bountiful God were crucial to Boyle’s plans for the achievement of broader management of nature, but as a rule he avoided consideration of anthropological theology and moral natural law in his scientific writings. A close reading of Of the Usefulness of Experimentall Natural Philosophy and of the Aretology helps in articulating these ideas.
The secession crisis of 1860-61 in the lower Mississippi valley represents the crisis in the South as a whole. Secession is more contentious, and southern Unionism more prevalent, in Arkansas and Tennessee than in Louisiana and Mississippi. Support for secession initially corresponds to areas of plantation agriculture and large slaveholdings, but the Confederacy receives overwhelming white support after secession. Events outside the region shape the Union’s initial approach to the rebellion and to the problem of fugitive slaves, though the region also experiences internal disruptions in mobilizing for war. The lower Mississippi valley initially experiences little direct effect from the war, but control of the Mississippi River soon becomes central to Union strategy. By early 1862, preparations were underway for Federal incursions into the region. Although the issue of slavery becomes unavoidable, notions of “Reconstruction” remain limited, and few Northerners envision a reunion predicated on the abolition of slavery.
This paper discusses the accountability gap problem posed by artificial intelligence. After sketching out the accountability gap problem we turn to ancient Roman law and scrutinise how slave-run businesses dealt with the accountability gap through an indirect agency of slaves. Our analysis shows that Roman law developed a heterogeneous framework in which multiple legal remedies coexist to accommodate the various competing interests of owners and contracting third parties. Moreover, Roman law shows that addressing the various emerging interests had been a continuous and gradual process of allocating risks among different stakeholders. The paper concludes that these two findings are key for contemporary discussions on how to regulate artificial intelligence.
The formulas describe unfree men and women with terms that are fluid and overlapping, and that encompass everything from what we would call chattel slavery to loose patronage. The unfree most often appear as the passive objects of the power and interests of their betters. They are not a closed group, however. Free people submitted themselves to servitude either voluntarily or by force of circumstance, in exchange for money or to make amends for some wrong. Unfree were freed or bought their own freedom. The unfree also display a significant amount of agency. They ran away. They sought help against their own lords from other powerful people. Sometimes they stole things, including marriage partners. They contested their status, often with success. Some even owned other unfree. In short, the formulas tell us that status at the interface between free and unfree was fluid, and that while they spent much of their lives as the passive objects of power, the unfree in this world had the capacity to act in their own interests, were fully aware of how power flowed, and could work the social and political system to their own advantage.
In Shakespeare’s Twelfth Night Act ii, scene v, chambermaid Maria plays an epistolary trick on her fellow servant. She forges a text to make the pompous steward Malvolio believe that his fantasy of rising above his station and marrying their mistress Olivia has become reality.1 The dupe is imagining just this as he comes into the garden where the deceptive document, which will literally spell out his daydream, has been planted. Maria and her accomplices, Sir Toby, Sir Andrew and Fabian, watch from a hiding place and comment as the spectacle unfolds. It all begins the moment Malvolio picks up the text and reads the address written on its exterior (ii.v.69–80)
Six Plautine prologues1 and six Terentian prologues are our earliest unequivocal proof of original titulature in ancient drama.2 The twelve titles these provide are also the only securely author-sanctioned titles we have for the entire republican period until Cicero.3 While any authorial title is revelatory, the titles of Roman comedies are especially so; we have just seen that the title of a translation can convey information about its relationship to the source text. Juxtaposed with “Thesauros”, “Trinummus” gave us a key to understanding not only how the playwright conceptualizes his own play but also how he has reconceptualized a Greek play.4 Plautus’ titular changes, then, are meaningful and we should be paying more attention – not least because the poet does not always give his translation a new name: of ten comedies in the corpus whose originals we know for sure,5 only six have new titles.6 What is the difference between plays with changed names and those whose Greek names have just been translated into Latin? Are the former more Plautine than the latter? Is Mercator closer to Emporos than Stichus is to Adelphoi?
This article offers a new interpretation of the theme of servile ‘crime and punishment’ in the Cena Trimalchionis. Focussing on scenes that directly involve the dinner host, it argues that the domestic justice system that they flesh out adds nuance to the satirical bite of the episode. An initial overview of the instances of ‘crime and punishment’ involving enslaved characters demonstrates how these scenes parade not just Trimalchio's wealth but his masterly power overreaching that of private domini. While previous scholarship understood Trimalchio's questionable chastisements as indicative of this parvenu's pretensions, this article shows that they cumulatively develop an image of a jumbled execution of justice—brought to life through the presence of state functionaries, judicial infrastructures and penalties normally executed by the state. The climax of this image is hidden in plain sight, in a hitherto underappreciated scene involving purple wool (54.3–5), discussion of which proves in conclusion that the instances of servile ‘crime and punishment’ craftily build a subplot that plays on the freedman's imperial authority. The imperial matrix already recognized in several dimensions of the Cena in earlier scholarship unmistakably characterizes Trimalchio's domestic jurisdiction too; arbitrary and unfair, it offers biting comment on the state of Roman justice during the Principate with the progressive channelling of justice through the sole authority of the emperor. In sum, the servile ‘crime and punishment’ theme works as a fierce attack on the imperial government, encouraging broader reconsideration of the target of Petronius’ satirical pen.
This chapter addresses those social ties beyond the kin-group which seem – to judge from commemorative practices – to have been of most importance for the inhabitants of Roman Hieradoumia. Fellow members of small-scale local cult-associations (phratrai, symbiōseis, speirai, doumoi) are very prominent in funerary commemoration, as are religious officials, neighbours, friends, and (for unfree persons) groups of fellow slaves. At Saittai, men are often commemorated by trade guilds and professional associations, probably reflecting the existence of guild-based burial-clubs; there is some reason to think that these trade guilds were unusually prominent in the civic organization of the polis of Saittai. Finally, civic communities fairly often participate in the commemoration of deceased members of the civic elite; such men and women’s tombstones can include lengthy extracts from post mortem honorific decrees which systematically conflate the deceased’s public and private virtues.
Using the rich funerary epigraphy from Rome and environs, this chapter reconstructs the organization of court domestic service, establishes a taxonomy of the various service roles attested at court, and explores the significance of the structural differentiation that can be observed among the (mostly servile) domestic servants. It then considers the impact of the emperor’s domestic servants on court politics, exploring the relationships that developed between the court and the outside world. Literary texts suggest that some domestic staff controlled access to the emperor, that others acted as brokers in distributing imperial patronage, and that a few became favourites of the emperor. The latter could rise to great heights of influence, but could also become lightning-rods of discontent with the regime. As a result, a reconfiguration of power within the court or a change of regime could see the expulsion of favourites from the inner circle – or worse.