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This Element explores constructions of Israelite identity among Jewish, Samaritan Israelites, and Christian authors in Late Antiquity, especially early Late Antiquity. It identifies three major strategies for claiming an Israelite identity between these three groups: a 'biological' strategy, a 'biology plus' strategy, and an 'abiological' strategy, referring to the difference between Jewish claims to Israel premised on exclusive biological descent, Samaritan Israelite acknowledgments of shared descent, and the 'Verus Israel' tradition in Christianity, which disavows the importance of descent. Using this framework, it makes various general conclusions about the construction of ethnic identity itself, including the inadequacy of treating descent claims as the sine qua non of ethnicity and role played in any given vision of ethnic identity by the individual creativity of a given author.
The 1970s saw the rise of two unrelated and yet affine historical concepts: Late Antiquity (Brown 1971) and Post-Modernism (Lyotard 1979). It is almost as if the breakdown of Antiquity in the way it had been traditionally understood, clearly delineated from the Middle Ages and the Byzantine Empire, heralded the dissolution of the Modern Western self-understanding and everything that went with it. For Byzantine studies, it came with a flora of textual rediscoveries; but the gate that had opened onto the spiritual meadows of Late Antiquity could also be used to approach and contextualize Islam in a new way.
What was the social experience of work in the ancient world? In this study, Elizabeth Murphy approaches the topic through the lens offered by a particular set of workers, the potters and ceramicists in the eastern provinces of the Roman Empire. Her research exploits the rich and growing dataset of workshops and production evidence from the Roman East and raises awareness of the unique features of this particular craft in this region over several centuries. Highlighting the multi-faceted working experience of professionals through a theoretically-informed framework, Murphy reconstructs the complex lives of people in the past, and demonstrates the importance of studying work and labor as central topics in social and cultural histories. Her research draws from the fields of archaeology, social history and anthropology, and applies current social theories --- communities of practice, technological choices, chaîne opératoire, cultural hybridity, taskscapes – to interpret and offer new insights into the archaeological remains of workshops and ceramics.
Samuel’s Life of Barsauma, a little-studied, late fifth-century Syriac text, commemorates the ascetic career of a nasty saint. One of the most noticeable features of this monastic hagiography is the high degree and diversity of violence: Barsauma is frequently portrayed as the victim of violence by his adversaries and the perpetrator of violence against his adversaries. Yet, the Life of Barsauma stands out from other late ancient monastic hagiographies because of its enthusiastic depiction of the saint’s lethality. According to Samuel, Barsauma uses his curse to kill an array of individuals, and the mere presence of him and his disciples leads to the mass deaths of Jews gathered in Jerusalem. For most late ancient hagiographers, a saint’s performance of violence was something to be downplayed or specifically rationalized, and rarely if ever would a saint’s performance of holy violence lead to the death of one person, let alone many people. The Life of Barsauma’s deviation from contemporary hagiographical convention compels this article’s investigation into the meaning that Samuel hoped to communicate through his thorough depiction of a lethally violent saint. I argue that Samuel’s Life constitutes the literary amplification of a memory about the historical Barsauma, and an exhortation for the monks of Barsauma’s monastery to imitate him with similarly violent actions. In the end, Samuel’s defies the conventions of monastic hagiography in order to authorize readers to perform their own acts of violence as they construct and police the monastic community’s sectarian boundaries.
Proba’s Cento Vergilianus contains a corruption at line 42, sometimes printed as two half-lines separated by a lacuna (42a–b). Previous attempts to emend the passage based upon the four classical elements have met with limited success. This article argues for a novel reconstruction of the passage based upon the six days of the biblical creation, summarized in reverse. Two possible variants of the reconstruction are presented and evaluated on textual, metrical, compositional and contextual grounds.
Christianity is often considered prevalent when it comes to defining the key values of late antique society, whereas 'feeling connected to the Roman past' is commonly regarded as an add-on for cultivated elites. This book demonstrates the significant impact of popular Roman culture on the religious identity of common Christians from the fifth to the seventh century in the Mediterranean world. Baptism is central to the formation of Christian identity. The decoration of baptisteries reveals that traditional Roman culture persisted as an integral component of Christian identity in various communities. In their baptisteries, Christians visually and spatially evoked their links to Roman and, at times, even pagan traditions. A close examination of visual and material sources in North Africa, the Iberian Peninsula, and Italy shows that baptisteries served roles beyond mere conduits to Christian orthodoxy.
This chapter addresses developments in Late Antiquity, which witnessed a partial shift to more land-based conceptions of both ownership and rulership. The prior literature has pointed to two explanatory factors: the decline of classical polis culture amidst the deurbanization of Late Antiquity, and the rise of Christianity. The chapter draws together the threads of this literature, in order to develop an account of late antique cultural change. Classical Roman property law, it argues, had its context in classical cities. The relative decay of urban dominance and the rise of Christianity tended to undermine the classical foundations of the law of both ownership and rulership. The Empire was reconceived in more territorial terms, while classical conceptions of elite power faltered. The resulting shifts did not result in any decisive and thoroughgoing transformation of the understanding of ownership and rulership, but they set the stage for later developments of great significance.
The success of Islamic imperialism in the period from the conquests to the Ayyubid dynasty has traditionally been explained as purely the result of military might. This book, however, adopts a bottom-up approach which puts social relationships and local power dynamics at the centre of the Islamic empire's cohesion. Its chapters draw on sources in diverse languages: not just Arabic, but also Greek, Coptic, Syriac, Hebrew, and Bactrian, showing how different linguistic communities intersected and contributed to a connected yet diverse empire. They highlight how not just literary and historical texts, but also physical documents and archaeological evidence should be incorporated into writing histories of the late antique and early medieval Middle East. Social institutions and relationships explored include oaths; petitions, decrees, and begging letters; and financial frameworks such as debt and taxation. This title is also available as Open Access on Cambridge Core.
Located on the North Anatolian Fault, Constantinople was frequently shaken by earthquakes over the course of its history. This book discusses religious responses to these events between the fourth and the tenth century AD. The church in Constantinople commemorated several earthquakes that struck the city, prescribing an elaborate liturgical rite celebrated annually for each occasion. These rituals were means by which city-dwellers created meaning from disaster and renegotiated their relationships to God and the land around them in the face of its most destabilizing ecological characteristic: seismicity. Mark Roosien argues that ritual and theological responses to earthquakes shaped Byzantine conceptions of God and the environment and transformed Constantinople's self-understanding as the capital of the oikoumene and center of divine action in history. The book enhances our understanding of Byzantine Christian religion and culture, and provides a new, interdisciplinary framework for understanding Byzantine views of the natural world.
Ancient Greek literature begins with the epic verses of Homer. Epic then continued as a fundamental literary form throughout antiquity and the influence of the poems produced extends beyond antiquity and down to the present. This Companion presents a fresh and boundary-breaking account of the ancient Greek epic tradition. It includes wide-ranging close readings of epics from Homer to Nonnus, traces their dialogues with other modes such as ancient Mesopotamian poetry, Greek lyric and didactic writing, and explores their afterlives in Byzantium, early Christianity, modern fiction and cinema, and the identity politics of Greece and Turkey. Plot summaries are provided for those unfamiliar with individual poems. Drawing on cutting-edge new research in a number of fields, such as racecraft, geopolitics and the theory of emotions, the volume demonstrates the sustained and often surprising power of this renowned ancient genre, and sheds new light on its continued impact and relevance today.
This chapter looks at the different ways in which a free person might come to forfeit their freedom in the late antique and early Islamic Middle East. Although frowned upon and theoretically illegal, free persons might opt, due to extreme poverty or privation, to sell themselves or their family, offering their labor in return for basic sustenance. Otherwise, loss of free status might occur due to a debt default, which, if the sale of a debtor’s assets realized insufficient credit, could see them being forced to work to pay off what they owed. This solution was common in the fouth–eighth centuries, but by the ninth century it was increasingly deemed unacceptable. This chapter considers what led to this shift in legal thinking, the degree to which Islamic law continued late antique practice and the nature of this continuity.
This introduction poses the central thesis of this volume: that the early Islamic empire was tied together by networks of social dependency that can be tracked through the linguistic and material traces of interconnectivity in our sources. It is suggested that the particular relationships that emerge from the granular case studies in this volume can illuminate the constituent parts of the early Islamic empire as a whole. Studies link material and textual sources, and in particular focus on the language and rhetoric used by sources to describe relations and interactions, and what they show of the modes, expressions and conditions that governed communication and interaction. It is suggested that empires are not ruled by top–down force alone, but that legitimacy and stability are created in various ways, both top–down and bottom–up.
This chapter probes the powerful presence of Greek epic in the world of late antique Christianity. The chapter begins by exploring the dynamic variety of uses to which hexameter verse was put by late antique Christians, including poems on surprisingly salacious themes. It then turns to consider hexameter poems on specifically Christian topics. First it examines the earliest examples of such texts, the Sibylline Oracles and the poems in the Codex of Visions. He then analyses the group of poems all composed in the fifth century CE: the Metaphrase of the Psalms of ps.-Apollinaris, the Homeric Centos and Martyrdom of St Cyprian of Eudocia and the Paraphrase of John’s Gospel by Nonnus. Each of these is, in a different way, a transcription into hexameter verse of a pre-existing Christian text — a striking development in the history of Greek poetry. Whitmarsh shows how this shift enacts, and indeed puts pressure on, the distinction between form and content. Yet for all that they have in common, each of the three fifth-century poets has a different agenda, and reflects a unique poetic vision and aesthetic.
This chapter locates a shift in beginning in the seventh century in which the power to halt quakes began to move away from collective repentance and toward saintly intercession. First, it examines the seventh-century Life of St. Symeon Stylites the Younger, a Syrian pillar saint with ties to Constantinople. It focuses in particular on hymns recorded in the Life for earthquakes that purportedly caused them to cease when sung by the holy man. The chapter shows how seventh-century Byzantines could have constructed the role of the saintly intercessor when faced with natural disasters. Next, it analyzes changes in Constantinople’s earthquake commemoration rite in the eighth century, specifically the introduction of the Theotokos as the city’s chief protection against earthquakes. Eighth-century liturgical editors borrowed from the rites commemorating the enemy invasions of Constantinople in 623, 626, and 717–18, in which the Theotokos was remembered to play a prominent role in protecting the city. It shows how the earthquake commemoration liturgy no longer saw earthquakes as divine judgment against the sin of the city, but as outside threats to the city for which powerful heavenly intercessions were needed.
This chapter discusses how East Roman emperors utilized the theology of divine chastisement, particularly the efficacy accorded to repentance, to their advantage. During the earthquakes of 396 and 447, Emperors Arcadius and Theodosius II, respectively, led mass penitential rituals and performed public acts of humility until the quakes ceased. Such public acts of repentance posed a political risk to emperors since they could appear to confirm their responsibility for the disasters. However, imperial supporters like bishop Severian of Gabala and historian Socrates Scholasticus highlighted the quakes’ cessation rather than their cause, and located the power to halt quakes in the humble prayers of the rulers themselves rather than worshippers as a collective. In the aftermath of these earthquakes, authorities framed Roman emperors as “New Davids” – effective spiritual intercessors as well as military protectors – inaugurating a biblical typology for emperors that would continue throughout Byzantine history.
This chapter concerns Constantinople’s liturgical rite for the commemoration of earthquakes in its original, fifth-century form. Celebrated each year on the anniversary of certain quakes, worshippers ritually reenacted local earthquakes, performing a long, penitential procession that retraced the earthquake evacuation route. The rite was structured by biblical readings, hymns, and prayers that framed the people of Constantinople as the sinful, biblical people of God. In ritual performance, worshippers could envision quakes as manifestations of divine wrath against the sins of the city, and their collective repentance as effective in restoring stability to the earth and balance within the human-environment-divine relationship. After discussing the liturgical rite, its performance, and theology, the chapter locates the origins of its theology of divine chastisement in local homilies and ritual responses to earlier quakes, focusing in particular on the archbishop John Chrysostom’s Constantinopolitan homilies on earthquakes from the early fifth century.
This chapter examines the ways in which Byzantine political and ecclesiastical elites recast local earthquakes as divine blessing upon the city rather than manifestations of divine wrath as evinced in the liturgical commemoration rite. First, it examines a legend that arose in connection with the earthquake of 438 that framed it as a divine theophany. Following the divisive Council of Chalcedon in 451, ecclesiastical authorities in Constantinople’s imperial church used the legend against their miaphysite opponents to cast the quake as divine approval of Constantinople’s political and theological claims. Next, it turns to the earthquake of 557, which partially destroyed the famous church of Hagia Sophia built by the emperor Justinian in 537. Justinian rebuilt the church in 562 and held an elaborate ceremony complete with a liturgy of rededication for the church. This ceremony and its liturgy eschewed the theology of divine chastisement and framed the quake as a temporary setback, an opportunity for Justinian to display his prowess over the destructive effects of nature by rebuilding the church to be more magnificent than before.
This chapter describes how medieval Constantinople ceased to commemorate new local earthquakes on its liturgical calendar and instead crafted new ways of responding liturgically to seismicity. First it discusses new liturgical hymnography added to the commemoration rite for the quake of October 26, 740, and the establishment of that day as an annual “earthquake day” on which worshippers could reflect on natural disaster in the abstract, even as the hymns presented an incoherent set of conflicting theologies of earthquakes. It then examines how earthquakes from the distant past became potent ideological symbols in this period. It concludes with an examination of a prayer from the late eighth century created for use whenever earthquakes struck, a form of liturgical response that came to replace the practice of commemorating new quakes.
Scholars generally assume that Procopius, the noted sixth century classicizing historian, was a misogynist who in his notorious Secret History belittled the impact Theodora and Antonina had on the Empire’s fortunes. In that work and his Wars, Procopius highlights the plight of women in the warfare of the reign of Justinian. How, then, are we to reconcile the seeming hatred of, for example, Antonina in the Secret History with the apparent empathy of the suffering inhabitants of Italy in the Wars? In this chapter the author explores the role of women in the military of the age of Justinian at both the top (amongst the officer class – Antonina) and the bottom (amongst the civilians and the rank-and-file) ends, through the gaze of Procopius, and in the process establish the female component of what is generally assumed to have been a wholly male space. Comparative evidence is abundant and includes such materials as the Code of Justinian; other sixth century texts such as those of Pseudo-Joshua the Stylite, Agathias, and Corippus; the papyri of Nessana (which detail the relationship between soldiers and civilians in late sixth century Israel/Palestine); and the material remains of Roman fortresses such as el-Lejjun.
Great changes have taken place in the approach of historians to the topic since the publication of East of Byzantium (1980). Instead of centre-periphery or top-down models they now see the relations between Byzantium and the east in terms of connectivity, networks and horizontal ties. This is connected with the spread of late antiquity as a concept and includes a great expansion in Syriac studies. Late antiquity now embraces the emergence of Islam and looks towards Eurasia; another challenge is posed by the rise of global history. But these developments, with the new focus on the fall of the western empire, raise major problems of identity for Byzantium itself, and indeed for western Europe.