A Spectacle in New Spain

The Sultan Hernán Cortés: The Double Staging of The Conquest of Jerusalem

by Nicole T. Hughes

In 1541, the Franciscan friar Motolinía sent to Spain an account of the Tlaxcalan people performing the religious drama The Conquest of Jerusalem in Tlaxcala, New Spain. Previous scholars have read his festival account to reflect only local political interests. In this essay Nicole Hughes argues that the account is a palimpsest, describing both the Tlaxcalans’ ambitious diplomatic strategy, expressed in their performance, and Motolinía’s own efforts to steer Castile’s policies in the Americas and the greater Mediterranean.

The essay begins:

The very idea of a “New World” conveys a sense of rupture. Yet the culture of sixteenth-century New Spain is rich in interwoven historical imaginaries. Hall-of-mirrors effects were particularly complex in theatrical spectacles based on Mediterranean battles that featured as characters Turks, Moors, and Catholic knights. It is often assumed that European actors always depicted Catholic forces destined for victory while all indigenous participants played Muslims doomed to defeat. This conforms to the false expectation that, after the conquest, there were only triumphant Europeans and defeated “Indians” in Mesoamerica.

Yet when the Tlaxcalans, the conquistadors’ most famous indigenous allies, performed the drama The Conquest of Jerusalem for the feast of Corpus Christi in 1539, they played many roles. These included Moors and Turks as well as soldiers from Italy and Germany, “Indians” from Peru and Santo Domingo, and the pope. More strikingly still, one of the play’s central characters was neither exclusively Muslim nor Christian, neither wholly defeated nor resoundingly victorious. This is because he is a double character. The Franciscan friar Toribio de Benavente, also known as Motolinía, introduces him as follows in his account of the feast: “[The Spanish army] marched in good order straight upon Jerusalem, and as the Sultan, the Marquis of the Valley, Don Hernando Cortés saw them come, he ordered his people to go out into battle.” Motolinía describes a figure that condenses Hernán Cortés, the Catholic conquistador who led the Siege of Tenochtitlan in 1521, and an Islamic sultan who defends and ultimately surrenders Jerusalem in the drama. The sultan’s paradoxical identity challenges the scholarly expectation of clean-cut opposition, not only between European and indigenous figures in the Americas, but also between figures of Muslims and Christians in the “Old World.”

This article reveals the full complexity of the “Sultan Hernán Cortés” by first focusing on the doubled audience of The Conquest of Jerusalem: the one in Tlaxcala, where this auto, or short religious drama, was performed, and the other in Spain, where Motolinía’s account of it would be delivered to his patron, who was tied to the Spanish court. The sultan himself, and the textual and historical complexities of his character, will reveal the stakes of Motolinía’s text within contemporary debates concerning royal policy in New Spain. Continue reading …

NICOLE T. HUGHES is Assistant Professor of Brazilian and Mexican Literature and Culture in the Department of Iberian and Latin American Cultures at Stanford University. She is completing a book manuscript entitled Stages of History: New Spain, Brazil, and the Theater of the World in the Sixteenth Century.

England and Scotland: A Metaphorology

On the Knees of the Body Politic

by Lorna Hutson

In this essay, Oxford’s Lorna Hutson analyzes the fullest theoretical elaboration of the doctrine of the King’s Two Bodies in the Elizabethan period, Edmund Plowden’s Treatise on the Succession (1567). It argues that Plowden here deploys the King’s Two Bodies not, as has been thought, as a legal proof against the foreign birth of Mary Queen of Scots, but as a way of embodying and sacralizing the disputed historical relations of England and Scotland. Plowden’s sacralizing metaphors of embodiment transform the highly contentious English claim of Scotland’s historic vassalage into the indisputable and timeless truth of political theology.

The essay begins:

Ten years ago, Representations ran a special forum on fifty years of The King’s Two Bodies, Ernst Kantorowicz’s vastly influential study of medieval political theology. The influence of Kantorowicz’s concept shows no signs of ebbing. It has become routine to cite titles that echo his—The Poem’s Two Bodies; The Law’s Two Bodies; The People’s Two Bodies—as well as to instance Michel Foucault and Giorgio Agamben as both influenced by and transformative of Kantorowicz’s conception. In this journal and in a subsequent book, Victoria Kahn has shown how Kantorowicz’s genealogy of sovereignty was identified by critics of liberal democracy as a key, if ambivalent, text of twentieth-century political theology, responding as it does both to Carl Schmitt’s theological modeling of the sovereign exception and to Ernst Cassirer’s critique of political myth. Readings of Kantorowicz have run the gamut of political-theological possibility among literary critics, political theorists, and constitutional historians. For some, the two-bodies theory proves an early modern belief in “rule by a sacral king,” while others look to the secular, constitutionalist way in which the doctrine renders the monarch “a creature of the law”; others still have shown how the regal corporation sole is just one among many incorporating forms, and may not even be the most important, if we look at the unparalleled political influence of corporations in modern Western capitalism.

In view of this conceptual range, it might seem reductive to propose that one of the doctrine’s fullest early modern articulations was aimed at Scotland. To propose, that is (as I wish to do) that it was designed to render Scotland’s territorial sovereignty unimaginable, by separating the “body natural” of Scotland’s ruling dynasty from its power to signify Scotland’s body politic or autonomy as a state. The habit of imagining an English insular exceptionalism in which Scotland is implied while simultaneously being excluded is common in analyses of the current crisis of the United Kingdom’s relation to Europe. Without positing a direct line of descent, I contend that such a habit was consciously fostered by the metaphors of English constitutional thought as it developed in the sixteenth century.

To give a current example: in 2016, the result of the British referendum on the question of whether or not to leave the European Union was manifestly split between a majority for “Leave” in England and an even more decisive majority for “Remain” within Scotland. In December 2019, this split was repeated, with a majority in England voting for Boris Johnson’s “Get Brexit Done” Conservative manifesto, while in Scotland the Scottish National Party, the party of Remain, won a resounding majority. Yet in analyzing Boris Johnson’s appeal “to the millions of Brits . . . for whom many of the Conservative party’s prejudices and presumptions are simply common sense,” Professor of Politics Tim Bale, at Queen Mary University of London, articulates the issue in a way that signals the legacy of centuries of what I wish to analyze in this paper. The “most fundamental” presumption that “Brits” share with Boris Johnson, Bale wrote,

is the idea that Britain is, can be, and should be, Great. . . . To call that belief a sense of manifest destiny would be an exaggeration. But it is a patriotic attachment to the idea (however illusory) of an island nation, albeit one with global interests and reach, that is fundamentally unique and, yes, better than many of its closest neighbours, especially those unfortunate enough not to speak English—or else to speak it with a Scottish or southern Irish accent. 

Bale’s is a skeptical diagnosis, but he nevertheless makes Scotland unthinkable. Scotland’s implicit (and essentially defining) inclusion in the terms “Brexit,” “millions of Brits,” and their attachment to an “island nation,” turns out to be illusory. Within a sentence, Scotland morphs from being part of “an island nation” into being the “closest neighbour” whose inferiority to and exclusion from insular exceptionalism is required to prove the British propriety of the latter. Bale by no means believes in the myth of British insularity, yet he fails to see how integral to it is a doublethink that has always rendered Scotland a nonplace: essential to the “Br” in “Brexit,” but in no real sense part of the English exceptionalism that demands to be “Great” or to be free of Europe.

It is the argument of this paper that Bale’s conceptual elision, part of the currency of everyday English thought, is the imaginative legacy of a conscious set of strategies shared by a number of genres of Elizabethan writing that were variously engaged in transforming the discourse of England’s claims to sovereignty over Scotland (till then grounded in Geoffrey of Monmouth’s legends of Brutus, Arthur, Leir, Kymbeline, and so on) into a pervasive metaphorics of English insular indigeneity. Some texts that contribute to this transformation are more obviously poetic or chorographic. Spenser’s Faerie Queene, for example, or William Harrison’s Description of the Iland of Britain, as well as William Camden’s Britannia and a range of tragedies that model their handling of “British” Galfridian material on Senecan tragedies of Thebes. Early modern legal fictions, though not to be conflated with epic poetry, drama, or chorography, also involve, as Victoria Kahn has shown, an element of poeisis or poetic making. Following Hans Blumenberg, Kahn calls Kantorowicz’s The King’s Two Bodies a “metaphorology.” In this paper, I want to engage in a metaphorology of the most elaborate theoretical account of the King’s Two Bodies in the Elizabethan period. It occurs in Edmund Plowden’s Treatise on the Succession, written in 1567 to support the Scottish Queen, Mary Stewart, in her claim to the English throne. In this treatise, the King’s Two Bodies is deployed not merely as a legal refutation of arguments against Mary’s right, as has been thought. Rather, its primary energies are what we would call literary or poetic. Subtly exploiting the somatic and sacred resonances of an established legal language of royal incorporation, the text works to transform a legendary and partisan English history of Scottish vassalage into an allegorical drama in which a Scottish body politic is bound to perpetual genuflection, its consequent lack of sovereign autonomy thereby rendered an immutable theological truth. The Treatise thus translates a historiographical dispute between nations into an English political theology of insular sovereignty that persists today in the “metaphors we live by,” the common currency of Brexit talk. Continue reading …

LORNA HUTSON is Merton Professor of English Literature at Oxford. Her books include Thomas Nashe in Context (Oxford, 1989), The Usurer’s Daughter (Routledge, 1994), The Invention of Suspicion (Oxford, 2007), and Circumstantial Shakespeare (Oxford, 2015). She edited the Oxford Handbook of Law and Literature, 1500–1700 (2017) and is now working on a book entitled England’s Insular Imagining.

Participatory Performance in Monastic Life

Performing (In)Attention: Ælfric, Ælfric Bata, and the Visitatio sepulchri

by Erica Weaver

The central regulatory document of the tenth-century English Benedictine Reform, Æthelwold of Winchester’s Regularis concordia, contains an important performance piece: the Visitatio sepulchri, which standard theater histories understand as an anomalous originary text that marks the reemergence of drama in the European Middle Ages. This article resituates it alongside the schoolroom colloquies of Æthelwold’s student Ælfric of Eynsham and his student and editor Ælfric Bata to argue that these texts together cultivated monastic self-possession by means of self-conscious performances of its absence. By staging (in)attention, they thereby modeled extended engagement in moments and spaces that could otherwise seem too quiet or empty to hold concentration for long, from the classroom to the sepulcher to the page, while also exposing the limits of “distraction” and “attention” as analytical terms.

The essay begins:

As a key component of the tenth-century correction movement that effectively created Benedictine monasticism, and in the process reshaped monastic life across Europe, Bishop Æthelwold of Winchester appointed a new kind of monastic figure for all of the familiae of England: that of the circa or roundsman, so called because the role required making rounds. First attested on the Continent in the eighth century and included in consuetudinaries (guides to the customs of particular monasteries) from across Francia and Lotharingia, the office had initially been conceived of as a means of policing sins of the tongue and ensuring silence, but it quickly became a deterrent to sexual misconduct and the temptations of sleep among other increasingly psychological threats to ascetic life. Æthelwold’s Regularis concordia (ca. 970), the central regulatory document that tailored the Rule of Saint Benedict for all English monks and nuns, sanctioned by King Edgar (r. 959–75) and ratified at the Synod of Winchester, dedicated one of its twelve chapters to the figure. Here, Æthelwold specifies that when the circa noticed aberrant behavior on his rounds, he silently swept by, but “in Chapter the next day” (in capitulo uenturi diei), he would publicly chastise wayward monks and nuns for their faults unless they immediately begged forgiveness “for some trifling offense” (pro leui qualibet culpa; 118.1381–82). The coercive surveillance was meant to feel absolute. As Ulrich of Zell (1029–93) enjoined a half-century after the office was introduced in England, “Let them patrol the whole monastery not just once but many times a day, so that there may be neither a place nor an hour in which any brother, if he should be up to anything, is able to be untroubled about being caught and shamed” (Totum claustrum non semel, sed multoties in die circumeant, ut nec locus sit nec hora in qua frater ullus securus esse possit, si tale quid commiserit, non deprehendi et non publicari).

Tenth-century reformers added a lantern to the circa’s arsenal, “so that in the night hours, when he ought to do so, he might position himself to look around” (qua nocturnis horis, quibus oportet hec agere, uidendo consideret; 119.1390–91). Thus equipped, the figure was meant to keep an especially close watch during matins, the long office occurring nightly between midnight and dawn, when he would patrol the ranks with his lantern in order to spotlight anyone who dozed instead of standing at attention. Æthelwold provides a vivid portrait:

And while the lections are being read at nocturns, during the third or fourth lection, just as it seems to be expedient, let him circulate through the choir; and, if he should discover a brother overwhelmed by sleep, he should place the lantern before him and go back [to his own spot]. That one, soon, with sleep shaken off, should beg pardon with bent knees and, with that same lantern snatched back up, let him circle around the choir himself; and if he should manage to find another compromised by the vice of sleep, he should do to him just as it was done to himself and go back to his own place. (119–20.1392–1401) 

As this passage beautifully epitomizes, the circa’s central function was thus to guard against lapses in self-possession. What at first seems like an effort to enforce attentive reading and prayer—by waking the monks sleeping through the lections—instead becomes an exercise in inculcating a broader kind of mental vigilance amid the early morning inducements of bodily lethargy. This explains why the disciplined monks are not watched for further signs of distraction as they continue to attend to the reading but are instead asked to take up the lantern themselves and patrol the choir. Discipline itself is at stake. And bodies in motion not only reanimate hands and knees, lips and eyes, but also rechoreograph the mental gymnastics of monks and nuns before their texts. Rather than regulating distraction and attention per se, or even cultivating the broader obedience Katherine O’Brien O’Keeffe has deftly located at the heart of the correction movement, the circa fosters a related, yet distinct, kind of monastic custody (custodia), or unceasing communal and personal supervision meant to cultivate habituated self-possession and discretion, especially in scenes of reading, learning, and performing the liturgy.

Although his public proclamations and nightly rounds might seem to take this to an unnecessarily theatrical extreme, the Concordia and related schoolroom texts from Æthelwold’s circle—namely, the Colloquy by Æthelwold’s prolific student Ælfric, who is now responsible for roughly one-sixth of surviving Old English literature, and the Colloquies by Ælfric’s own student and editor, Ælfric Bata—can thus help us to recover some of the complexities obscured by “attention” and “distraction” as analytical terms with a growing hold on literary studies. Indeed, as Caleb Smith observes, “To call our work reading is to cast it as a discipline of attention”—a framing that, he argues, is particularly prevalent in postcritical methods, which are calibrated “not only against distraction but also, especially, against malign forms of hypervigilance like paranoia and suspicion.” “Passive” textual attention thus becomes an ethical goal, which frees the would-be critic from any charges of violence. But attention and related modalities are neither passive nor impersonal.

Moreover, although distraction and numbness are now too often and easily diagnosed as decidedly modern maladies—particularly as theorized by Walter Benjamin, Georg Simmel, Jonathan Crary, and Paul North—concerned tenth-century schoolmasters were well aware of the temptations of diversions and digressions both in the classroom and beyond it. (After all, digression was a fundamental feature of Old English poems like Beowulf, and monastic thinkers had long grappled with the dangers of distraction.) Somewhat paradoxically, however, even as they worked to develop pointed pedagogic strategies to counter these threats, their texts inculcated self-possession and related self-regulatory goals like continentia (self-restraint) by literally spotlighting its opposite—the dispersal or disintegration of the self—with an impressive flair for the dramatic possibilities of dozing monks and darkened choirs. Confronted with slackened self-regard as an incessant threat to devotional life, monastic writers thus reflected on the problem by composing sometimes-sensational scripts of distraction and mischief, which their students were then required to memorize and perform, much as Bata, Irina Dumitrescu has noted, strategically incorporates violence into his grammar lessons in order to cultivate proper behavior by contrast. They thereby strove to cultivate classroom and liturgical spaces in which students were “distracted from distraction by distraction,” or, at least, by means of scripted lapses in monastic custody, on the side of both the teachers and the students.

In short, the Colloquies and the Concordia together cultivated mental discipline by means of self-conscious performances of its absence. They thus developed a broader model of self-regulation, which sometimes falls between the axes of attention and distraction but is distinct from both. And in the process, they developed a culture of participatory performance, in which the apprehension of knowledge was dramatized and worked through collectively and in which a kind of community theater made legible cognitive activities and self-fashioning processes that are otherwise difficult to conceptualize. As a result, their schoolroom practices are intimately bound up with broader concerns about how to foster self-possession—or, with how to keep the mind and the body focused on things that elude them, whether in the form of a new and difficult language, an intractable text, or even of the disappearance of Christ at the heart of the Easter celebration and, by extension, monastic life.

It is thus no accident that Æthelwold’s Concordia also contains another vivid portrait of a performance at matins: the Visitatio sepulchri, or “Visit to the Tomb,” in which monks and nuns reenacted the scene of the “three Marys”—the Virgin Mary; Mary Magdalene; and Mary, the sister of Lazarus—coming to Christ’s tomb and being informed of his resurrection. Indeed, this scene would also have taken place as dawn was breaking, when the circa and others would busily scan the ranks for wandering minds, and it shares close affinities with pedagogical texts like Ælfric’s and Ælfric Bata’s. Continue reading …

ERICA WEAVER is Assistant Professor of English at the University of California, Los Angeles, where she is currently working on a book about the role of distraction in the development of early medieval literature and literary theory, particularly during the tenth-century monastic “correction” movement traditionally known as the English Benedictine Reform. She is also co-editor, with A. Joseph McMullen, of The Legacy of Boethius in Medieval England: The Consolation and Its Afterlives (Arizona Center for Medieval and Renaissance Studies, 2018) and, with Daniel C. Remein, of Dating Beowulf: Studies in Intimacy (Manchester University Press, 2020).

Manuscript image above: London, British Library, Cotton MS Tiberius A III: Æthelwold, Edgar, and Dunstan bound by text

Sensuous Knowledge

Marx, Silk Poems, and the Pretext of Qualities

by Kathryn Crim

Karl Marx’s comments on silk manufacture in “The Working Day” chapter of Capital, volume 1, demonstrate how “quality”—usually associated with “use value”—has been mobilized by capital to naturalize industrialized labor. Putting his insight into conversation with a recent multimedia poetic project, Jen Bervin’s Silk Poems (2016–17), Kathryn Crim examines the homology between, on the one hand, poetry’s avowed task of fitting form to content and, on the other, the ideology of labor that fits specific bodies to certain materials and tasks.

The essay begins:

In “The Working Day” chapter of Capital, volume 1, where the historical detail vigorously textures Karl Marx’s argument, our attention is gradually drawn to a presumptively natural fit between workers and materials. In response to Britain’s Factory Acts, he writes, silk manufacturers complained that, if forced to reduce the working day to less than ten hours, “it would be impossible for them to buy a sufficient number of children over 13.” The exposure of this “deliberate lie,” writes Marx, quoting from the Reports of the Inspectors of Factories (1844–46), does very little to stop the manufacturers

throughout the subsequent decade, from spinning silk for 10 hours a day out of the blood of little children who had to be put on stools to perform their work. The Act of 1844 certainly “robbed” the silk manufacturers of the “liberty” of employing children under 11 for longer than 6 ½ hours each day. But as against this, it secured them the privilege of working children between 11 and 13 for 10 hours a day, and annulling in their case the education which had been made compulsory for all other factory children. This time the pretext was “the delicate texture of the fabric in which they were employed, requiring a lightness of touch, only to be acquired by their early introduction to these factories.” (406)

In his characteristic way of reading for telling turns of phrase, Marx gives us the “voice of Capital,” complaining that its rights of liberty and property have been injured by the regulations. The real physical and intellectual injury done to children, then, is not so much ignored as readily explained by the pretext offered next. A “pretext” (Marx’s German der Vorwand suggests a pretense, excuse, or smokescreen) conceals one’s real purpose; but it can be distinguished from a lie in its power to maintain a literal truth. Here, an observation about similarity slips into an argument for compatibility: the fingers and fabric are fitted together to produce a natural fact about production, that the luxury cloth “requires” a lightness of touch. As readers of Capital have often pointed out, the progressive rationalization of large-scale industry not only repressed qualitative distinctions between different kinds of labor but also eliminated qualitative variations between workers, who were progressively forced to conform their bodies to the machines. Yet Marx’s comments on silk work demonstrate one crucial way in which “quality,” fragmented and abstracted from the body, is mobilized by capital to naturalize industrialized labor.

In line with a tendency to synonymize the alienation of labor and the abstraction of exchange value from use value—in which fungible quantity is substituted for singular quality—we often assign political and aesthetic value to the concrete detail, to those marks that bring the body and the phenomenological experience of work back into view from behind the “screen” of quantitative calculation. Indeed, this revelation and re-visioning of human processes of making would seem to be one of the critical functions of art and literature. From the eighteenth-century picturesque to twenty-first century materialist poetics, an aesthetic emphasis on texture, in particular, has foregrounded the human hand in and across materials. But placing such an emphasis does not in itself constitute a critical gesture. Just as scholars of the pastoral mode have argued that representations of the laboring poor risk naturalizing structural inequality, an aesthetics of material qualities risks cultivating a palliative attitude toward the real exploitation of workers. One of my central aims in this essay is to explore how “quality” can subtend capitalist logics and to show how this history offers a lens on the critical possibilities, and limitations, of aesthetic practice. In what follows, I put Marx’s references to silk and silkworms in volume 1 of Capital in conversation with the recent poetic project Silk Poems by American artist and writer Jen Bervin. Read alongside each other, Marx and Bervin illuminate the homology between, on the one hand, the ideology of labor that naturalizes the relationship between bodies and materials and, on the other, poetry’s avowed task of fitting form to content. While Silk Poems ultimately remains entangled in the pretext of qualities that capitalist production has itself deployed, the challenge the project poses to easy forms of lyric identification, as well as to the pace and situation of literary reading, offers a critical opportunity to pursue Marx’s insight into capital’s capacity to produce and exploit sensuous knowledge.

In 2010, Bervin visited the Tufts University Biomedical Engineering Department, where she met with researchers developing a biosensor made of reverse-engineered liquified silk that, once implanted in the body, can help track “medically interesting molecules” such as hemoglobin or tumor markers. It was the potential to turn the sensor into a surface for writing that intrigued Bervin. “Due to its optical nature,” she explains, “[the silk film] can be read as a projection with fiber optic light. . . . I thought, if it is possible to write in that context—inside the body, on silk, at that scale, I wanted to think further about what else might be inscribed there.” This thinking set off a six-year long international collaborative study that took Bervin to “more than thirty international textile archives, medical libraries, nanotechnology and biomedical labs, and sericulture sites in North America, Europe, the Middle East and Asia.” Following this intercontinental journey, Bervin wrote a poem in the voice of a silkworm that draws on the worm’s five-thousand-year history of interacting with human culture, from ancient China to the Tufts Silklab. Back at Tufts, Bervin worked with David Kaplan and Fiorenzo Omenetto, along with Bradley Napier, to fabricate the poem on a silk film: The scientists “used a mask to etch the poem in gold spatter on a wafer and poured liquid silk over it. When the silk dried, the letters were suspended in the film” (173). Each line was limited to the six letters of the gene sequence, too small to be read without the help of the microscope. The pattern of the poem on the film, meanwhile, mimics the path of a silk thread made by the worm producing its cocoon. First exhibited in 2016, the Silk Poems project consists in three parts that extend poetic practice beyond the linguistic realm: the nano-imprinted poem in gold spatter on the silk film, a ten-minute video by Charlotte Lagarde documenting the research journey, and a small book, available to general audiences, published by Nightboat Books. The silk film (under a microscope) and the video were featured in Mass MoCA’s 2017 group exhibition Explode Every Day and have since been on display elsewhere in the United States and Hong Kong, along with further iterations of the project including, most recently, an artist book entitled 7S, or Seven Silks. These multiple multimedia editions testify to the open-endedness of Bervin’s initial premise: to conceive of a poem that traces and reiterates the material manifestations of silk itself. Continue reading …

KATHRYN CRIM is a doctoral candidate in Comparative Literature at University of California, Berkeley. She is completing a dissertation entitled Fit and Counterfeit: The Emergence of a Documentary Aesthetic. 

Biological Metaphor

Skeletal Classicism: Zoological Osteology and Art-Historical Method in Early Twentieth-Century France

by Todd P. Olson

In this essay Todd Olson follows an art-historical method, from a formalist analysis of French Classicism derived from the natural sciences to the nineteenth-century biological discourse that identified hidden analogies rather than visual similarities among different specimens, whether they were animals or paintings. Olson shows how an ambivalence to the use of biological metaphors in North American art history may be traced back to this theoretical genealogy.

The essay begins:

A constellation of numerals is superimposed on Nicolas Poussin’s L’Inspiration du poète. The numbers 35, 20, 26, 12, 23, 34, 22, 36, 59, 60, 62, 33, 9, and 3 are scattered across the surface of the canvas. The numbers may indicate a caption, or, more likely, since the numbers range from 3 to at least 62, they refer to an index. One may also infer that the numbers correspond to motifs in an attempt to provide an iconographic catalog. Yet, the repetition of 20, 23, and 59 reveals a lack of correspondence between number and depicted object. Although 23 refers to the flesh of two putti, 20 marks both rock and tree trunk; 59 indexes two patches of sky.

The transparent paper overlay with the numeric system on the photographic reproduction is one of several in Otto Grautoff’s Nicolas Poussin (1914), a major catalog of the French seventeenth-century painter’s oeuvre. Paintings were numerically compared to one another. Poussin’s L’Inspiration du poète was linked to Les Bergers d’Arcadie: the shoulder of the woman among shepherds and the garland-bearing putto’s skin, the tomb and the patch of rock. The cloth falling over the knee of Apollo and a bacchante’s drapery in the London Triumph of Pan share the number 36; aside from “36,” L’Inspiration du poète and a bacchanal have nothing in common.

The clue to the pattern of numbers cross-referencing the fields in individual paintings with other pictures by Poussin is offered by a chart (Farbentafel) in the back of the book, where sixty-two brushstrokes of oil paint were applied to sixty-two printed rectangles. Grautoff made it possible to analyze Poussin’s palette through systematic chromatic separation, numerical hue assignment, and graphic indexing.

Grautoff and his publishers were caught between the age of engraving and the era of color photography. In the first years of photographic reproduction, black-and-white prints may have sufficed for the analysis of iconography. Ten years after the publication of Grautoff’s book, Aby Warburg famously began creating a photographic archive to display the iconographic specimens in his Mnemosyne Atlas. Warburg traced motifs through time and across geographies, such as the Mithraic mystery cult’s “world-spanning range and force” from the Roman Empire to the Hopi kiva. By contrast, Grautoff’s numbers attend to the formal characteristics of a single painter. Nevertheless, the color analysis of Poussin’s paintings registered the patterns of a complex system. Things, regardless of their shape or function, were sorted out and made commensurate under another differential visual order. The painter’s palette entered a chromatic archive.

Grautoff provided the basis for scientific analysis without regard for iconography. The numerical register of colors reminds us of the diagrams used by the anthropologist John Layard in the 1930s to analyze the impersonal cultural patterns shared by Malakulan dance and graphic art. It would appear that by 1914 a similar rigorous formalism was already in place, which Grautoff was able use to organize the dispersed easel paintings of the seventeenth-century artist into a coherent oeuvre in the absence of documented provenance.

The study of the systematic distribution of color lent itself to the kinds of formal analysis found in the German art-historical tradition of Jacob Burckhardt and Heinrich Wölfflin. In Walter Friedländer’s contemporary folio edition Nicolas Poussin (1914) we find the most explicit association of Poussin with Classicism. Following his teacher Wölfflin, Friendländer established an opposition between the Classical and the Baroque in his analysis of Poussin’s painting. For Grautoff and Friedländer, culture is an impersonal operation.

The author was dead, yet, “Poussin” was hard to kill. Much of the appreciation of the artist in France followed from Honoré de Balzac’s short story Le Chef d’oeuvre inconnu, in which the character of the young Poussin sacrifices his lover, Gillette, in the service of art as Frenhofer’s model. The artist would continue throughout the nineteenth century to be the central organizing principle of the discipline of art history in France. Émile Magne’s Nicolas Poussin, for example, was published in the same year as Grautoff’s and Friedländer’s books. Magne drew on the recent publication of La Correspondance de Nicolas Poussin, edited by Ch. Jouanny, to construct a work of biographical criticism, which complemented his other major work on seventeenth-century French literature, Scarron et son milieu (1905). In this work, Magne sets the classical Poussin as a foil to Paul Scarron, the author of the burlesque Virgile travesti. Many have rushed to Poussin’s correspondence to underscore this opposition: “My nature compels me to seek and love things that are well ordered, fleeing confusion, which is as contrary and inimical to me as is day to the deepest night.”

Based on a reading of the major German publications of 1914, it would appear that Poussin was securely associated with the discourse of Classicism and a formalist account in art history. While Grautoff’s numerical system may now seem anachronistic, his formalist project premised on the dissociation of color from iconography would have a lasting effect. Similarly, Friedländer’s formalist approach to the problem of Classicism was influential in twentieth-century art-historical scholarship in the English language. Wölfflin’s binary of the Classical and the Baroque would hold sway over the association of Poussin with Klassizismus.. By contrast, Magne’s approach to archival research resonated with the study of l’art classique in France, but it did not offer a rigorous theoretical foundation for that scientific project. It would seem that the identification of Classical art with Poussin’s painting was deeply rooted in a formalist approach that based its model of transformation on German rather than French philosophical traditions.

Yet, if we look to the French publications surrounding the acquisition of L’Inspiration du poète by the Musée du Louvre in 1911, a different theoretical lineage of Poussin’s Classicism emerges. While Magne’s archival and biographical approach continued to have a lasting impact on scholarship in France, an important latent French formalist discourse independent of the German tradition was in an early stage of development. In the prewar period, French literary modernism and the natural sciences were aligned, offering a formalist discourse for the criticism of painting that was paradoxically ambivalent toward vision. Form was hidden. Continue reading …

TODD P. OLSON is Professor of Early Modern Art in the Department of History of Art at the University of California, Berkeley, and a member of the editorial board of Representations.. He is author of Poussin and France: Painting, Humanism and the Politics of Style (2002) and Caravaggio’s Pitiful Relics (2014). His current book project is Jusepe de Ribera (1591–1652): Skin, Repetition, and Painting in Viceregal Naples.

Natural Histories of Form

Natural Histories of Form: Charles Darwin’s Aesthetic Science

by Ian Duncan

Arguing that aesthetic preference generates the historical forms of human racial and gender difference inThe Descent of Man, Charles Darwin offers an alternative account of aesthetic autonomy to the Kantian or idealist account. Darwin understands the aesthetic sense to be constitutive of scientific knowledge insofar as scientific knowledge entails the natural historian’s fine discrimination of formal differences and their dynamic interrelations within a unified system. Natural selection itself works this way, Darwin argues inThe Origin of Species; in The Descent of Man he makes the case for the natural basis of the aesthetic while relativizing particular aesthetic judgments. Libidinally charged—in Kantian phrase, “interested”—the aesthetic sense nevertheless comes historically adrift from its functional origin in rites of courtship.

The essay begins:

In The Descent of Man, and Selection in Relation to Sex (1871), Charles Darwin sought to write the definitive version of an experimental genre of philosophical anthropology, the “natural history of man,” pioneered—and disputed—in the late Enlightenment by the Comte de Buffon, Jean-Jacques Rousseau, Adam Smith, Adam Ferguson, Johann Gottfried Herder, Immanuel Kant, and other major thinkers as the realization of a universal science of man. With the delivery of human species being to secular history and geography, the old question of human exceptionalism had come to bear with a new urgency on the point at which, and means by which, the human emerges from animal life and comes into its own. Friedrich Schiller’s treatise On the Aesthetic Education of Man (Über die ästhetische Erziehung des Menschen, 1795) forged a crucial link between this philosophical anthropology and divergent traditions, scientific and humanist, of nineteenth-century aesthetic inquiry. Where the history of man splintered among competing disciplinary claims on scientific authority, Schiller’s reframing of its main question, human becoming, as a project of individual development—an education—established a program for the modern humanities or liberal arts. The humanist legacy of the Aesthetic Education is well studied. Less so is its anticipation of Darwin’s key idea, that the aesthetic sense is the medium of a specifically human evolution, in The Descent of Man. More is at stake in the comparison between Schiller’s and Darwin’s conjectural histories of human emergence than an accounting of possible influence. Scrutiny of their common concerns and differences illuminates the originality of Darwin’s own contribution—still insufficiently appreciated—to nineteenth-century aesthetic theory.

On the Aesthetic Education of Man posits an instinct or faculty Schiller calls the “play-drive” (Spieltrieb), which affords the full realization of human nature through the aesthetic apprehension of form. The last letters of the Aesthetic Education sketch a conjectural natural history of this coming-into-humanity. The play-drive originates in animal life, in the body, in the “sheer plenitude of vitality, when superabundance of life is its own incentive to action.” Overflowing physiological function, the life force manifests itself as play. In the case of humans, it springs beyond the determinations of biology (need) and anthropology (custom):

Not content with introducing aesthetic superfluity into objects of necessity, the play-drive as it becomes ever freer finally tears itself away from the fetters of utility altogether, and beauty in and for itself alone begins to be an object of his striving. Man adorns himself. Disinterested and undirected pleasure is now numbered among the necessities of existence, and what is in fact unnecessary soon becomes the best part of his delight. (211) 

Torn from the fetters of utility, beauty in and for itself alone: Schiller’s conjectural history yields the dominant conception of the aesthetic in nineteenth-century writing—a crux, as we shall see, in recent accounts of sexual selection, the agency Darwin identified as shaping human evolution, by historians and philosophers of science.

Commentary on the Aesthetic Education of Man has downplayed Schiller’s late turn to natural history, in which the aesthetic apprehension of form marks the transition from the animal to the human state. Discussions of the work’s Victorian legacy tend to prioritize one of the terms of Schiller’s title over the other, the aesthetic or education. The aesthetic education provides a disciplinary program for what Herder called a Bildung der Humanität, a “formation of humanity” or evolutionary perfection of human species being, in his most ambitious of late-Enlightenment philosophical anthropologies, Ideen zur Philosophie der Geschichte der Menschheit (Ideas for a philosophy of the history of mankind). Pedagogical projects to foster and direct “the general harmonious expansion of those gifts of thought and feeling which make the peculiar dignity, wealth, and happiness of human nature” in the individual person—constituting “our humanity proper, as distinguished from our animality”—supply the precondition for projects of social and political reform in the best-known Victorian version of the aesthetic education, Matthew Arnold’s. In Culture and Anarchy Arnold pays tribute to Schiller’s legacy in the educational system bequeathed to the Prussian state by Wilhelm von Humboldt. Later Victorian affirmations of the aesthetic reacted against its conscription into didactic programs and regulative systems. Schiller’s Twenty-Second Letter became a “locus classicus for Victorian aesthetes,” according to Angela Leighton, as they sought to repatriate aesthetic experience to individual sensuous life. “In a truly successful work of art, the content should effect nothing, the form everything,” Schiller wrote, defining “the real secret of the master in any art: that he can make his form consume his material” (155–57). The Oxford editors of the Aesthetic Education note that the biological metaphor implicit in Schiller’s word vertilgen, “consume,” that is, digest, metabolize, disappears in Victorian reformulations, which “make it sound as though Schiller wants to empty art of subject-matter if not of content” (267; clxxvi). “To make form obliterate, or annihilate, the matter will be the difficult, sometimes guilty, sometimes provocative, aim of Schiller’s aestheticist followers,” Leighton comments, citing Walter Pater and Oscar Wilde.

The triumph of form over content or material in order to constitute it as the proper object of aesthetic attention points behind Schiller to Kant’s Critique of the Power of Judgment, which prescribes form’s purification from contingent sensuous interest. More decisively than Schiller, Kant wrested the aesthetic away from its earlier modern meaning of “sensitive cognition” or “sensuous knowledge” (Alexander Baumgarten’s term), by positing sensuous intuition (the imagination) and cognition (the understanding) as distinct faculties, to prescribe the alignment of subjective perception with universal norms of judgment. German idealism broke with a largely British empiricist tradition of scientific aesthetics, developed in eighteenth-century medico-physiological treatises, which grounded aesthetic effects in sensation and the body—in William Hogarth and in Edmund Burke, the sexed and gendered body. The empiricist tradition, with its conception of aesthetic form as “a concordance between the human mind or body and the order of nature,” continued however to flourish in nineteenth-century Britain. Scholarship “has continued to under-estimate the importance of physiological and evolutionary aesthetics in shaping discussions of art and beauty in the 1870s and 1880s,” writes Jonathan Smith, citing John Ruskin’s late work Proserpina. Benjamin Morgan recovers the links between canonical writers on aesthetics, including Ruskin and Pater, and Victorian scientific materialists, whose “aspiration to uncover a formal patterning in nature eventually extended to an interest in a physiological patterning of the body and the nervous system, whose attunement or non-attunement to nature’s forms provided one explanation for the experience of beauty or ugliness.” Continue reading …

IAN DUNCAN is Florence Green Bixby Professor of English at the University of California, Berkeley, and a member of the editorial board of Representations. His books include Modern Romance and Transformations of the Novel (Cambridge, 1992); Scott’s Shadow: The Novel in Romantic Edinburgh (Princeton, 2007); and, most recently, Human Forms: The Novel in the Age of Evolution (Princeton, 2019).

Radio Communism

“A Good Communist Style”:

Sounding Like a Communist in Twentieth-Century China

by M. Paulina Hartono

In this essay Paulina Hartono focuses on the history and politicization of radio announcers’ vocal delivery in China during the mid-twentieth century. She explores how Chinese Communist Party leaders used internal party debates, national policies, and broadcasting training to construct an ideal Communist voice whose qualities would ostensibly communicate party loyalty and serve as a sonic representation of political authority.

The essay begins:

Shortly after the Communists took power in China, three of the most famous radio broadcasters in their respective countries met together to discuss their experiences: Yuri Levitan and Olga Vysotska of the Soviet Union and Qi Yue of the People’s Republic of China (PRC). Vysotska stated that the duty of their profession was “to find the shortest route to the people’s hearts.”[i] The idea that one ought to use one’s voice to move people was not lost on Qi. Radio broadcasters played a major role in the nation-state, both as the literal mouthpieces of the party and as transmitters of a carefully crafted sound. In an environment where political campaigns were pushed into a visual landscape of posters, banners, illustrated leaflets, and the like, an auditory world of early-PRC socialist political culture was taking shape. Radio broadcasters’ pronouncements were significant not only for their discourse—what they said—but also for their representation—how they sounded.

This essay examines the construction of a particular way of speaking in the People’s Republic of China by studying its most notable mouthpieces—its broadcasters. Directed to make their announcements “accurate, fresh, and lively,” these radio broadcasters were encouraged to be engaging to listen to, and, given the very audible platform they occupied, they also became national models of how to speak. Compared to the number of visual studies of Cold War China, sound studies are relatively few and focus mainly on the 1960s and 1970s. By contrast, this essay looks at China during the 1940s and 1950s during the early Mao period. Unlike the radio voice of the British Broadcasting Corporation (BBC), the voice of the PRC was less an index of class or education than a symbol of political belief. These particular and constructed vocal qualities were formalized and reinforced by radio announcers and propaganda officials following major national events, including war, national linguistic reform, and targeted political campaigns.

One of the difficulties of studying aural cultural production is synesthetic, as it is a slippery task to describe sonic qualities in discursive forms. Mladen Dolar once called voice the “remainder which cannot be made a signifier or disappear in meaning; the remainder that doesn’t make sense, a leftover, a cast-off . . . of the signifier.” Recent developments in the emerging field of voice studies reveal a rich and diverse range of research methodologies, including voice as a physical phenomenon (for example, laryngeal dynamics), as a sensory perception (cognitive processing of sound), and as a mediation through technology (such as the Auto-Tune processor). Moreover, as a political act, voice can map and reproduce an intricate system of coded power relations between speaker and listener, including those evident in class conflict, race relations, and gendered politics. As Miyako Inoue has argued in her deconstruction of Japanese women’s language, when culturally accepted notions of vocal qualities are ascribed to groups and not denaturalized, they can project static traditions and archetypes where dynamic cultural and political forces are actually present.

From the earliest years of the People’s Republic of China, officials saw radio as a tool for political and ideological education. The sounds of broadcasters’ voices were themselves exercises in a political education. They projected an imagined voice of the nation by using the national standardized accent and a sonic affect to project affinity with ordinary citizens, or “the People,” vaunted in Chinese Communist Party (CCP) culture and propaganda. Warmth, strength, and confidence were qualia that were closely associated with the voice and what it signified. Ultimately, and especially during the Anti-Rightist Campaign, radio announcers’ vocal qualities became synecdochal with their political personhood, purporting to reveal their own internal thoughts and feelings. Announcers needed to deploy the right pronunciation, energy, and emotion in order to express the full embodiment of the true believer in delivering radio content. In the eyes of propaganda department officials, failure to communicate properly could reveal a lack of commitment to the party.

Beyond China, the vocal styles in Soviet bloc radio seem to have shared a “socialist soundscape”: in the USSR, radio broadcasting grew out of a tradition that held the accent of the Moscow proletariat as its standard; even recently, in North Korea, the famed newscaster Ri Chun-hee has become well known for her emotionally charged broadcasts. Whether in China or elsewhere in the bloc, radio announcers were supposed to represent the voices of socialist-realist heroes, demonstrating that language ideology could convey more than discourse, grammar, and content. Continue reading …

M. PAULINA HARTONO is a scholar of Chinese science and technology, history, and media cultures and a doctoral candidate in history at the University of California, Berkeley. Her research examines the history of radio broadcasting and reception in twentieth-century China.

The Birth of Italian TV

From Radio to Radio-visione: Italian Radio’s Television Experiments, 1939–1940

by Danielle Simon

In this study, Danielle Simon investigates a series of experimental television broadcasts undertaken by Italian Fascism’s national broadcasting entity, the Ente Italiano per le Audizioni Radiofoniche, in the years leading up to the Second World War. She explores both the official autarchical policies and the technological limitations that shaped the radio network’s early experiments with television to show that producers’ attitudes regarding medium specificity shaped decisions about programming and musical content. She goes on to suggest that these early sorties into televisual broadcasting left traces that can be seen in the style and political clout of Italian television even today.

The essay begins:

On 22 July 1939, viewers crowded into the television viewing room of the Villaggio Balneare (“bathing village”) set up in Rome’s Circus Maximus, sponsored by the television companies SAFAR and Fernseh. Six television sets, described by one Roman newspaper as somewhere between a mirror and a large radio, lined one wall. Spectators stood shoulder to shoulder in the packed hall, craning their necks to glimpse the images on these screens, each of which measured less than half the size of today’s 42-inch televisions. From the inset speakers rang the lilting tones and rollicking antics of Italian radio’s most popular musical performers and comedians. The crowd gasped, laughed, and applauded as the stars whose voices had graced their homes for more than a decade appeared to them for the first time on the small screen.

The images that so entranced the audience, and the devices that captured them, were the result of more than a decade of effort on the part of the Ente Italiano per le Audizioni Radiofoniche (EIAR), the radio broadcasting arm of the Fascist regime. EIAR had maintained exclusive control over Italian airwaves since its creation in 1927. Initially, EIAR’s subscriber list numbered around forty thousand, but that number jumped to more than one million by the end of the 1930s as the network worked to reach new listeners, particularly those located in rural areas, who were deemed especially valuable by the Fascist government. But even as Italian radio extended its reach and expanded its audiences, pressure came from the regime and from listeners to unite sound and image in the form of broadcast television. As early as 1929—only five years after the first Italian radio broadcast—engineers Alessandro Banfi and Sergio Bertolotti conducted experiments in transmitting images over radio waves from EIAR studios. A decade later, these experiments in “radio-vision” would lead to the events just described—the first transmission of images over radio waves, visible to the public from a viewing room.

More than simply another way to entertain EIAR’s growing population of subscribers, these experimental broadcasts served as evidence of Italian Fascism’s standing on the world stage. The Magneti Marelli equipment used for the transmissions, developed in consultation with engineers from the Radio Corporation of America (RCA), was regularly cited as proof of Italy’s rapid technological development, and thus of the nation’s hard-won progress. EIAR lauded the political value of the television experiments in the pages of its weekly magazine, Radiocorriere, boasting that the television broadcasts were “the greatest, most curious attraction” within the exhibition, and a manifestation of “Fascist spirit.” By10 August, the Roman newspaper Il Messaggero reported that the Villaggio Balneare had seen at least twelve thousand visitors, nearly all of whom had visited the viewing room to marvel at the new technology. The spectacle demonstrated television’s ability to showcase “the most beautiful and vigorous images of the Italian race and art” and catapulted Italian technologies into the global marketplace.

What follows is a history of disappointment. Despite the network’s lofty ambitions, EIAR’s television experiments were short lived, discontinued less than two years after they began. Italian networks would not attempt television transmission again until a decade later. Yet the broadcasts revealed a politics of spectacle that placed images, seeing, and being seen at the center of modern political life. Events like EIAR’s television experiments reveal a much tighter linkage among culture, technology, commerce, and politics than is typically attributed to Fascist cultural policy or practice. In this article, I will explore the official policies, technological limitations, aesthetic premises, and programming decisions that shaped the radio network’s early experiments with television, ultimately suggesting that these early sorties into televisual broadcasting left traces that continue to shape the style and political clout of Italian television. Continue reading …

DANIELLE SIMON is a postdoctoral fellow at the Dartmouth Society of Fellows. She is a former fellow of the American Academy in Rome (2016–2017) and received her doctorate in musicology from the University of California, Berkeley, in 2020. Her research interests include emerging media technologies and musical performance, particularly opera, and radio broadcasting during the years of Fascism in Italy. Her current book project examines transnational radio broadcasts from Italy to the United States and Latin America during and after the Fascist period.

“True Wit Is Nature”

“True Wit Is Nature”: Wimsatt, Pope, and the Power of Style

by Helen Deutsch

UCLA’s Helen Deutsch here puts Yale critic and cofounder of the New Criticism William K. Wimsatt into the balance with the most influential poet of eighteenth-century England, Alexander Pope. A scholar-collector with a lifelong penchant for Pope’s poetry and iconography, Wimsatt molds his influential theoretical paradoxes of abstract particularity after the uniquely embodied poet, who made himself inseparable from his art. The elusive power of style connects universal truth to worldly materiality for both writers, giving theoretical abstraction a human likeness.

The essay opens:

William K. Wimsatt with Roubiliac’s busts of Pope at the National Portrait Gallery, 1961. Courtesy of National Portrait Gallery, London.

 

I begin with a photo and what first appears to be a visual joke. William K. Wimsatt, New Critical patriarch of the theoretical Yale Critics, stern dispeller of the intentional and affective fallacies, and devotee of the abstract poetic object he deemed the “verbal icon,” looms over a table, upon which are precariously displayed six marble busts of the great eighteenth-century poet Alexander Pope by the poet’s contemporary, the French sculptor Louis-François Roubiliac. The bareheaded and be-mantled neoclassical busts, each varying subtly from the next, join in a contemplatively oblique stare—into the future? the distant past? the eyes of the viewer?—while Wimsatt, modestly positioned at the left edge of the table, gazes straight into the camera. On the wall behind Wimsatt are empty picture hangers, below which are captions: it seems that an exhibit has been taken down and the curator, haunted by his doubled shadow, is preserving one last look. Wimsatt’s is the proud gaze of an avid collector—of stamps, Native American artifacts, and minerals (this last item also a penchant of Pope’s, who festooned the walls of his famous grotto at Twickenham with exotic rocks and curios)—whose convocation of busts was the prize of years of avid pursuit across England of images of the diminutive poet known for his beautiful head and curved spine. These adventures took Wimsatt into the homes of aristocratic families whose ancestors had befriended Pope, where the busts had long proclaimed the owner’s political affiliation and personal distinction. The busts themselves seem to cast white shadows beneath the table, inverting Wimsatt’s dark ones.

Scholars of English literature do not usually imagine Wimsatt, whose authority and influence are legendary for the profession, in such distinctive company. Wimsatt’s polemical essays on the affective and intentional fallacies, written in collaboration with the philosopher Monroe Beardsley, in his classic The Verbal Icon (1954) attempted to wrest poetry from the grip of the author’s biography on the one hand and the reader’s affective response on the other. Criticism for Wimsatt was a science; its mandate was meticulous textual analysis, and its goal was objectivity. His fame, late in his career, as a stern enforcer of the rules was captured in a spoof song, “Big Bad Bill” (to the tune of the popular ballad “Big Bad John”), by his former student Doug Canfield: “Let’s cut out this impressionism / And not make poetry confessionism; / Let’s make the Object the real test: / The Old New Critics are still the best.” What then to make of Wimsatt’s career-long fascination with the first self-supporting professional poet in English literature, a poet who spent his career writing about himself? In the photo’s balance of contraries, Big Bad Bill behind multiple renditions of the man who once called himself the little Alexander whom all the women laugh at, we can locate a different and equally important aspect of Wimsatt’s criticism: the idea of style.

Of all his collections, none was more personal than Wimsatt’s assemblage of images of Pope, put on display in the exhibit recorded in the photograph at London’s National Portrait Gallery in 1961; Wimsatt typed out the catalog himself and included items from his own personal collection. This effort was expanded and commemorated in his monumental 1965 study The Portraits of Alexander Pope, which bears an image of a Roubiliac bust on its cover. In an homage to Wimsatt written shortly after his death in 1975, his Yale colleague René Wellek rightly observes that the Pope catalog “traces the archetypes of the portrait so meticulously that the method can serve as a model for similar investigations into the history of portrait painting and of sculpture.” A substantial addendum to the catalog’s compendium of originals and multiple imitations, which Wimsatt spent twenty-five years researching and which, like all great collections, would never be complete, was published posthumously. Wimsatt’s sustained engagement with Pope as author and image might seem from our current vantage point to contradict his work’s fundamental tenets. Yet while Wimsatt famously, if complexly, defined the work of art as an object free of both authorial intention and the reader’s affective response, he nevertheless gave that object a persistently heavy weight, linking it to the visual and material world by its very definition as icon. The balances of generality and particularity that exemplified the literary text for Wimsatt, specifically the paradoxes of the concrete universal’s detailed abstraction and the verbal icon’s dual status as object and image, are rooted in the age that gave us the professional author and inspired and epitomized by the eighteenth-century poet who made himself inseparable from his art. As ephemeral as Belinda’s lock, yet as weighty as a marble bust, Pope’s poems are at once historically particular, personal, and immediate. Concrete universals with a distinctive human voice, they give ballast to Wimsatt’s theorizing, informing his conceptions of poetry, criticism, and the thing that unites the two—style.

…The enduring presence of Pope across Wimsatt’s scholarly oeuvre thus shadows the assessment of Wimsatt’s own reputation as a foundational icon of criticism, making his universals personally concrete. While at the time of his death in 1975, Wellek could state with confidence that “Wimsatt will be remembered mainly as a theorist of literature,” the headline of his New York Times obituary memorialized him as “Yale expert on 1700’s authors.” The Prose Style of Samuel Johnson (1941), based on Wimsatt’s dissertation, began with a chapter on style and meaning. In his second book, Philosophic Words: A Study of Style and Meaning in the Rambler and Dictionary of Samuel Johnson (1948), Wimsatt described his endeavor, one worthy of a literary-critical James Boswell, as a “history of Johnson’s mind” rooted in the unique properties of Johnson’s scientific language, words that do the metaphorical work of connecting body to mind and the world to the text. While Johnson served as Wimsatt’s exemplary test case for stylistic analysis, Pope, in all his embodied uniqueness, informed Wimsatt’s attempts to conceive of style in the abstract. Style for Wimsatt was always inseparable from meaning, just as, and perhaps because, the author was never fully absent from the text. That Pope should get two essays to himself in The Verbal Icon and is the only author to make top billing in an essay title in that volume drives this point home. That Wimsatt named his own son Alexander makes it personal.

Wimsatt’s lifelong preoccupation with Pope and the successfully realized intentions of eighteenth-century authors reminds us that he practiced theory as part of a group of scholars who studied the poet whose spine, so his contemporaries speculated, was bent by excessive devotion to literature. For Wimsatt and his fellow scholar-collectors at Yale, Pope embodied the ways in which art is inseparable from the material world it represents. Yet by 1975 Wimsatt himself, with all his eccentricities and eighteenth-century preoccupations, his “towering figure” of nearly seven feet sublimated into disembodied monumental status, had taken his place in Yale’s history, a history at the heart of our profession, by disappearing into the theoretical ether. We can see an alternative trajectory in the evolution of cover choices for Wimsatt’s Rinehart edition of the poetry and prose of Alexander Pope, part of a series used in many undergraduate classrooms. Wimsatt noted in a talk given to Yale undergraduates in 1959 that his obsession with Pope’s iconography began with his search for a proper cover image. First published with a plain generic cover in 1951, the 1972 edition published shortly before Wimsatt’s death shows William Hoare’s red crayon drawing, a rare full-length image of Pope, an “original taken without his knowledge,” curved spine and all (fig. 2). When we view the verbal icon through the lens of Wimsatt’s fascination with Pope, its author seems to kick it, like Johnson famously did the stone in response to Bishop Berkeley’s assertion of the nonexistence of matter, to refute it thus. The timeless abstraction of Wimsatt’s theory, in other words, is haunted by the distinctively embodied and loquacious ghost of the poet who complained in Epistle to Dr. Arbuthnot that “ev’ry Coxcomb knows me by my Style.” If personification, as Marc Redfield has suggested, is the key to understanding theory at Yale—Harold Bloom standing for aesthetics, Paul de Man standing for theory—what does Wimsatt, behind the busts of Pope, stand for? Perhaps he is standing for style. Resisting autobiography as Romantic de-facement, he pursues the multiple versions of the face of the particular author in which the animate and inanimate forces of language unite, grounding his militant objectivity in embodied particularity in the style of Pope. Continue reading …

HELEN DEUTSCH is Professor of English and Director of the Center for 17th- & 18th-Century Studies and William Andrews Clark Memorial Library at UCLA. She has been writing about Alexander Pope for the entirety of her adult life and is now at work on a book on Jonathan Swift and Edward Said.

Medium’s Medium

In recognition of the impact of Covid-19 on campus instruction and the rise of unplanned distance learning, UC Press is pleased to make Representations and all of its online journals content free to all through June 2020.

The Medium Concept

by Anna Schechtman

In the second half of the twentieth century, in the very decades when the concept of “media” entered the vernacular, the “medium concept” began to shape American art criticism and curation. This was no coincidence: “mediums” emerged as a category for the organization and appreciation of art as the dialectical counterpart to media, and in response to the cultural imperialism of its mass-produced forms. As art became increasingly public, mediums became the public face of art.

The essay begins:

In 2006 New York’s Museum of Modern Art (MoMA) established the Department of Media, its first new curatorial department since 1971. A press release heralding the new department described MoMA as a “pioneer in the exhibition, acquisition and conservation of media art since the late 1960s.” It clarified that works of “media art” were “time- and sound-based,” as opposed to the mostly static and strictly visual works in MoMA’s departments of Architecture and Design, Drawings, Painting and Sculpture, Photography, and Prints and Illustrated Books. But there was, of course, another MoMA department that housed “time- and sound-based” art—the Department of Film—which, since 1935, had been collecting and conserving celluloid reels and digital projections from Hollywood and international film productions. Unlike those audiovisual works, however, “media art,” the release said, was “made for and presented in a gallery setting.” Works that met these criteria included performance art, video art, and installation art—all three of which, since their emergence in the late-1960s, have variously and often arbitrarily been called intermedia, multimedia, or mixed media art. Why, then, after forty years of collecting such work, did the museum finally institute a department of it in media’s name? The answer is partly functional: the conservation and display of installation and video art is technically different from that needed for oil-on-canvas or 16 mm celluloid works; a new department could better accommodate these differences. But it’s also epistemological and ideological: when media became a department at MoMA, it also became a medium—captured by the formalist logic of American art criticism after World War II and assimilated, however awkwardly, into the medium-specific organizational structure of the country’s premier modern art museum.

On the day of the new department’s founding, MoMA’s director Glenn D. Lowry confirmed that the newly appointed chief curator of media had “demonstrated a keen understanding of the dynamic potential of this medium.” This medium, that is, media. With this statement, Lowry not only instituted a linguistic paradox, he also dramatized—to the point of satire—a decades-old antinomy within the discipline of art history between mediums (specialized subcategories of “art,” including but not limited to those represented by MoMA’s departments) and media (an imbroglio of cultural production of little aesthetic value or political virtue). Since the 1960s, art critics and historians have been using the un-Latinate plural “mediums” to distinguish, and rhetorically elevate, works of art from the cultural chaos of “mass media,” “the media,” and, for that matter, the growing postwar trend of inter-, multi-, and mixed media works of art. The distinction rests on a precarious but potent conceit: that the history of modern art is autonomous, not only from the noxious commercialism of the culture industries, but also from the communication technologies that have supported them—especially, as the century progressed, from television, video, and digital images.

So mediums, not media. Rosalind Krauss was clearest about this mostly tacit disciplinary tic when she wrote, in a footnote to her 1999 manifesto Voyage on the North Sea: Art in the Age of the Post-Medium Condition: “Throughout this text I will use mediums as the plural of medium in order to avoid a confusion with media, which I am reserving for the technologies of communication indicated by that latter term.” Her distinction, however, confuses as it clarifies: after all, the “different mediums” represented in her essay include painting, sculpture, architecture, photography, and film—all of which could reasonably be called “technologies of communication” (and thus media, in her taxonomy) in different discursive fields. One could say, for example, that they are technologies that communicate images, aesthetic value, affective responses, spiritual transcendence, history, and, of course, capital. But it is precisely the field of art history—and, in particular, the modernist category of art that, as Krauss acknowledged, has attached aesthetic and political value to mediums in their specificity since the 1960s—that she was trying to protect from the corruption of media in Voyage on the North Sea:

At first I thought I could simply draw a line under the word medium, bury it like so much critical toxic waste, and walk away from it into a world of lexical freedom. “Medium” seemed too contaminated, too ideologically, too dogmatically, too discursively loaded . . . If I have decided in the end to retain the word “medium,” it is because for all the misunderstandings and abuses attached to it, this is the term that opens onto the discursive field I want to address.

Krauss was writing at the start of the new millennium, when a wave of installation art, apparently indifferent to the traditions of discrete mediums, crested onto the international art scene. The installation art trend was a product of what she called “the post-medium condition”—itself a time of formal confusion among the arts that she loosely traced back to the late 1960s. To eliminate “medium” from her critical lexicon would be to fall prey to this wave’s seductive undertow. Instead, Krauss parted the sea of contemporary art into the good and bad “post-medium” works. The good: those artists who “have embraced the idea of differential specificity, which is to say the medium as such, which they understand they will now have to reinvent or rearticulate.” And the bad: those artists, “now cut free from the guarantees of artistic tradition,” who “engage in the international fashion of installation art and intermedia work, in which art . . . finds itself complicit with a globalization of the image in the service of capital.” In other words, Krauss distinguished between media—its bastard forms, its subjugation to the market—and art that reinvents mediums for a critical discourse no longer trained to its logic.

Krauss was adapting modernist criteria to postmodern art production (the cognate of her subtitle and Lyotard’s The Postmodern Condition is dispositive here). And this, too, was MoMA’s project in 2006. By reinterpreting media as a medium and absorbing it into the disciplinary logic of the museum, Lowry didn’t so much embrace the post-medium condition at MoMA; he quarantined it. Not until 2019, after a full museum redesign, did the antiformalist logic of media reach his museum; not until then did medium release its hold on the presentation of modern and postmodern art. Indeed, the “New MoMA,” as that overhaul was billed, promised that “contemporary art will join early masterpieces, and we’ll mix mediums—from painting to performance—and ideas.” It’s a new MoMA, finally facing up to a condition that has defined the art world since the advent of mixed, multi- and intermedia art—since, in other words, the consolidation of the media concept itself.

The most ambitious account of that concept’s emergence is John Guillory’s 201“The Genesis of the Media Concept,” which sketches the two-thousand-year “latency of the media concept” from Aristotle to advertising. The concept’s latency, Guillory writes, was “superseded by the era of its ubiquity,” the age of media, or the mid-twentieth century to the present. Vast as it is, however, Guillory’s project does not probe this peculiar historical movement—this supersession—from latency to ubiquity. Instead, his essay takes as a central conceit the preoccupation of art and literary criticism by the concept of representation over and above the concept of media and its theoretical cognates mediation and communication. Like Krauss, Guillory devises a media concept that primarily describes processes and technologies of communication as distinct from “fine art.” (This is what allows him to suggest that literature has a “less conspicuously medial identity” than film.) Unlike Krauss, though, he doesn’t oppose the concept of media to that of artistic mediums; nor does he give the historical distinction hermeneutic value: the media concept’s relation to the fine arts, he suggests, has been unduly “repressed.” This “repression,” he writes, has “tacitly supported the disciplinary division between literary and media studies”—to which we could add the division between art history and media studies too.

But Guillory’s psychological metaphors (latency, repression) elide the material processes by which the media concept was consolidated in the vernacular in the twentieth century, shaping the discursive field in which fine arts were produced and received. Indeed, the “repression” of the “medial identity” of the fine arts is a mid-twentieth-century phenomenon, not unrelated to the sudden “ubiquity” of the media concept in that very period. In the same decades that the media concept entered the vernacular, the “medium concept” began to shape art criticism, art history, and museum studies. This was no coincidence: mediums emerged as a category for the organization and appreciation of art as the dialectical counterpart to media and in response to the cultural imperialism of its mass-produced forms. As art became increasingly “public”—available to popular audiences through the technical innovations of film and photography and the generic innovations of midcult, masscult, and kitsch—mediums became the public face of art. Continue reading …

ANNA SHECHTMAN is a PhD Candidate in English Literature and Film and Media Studies at Yale University and a Senior Humanities Editor at the Los Angeles Review of Books.