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This chapter moves to the last phases of the French occupation in parts of Germany and to the improved position of the local Jews in these regions. It then concentrates on the efforts to legalize Jewish equality in the constitution of the new German Bund, discussed in a special committee at the Congress of Vienna, and within this context, it examines the position of a number of important German politicians towards Jewish emancipation. While Wilhelm von Humboldt’s liberal approach is relatively well known, but appears to be more complex on taking a closer look, it is interesting to observe the position of another Prussian politician, Karl August von Hardenberg, and especially that of the Austrian foreign minister chairing the entire congress, Metternich. Both were much more conservative, but still supported Jewish equality, insisting it must apply to Germany as a whole. In the end, this question remained undecided, like so many other issues relating to the planned constitution, mainly because of the pressure from the presumably much more liberal bourgeoisie in the various cities of the new Bund.
Chapter 3 focuses on some of the signifiers that have long been argued to provide proof for how Punic culture survived and persisted through molk-style rites, especially the “sign of Tanit,” the crescent, and terms like sufete. Instead of continuities, these signs were appropriated and visibly transformed by the new elite of the first century BCE. It was not meanings, significances, or interpretations that bound togther these worshippers from Mauretania to Tripolitania, but rather the signs themselves. Rather than veneers that can be dismissed as epiphenomena, signifiers had the power to create imagined communities, and they did so within a Third Space distinct from the markers of prestige embraced by Numidian kings and Roman authorities.
This chapter examines the presence and role(s) played by elite women in military camps during the early Principate. The chapter starts with a consideration of our sources for elite women and the nature of Roman authors’ treatment of military women. Status consciousness was ever present so the authors define which women could be considered as elite in military settings. After reviewing evidence for elite women in camps the authors examine elite women through the lens of Agrippina the Elder. As a member of the imperial family Agrippina received an unusual level of attention from ancient authors which results in more evidence about her activities in camp. Comparing Agrippina’s behavior with the diverse evidence for other elite women yields a sense of how these women were comporting themselves in military settings. The study reveals that elite women were not disruptive troublemakers. Perhaps not surprisingly, elite women behaved in accordance with Roman culture expectations and elite gender norms, as would have been expected of a Roman matrona.
The tipping point for regime change arrives suddenly and is difficult to predict, even by those leading the revolution, as well as those leading the defense of the ruling regime. For example, at the time of regime collapse in Russia in 1917, Lenin was in Switzerland, Trotsky was in America, and Stalin was in Siberia. Like a dam that suddenly bursts as a result of the addition of a few more small drops of water, the exact moment of regime collapse is difficult to predict - even by leaders in the revolutionary movement and the forces defending the ruling regime. However, the destruction that follows the bursting of the dam is predictable. Three factors are proposed as preparing the ground for regime collapse. First, societal changes, which can be subtle, incremental, and long term. Second, changes in the ruling elite, particularly with respect to cohesion and fragmentation. Third, the emergence of a charismatic leader who takes charge of the revolutionary movement, often opportunistically putting themselves at the front of the movement.
Known chiefly from sources related to democratic Athens, the Sophists emerge from the competitive ethos of aristocratic Greek society. The impetus for the Sophistic movement was the transformation of social and political relations within the Greek world following the defeat of Xerxes. These changes were most dramatically felt and best recorded at Athens. The phenomenal wealth of fifth-century Athens increased the number of Athenians aspiring to an aristocratic lifestyle and intensified the competition for social recognition and for preeminence in politics. Verbal dexterity was a key attribute in the pursuit of such standing. Sophists attracted students by promising to impart such skills in the young men of wealthy families. The turmoil of war in the late fifth century encouraged some of those influenced by Sophists to turn toward oligarchic revolution at Athens, tainting the reputation of Sophistic learning, leading to the condemnation of Socrates for his engagement with these self-proclaimed teachers of political virtue and wisdom.
This chapter introduces important distinctions between intended and actual readership, and between the early novels, the ‘sophistic’ novels, and other known novels. It concludes that both the intended and actual readers of ‘sophistic’ novels were from the educated elite, and that Chariton probably envisaged such readers too, while perhaps writing in such as way that readers might also be found further down the social scale. Readers of this sort may also have been envisaged by Xenophon and some other writers of fiction, but in no case much further down.
A plethora of archaeological evidence retrieved from regional and panhellenic sanctuaries in Greece suggests that from the eighth century BCE and throughout the Archaic period sanctuaries functioned as seminal nodes of cultural interaction between Etruria and Anatolia. This chapter discusses evidence from Greek sanctuaries that functioned as arenas of actual physical contact and tangible or intangible exchanges between visitors from the Italic peninsula and visitors from Anatolia and proposes a heuristic classification of two major categories of sanctuaries: transactional, in which exchanges of an economic nature would have taken place, and heterotopic, in which some transactional exchanges may have been arranged or taken place but which mainly configured themselves as wondrous places only for very few and exclusive visitors seeking to enhance their prestige by simply being there. Contacts between Italics and Anatolians would have taken place in both transactional and heterotopic sanctuaries, while only the high, exclusive elites would have frequented the heterotopic sanctuaries.
This chapter discusses Dongo as an indvidual and a representative of the ideal of Spanish masculinity. Both the fictional versions of Dongo and the real historical person possessed the essential characteristics for a man at the pinnacle of honor: wealth, piety, distinguished Spanish lineage, and charity. He also showed loyalty to the Spanish crown through his service to the Mexican viceroys. Dongo’s ancestry and actions exemplify the ideals of the privileged few at the top of the eighteenth-century Novohispanic social pyramid.
In the 1950s, University of Pennsylvania archaeologists recovered over fifty pieces of wooden furniture from three royal tumulus burials and the city mound at Gordion, Turkey. Tumuli MM and P (eighth century BCE) contained thirteen tables and three serving stands with characteristic Phrygian features. The style and joinery of the tables tie them to a long trajectory of wooden tables from the ancient Near East. A variety of fine wooden objects was found in two tombs excavated in 1972 at Verucchio in northern Italy (late eighth through early seventh centuries BCE). The finds from tombs 85 and 89 include wood tables, footstools, thrones, boxes, and other organic materials. Three tables from tomb 85 had legs attached to the table top with a version of the collar-and-tenon joinery used for the Gordion tables. Rarely are ancient wooden artifacts recovered in good condition; the finds from Verucchio and Gordion provide a large and important corpus from the early first millennium BCE. This paper examines the similarities (and differences) between Gordion and Verucchio wooden furniture and investigates the possibility of interaction between Near Eastern and Italic woodworking schools in the eighth through the seventh centuries BCE.
The boni, the wealthy, but largely non-political, section of the Roman elite, have hitherto escaped scholarly attention. This book draws a detailed and rounded picture of the boni, their identity, values and interests, also tracing their – often tense - relationship to the political class, whose inner circle of noble families eventually lost their trust and support. Concerns about property played a central part in this process, and the book explores key Roman concepts associated with property, including frugality, luxury, patrimony, debt and the all-important otium that ensured the peaceful enjoyment of private possessions. Through close readings of Cicero and other republican writers, a new narrative of the 'fall of the republic' emerges. The shifting allegiances of the wider elite of boni viri played an important part in the events that brought an end to the republic and ushered in a new political system better attuned to their material interests.
The Greek world from ca. 750 onwards saw the establishment of wealthy elites, the widespread use of chattel and other slaves, and the occupation of new territories across the Mediterranean, all of which laid the groundwork for later developments. Elite property owners exploited the labour of the free poor, thereby adding to their own surpluses while keeping levels of consumption in the wider community minimal and archaeologically invisible. Only when and where social unrest or outright civil war led to restrictions on exploitation, and when new trading opportunities emerged around 600, did a middling class begin to establish itself, and to create demand for a range of staples that they could not produce themselves. In the late sixth century, the economic and social structure of the classical Greek world took shape, as regional and local specialisation and trade networks reached a level that enabled significant – if unquantifiable – per capita growth. Not all parts of the Greek world shared equally in these developments. Sparta, Crete, and Thessaly retained a polarised social structure of leisured elite and slave workers and continued to aim at agricultural self-sufficiency, institutionalising key features of the old predatory regimes that other Greeks were leaving behind.
The article focuses on a comparative analysis of conflict and elite formation in Thailand, Laos and Cambodia; it argues that societal conflicts in Southeast Asia are grounded in the historical formation of elite social structures within differing sociocultures and that major and long-lasting societal conflicts—both violent and non-violent—occur in social spaces between ‘power elite’ groups. Additionally, it shows how up-and-coming elite groups are recruited from the fringes of the old hierarchy, which is why they are—in many respects—social hybrids of old and new sociocultures. Moreover, after those new arrivals were elevated into the ‘power elite’, the window for upward mobility rapidly re-closed.
In Chapter 6, we find evidence that opposition successor parties from more closed opportunity structures experience centrifugal strains caused by the amalgamation of ideological orientations and perspectives that they represent. These strains lead to elite polarization that cause movement fracture and collapse. Conversely, opposition successor parties from more open opportunity structures are ideologically more coherent and thus do not suffer the same centrifugal tensions. Second, we see that nearly all opposition successor parties experience a dramatic decline in popularity after founding elections, due the ephemerality of symbolic resources in general (oppositional credibility, in this context). The positive reputations that helped opposition groups persuade citizens to vote for them in founding elections break down under economic strain and political disfunction that so frequently plague new democracies. Finally, we see that in contexts in which authoritarian state institutions persist beyond the transition, the resurgence of state repression against opposition successor parties becomes more likely, while authoritarian successor parties, in contrast, can integrate former regime members into the new democratic political system.
Chapter 5, “Information Wars,” is the opening case study of four intelligentsia-built resistance systems, which consider how the intelligentsia responded to Nazi persecution with projects bent on maintaining national traditions and rebuilding a Polish state. It examines the one that undergirds the rest: underground information creation and trafficking that kept the elite connected and funneled news into and out of the city. In response to the closure of Polish-language press, radio bookstores, and libraries, a number of educated Poles created an underground world of secret newsletters and journals to keep the city informed about occupier behavior and the circumstances of the wider war. This project involved entangled networks of individuals who were brutally punished if caught, and the work of writing, editing, couriering, and reading underground press initiated many Varsovians into anti-Nazi “conspiracies.” Information sourced in the occupied city was not merely for local consumption but was painstakingly smuggled out by a sprawling network of Polish and international couriers toting encrypted information to the states of the Grand Alliance. This chapter argues that the ability of Poles in Warsaw to counter Nazi propaganda narratives with their own information was essential to all later successful opposition.
Chapter 2, “The Killing Years,” explains the two-wave Nazi police genocide against the intelligentsia in 1939–1940, its fallout, and how these initial killing campaigns shaped the Nazi German occupation administration for Poland. German anti-intelligentsia campaigning was bloody but ultimately drove the resistance it attempted to thwart. The first campaign, codenamed Operation Tannenberg, was coordinated with the military campaign in 1939 but delayed in Warsaw because of the siege. Tannenberg went awry and was complicated by the circumstances of the invasion and incoming occupation. After Nazi Germany established a civilian occupation under general governor Hans Frank, Frank revived anti-intelligentsia killing with his new campaign, the Extraordinary Pacification Action (AB-Aktion). This campaign’s violence shocked Poles and provoked the resistance it was intended to achieve. This chapter argues that the two Nazi genocidal campaigns failed but shaped the nature of Nazi occupation administration, and encouraged the first violent Polish resistance in response.
Chapter 8, “Spoiling for A Fight: Armed Opposition,” begins a two-part examination of violent resistance and how, when, and why Poles embraced or rejected it. This discussion is deliberately postponed in the story, as much of the existing literature focuses on military resistance as a shorthand for resistance as a whole, which it was not. Polish military resistance efforts, initially launched by officers and soldiers of the Polish Army in hiding under occupation, remained fractured and hamstrung by vicious Nazi reprisals until 1942. Despite its danger, myriad groups organized around plans for insurrection, spanning the political spectrum from orthodox communists to the fascist far right, and including Polish-Jewish participation. After the destruction of many such initiatives and the merging and reformation of others, one increasingly grew in size and strength: the Home Army (Armia Krajowa) eventually dominated a chaotic resistance landscape through the support of the Western Allies. This chapter argues that violent resistance was initially a disorganized catastrophe, and only late in the occupation did a few surviving underground militaries achieve the ability to influence the Polish population or threaten the German occupiers.
Chapter 9, “Home Army on the Offensive: Violence in 1943-1944,” dissects mature intelligentsia military resistance. As the tide of war turned and the Germans endured their first battlefield defeats against the Soviet Union, the consolidated Home Army grew aggressive. Its most effective move was a 1943 assassination campaign targeting Wehrmacht officers, Nazi police, and German administration personnel called Operation Heads. Heads intimidated the Germans and shifted occupation policy. The Home Army’s perceived success and the advance of the Eastern Front toward Warsaw in 1944 convinced underground military leaders that they were facing their last opportunity to launch a city-wide insurrection. Their rebellion, now known as the Warsaw Uprising, failed. Remaining German personnel in the city were reinforced and crushed the insurrection, slaughtered civilians, and destroyed the city. This chapter argues that military conspiracy, like Catholic resistance, had its successes but was ultimately dependent on the international situation and could not secure the practical support of the Grand Alliance in the face of both German and Soviet opposition.
Chapter 7, “Matters of Faith: Catholic Intelligentsia and the Church,” asks how Catholics behaved in Warsaw and why. Roman Catholicism was the religion of the majority of Varsovians and had played an important role in the development of the Polish national project. In the absence of a Polish government, the Church provided a potential locus of authority for Poles. Warsaw’s priests drew particular negative attention from the Nazi occupation for their potential influence and they were viciously persecuted, imprisoned, and often sent to the concentration camp at Dachau. Nevertheless, leaders of the Church, from the pope in Rome to local bishops, were hesitant to provide guidance, support Nazi occupation, or encourage opposition to it. Despite the lack of a top-down Catholic policy, this chapter argues that individual priests and lay Catholic leaders were motivated by their religious faith to form everything from charities to a postwar clerical state. Crucial among Catholics was the question of the developing Holocaust and the role of Polish Jews in Polish Catholic society, which sharply divided them.
Chapter 3, “Pawiak Prison,” places a spotlight on the main institution used to control the intelligentsia and their behavior: Pawiak prison. Nearly 100,000 “political criminals” – resisting elites, or those suspected of resistance – were held and tortured there between 1939 and 1944. The Warsaw Gestapo, working for Hans Frank’s General Government administration, utilized the former tsarist prison as a holding facility for Poles suspected of resistance to the occupation. It became symbolic of Nazi terror and hostility to the Polish national project, despite being confined behind the walls of the Warsaw Ghetto from fall 1940 on. The experience of confinement, mistreatment, and interrogation within the prison galvanized opposition projects for those who survived the experience. Nazi paranoia about potential Polish resistance kept Pawiak full and constant overcrowding demanded solutions: the mass execution of many prisoners, prisoner transfer to concentration camps in Nazi Germany, and the opening of a new concentration camp at Auschwitz to the southwest as an overflow facility. This chapter argues that Pawiak was both symbol and microcosm of how Warsaw’s German civilian and police administration attempted to control the Polish intelligentsia and its potential resisters after the killing campaigns concluded.
Chapter 6, “School of Hard Knocks: Illegal Education,” considers the second great intelligentsia occupation success: illegal underground education. From fall 1939, the Nazi General Government administration closed schools, universities, seminaries, and conservatories that served Polish students, arresting and imprisoning teachers and professors. This was a deliberate German attempt to control Poles in the long term and ensure German control over Lebensraum in the Polish space, since Nazi plans intended to utilize Poles as unskilled laborers and wanted to deprive them of education and the opportunity for social advancement. Warsaw University and city high schools re-formed underground, and “illegal” education taught pupils from childhood into their twenties. Studying initiated young people into underground political conspiracy, exposing them to great danger. It also kept teachers and professors employed and trained a new Polish intelligentsia to replace those killed in the genocidal campaigns of 1939-1940. As occupation continued, teaching and studying increasingly became the purview of Polish women as more and more Polish men turned to violent resistance. Despite draconian punishments, underground education was one of the most important successes of the occupation.