著者
鍋谷 郁太郎
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.120, no.3, pp.358-385, 2011-03-20

During World War I, a phenomenon that diverged greatly from the framework of the 19〜<th> century "Pax Britannica" world, which has been termed by historian Ishii Norie as the "early contemporary syndrome," emerged in earnest among the European countries embroiled in total war. This phenomenon included such aspects as the advent of mass democracy, monopoly capitalism (or at least state economic control relative to the advancement of monopoly capitalism), and a social welfare system, anticipating 20th century state intervention in solving social issues. It was in Germany where this "syndrome" emerged most sharply, and also in Germany where Marxian theorists affiliated with the Social Democratic Party of Germany (SPD) attempted to study the "syndrome" most systematically and explore its historical significance. This article, which focuses on Paul Lensch, the architect of a conceptual system called "wartime socialism" that placed World War I in the positive context of a socialist world revolution, is an attempt to trace once again his ideological struggle with the "early contemporary syndrome" during the War. Although Lensch was known before the War as a leftist theorist rivaling the likes of Rosa Luxemburg, as the conflict progressed, he changed his stance and supported it. However, Lensch's turn-around proves to be not as simple as the "about-face to social exclusionism" described by Lenin. Rather, Lensch continued his efforts to discover the historical meaning of the War and clearly postulate the "end of the modern era" from the standpoint of socialism.
著者
小松 香織
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.98, no.9, pp.1512-1554, 1605-1604, 1989-09-20

In the arguments concerning the modern history of the Ottoman Empire and the rule of Sultan Abdulhamid II, the second decade of his reign has been often neglected. Although this period was uneventful, we can find there several factors which would be important to understand Abdulhamid's rule as a whole. In analyzing this period the author pays attention to "the Ertugrul Mission (1889-1890)". Relying upon the Turkish Naval Archives she amalyzes this event and concludes the following about the second decade of Abdulhamid II's reign : (1)Abdulhamid II confirmed his autocracy, and its influence on Ottoman governmental activity was important. (2)Abdulhamid's foreign policy changed. While the relationship with Great Britain got worse, Turkey took the first step to wards pro-Germany diplomacy. (3)Economic semi-colonization was inevitable. Under budgetary deficits, the realization of state activities became very difficult. (4)The weekness of state power and the lost of British cooperation invited the decline of the Ottoman Navy. And the inability of self-defence became one of the reasons why Turkey depended on Germany from that time on.
著者
足立 孝
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.110, no.1, pp.42-69, 2001-01-20

In eleventh century Aragon, the banquet called aliala used to be held by buyers at the confirmation of land sale charters.The author intends to reveal a form of social relationship between free peasants and great lords, by investigating the role of aliala and the personal organization of aliala participants who consisted of sellers, firmes and testes. It is unusual for the early medieval Iberian Peninsula that in Aragon two-thirds of land sale charters were written on the side of buyers, most of whom were monasteries or secular lords.From a diplomatic point of view, it is suggested that their scribes wrote such charters post facto in order to register acquired lands systematically, extracting the primary part of charters drawn up by sellers at the conclusion of contracts.Aliala was, indeed, confirmation that strengthened the judicial validity of charters, and its actual effects covered both of them.Aliala participants consisted of the inhabitants from villages connected with monasteries or secular lords, and the requirement to participate in aliala was conditioned neither by their juridical status nor socioeconomic position.Aliala that publicly secured judicial validity of charters was based upon personal relationships between lords and free peasant, while, their relationships were more and more strengthened by participation in aliala. This case is thought to be useful in reexamining the well-known paradigm of mutation de l'an mil, in which lords and free peasants are supposed not to have coexisted in the eleventh century.
著者
鴨野 洋一郎
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.122, no.2, pp.188-211, 2013-02-20

It was in the late fifteenth century that the city of Florence began trading with the Ottoman Empire on the basis of friendly diplomatic relations, mainly selling Florentine woolens and silks and buying Oriental goods. Medium-sized Florentine woolen makers played an important role in this trade. These companies took part in international commerce as "trading manufacturers", that is, both producing woolens then selling them in the Ottoman Empire, but on a more restricted scale than the largest companies had ever done. It became indispensable for the costs incurred in this trade to be stable and predictable in order that such companies could continue taking part in international trade. This paper focuses on the Guanti Wool Company already referred to by H. Hoshino. It sent Bartolomeo Guanti to Bursa as its agent in 1484 to initiate trade with the Ottoman Empire, selling garbo cloth and buying Persian raw silk. This company, which had sold more than a thousand bolts of cloth over more than ten years at Bursa, is one example of "trading manufacturers". The author of this paper has utilized Guanti, Co. ledgers and its agent's account book in researching the facts surrounding its Ottoman trade during the 1480's, mainly from the point of view of costs incurred, dividing them into three categories... 1) transportation costs of woolens, 2) costs incurred at Bursa and 3) import charges for Persian raw silk... and analyzing the ratios of each cost to sales figures. From this analysis it is evident that the ratios of costs incurred in the Ottoman trade were stable and their compositions almost predictable. The risks involved in trade, shipwrecks and theft, could be reduced by means of insurance and legal statutes. This characteristic feature of the Ottoman trade made the Guanti, Co. a medium-sized wool company acting in the role of a "trading manufacturer", as shown by concrete data of such activities of the company.
著者
伊藤 隆
出版者
山川出版社
雑誌
史学雑誌 (ISSN:00182478)
巻号頁・発行日
vol.73, no.6, pp.875-911, 1964-06
著者
鈴木 真
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.120, no.1, pp.1-35, 2011-01-20

This article takes up the issue of imperial succession during the Qing Dynasty's Kangxi Era (1662-1722), in an attempt to clarify 1) why the selection of the crown prince was executed by the reigning Emperor Kangxi according to the custom of earlier Chinese dynasties, rather than through the consensus of powerful leaders based on the Qing tradition and 2) why Eighth Prince Yin Si gained popularity within the court after the disinheritance of the crown prince, Second Prince Yin Reng. The discussion will hopefully better elucidate the power structure within the imperial court during this period. The author takes up a theme that has been largely ignored in the research to date; that is, an analysis of Prince An of the imperial family's Plain Blue Banner, which shows that Prince An 1) was one of the most powerful leaders of the Banner with leading clans serving under him, 2) enjoyed strong influence at court, which was made possible in part by the formation of marital ties with the Mongol royal family, the family of the grand empress dowager, and 3) also formed a marital relationship with the Heseri clan, the maternal clan of the crown prince, and, thus supported Yin Reng together with the vassals of the royal banner family for several decades. The alliance formed between Prince An and the Heseri clan may appear at a glance to have enabled selection of the crown prince as in the earlier Chinese dynasties ; however, in reality the act amounted to none other than installation based on the consensus of the era's powerful leaders. As the An-Heseri alliance weakened, however, the status of Crown Prince Yin Reng also wavered. The popularity won by the Eighth Prince Yin Si, whose mother was of low status, after the disinheritance of the crown prince stemmed from the marital relationship formed between Yin Si and Prince An. The "rejection" of the Manchurian custom of consensus in the selection of the crown prince during the Kangxi Era has been seen as a display of the kind of respect afforded to Emperor Kangxi and to the Chinese imperial institution. However, in actuality, there was no substantive change whatsoever from the practices adopted during the early years of the Qing Dynasty. That is to say, the crown prince of the Kangxi Era was supported by imperial authority, but also was selected through the support of the powerful banner princes and clans, like his Qing Dynasty predecessors. Their speculations and interests continued to exert strong influence on the successor to the emperor. The author concludes that the power structure of the early Qing Dynasty therefore essentially survived up to the end of the Kangxi Era.
著者
池田 勇太
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.118, no.6, pp.1144-1180, 2009-06-20

This article offers an hypothesis for analyzing the process by which the ideas held by civil affairs bureaucrat Kinoshita Sukeyuki (1825-1899) about local parliamentary government were formed during the early Meiji Period. In the reforms aimed at how to govern the new nation emerging during the Restoration era, Confucian ideas were employed in an attempt to make a transition to direct rule over the people via state power and authority. However, with the replacement of feudal domains (han 藩) with prefectures and the dismantling of the feudal ownership system, the old framework for civil governance collapsed, and an increase in personal freedom occurred within a mood of autonomy and liberty, to a degree beyond anyone's initial expectations. In light of such a new situation, there were those, including Confucian intellectuals, who called for the introduction of publicly elected local assemblies. It was Kinoshita Sukeyuki who offered a plan to reorganize the villages of Karatsu Domain after the transition to direct han civil governance, based on the edification of the common people and their employment in local affairs of governance. Kinoshita, who would later propose a village system incorporating a deliberative body, which he initially thought would exclude the lower classes from the electorate, was forced by widespread popular uprisings opposed to the Restoration government measures to propose that peasant representatives (hyakushodai 百姓代) be made assembly members and that the lower class villagers (komae 小前) be included, in order to eliminate the legitimacy of other rebel groups. He came to think that 1) prefectural and national assemblies should first be indirectly elected from city ward and village assemblies and 2) edification policy should be fitted to the level of social mores by raising public sentiment. In the background to this was the assumption of an unstable structure facilitating popular rebellion, due to the sudden disappearance of feudal ownership and the rapid expansion of individual freedom within the underdevelopment of a governance system to replace feudalism. For that reason it was necessary for early Meiji civil government to smooth relations between upper and lower classes, and Kinoshita thought the answer lay in publicly elected popular assemblies. In the face of such new conditions, Kinoshita himself went through a transition from a Confucian view of civil government paternally protecting the people to raising issues about how to empower a fully matured nation. This is the chaotic background on which issues about political participation by the people were formed during the early Meiji Period.
著者
神田 千里
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.90, no.11, pp.1654-1672, 1745-1744, 1981-11-20

Why was the cult of ikko (一向宗) regarded by the ruling classes of the Sengoku period as a dangerous one related to rebellions? The purpose of this note is to throw some light upon this problem, which, despite the enormous accumulation of research on the cult, has not yet been sufficiently thought out. As the material for the study, the outbreak of ikko-ikki in Kaga Province (加賀国) in 1474 was chosen. To begin with, one can point out the following two features about this uprising: 1)it was a religious insurrection led by the Honganji-monto (本願寺門徒), the followers of the temple Honganji, in the province of Kaga, and was carried out under the slogan to overthrow the enemies of Buddhism; 2)it produced Honganji-monto organizations, called gun (郡), that dominated counties throughout the province. These are the facts which convinced the author of necessity to consider the religious sentiments of the Honganji-monto of Kaga. Former studies have stated that the ikko cult was merely another name and therefore identical to jodoshinshu (浄土真宗), or the pure land sect, of which Honganji was the head temple. These studies also state that ikko cult adherents, with the exception of some so-called "heretics," were jodoshinshu, believers. However, from the fact that the thought and behavior of these very "heretics" were not only in accord with the outlook of the ikko cult current at the time but also identical to the thought and behavior of the rebels in Kaga, the author concludes that the ikko cult must be thought of as being different from the jodoshinshu sect, and that the Honganji-monto of Kaga professed themselves to be believers not in the latter sect, but in the former, which was truly a rebellious cult. So far as can be judged from available sources, ikko cult missionaries included lower class priests, pilgrim ascetics (山伏) and sorcerers (陰陽師), all of whom, despite their "heretical" acts, were considered by Rennyo (蓮如), the chief priest of Honganji, to be ideological disciples of Shinran (親鸞), who formulated the pure land thought.
著者
仲松 優子
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.121, no.12, pp.2001-2033, 2012-12-20

The purpose of this article is to consider the provincial governance of the French monarchy during the second half of the 18th century by analyzing the procedures of the circuit of the Parlement of Toulouse within its jurisdiction in the aftermath of the Revolte des Masques Armes at Languedoc in 1783. A lot of the former research on provincial administration in the eighteenth century argued that governance had been centralized around the monarchy via the appointments of royal agents (intendants) throughout the realm. However, there are recent studies that have reexamined the functions of these intendants, attracting interest to how the local powers took part in the monarchy's system of provincial governance. The present article focuses on the administrative roles of the Parlement, which is seen not only as representing the provinces, but also existing as a rival to the king. It attempts to analyze the way in which local powers, including the Parlement, supported the provincial rule exercised by the monarchy. Based on this analysis, the author shows that the Parlement's mission was by no means limited to solving the problems caused by the Revolte. It was of course expected by the monarchy and local powers to pacify the local order in the area influenced by the Revolte, but it was also expected to solve the everyday conflicts that arose among the inhabitants throughout its jurisdiction. Though much of the conventional research has emphasized a confrontational relationship between the Parlement and the monarchy, on the eve of the French Revolution of 1789, the Parlement contributed to the king's reign over the provinces by rebuilding the local order after the Revolte, and the king depended on the power and authority of the Parlement as the linchpin of provincial governance. That being said, it is also clear that the Parlement's administrative capabilities in eastern Languedoc, which was the center of the Revolte and far from Toulouse, definitely had their limits. The Circuit of Parlement developed by the power of Provincial Estats and its network of communities. Furthermore, the commandant en chef, who functioned as the king's agent and also as the intendant, not only intermediated between the king and the local powers, but also helped to connect the local powers with each other during it mission, thus making the governance of Languedoc by the monarchy more effective. In sum, we can identify a degree of collaboration between the king and the local powers in the area of provincial governance during the second half of the 18th century.
著者
後藤 はる美
出版者
公益財団法人史学会
雑誌
史學雜誌 (ISSN:00182478)
巻号頁・発行日
vol.121, no.10, pp.1685-1720, 2012-10-20

Catholicism, as "recusancy", became a crime prosecutable in the secular courts of early modern England after the introduction of the "recusant penal laws" during the 1580s. Recusancy, however, remained one of the least effectively prosecuted crimes throughout the seventeenth century. This was especially true in the north of England, remote from the centre and close to the northern border. The present case study concentrates on a lawsuit brought before the Star Chamber in London which was fought between groups of leading magistrates of the East Riding of Yorkshire. The case stemmed from a conflict that arouse among local justices over a much-disputed recusant prosecution at the quarter session at Pocklington (Yorkshire) in January 1615. The conflict flared up against a backdrop of heightened rivalries among leading Yorkshire gentry, which were reinforced by religious antagonism. The conflicting reactions of magisterial factions on recusant proceedings caused various interactions and subtle negotiations among the justices and between them and the grand jury, which played a crucial role in indicting recusants. The interplay among those involved, reconstructed from the interrogatories, depositions and witnesses, highlights several problems that existed in enforcing the recusant penal laws in the north of England. It also illuminates different stances adopted by individual justices and the grand jury and their influences at different points in the legal process. Furthermore, the allegations of litigants and their alleged conduct both testify to how they justified themselves at the two courts in question, one in the centre (the Star Chamber) and the other in the locality (the quarter session at Pocklington). By reconstructing process of recusant prosecution, the author describes the negotiations that took place among the conflicting justices and the grand jury, each of them acting according to the rules of law and locality. The two courts bacame strong magnetic fields to which were drawn intersecting polemics of Catholic/Protestant, old/new, and the justices/the grand jury dichotomies. It was a process in which people fought, achieved and maintained order in their locality, thus determining the practices regarding recusancy and its prosecution in the North. Furthermore, participation of individual subjects in this judicial process itself worked as an important opportunity for forging how order in the kingdom would be constituted.