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This article provides a conceptual framework that fills a critical gap at the intersection of Chinese art and cultural history. It focuses on the Yongzheng emperor's ‘Illustrated Inventory of Ancient Playthings’ (Guwantu) and its significance within the context of the collecting and courtly elite culture of the High Qing. Through a comprehensive examination of scroll B/C.8–V&A of the Guwantu itself, as well as the relevant source material, this study elucidates the dynamics that shaped the connections between artist, collector and object in the context of the scroll. Furthermore, this contribution throws light on the multiple entangled relationships that underpinned imperial collecting practices of the period, ultimately offering new insights into the socio-cultural milieu of collectors and connoisseurs in early eighteenth-century China.
In legal parlance, a ‘witness’ must have personal knowledge of the facts that form the basis of their inference or opinion. However, unlike an ordinary or a professional witness, an expert witness can provide opinion evidence, an exception to this doctrine. The evolution of the role of an expert witness or a skilled witness (in Scotland) is outlined in this clinical reflection.
The Royal College of Psychiatrists’ report CR193 details the responsibilities of psychiatrists who provide expert evidence to courts and tribunals. This brief commentary describes the rewards and challenges of expert witness work, the author's role as the College's Lead for Expert Witnesses, and importance of CR193 for expert psychiatric witnesses.
This chapter examines the kinds of legal procedure adopted by various ancient legal systems to conduct legal proceedings in a court. The areas covered include the constitution of courts, preliminary court proceedings, valid evidence, presentation and evaluation of evidence, and the final verdict, including the possibility of appeals. Discussions include judges and court personnel, the physical space of courts, distinctions between civil and criminal cases, plaint and plea, sureties, and legal representation. Under evidence there is examination of witnesses, documents, oaths, ordeals, torture for evidentiary purposes, and forensic investigation, and punishment for perjury. Once a verdict is reached by the court, there are issues relating to the recording and the enforcement of the verdict. There is wide diversity in the legal procedure recorded in the sources from different legal traditions. Some deal with the topic explicitly, while in others we have to deduce the procedure from material on court cases.
Chapter 3 explains the development of the court and society of Weimar, from the strategic decisions taken by Anna Amalia during her regency to the influence of her son, Carl August. The chapter considers the different forms of sociability that were cultivated, alongside the roles of particular institutions in the life of Weimar, above all the theatre and the university at nearby Jena. It addresses the paradox of a society that was at once conservative and progressive, a tension which was also reflected in Goethe’s own career in the town.
The Court of Justice comprises two courts, the Court of Justice and the General Court. The most high-profile task of the latter relates to individuals coming before it seeking judicial review of EU Institutions. This chapter focuses on one procedure, the preliminary reference procedure, whereby national courts refer questions of EU law to the Court of Justice where these are necessary to decide disputes before the former. The Court of Justice has recrafted this procedure to establish a judicial order in which it is the apex court, with all courts having an unfettered and immediate right of reference to it. This judicial order does four things: develops EU law, secures the judicial review of EU Institutions, protects the uniformity of EU law and upholds the independence of the judiciary within EU States. Within this order, national courts against whose decisions there is no remedy must refer, as must all courts who assess that an EU measure is invalid. Other courts have a discretion to refer, with this discretion extending to all courts where a materially identically dispute has decided the point of law in question or the act is so clear it does not require interpretation.
While gender history has developed into a powerful branch of premodern history, we still know little about gender relations around Maximilian I. One reason is that research concentrated for a long time on the individual personality of the emperor without paying much attention to the manifold relations among men and women that in fact contributed to establishing his rule. Another reason is the specific constellations of Maximilian's relationships with his wives Mary of Burgundy and Bianca Maria Sforza, with his daughter Margaret of Austria and grand-daughter Mary of Hungary, which have been mostly discussed in the framework of their personal courts and regional politics and less in a wider comparative perspective. Against the backdrop of recent approaches to dynastic politics, role models, and agency, I will, first, discuss the gendered dimensions of Maximilian's dynastic politics in their wider geo-political and socio-cultural context. I will, second, move beyond a focus on key dynastic actors to take into account personal networks as fundamental for any type of premodern rule. Following court ladies and female servants and the social networks they were part of I will outline the interrelations between social ascent, office, and the politics of kinship and gender at court.
During the sixteenth century, the medieval Palace of Westminster went from being the most-used royal palace, where the king lived and worked alongside his administration, to becoming solely the home of the law-courts, Parliament, and the offices of state. At the same time, the numbers of individuals who came to the palace seeking governance or to take part in the business of the law-courts increased over the course of the century. While Westminster had earlier been a public venue for governance and royal display, the increasing absence of the English monarch from the palace created alternative uses. Political culture came to focus on Westminster as entirely separate from the court. This article explores how these changing uses created new forms of political and administrative culture. It examines how the administrative offices, particularly the Exchequer, were remade to accommodate changing financial demands and the increasing contact between individuals and the Crown. It argues that the repurposing of the Palace of Westminster created a distinctly different set of relationships between the Crown and the public. This gave the institutions that called the palace home the space to develop as bodies that drew their legitimacy from their representation of the community of the realm as a whole.
We appraise Alexander’s court. We ask what constituted a ‘court’, as well as considering problems with assessing Alexander’s and those of the earlier Macedonian kings. A brief bibliographic survey follows, with salient literature about the court and institutions, Macedonian prosopography, and related topics. We then examine elite offices, specifically the Hetairoi or Companions, the Royal Pages or King’s Boys, the Royal Bodyguard, and specialized army units populated by the elite, such as the Royal Hypaspists. Finally, we consider two institutions exploited by the kings to engage with the Companions and read their mood: the royal symposium and the royal hunt.
We consider changes (Persianizing one) that Alexander made to his court from mid-330 BCE onwards, as well as opposition to it (and him) in the form of conspiracies and other clashes. Discussion is framed by a brief look at changes introduced by previous kings, as well as at new evidence from archaeology in north Greece that alters our understanding of early Macedon. It also takes into account the Greco-Roman literary topoi that overlay our sources, particularly with regard to major conspiracies, conflict, and the ‘mutiny’ at Opis – all in an effort to excavate the original underlying Macedonian perspective, insofar as we can.
Has any ancient figure captivated the imagination of people over the centuries so much as Alexander the Great? In less than a decade he created an empire stretching across much of the Near East as far as India, which led to Greek culture becoming dominant in much of this region for a millennium. Here, an international team of experts clearly explains the life and career of one of the most significant figures in world history. They introduce key themes of his campaign as well as describing aspects of his court and government and exploring the very different natures of his engagements with the various peoples he encountered and their responses to him. The reader is also introduced to the key sources, including the more important fragmentary historians, especially Ptolemy, Aristobulus and Clitarchus, with their different perspectives. The book closes by considering how Alexander's image was manipulated in antiquity itself.
To provide effective care physicians must attend, not just to medical issues, but also to the social determinants of health — racial factors, food insecurity, housing instability, transportation barriers and beyond. Social determinants also include a largely underrecognized dimension: legal vulnerabilities such as rental evictions and debt adjudications. Yet rarely do medical trainees have an opportunity to witness legal vulnerabilities, firsthand.
Chapter 7 turns to the recipients of petitions for royal justice and their initiation of litigation. The chapter begins by weighing up the evidence for direct royal involvement in these judicial processes, with particular attention paid to a set of documents signed by Henry VII and Henry VIII personally. Otherwise, based on a survey of the signatures and annotations scattered across the Court of Requests’ early Tudor archive, this chapter identifies the men who delivered justice in this tribunal day to day. Mapping onto the evolutionary trajectory set out in Chapter 3, the overall impression is of transition from a diverse and changeable group of bill handlers within the royal household under Henry VII, followed by a spell in which the household clergy oversaw all business in Requests, and culminating in a smaller quorum of legally trained judges and Masters of Requests by the end of the period. The chapter then spells out the procedures followed once a petition was in the hands of this frontline personnel, and the measures they took to preserve the traditional prioritisation of the poor litigant.
Between the no-fault divorce revolution and various court rulings classifying sexual behavior between two adults as a private, intimate matter, some scholars have noted a shift away from traditional morality around sex in conjugal, cohabiting, and dating relationships in family law. The act of sex in a romantic relationship is often perceived as one’s complete liberty without bounds. Many underrate the legal consequences attached to their sexual behavior. However, sex is still the defining consideration that creates legal recognition of a romantic relationship between two people. It creates legal duties to each other and any minor involved in the partnership, irrespective of biological ties, in a relational parentage era. Past and recent court rulings, including rulings from nonmarital, intimate partner violence, and parentage cases, are provided as examples to recount the legal meaning of the act of sex.
Previous literature attempted to gain insight into financial abuse involving people with dementia by analysing court cases, but these studies were limited in sample size or scope. This study collected 214 court rulings directly related to the financial decisions of people with dementia to identify characteristics of the financial abuse victim, perpetrators and the types of assets. The models of bystander intervention and routine activity theory were used as conceptual models to guide analysis regarding the role of bank staff as well as the court's decision in cases of financial abuse. The majority of financial abuse perpetrators were family members (73.8%), as opposed to outsiders (19.2%). Transfer of real estate was the most common legal issue, and land was the most common financial asset involved. Difficult intra-family relationships seem to pose a great risk of financial abuse involving people with dementia since adult children were found to be the most likely perpetrators (52.7%) but also plaintiffs accusing financial abuse (57.6%). In accordance with the bystander intervention model, bank staff were more likely to be suspicious of financial abuse when an outsider was regarded as the perpetrator. In accordance with the routine activity theory model, the court was more likely to acknowledge the case as an invalid financial decision when an outsider was regarded as the perpetrator in financial abuse cases. Since people with dementia suffer from greater losses due to their family members, future policies should establish guidelines for front-line bank staff to identify warning signs to reduce the risk of financial abuse involving people with dementia, not only to prevent fraud by outsiders but also exploitation by family members.
What is literature made from? During the fourteenth, fifteenth, and sixteenth centuries, this question preoccupied the English court poets, who often claimed that their poems were not original creations, but adaptations of pre-existing materials. Their word for these materials was 'matter,' while the term they used to describe their labor was 'making,' or the act of reworking this matter into a new – but not entirely new – form. By tracing these ideas through the work of six major early poets, this book offers a revisionist literary history of late- medieval and early modern court poetry. It reconstructs premodern theories of making and contrasts them with more modern theories of literary labor, such as 'authorship.' It studies the textual, historical, and philosophical sources that the court tradition used for its matter. Most of all, it demonstrates that the early English court poets drew attention to their source materials as a literary tactic, one that stressed the process by which a poem had been made.
Chapter 3 investigates the French nationality decrees promulgated in 1930 and 1936, which recognized the claims métis people had been making for decades: they were French and entitled to French legal status. These new legal pathways to French citizenship and demarcations of parameters of belonging were tied to concepts of how race and multiracial identity mapped onto French legal status. The decrees codified multiracial people as a specific category in French colonial thought and society, but within the context of how multiracial people themselves claimed multiracial selfhoods. The claims of métis people who petitioned for citizenship deepened the debates about race and racial identity and changed the very idea of Frenchness. The burden of proof on petitioners hinged on questions of paternity and French cultural competency. However, maternal kin and African communities played an essential role in the legal process. Métis obtainment of French citizenship was consequential for hierarchies of status within African societies. At the same time, it both contested and created hierarchies of social and legal status and privilege based on changing racial thought.
Edited by
Masum Khwaja, Imperial College of Science, Technology and Medicine, London,Peter Tyrer, Imperial College of Science, Technology and Medicine, London
Forensic psychiatry is a medical discipline, developed from the foundations of the asylum era, which focuses on the assessment and treatment of offenders with mental disorders. The complexity of the patient cohort is arguable reflected in the complexity of their clinical pathways, which necessitates some understanding of the legal system that for most patients, works in parallel to that of health and social care. In this chapter, we briefly review the historical context through which modern forensic psychiatry has emerged within England and Wales. This includes some high-profile individual cases that led to the development of concepts such as fitness to plead and the psychiatric defence of not guilty by reason of insanity. We then provide an outline of how inpatient secure services are structured, the relevant criminal sections of the Mental Health Act at each stage of the trial process and some of the challenges associated with managing this complex cohort of individuals.
The use of veto points to block policy change has received significant attention in Latin America, but the different institutional venues have not been analyzed in a unified framework. Uruguay is exceptional in that political actors use both referendums and judicial review as effective ways to oppose public policies. While the activation of direct democracy mechanisms in Uruguay has been widely studied, the surge in the use of the judicial venue remains underexplored. This article argues that veto point use responds to the ideological content of policies adopted by different coalitions and the type of interest organization affected. It shows that policy opponents predominantly activate referendums when center-right coalitions rule and judicial review when center-left coalitions govern. It illustrates the causal argument by tracing the politics of court and referendum activation. This approach helps to bridge the gap between research on direct democracy and judicial politics, providing a unified framework.