For me the most stimulating and rewarding feature of the conference was its genuinely intercultural and international character. It was hugely interesting to discuss subjects of social change, methodology, or ontology with scholars from Thailand, Indonesia, the Philippines, Japan, or China. And the very different historical, political, and cultural experiences of those different Asian zones of academic life inevitably stimulated new and different questions.
The experience of being in Thailand was itself a powerful one. The omnipresence of Buddhism as a cultural current is unmistakeable. But so is the level of inequality and poverty that Thailand still experiences. Talented young people are stymied by a lack of opportunity in education and employment. The legacy of social conflict during the time of the Red Shirt movement is still unresolved. And environmental degradation in Bangkok continues to outpace measures taken to improve water quality and pollution.
The profound problems the world faces today inevitably have to do with behavior, institutions, and the legacy of earlier disasters. So it is pressingly important for philosophers to make productive contributions to the efforts of political scientists, sociologists, ethnographers, public health experts, and economists to figure out how our many civilizations can bend the curve away from the catastrophes that are looming on the horizon — climate collapse, environmental degradation, rising human poverty and misery, authoritarian political regimes, and war. Collaborations like ANPOSS can make a genuine difference. And if philosophy is of any enduring importance, it needs to be focused on making a practical difference in the world.
Thanks, then, to the philosophers and social science colleagues who are making such strong efforts to facilitate productive international discussions about the nature and impact of the social sciences!
The British historian Eric Hobsbawm was a leading member of the British Communist Party-affiliated Historians' Group. This was a group of leading British historians who were members of the British Communist Party in the 1940s. In 1978 Hobsbawm wrote a historical memoir of the group recalling the important post-war decade of 1946-1956, and Verso Press has now republished the essay online (link). The essay is worth reading attentively, since some of the most insightful British historians of the generation were represented in this group.
The primary interest of Hobsbawm's memoir, for me anyway, is the deep paradox it seems to reveal. The Communist Party was not well known for its toleration of independent thinking and criticism. Political officials in the USSR, in Comintern, and in the European national Communist parties were committed to maintaining the party line on ideology and history. The Historians' Group and its members were directly affiliated with the CPGB. And yet some of Britain's most important social historians were members of the Historians' Group. Especially notable were Eric Hobsbawm, Christopher Hill, Edward and Dorothy Thompson, Maurice Dobb, Raphael Samuel, Rodney Hilton, Max Morris, J. B. Jefferys, and Edmund Dell. (A number of these historians broke with the CPGB after 1956.) Almost all of these individuals are serious and respected historians in the first rank of twentieth-century social history, including especially Hobsbawm, Hill, E.P. Thompson, Dobb, and Hilton. So the question arises: to what extent did the dogmatism and party discipline associated with the Communist Party since its origins influence or constrain the historical research of these historians? How could the conduct of independent, truthful history survive in the context of a "party line" maintained with rigorous discipline by party hacks? How, if at all, did British Marxist historians escape the fate of Lysenko?
The paradox is clearly visible in Hobsbawm's memoir. Hobsbawm is insistent that the CP members of the Historians' Group were loyal and committed communists: "We were as loyal, active and committed a group of Communists as any, if only because we felt that Marxism implied membership of the Party." And yet he is equally insistent that he and his colleagues maintained their independence and commitment to truthful historical inquiry when it came to their professional work:
Second, there was no 'party line' on most of British history, and what there was in the USSR was largely unknown to us, except for the complex discussions on 'merchant capital' which accompanied the criticism of M. N. Pokrovsky there. Thus we were hardly aware that the 'Asiatic Mode of Production' had been actively discouraged in the USSR since the early 1930s, though we noted its absence from Stalin's Short History. Such accepted interpretations as existed came mainly from ourselves— Hill's 1940 essay, Dobb's Studies, etc.—and were therefore much more open to free debate than if they had carried the by-line of Stalin or Zhdanov....
This is not to imply that these historians pursued their research in a fundamentally disinterested or politically neutral way. Rather, they shared a broad commitment to a progressive and labor-oriented perspective on British history. And these were the commitments of a (lower-case) marxist interpretation of social history that was not subordinate to the ideological dictates of the CP:
Third, the major task we and the Party set ourselves was to criticise non-Marxist history and its reactionary implications, where possible contrasting it with older, politically more radical interpretations. This widened rather than narrowed our horizons. Both we and the Party saw ourselves not as a sect of true believers, holding up the light amid the surrounding darkness, but ideally as leaders of a broad progressive movement such as we had experienced in the 1930s.... Therefore, communist historians—in this instance deliberately not acting as a Party group—consistently attempted to build bridges between Marxists and non-Marxists with whom they shared some common interests and sympathies.
So Hobsbawm believed that it was indeed possible to be both Communist as well as independent-minded and original. He writes of Dobb's research: "Dobb's Studies which gave us our framework, were novel precisely because they did not just restate or reconstruct the views of 'the Marxist classics', but because they embodied the findings of post-Marx economic history in a Marxist analysis." And: "A third advantage of our Marxism—we owe it largely to Hill and to the very marked interest of several of our members, not least A. L. Morton himself, in literature—was never to reduce history to a simple economic or 'class interest' determinism, or to devalue politics and ideology." These points are offered to support the idea that the historical research of the historians of this group was not dogmatic or Party-dictated. And Hobsbawm suggests that this underlying independence of mind led to a willingness to sharply criticize the Party and its leaders after the debacle of 1956 in Hungary.
But pointed questions are called for. How did historians in this group react to credible reports of a deliberate Stalinist campaign of starvation during collectivization in Ukraine in 1932-33, the Holodomor? Malcolm Muggeridge, a left journalist with a wide reputation, had reported on this atrocity in the Guardian in 1933 (link). And what about Stalin's Terror in 1936-1938, resulting in mass executions, torture, and the Gulag for "traitors and enemies of the state"? How did these British historians react to these reports? And what about the 1937 show trials and executions of Bukharin, Zinoviev, Kamenev, and Rykov, along with hundreds of thousands of other innocent persons? These facts too were available to interested readers outside the USSR; the Moscow trials are the subject of Arthur Koestler's Darkness at Noon, published in 1941. Did the historians of the Historians' Group simply close their eyes to these travesties? And where does historical integrity go when one closes his eyes?
Arthur Koestler, George Orwell, and many ex-communist intellectuals have expressed the impossible contradictions contained in the idea of "a committed Communist pursuing an independent and truth-committed inquiry" (link, link, link). One commitment or the other must yield. And eventually E. P. Thompson came to recognize the same point; in 1956 he wrote a denunciation of the leadership of the British Communist Party (link), and he left the Communist Party in the same year following the Soviet suppression of the Hungarian uprising.
Hobsbawm's own career shows that Hobsbawm himself did not confront honestly the horrific realities of Stalinist Communism, or the dictatorships of the satellite countries. David Herman raises the question of Hobsbawm's reactions to events like those mentioned here in his review of Richard Evans, Eric Hobsbawm: A Life in History and Eric Hobsbawm, Interesting Times: A Twentieth-Century Life (link). The picture Herman paints is appalling. Here is a summary assessment directly relevant to my interest here:
However, the notable areas of silence -- about Jewishness and the crimes of Communism especially -- are, ultimately, devastating. Can you trust a history of modern Europe which is seriously misleading about the French and Russian Revolutions, which barely touches on the Gulag, the Holocaust and the Cultural Revolution, which has so little to say about women and peasants, religion and nationalism, America and Africa?
And what, finally, can we say about Hobsbawm's view of Soviet Communism? In a review called "The piety and provincialism of Eric Hobsbawm", the political philosopher, John Gray, wrote that Hobsbawm's writings on the 20th century are "highly evasive. A vast silence surrounds the realities of communism." Tony Judt wrote that, "Hobsbawm is the most naturally gifted historian of our time; but rested and untroubled, he has somehow slept through the terror and shame of the age." Thanks to Richard Evans's labours it is hard to dispute these judgments. (199-200)
Surely these silences are the mark of an apologist for the crimes of Stalinism -- including, as Herman mentions, the crimes of deadly anti-semitism in the workers' paradise. Contrary to Hobsbawm, there was indeed a party line on the most fundamental issues: the Party's behavior was to be defended at all costs and at all times. The Terror, the Gulag, the Doctors' Plot -- all were to be ignored.
Koestler's protagonist Rubashov in Darkness at Noon reflects on the reasons why the old Bolsheviks would have made the absurd confessions they offered during the Moscow show trials of the 1930s:
The best of them kept silent in order to do a last service to the Party, by letting themselves be sacrificed as scapegoats -- and, besides, even the best had each an Arlova on his conscience. They were too deeply entangled in their own past, caught in the web they had spun themselves, according to the laws of their own twisted ethics and twisted logic; they were all guilty, although not of those deeds of which they accused themselves. There was no way back for them. Their exit from the stage happened strictly according to the rules of their strange game. The public expected no swan-songs of them. They had to act according to the text-book, and their part was the howling of wolves in the night....
This is the subordination of self to party that was demanded by the Communist Party; and it is still hard to see how a committed member of the Communist Party in the 1930s, 1940s, and 1950s could escape the logic of his or her commitment. Personal integrity as an intellectual was not part of the bargain. So the puzzle remains: how could a Hobsbawm or Thompson profess both intellectual independence and commitment to the truth in the histories they write, while also accepting a commitment to do whatever is judged necessary by Party officials to further the cause of the Revolution?
Regrettably, there is a clear history in the twentieth century of intellectuals choosing political ideology over intellectual honesty. Recall Sartre's explanation of his silence about the Gulag and the Soviet Communist Party, quoted in Anne Applebaum's Gulag:
“As we were not members of the Party,” he once wrote, “it was not our duty to write about Soviet labor camps; we were free to remain aloof from the quarrels over the nature of the system, provided no events of sociological significance occurred.” On another occasion, he told Albert Camus that “Like you, I find these camps intolerable, but I find equally intolerable the use made of them every day in the bourgeois press.” (18)
Here is how Morris formulates the theoretical perspective that underlies his treatment of the US civil rights movement. It is a perspective on mass mobilization and social movements that gives full attention to the ordinary human beings who were the subject of racial oppression; and it emphasizes the essential role played in mobilization by effective local and regional organizations.
In the present inquiry an indigenous perspective is used to study how the modern civil rights movement actually worked. The assumption is that mass protest is a product of the organizing efforts of activists functioning through a well-developed indigenous base. A well-developed indigenous base includes the institutions, organizations, leaders, communication networks, money, and organized masses within a dominated group. Such a base also encompasses cultural elements -- music, oratory, and so on -- of a dominated group that play a direct role in the organization and mobilization of protest.... A central concern of the indigenous perspective is to examine the ways in which organizers transform indigenous resources into power resources and marshals them in conflict situations to accomplish political ends. (xii)
As this passage makes clear, Morris places organizations and an energized mass population of black Southerners at the center of his analysis. He provides information about the SCLC, NAACP, CORE, SNCC, HFS, SCEF, and FOR -- the strategies and levers of power available to each of them, and the complicated relationships that existed among them. (Full names and dates of the organizations are provided below.)
And, significantly, Morris goes into a reasonable amount of detail describing the strategies of protest organizations and their mass followers in different locations: Baton Rouge, Birmingham, Montgomery, Nashville, Shreveport, Greensboro, Virginia, Texas, Oklahoma, Kansas, and Georgia. The Birmingham experience is described in particular detail. This use of multiple case studies is important, because it establishes that Morris is not aiming merely to provide an explanatory template of mobilization; instead, he wants to use the research tools of the historian to see how mobilization unfolded in specific times and places. And this means documenting the organizations, leaders, and strategies that were present in different places.
One relative blindspot in Origins is its inclination to be urban-centered. The bulk of the protests and activism described in the book take place in cities across the South. But the struggle for racial equality -- including especially voting rights -- had an important reality in the rural South. Morris refers briefly to the circumstances of rural black people in the Jim Crow South that made mass mobilization extremely difficult in rural locations:
The rural setting was hardly ideal for organized, sustained collective action by blacks. In the rural milieu blacks experienced grinding poverty that closely tied them to the land and to the white man. Whites usually arranged the economy so that blacks always owed them money and were forever dependent on them for food and shelter. Outnumbered, defenseless, and with no hope of protection from the law, blacks usually avoided overt conflict with whites simply to stay alive. On the rural plantations, furthermore, blacks seldom experienced themselves as a tightly knit, cohesive group, because they were widely dispersed across the countryside. The sociologist E. Franklin Frazier described rural black communities as follows (78):
"The cabins are scattered in the open country so that the development of village communities has been impossible. Consequently, communication between rural families as well as the development of rural institutions has been limited by the wide dispersion of the population."
However, some of the most difficult developments in the struggle for equality in the South took place in rural counties (for example, Lowndes County, Alabama). This is especially true in the struggle for the right to vote, and the persistent campaigns of voter registration organized by SNCC, CORE, and other organizations were a highly important step in the progress of the movement. Here is how Hasan Kwame Jeffries describes Lowndes County in Bloody Lowndes: Civil Rights and Black Power in Alabama’s Black Belt:
Jim Crow was a grim reality in Lowndes County, Alabama, at the beginning of 1965. African Americans attended separate and unequal schools, lived in dilapidated and deteriorating housing, and toiled as underpaid and overworked domestics and farm laborers. They were also completely shut out of the political process. There were five thousand African Americans of voting age in the overwhelmingly black rural county, but not a single one was registered. (Introduction)
Origins gives almost no attention to these rural voter registration drives, but they were an important part of the history of the movement. Bob Moses is mentioned once, but no detail is offered for the nuts and bolts of mobilization under these special circumstances. (It is true that much of that activism occurred after the end of Morris's narrative, which is confined to 1953-1963. The SNCC Freedom Summer initiative took place in 1964.)
The special strengths of Morris's book are its detailed focus on the workings of the major civil rights organizations during this crucial period of US history; his emphasis on the essential role played in the movement by masses of highly committed ordinary people in supporting mass meetings, boycotts, demonstrations, marches, and strikes; and the strategic and facilitating role played by the Black church in almost all of these episodes of contention. The book also does an excellent job of allowing the reader to see how the struggle for equality played out somewhat differently in different locations. Different local organizations, different leaders, and different circumstances for ordinary local people led to a fascinating degree of local variation. This use of detailed cases throughout the book offsets the inclination to subsume "struggles for Civil Rights in the South" under a single template of homogeneous processes and outcomes. There were deep similarities, of course, in the experience of the Jim Crow regime across the whole region; but there were also important local differences in the way that struggles for equality were constructed and carried out. Morris also documents the ways in which experiences in one city influenced strategies and outcomes in other cities -- for example, the successful bus boycott in Baton Rouge was influential on leaders and organizations in Montgomery when the struggle to reform the bus system came to a head in Montgomery.
Is Origins chiefly a theoretical exercise, illustrating a sociological theory of social movements? Or is it a work of historical research, making use of sociological ideas but fundamentally dependent on reaching an understanding of what the facts were about successes and failures in different parts of the South? In my view, this is what differentiates Morris's book from McAdam's Political Process and the Development of Black Insurgency, 1930-1970. Morris's book is seriously committed to uncovering the important historical details, whereas McAdam's book is an exposition of "latest thinking" on the sociology of social movements, with illustrations drawn from the history of the Civil Rights movement. McAdam's book is historical sociology; Morris's book is sociologically informed history. Both approaches are valuable. But ideally, interested readers would read both books, and keep track of both theoretical insights about mechanisms and important but contingent features of the historical experience of places as diverse as Nashville and Baton Rouge. Each work is a perfect companion to the other for anyone interested in understanding better the course of the movement for racial equality in the United States.
And for the reader in 2023, Morris's account of the full-scale effort by southern legislatures, governors, and business groups to destroy the NAACP (26-39) and to refuse compliance with Federal court mandates is disturbingly familiar from today's headlines. Today's southern governors and legislatures are highly focused on reducing voting rights for African-Americans (gerrymandering, long lines for voting, voter ID rules, limitations on absentee ballots ...). And the war on "critical race theory" and the 1619 project sounds very much like the organized resistance to desegregation in the 1950s and 1960s.
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Here is a list of the primary organizations that Morris discusses:
Southern Christian Leadership Congress (SCLC, 1957)
National Association for the Advancement of Colored People (NAACP, 1910)
Congress of Racial Equality (CORE, 1942)
Student Nonviolent Coordinating Committee (SNCC, 1960)
Highlander Folk School (HFS, 1932)
Southern Conference Educational Fund (SCEF, 1938)
Fellowship of Reconciliation (FOR, 1915)
Montgomery Improvement Association (MIA, 1955)
Inter Civic Council (ICC, 1956)
Alabama Christian Movement for Human Rights (ACMHR, 1956)
Increasingly, one finds scholars from various countries and nominally different theoretical traditions emphasizing the importance of the same three broad sets of factors in analyzing the origins of collective action. These three factors are: 1) the political opportunities and constraints confronting a given challenger; 2) the forms of organization (informal as well as formal) available to insurgents as sites for initial mobilization; and 3) the collective processes of interpretation, attribution and social construction that mediate between opportunity and action. (viii)
And McAdam holds that these three factors help to account for the dramatic rise in Civil Rights activism, protest, and strategic choices of the movement across the South in the 1950s into the early 1960s. He asks the key question: “What led normally accepting African-Americans both in Montgomery and throughout the South to risk their livelihoods and their lives in support of civil rights?”. This is the theoretically central issue of mobilization: what factors facilitate mass mobilization around a set of interests or grievances?
Given the diversity of local situations in cities, towns, and farms across the South, we can speculate that the answer to this question will be different in different locales. But significantly, McAdam provides very little "micro-sociology" of the development of engagement on the part of ordinary African-American people making their lives in various places. He writes about the significance of churches, colleges, and the NAACP as "the organizational base of the movement" (125), but he goes into little detail about the activities and resources associated with these institutions and organizations. He writes:
Representing the most organized segments of the southern black population, the churches, colleges, and local NAACP chapters possessed the resources needed to generate and sustain an organized campaign of social insurgency. (128)
But how did these organizations actually act during the critical period; how were their actions different in different settings; and how did this influence rising activism on the part of ordinary people? What were the local processes that led to local mobilizations? His answer is a general one:
On one level, then, the importance of the churches, schools, and NAACP chapters in the generation of insurgency can be attributed to their role as established interactional networks facilitating the "bloc recruitment" of movement participants. That is, by building the movement out of established institutions, insurgent leaders were able to recruit en masse along existing lines of interaction, thereby sparing themselves the much more difficult task of developing a membership from scratch. (129)
This is a general formulation of a social mechanism. But it is not a specific and factual account of "recruitment" in a particular time and place -- for example, Montgomery prior to the bus boycott. Rather, McAdam emphasizes the idea that ordinary people saw it as their church-created duty to participate in protest. McAdam treats the church, colleges, and local chapters of the NAACP chiefly as "network" sites, where potential participants in the activist movement were located, where they further developed their claims and commitments, and where they encouraged each other in protest.
The general hypotheses provided within the current literature of contentious politics is valuable enough. But we would like to know more about variation: were the dynamics of the Black church different in Montgomery and Little Rock? Were local NAACP chapters different in their behavior or engagement, and did these differences result in differences in level and kind of activism in their surrounding communities?
Social historians of the Civil Rights movement go into much more granular detail about the movement. In greater or lesser detail, the social historians provide readers with insight into specific episodes of mobilization, conflict, and adjustment. They provide us with relatively detailed case studies of these episodes, with a reasonable amount of detail about background circumstances, existing organizations, the leadership available to the black community, instigating events, and the level of grievance and activism present in the population. For example, Aldon Morris's Origins of the Civil Rights Movement provides substantial detail about the individuals, leaders, and organizations that played important roles in the mobilization of support for movement goals in a variety of locations; Hasan Kwame Jeffries' excellent book, Bloody Lowndes: Civil Rights and Black Power in Alabama's Black Belt describes the origins of the Lowndes County Freedom Organization among black rural "tenant farmers"; and Lance Hill's Deacons for Defense does similar work in his analysis of the mobilization of rural African-American people in organized self-defense. A detailed history of particular episodes -- the Montgomery bus boycott, voter registration drives in rural Mississippi, 1960 (link) -- would give the reader of McAdam's book a much more substantial understanding of the mechanisms and processes through which activism and insurgency worked out through ordinary people and local institutions. But there is very little of this kind of detail in McAdam's treatment of the Civil Rights movement. For all its emphasis on the need for accounts of the specific mechanisms through which mobilization, coordination, and protest occurred, not very much concrete detail is provided in the study. The level of aggregation at which McAdam's analysis proceeds is "the South"; whereas we might imagine that the real nuts and bolts of the movement took place in places as diverse as Selma, Little Rock, Montgomery, and the cotton fields and hamlets of Lowndes County.
This really is the point of the discussion here. McAdam's book functions largely to lay out "theories of the middle range" about the factors that facilitate or inhibit mobilization around shared grievances, and he illustrates these theories with examples from the history of civil rights activism in the South during the time period. The central interest of the book is theoretical and explanatory, and it is illuminating. But we can imagine a different kind of study that would incorporate much more attention to the specifics of the processes and events of mobilization in various places across the South. Such a study would result in a book consisting of a handful of moderately detailed case studies, along with sociological commentary on the events and processes that are uncovered in these various episodes.
It is suggestive that Dynamics of Contention, co-authored in 2001 by McAdam, Tarrow, and Tilly, takes just such an approach -- sociological theorizing embedded within detailed exposition of important case studies of contention. And given the emphasis that McAdam, Tarrow, and Tilly give in the 2001 book on contingency and variation across cases, we might argue that McAdam's study of the Civil Rights movement is couched at too high a level of generalization after all. It would be more instructive if it provided a more granular account of a number of episodes of mobilization, including successes and failures. (This is the reason for returning to Alain Touraine's research on the Polish Solidarity movement (post): Touraine's team did in fact engage in a granular and disaggregated study of the many strands of organization and activism that contributed ultimately to the national Solidarity movement.)
The Solidarity Movement was a remarkable instance of broad popular mobilization within a Communist dictatorship. As students of contention are common to point out, grievances and discontent are to be found almost everywhere; but organized protest, struggle, and resistance are rare. Successful concerted collective resistance is the exception rather than the rule. So the key scientific problem is to try to discover how this successful mass mobilization came about, and that means conducting investigations to --
Or in short, how, why, and through what mechanisms did mobilization and protest emerge?
The approach that Touraine's group took in attempting to discover answers to these questions was a deliberately granular approach. Rather than focusing on high-level statements of grievances, exhortations, and proposed plans of actions by nationally recognized leaders, the Touraine group recognized that this movement took shape through activist participants at the factory and local levels, and that the ideas, grievances, and mental frameworks about possible reforms that would ultimately become the "Solidarity Manifesto" took shape through conversations and debates at the local levels. Accordingly, the research teams gave significant weight to the processes of thought-change that were underway in six industrial centers: Gdansk, Katowice, Warsaw, Szezecin, Wroclaw, and Lodz.
Solidarity was not simply a social and political force which modified the course of Polish history. It was, and is, a movement, a collective will, and its significance goes far beyond the results it has obtained. When the dominated protest and seek liberation, their hopes are never entirely realised: the shadows cast by history remain. But great upsurges like Solidarity bring with them at least the certainty that the behaviour of the dominated is never totally determined by the dominant forces. (5)
The research also paid attention, of course, to the leadership conversations and debates that were occurring within the national movement. But the heart of their analysis derives from the "sociological interventions" at the level of the regional groups of activist workers. Touraine writes,
Because a social movement challenges a situation, it is always the bearer of normative values and orientations. Rather than enclosing the group in a reflexion upon itself, the technique involves opening it up so that it can experiences, in conditions which one might describe as experimental, the practices of the social group or movement to which it sees itself as belonging. (7)
This method resembles the use of focus groups to sort out attitudes, beliefs, and values within a target population; but it is more than that. It is critical and constructive, in the sense that it seeks to elicit from participants the more articulated versions of their beliefs, goals, and grievances. And Touraine suggests that this method is especially relevant for treatment of a social movement, because the ideas and values of participants in a social movement are themselves in a process of change and articulation. The method involves several "discussion leaders" who work to elicit ideas from the group; articulate those ideas in writing; and come back for further discussion and debate in a subsequent meeting. Here is how Marcin Frybes describes the method of "sociological intervention" (link).
The sociological intervention consists in organizing meetings of groups (composed of eight to fifteen people) in order to discuss a specific issue (which had been proposed and formalized by the sociologists). The group of intervention is not a real group of militants. It brings together individuals who share either the same commitment or the same kind of experience, but who, if it is possible, do not know other members of the group. The Sociological Intervention involves having the same group meet in a neutral area on several (ten or more) occasions in order for them to be able to propose some analytical schemas representing the historical dynamics and the different components of the action (the logic of the action and the levels of the action). During every sociological intervention, the sessions (which take 2 or 3 hours) could be open or closed. (72)
There are two noteworthy aspects of this method.
First is the localism that it supports. It is entirely possible that the articulations of grievance, goal, and values that emerge from Gdansk will be different from those that emerge from Warsaw. And this is a sociologically important fact; a social movement is not homogeneous across regions and workplaces.
The second is the interactiveness that the method implies between researcher and "subject". Touraine's view appears to be that the results of these "interventions" come closer to a truthful reflection of the political perceptions and values of the participants than would a survey instrument or a traditional focus group. It is analogous to an in-depth conversation with a group of men and women on the subject of gender equality -- superficial views may be expressed to start, and then more considered and reflective views emerge. But the critic might argue that the investigators have injected their own frameworks into the conversation in ways that lead to a less authentic representation of the political consciousness of the workers of Gdansk or Warsaw. (Frybes refers to subsequent criticisms along these lines; 77.) But Touraine justifies the validity of this method in these terms:
This work of self-analysis does, however, have its limits. Every actor is an ideologist, in the sense that he produces a representation of the situation in which he finds himself, and that that representation corresponds to his own interests. No actor can become a disinterested analyst. The researcher must therefore intervene more directly. But at this point a double difficulty arises. On the one hand, if he adopts the attitude of a remote and objective observer, he cannot reach the very thing which he seeks to understanding: the coldness of objectivity will hold him back from the heat of the social movement. Conversely, if he identifies with the actors' struggle, he ceases to be an analyst and becomes nothing more than a doctrinaire ideologist; in this case, his role becomes entirely negative. The method's response to this difficulty is to say that the researcher must identify not with the actors' struggle in itself, but with the highest possible meaning of that struggle, which is nothing other than the social movement. (7)
The method is defended, that is, because it helps to elucidate the process of the formation of the collective will that eventually characterized the movement. And this implies that Touraine believes the active and critical nature of the research -- the open-ended discussions with the various groups, and the effort to formulate these ideas in writing -- illuminates the processes through which the agency of workers and other participants in a social movement find their ground in the processes of contention in which they are involved.
An earlier post analyzed Wendy Lower's stunningly original treatment of a single photograph of a 1941 mass killing in the town of Miropol, Ukraine (link). The photograph captures the murder of a Ukrainian Jewish mother and her child by German soldiers and Ukrainian militiamen. After extensive investigation Lower was able to determine the identities of the victim, several of the killers, and the photographer. Like many photos documenting the atrocities of the Holocaust, this photograph was taken by a member of the German armed forces, a Slovak named Lubomir Škrovina. Initially Lower takes him to be an accomplice or collaborator, but eventually discovers that he was a dissident and a supporter of the Slovak resistance movement. She finds that Škrovina was concerned to record for the outside world the atrocities he witnessed under German occupation. In fact, Škrovina was a resister, not a collaborator.
Now consider some of the best-known photographs from the Holocaust and their provenance. Some of these images come from the merciless destruction of the Warsaw Ghetto following the Warsaw Ghetto uprising. A largescale aktion was planned by the SS to put down the Warsaw Ghetto uprising in early 1943. The action was conducted by SS-Brigadeführer Jürgen Stroop, and it resulted in the deaths of 13,000 Jewish residents immediately. In the aftermath almost all of the 50,000 survivors were dispatched to the death camps of Majdanek and Treblinka.
We must ask a crucial question: how do we happen to have these photographs? Because the Nazi state was interested in documenting the success of its plans to exterminate the Jews of Poland and all of Europe. These photos were taken by a German military photographer at the orders of Stroop, to record the "efficiency" and completeness of the operation. Triumphal volumes of these photos were subsequently conveyed to Himmler and to the supreme commander of the SS, and eventually the collection of photos made their way into the Nuremberg trials. Originally titled "The Jewish Quarter of Warsaw Is No More!", the collection is now referred to as the "Stroop Report".
Perhaps the most powerful and widely known photograph of the Holocaust comes from the Stroop collection, the "Boy in the Warsaw Ghetto" image (reproduced below). It is an emotionally wrenching image of a group of adults and children with their hands raised being forced out of a Warsaw bunker by German soldiers. In the center of the image is a boy, apparently 8-10 years old, with his hands raised, and a German soldier in the background with a submachine gun aimed in his direction. The tragic inevitability of this group of innocent human beings at the power of ruthless armed men is a powerful emblem of the cruelty and remorselessness of the Holocaust. And what about the Nazi soldier? His identity is now known. His name was SS-Rottenführer Josef Blösche, and he was a notorious genocider who had joined the Nazi Party in 1938. This was no "ordinary man" along the lines of the policemen treated in Christopher Browning's study of Reserve Police Battalion 101 (link). (Blösche appears in several photos in the Stroop collection.) Blösche was convicted of war crimes, including murder of some 2,000 people, and was executed in Leipzig (GDR) in 1969. During his trial he was questioned about the moment captured in this photograph:
Judge: "You were with a submachine gun...against a small boy that you extracted from a building with his hands raised. How did those inhabitants react in those moments?"
Blösche: "They were in tremendous dread."
Judge: "This reflects well in that little boy. What did you think?"
Blösche: "We witnessed scenes like these daily. We could not even think." (Dan Porat, The Boy: A Holocaust Story (Hebrew). Dvir, 2013; quoted in Wikipedia (link))
Here are three especially powerful images from the Stroop file, including the "Boy in the Warsaw Ghetto". Blösche appears in the first and third images, and may also figure in the second image.
(A full file of the Stroop Report photos is available here. Here are brief historical accounts of the Warsaw Ghetto uprising (link, link) and a video exhibition recording survivors' experiences from Yad Vashem (link).)
Although the term analytical sociology is not commonly used, the type of sociology designated by the term has an important history that can be traced back to the works of late nineteenth- and early twentieth-century sociologists such as Max Weber and Alexis de Tocqueville, and to prominent mid-twentieth-century sociologists such as the early Talcott Parsons and Robert K. Merton. Among contemporary social scientists, four in particular have profoundly influenced the analytical approach. They are Jon Elster, Raymond Boudon, Thomas Schelling and James Coleman. (Dissecting the Social, kl 113)
And here is how Hedström and Bearman describe the approach in their introduction to The Oxford Handbook of Analytical Sociology:
Analytical sociology is concerned first and foremost with explaining important social facts such as network structures, patterns of residential segregation, typical beliefs, cultural tastes, common ways of acting, and so forth. It explains such facts not merely by relating them to other social facts -- an exercise that does not provide an explanation -- but by detailing in clear and precise ways the mechanisms through which the social facts under consideration are brought about. In short, analytical sociology is a strategy for understanding the social world. (Hedström and Bearman, eds. 2009 : 3-4)
Peter Demeulenaere makes several important points to further specify AS in his extensive introduction to Analytical Sociology and Social Mechanisms. He holds that AS is not just another new paradigm for sociology. Instead, it is a reconstruction of what valid explanations on sociology must look like, once we properly understand the logic of the social world. He believes that much existing sociology conforms to this set of standards -- but not all. And the non-conformers are evidently judged non-explanatory. For example, he writes, “Analytical sociology should not therefore be seen as a manifesto for one particular way of doing sociology as compared with others, but as an effort to clarify (“analytically”) theoretical and epistemological principles which underlie any satisfactory way of doing sociology (and, in fact, any social science)” (Demeulenaere, ed. kl 121). So this sets a claim of a very high level of authority over the whole field, implying that other decisions about explanation, ontology, and method are less than fully scientific.
Analytical sociology rests on three central ideas.
First, there is the idea that social outcomes need to be explained on the basis of the actions of individuals. Hedstrom, Demeulenaere, and their colleagues refer to this position as methodological individualism. It is often illustrated by reference to "Coleman's Boat" in James Coleman, Foundations of Social Theory (Coleman, 1990, 8) describing the relationship that ought to exist between macro and micro social phenomena (link). The boat diagram indicates the relationship between macro-factors (Protestant religious doctrine, capitalism) and the micro factors that underlie their causal relation (values, economic behavior). Here are a few of Hedström's formulations of this ontological position:
In sociological inquiries, however, the core entity always tends to be the actors in the social system being analyzed, and the core activity tends to be the actions of these actors. (Dissecting, kl 106)
To be explanatory a theory must specify the set of causal mechanisms that are likely to have brought about the change, and this requires one to demonstrate how macro states at one point in time influence individuals' actions, and how these actions bring about new macro states at a later point in time. (Dissecting, kl 143)
In other words: according to analytical sociologists, a good explanation of a given social outcome is a demonstration of how this outcome is the aggregate result of structured individual actions. In particular, an explanation should not make reference to meso or macro level factors.
In his introduction to Analytical Sociology and Social Mechanisms Demeulenaere provides an analysis of the doctrine of methodological individualism and its current status. He believes that criticisms of MI have usually rested on a small number of misunderstandings which he attempts to resolve. For example, MI is not "atomistic", "egoistic", "non-social", or exclusively tied to rational choice theory. He prefers a refinement that he describes as structural individualism, but essentially he argues that MI is a universal requirement on social science. Demeulenaere specifically disputes the idea that MI implies a separation between society and non-social individuals. That said, Demeulenaere fully endorses the idea that AS depends upon and presupposes MI: “Does analytical sociology differ significantly from the initial project of MI? I do not really think so. But by introducing the notion of analytical sociology we are able to make a fresh start and avoid the various misunderstandings now commonly attached to MI” (Demeulenaere ed. kl 318).
A theory based on the individual needs to have a theory of the actor. Hedström and others in the AS field are drawn to a broad version of rational-choice theory -- what Hedström calls the "Desire-Belief-Opportunity theory". This is a variant of rational choice theory, because the actor's choice is interpreted along these lines: given the desires the actor possesses, given the beliefs he/she has about the environment of choice, and given the opportunities he/she confronts, action A is a sensible way of satisfying the desires. (It is worth pointing out that it is possible to be microfoundationalist about macro outcomes while not assuming that individual actions are driven by rational calculations. Microfoundationalism is distinct from the assumption of individual rationality.)
Second is the idea that social actors are socially situated; the values, perceptions, emotions, and modes of reasoning of the actor are influenced by social institutions, and their current behavior is constrained and incentivized by existing institutions. (This position has a lot in common with the methodological localism; link.) Practitioners of analytical sociology are not atomistic about social behavior, at least in the way that economists tend to be; they want to leave room conceptually for the observation that social structures and norms influence individual behavior and that individuals are not unadorned utility maximizers. In the Hedström-Bearman introduction to the Handbook they refer to their position as “structural individualism”:
Structural individualism is a methodological doctrine according to which social facts should be explained as the intended or unintended outcomes of individuals’ actions. Structural individualism differs from traditional methodological individualism in attributing substantial explanatory importance to the social structures in which individuals are embedded. (Hedström and Bearman, 2009, 4).
Demeulenaere explicates the term by referring to Homans’ distinction between individualistic sociology and structural sociology; the latter “is concerned with the effects these structures, once created and maintained, have on the behaviour of individuals or categories of individuals” (Demeulenaere, Analytical Sociology and Social Mechanisms, 2011, introduction, quoting Homans, 1984). So “structural individualism” seems to amount to this: the behavior and motivations of individuals are influenced by the social arrangements in which they find themselves.
This is a direction of thought that is not well developed within analytical sociology, but would repay further research. There is no reason why a methodological-individualist approach should not take seriously the causal dynamics of identity formation and the formation of the individual's cognitive, practical, and emotional frameworks. These are relevant to behavior, and they are plainly driven by concrete social processes and institutions.
Third, and most distinctive, is the idea that social explanations need to be grounded in hypotheses about the concrete social causal mechanisms that constitute the causal connection between one event and another. Mechanisms rather than regularities or necessary/sufficient conditions provide the fundamental grounding of causal relations and need to be at the center of causal research. This approach has several intellectual foundations, but one is the tradition of critical realism and some of the ideas developed by Roy Bhaskar (link).
Here is Hedström's statement of the position:
The position taken here, rather, is that mechanism-based explanations are the most appropriate type of explanations for the social sciences. The core idea behind the mechanism approach is that we explain a social phenomenon by referring to a constellation of entities and activities, typically actors and their actions, that are linked to one another in such a way that they regularly bring about the type of phenomenon we seek to explain. (Dissecting, kl 65)
A social mechanism, as defined here, is a constellation of entities and activities that are linked to one another in such a way that they regularly bring about a particular type of outcome. (kl 181)
Demeulenaere also emphasizes that AS depends closely on the methodology of social causal mechanisms. The "analytical" part of the phrase involves identifying separate things, and the social mechanisms idea says how these things are related. Causal mechanisms are expected to be the components of the linkages between events or processes hypothesized to bear a causal relation to each other. And, more specifically to the AS approach, the mechanisms are supposed to occur at the level of the actors--not at the meso or macro levels. So this means that AS would not countenance a meso-level mechanism like this: "the organizational form of the supervision structure at the Bhopal chemical plant caused a high rate of maintenance lapses that caused the accidental release of chemicals." The organizational form is a meso-level factor, and it would appear that AS would require that its causal properties be unpacked onto individual actors' behavior. (I, on the other hand, will argue below that this is a perfectly legitimate social mechanism because we can readily supply its microfoundations at the behavioral level. So this suggests that we can legitimately refer to meso-level mechanisms as long as we are mindful of the microfoundations requirement. And this corresponds as well to the tangible fact that institutions have causal force with respect to individuals. Here is an earlier discussion; link.)
In addition to these three orienting frameworks for analytical sociology, there is a fourth characteristic that should be mentioned. This is the idea that the tools of computer-based simulation of the aggregate consequences of individual behavior can be a very powerful tool for sociological research and explanation. So the tools of agent-based modeling and other simulations of complex systems have a very natural place within the armoire of analytical sociology. These techniques offer tractable methods for aggregating the effects of lower-level features of social life onto higher-level outcomes. If we represent actors as possessing characteristics of action X, Y, Z, and we represent their relations as U, V, W -- how do these actors in social settings aggregate to mid- and higher-level social patterns? This is the key methodological challenge that sociologists like Gianluca Manzo have explored (Agent-based Models and Causal Inference), and it produces very interesting results.
This brief summary of the central doctrines of AS provides one reason why AS theorists are so concerned to have adequate and tractable models of the actor -- often rational actor models. Thomas Schelling's work provides a particularly key example for the AS research community; in field after field he demonstrates how micro motives aggregate onto macro outcomes (Schelling, 1978, 1984). And Elster's work is also key, in that he provides some theoretical machinery for analyzing the actor at a "thicker" level -- imperfect rationality, self-deception, emotion, commitment, and impulse (Elster, Ulysses and the Sirens).
In short, analytical sociology is a compact, clear approach to the problem of understanding social outcomes. It lays the ground for the productive body of research questions associated with the "aggregation dynamics" research program. There is active, innovative research being done within this framework of ideas, especially in Germany, Sweden, and Great Britain. And its clarity permits, in turn, the formulation of rather specific critiques from researchers in other sociological traditions who reject one or another of the key components. However, the framework of analytical sociology should not be mistaken for a general approach to all sociological research and explanation. It is well suited to some problems, and less so to others.
(Here is an earlier post summarizing Peter Demeulenaere's account of analytical sociology; link.)
There is an almost trivial answer to this question that is already implied by Coleman’s famous boat diagram (link): when we want to understand how actors came to have the motivations and beliefs that we have observed.
Are there other kinds of meso-foundational explanations? Can we provide satisfactory meso-level explanations of meso- or macro-level facts? Consider this possibility. Suppose we find that S&L institutions are less likely to become insolvent than large commercial banks. And suppose we find that the regulatory regimes governing S&Ls are more strict than those for commercial banks. The mechanism leading to a lower likelihood of insolvency is conveyed from "strict regulations" to "low likelihood of insolvency". (We can provide further underlying mechanisms, of the traditional microfoundational variety: officers of S&Ls understand the requirements of the regulatory regime; they prudently miminize the risk of civil or criminal penalties; and their institutions have a lower likelihood of insolvency.) This is a meso-level causal explanation of a meso-level fact, representing a causal relationship between one meso-level factor and another meso-level factor.
What about meso-foundational explanations of macro-level features? And symmetrically, what about macro-foundational explanations of meso- and micro-level features? Each of these pathways is possible. Consider a macro-level feature like “American males have an unusually strong identification with guns”. And suppose we offer a meso-level explanation of this widespread cultural value: “The shaping institutions of masculine cultural identity in a certain time and place (mass media, high school social life, popular fiction) inculcate and proliferate this feature of masculine identity.” This is a meso-level explanation of a macro-level feature. Moreover, we can also turn the explanatory lens around and explain the workings of the meso-level factors based on the pervasive macro-level factor: the prevailing male obsession with guns reinforces and reproduces the meso-level influences identified here.
The conclusion to be drawn from these observations is a bit disorienting. The examples imply that there is no “up” and “down” when it comes to explanatory primacy. Rather, social factors at each level can play an explanatory role in accounting for the features of facts at every level. Explanation does not necessarily proceed from “lower level” to higher level entities. "Descending", "ascending", and "lateral" causal explanations all have their place, and ascending (microfoundational) explanations have no special priority. Rather, the requirement that should be emphasized is that the adequacy of any explanation of a social fact depends on whether we have discovered the causal mechanisms that give rise to it. And causal mechanisms can operate at all levels of the social world.
The diagram at the top of the post, originally prepared to illustrate the idea of a "flat" social ontology, does a good job of illustrating the multi-directionality of social-causal mechanisms as well.
The risk to democracy in the United States is more serious than it has ever been (link, link, link). Unabashed strongman wannabes like Donald Trump and Ron DeSantis have made it very clear that they have no allegiance to the principles and values of a liberal democracy, and their social goals would require autocratic rule in order to be achieved. This is plain when we consider the mismatch that exists between public opinion and extreme-right social policies and values. The majority of the US population favors some level of rights to abortion, sensible gun regulation, and the freedom to think, speak, and associate as they wish; whereas the political program of the GOP is opposed to each of these goals. So it is important for all of us to have a more detailed understanding of what autocratic rule involves, how it comes about, and how it maintains power.
Johannes Gerschewski's The Two Logics of Autocratic Rule tries to answer several of those questions. Gerschewski is Research Associate in the Global Governance Department, Wissenschaftszentrum Berlin für Socialforschung (WZB), as well as academic coordinator of the "Theory Network" of the Cluster of Excellence "Contestations of the Liberal Script (SCRIPTS)", Freie Universität Berlin (link). The book represents some excellent "next generation" thinking about the nature of authoritarianism and dictatorship, following upon theorizing by Hannah Arendt in the 1950s (The Origins of Totalitarianism) and Juan Linz in the 1970s (Totalitarian and Authoritarian Regimes).
The question of regime stability is crucial: how does an autocracy maintain power, given that its actions will find favor and disfavor among diverse constituencies over a period of time? After all, Franco was not universally beloved by all segments of Spanish society from his ascension to power in 1936 to his death in 1975. So how did the Franco state maintain its stability throughout that 39-year period?
Gerschewski addresses this question by considering what counter-forces exist in an authoritarian society, and what strategies can be used to prevent successful resistance. He identifies the primary constituencies of an autocratic government in these terms:
In this book, I argue that the threats to the survival of autocratic regimes can emanate from three sides: from ordinary citizens, from the opposition, and from within the elite. (kl 299)
These are the sources of power that might endanger the survival of an authoritarian government. Gerschewski argues that authoritarian regimes pursue three distinct strategies in order to contain these threats to authoritarian rule: repression of the opposition, cooptation of elites, and legitimation of the regime to the masses of ordinary citizens. And he notes that the resources available to the authoritarian regime are always limited, so a "configuration" of strategies must be chosen. Even dictatorships face a "hard budget constraint". He finds that, broadly speaking, there are two distinctive configurations of strategies that can be chosen, and they have different logics -- hence the title of the book. These configurations are identified as "over-politicization" and "de-politicization" of issues.
Here is how he describes the over-politicization configuration of strategies:
I argue by employing the work of Carl Schmitt that politicization is the process of inflating a contrast, a societal cleavage, be it of ideological, religious, nationalistic, moral, cultural, economic, or ethnic couleur, into an absolute distinction, constructing so a friend-foe distinction (Schmitt [1932] 2002). As such, the over-politicizing logic attempts to politicize even previously unpolitical issues and to create an internal foe of such magnitude that repression against this foe seems to be even justifiable. (kl 337)
The over-politicization configuration is visible in US politics today; the use of racism, xenophobia, Christian nationalism, and the "war on woke" illustrates the politicization configuration chosen by the GOP today.
The de-politicization configuration is aimed at creating a culture of passivity among citizens, a willingness to accept the dictates of the state without protest.
The de-politicizing logic, in turn, focuses on the regime’s social or economic performance, images of law and order, internal security, and material well-being to keep the people satisfied with the regime’s output. (337)
This is the "chicken in every pot" strategy. And, strangely enough, de-politicization also seems to be a part of GOP strategy today. Many US citizens are strangely passive when it comes to Donald Trump's shameless lies, his well-known pattern of sexual harassment, his brutal mistreatment of immigrant children, and his scoffing indifference to the rule of law.
Here is a diagram representing the factors involved in Gerschewski's analysis (kl 554).
The relevance of Gerschewski's treatment of the chief strategies of authoritarian regimes (and aspiring authoritarian parties) to contemporary US politics is evident. But it is also interesting to consider the applicability of Gerschewski's theory to Vladimir Putin's Russia. Repression, legitimation, and cooptation all have visible roles in Russia today. Opponents of the war against Ukraine are treated harshly in the streets; massive propaganda efforts are made to legitimate Putin's goals through appeal to "Russian nationalism and destiny"; and cooptation is plainly an important ongoing process in managing military, political, and oligarch circles. As Gerschewski puts the point,Coups remain the most frequent way that an autocracy ends. To maintain intra-elite unity, therefore, has been, for good reason, at the core of the most recent explanations of autocratic regime stability. (524)
Gerschewski offers a theory of authoritarian regime stability; but he also wants to test this theory. This he attempts to do by considering a wide range of cases. In particular, he examines authoritarian regimes in East Asia to assess whether the strategies and constituencies he hypothesizes are to be found empirically in these heterogeneous cases of authoritarian rule. This work involves a comparativist methodology. Gerschewski provides "individual case narratives" for forty-five regimes. Each case attempts to estimate the "stability" of the authoritarian regime in question, and Gerschewski methodically examines each case with regard to the strategies chosen for managing conflict and destabilization from citizens, opponents, and elites.
The Two Logics of Autocratic Rule is an important book on several levels. Methodologically, it makes a strong effort to provide empirical evaluation for a broad theory of autocratic regime stability, using the methods of comparative research. Substantively, it can be seen as a sort of converse to Levitsky and Ziblatt's book How Democracies Die, in that Gerschewski's topic is "how autocracies survive". And finally -- though this is not an application pursued by Gerschewski himself in this book -- it can be seen as a field guide for understanding many of the political choices of anti-democratic far-right parties within functioning liberal democracies like the GOP today.
It is a terrible picture, if you care about the equal worth of all citizens, and a commitment to full and extensive liberties for all. Reproductive rights are suddenly limited; rights of freedom of thought and expression are limited; groups of citizens are singled out for punitive treatment, including LGBTQ and trans people; voting rights for urban people and people of color are deliberately limited; teachers, librarians, and faculty are intimidated from teaching and speaking independently.
How are we to understand all of these regressive uses of state power? Here is a very plausible thought: They represent an incipient authoritarian imposition of Christian nationalist ideology on the whole of our society. And what is this, if not an early stage of Orbánism in America? It seems evident that numerous Republican-dominated states have already taken clear steps in that direction. Is the soft authoritarianism of today's Hungary the future of political life in the United States? What will it take to restore democratic freedom and equality in our country?
Unaffected by military sociology, the Holocaust historian Christopher Browning, in his 1992 book on the German Police Battalion 101, nevertheless illuminated how group pressure, a basic feature of comradeship, enabled the perpetration of the Holocaust. While not explicitly addressed in Browning's book, comradeship again does not appear as the epitome of altruistic solidarity but as the engine of evil per se, deeply ingrained in the machinery of Nazi terror. Widely praised in Germany just as in America and other parts of the world, the book's argument thus yet raised concerns among readers who still appreciated comradeship as a core virtue of soldiers. An officer of the German Bundeswehr, for instance, warned about generalizing Browning's findings. The social psychology of Himmler's murder troops had nothing to do with the military virtue of comradeship, he clarified. Instead, he said, Himmler's men had “completely perverted this concept of dedicated commitment between soldiers.” (4)
Kühne's research depends on a very engaging combination of relevant sociological theory and careful analysis of letters and interviews of soldiers and veterans. He regards "comradeship" as both myth and sociological reality -- myth, in that its themes of heroic masculinity were romanticizations of the realities of a soldier's life, and reality, in that some core values of "comradeship" served both to motivate and to constrain the conduct of individual soldiers in the Wehrmacht. The value system of comradeship implied a strong degree of compliance with the group:
The benefits of comradeship were reserved for those who surrendered their Selves, their individual desires and their agency, to the group of comrades. The myth of comradeship leveled the ground for a conformist ethics that honored only what served group cohesion and denounced the concept of individual responsibility. (11)
And Kühne emphasizes the moral ambiguity of the concept of comradeship:
Once widely accepted as the epitome of altruistic solidarity and cooperation, of moral goodness, of humaneness per se, the concept came, by the end of the twentieth century, to be seen as a euphemism for criminal complicity and cover-ups – for collectively committed, clandestine evil. (12)
The hard question here is the question of motivation: to what extent did the meanings and values of "comradeship", solidarity with one's comrades, lead to both courage and atrocity? And to what extent was the value system of comradeship a coercive social order for soldiers in the Wehrmacht, creating a powerful set of pressures to conform even when the actions of the unit were atrocious?
Here is a passage that captures much of the psychology and mental state/identity that Kühne identifies with “comradeship” from the Wehrmacht.
A few weeks before the Third Reich collapsed, Kurt Kreisler, a thirty-three-year-old NCO fighting in the East against the Red Army, seemed to be in the best of moods. Most of his comrades had been killed in action, but there was something that made up for mass death all around him, he wrote in a letter to his parents in Baden. Social life trumped physical death. Only recently the shrunken battalion — merely 150 soldiers — had successfully defeated a Soviet detachment of 1,000 men. The mood of his outfit “couldn’t be better,” he wrote. Although assembled only shortly before, they got along splendidly. Immediately becoming “the best of friends” with men one had never known before induced a feeling of great community that became stronger the more devastating the nation’s future looked. Kreissler’s conclusion in February 1945 was: “We want to stick together, we want to fight together, or we want to get wounded together — that’s what we are longing for.” (107)
(Kühne notes a few pages later (114) that Kreisler was not typical or ordinary at all; he had been a salaried Hitler Youth leader, and had volunteered for the army at the advanced age of 28.)
Kühne links the thoughts expressed in Kreisler's letter to the work of Edward Shils and Morris Janowitz in their sociological explanation of small-group cohesion in combat units. They quote CH Cooley’s earlier ideas about small group identities: the theory that intimate face-to-face associations of primary groups enable “a certain fusion of individualities in a common whole so that one’s very self … is the common life and purpose of the group … a ‘we’ that is built on ‘sympathy,’ ‘mutual identification’ and ‘intimacy.’”. But, as Kühne notes, this theory paradoxically cleanses the typical Wehrmacht soldier of a Nazi or racist identity; it is loyalty to the small group rather than devotion to Nazi ideology that motivated the typical soldier, they imply. The Shils-Janowitz interpretation was challenged by Omer Bartov, who attributed soldierly solidarity to other factors: “the racist demonization of the enemy in the East; the harsh discipline; and ‘de-modernization of the front’ — the animal-like material conditions of the soldiers — which brutalized and barbarized them…. In Bartov’s view, the Wehrmacht was by no means an apolitical, ‘normal’ army but exactly the opposite: deeply Nazified, a crucial engine of the Nazis’ genocidal project” (109).
Kühne prefers an approach that includes both the psychological processes of “primary group solidarity” and the macro-institutional processes of military discipline, patriotic symbols, and virulent anti-semitism to explain the “fighting spirit” of Wehrmacht soldiers even after all hope of victory had vanished. And he suggests that the concept of “comradeship” encompassed both levels: “Comradeship as understood by many Germans in the interwar and Nazi period aligned and reconciled primary group bonding and secondary symbols of national unity” (111).
The Wehrmacht united 17 million German men of different, though mostly younger, ages; of urban and rural backgrounds, and of all social classes; of all political and ideological camps, from Nazis to conservatives, liberals, Social Democrats, and even communists; of all religious and non-religious creeds (including some Jews, who managed to hide in the Wehrmacht); and of course of enormously different personalities; men who had embraced the Hitler Youth or other sections of the German youth movement, and those who would have preferred to pursue their own careers and enjoy their private lives as husbands and fathers. To whom did comradeship matter, and in what ways? (113)
Kühne emphasizes the sociological observation that “communities” often depend on a clear definition of “others” to whom they are antagonistic — the role played by anti-Semitism and anti-Slav ideology within the Nazi ideological system.
Comradeship was a set of concentric circles, pulling men into face-to-face communities and into “secondary,” anonymous and imagined groups such as the entire army, the mystic community of fallen soldiers, and the Volksgemeinschaft. The military discourse on social relations and social cohesion in interwar Germany had supported this idea of comradeship. (134)
Comradeship in combat is one thing; but Kühne links the social motivations of comradeship to atrocity and genocide as well.
Without the Wehrmacht’s support, the Einsatzgruppen — the SS and the police — often in conjunction with local collaborators, could not have killed more than a million Jews. Wehrmacht headquarters registered the Jews of a conquered region or city, forced them to wear visible identification, and concentrated them in ghettos. Wehrmacht units rounded them up and herded them to the execution sites, which the soldiers then shielded from public view, or they took bizarre pleasure in watching the spectacle. Individual soldiers or entire units joined in when the shootings started…. Some Wehrmacht soldiers took pleasure in murdering civilians, or at least they carried out the tasked they had volunteered for as cynically and cold-bloodedly as SS men, police officers, and local collaborators did. (142)
But Kühne suggests that Nazi ideology never achieved the total domination it sought of the inner lives of the millions of soldiers under arms:
Despite all indoctrination efforts by the regime, this ideological, political, and cultural diversity [across individual soldiers] still survived in Third Reich society, and subsequently also in the Wehrmacht, which reflected society. (142)
Nonetheless, he suggests that Nazi ideology held by officers was a decisive factor in determining whether a given Wehrmacht unit engaged in murder of Jews:
When it came to taking action against Jews or other civilians, it was often the ideological disposition of the commanding officers and the choices they made that decided whether or not a Wehrmacht unit collaborated in mass murder. (143)
Two opposing value systems directed the Wehrmacht soldiers’ choices: on the one hand, the universal virtues of human compassion and pity for the weak, enjoining mercy for the unarmed civilian and a defeated enemy; on the other hand, the harsh racist ideology that denounced the idea of universality and demanded, as Himmler put it, an “ethics” that complies “solely with the needs of our people. Good is what is useful for the people, evil is what damages our people.” (143)
He notes that some soldiers and officers acted on the basis of compassion. For example:
When the commanders of three parallel companies of Infantry Regiment 691 … were ordered by their superiors to kill the Jews in their respective districts, only one of them, Reserve Lieutenant Sibille, a forty-seven-year-old teacher, refused to carry out the order, explaining that he “could not expect decent German soldiers to soil their hands with such things” as the killing campaigns of the Einsatzgruppen. Asked by his superior when he would finally become “hard,” Sibille answered: “in such cases” — when it was to murder Jewish civilians including women and children — “never.” (142-143)
So far comradeship was joined with military success. But the Barbarosa campaign soon turned into a disaster for the German armies. How did comradeship survive during the collapse of the Wehrmacht?
In the last two years of the war, comradeship did not vanish but it was altered. Solidarity, humanity, and tenderness in the face of mass death gave way to a new, Nazified idea of collective identity. there may still have been a few efforts by soldiers to preserve humanity in the midst of the violence but this kind of comradeship was increasingly overshadowed by a new type of bond, one that was driven by cynicism rather than care and tenderness…. Comradeship denoted inclusion, belonging, solidarity, and togetherness, but its reality depended on its opposite, the Other, the foe — exclusion. The Other could be the overwhelming enemy soldier or the denigrated enemy civilian. (170-171)
Earlier posts have considered some of the themes that have been prominent within empirical psychology of morality. How do Kühne's findings relate to those themes? As noted above, there are suggestive parallels between Kühne's research and that of Christopher Browning in Ordinary Men. But there are a number of important convergences with the literature in moral psychology as well. Here are a few:
These observations can be tied back to the primary areas of research in moral psychology identified in Ellemers et al review of the field of moral psychology (link): moral reasoning; moral judgments; moral behavior; moral emotions; and moral self-views.
Finally, Kühne's research complements the work of Kristen Monroe in "Cracking the Code of Genocide: The Moral Psychology of Rescuers, Bystanders, and Nazis during the Holocaust" (link) in its detailed use of first-person documents created by Wehrmacht soldiers and veterans. These letters, diaries, and other personal writings give important insight into the mentalities of the diverse men who served in Hitler's armies -- from the former Hitler Youth leader Kurt Kreisler to the refusenik Reserve Lieutenant Sibille -- and who served in Hitler's genocidal wars. It is worth considering whether Monroe's theory of the mentalities of genocider, bystander, and rescuer finds support in Kühne's account.
So it is worth asking how much we can learn about real everyday moral behavior from the empirical research psychologists have done on these questions to date. What insights can we gain from empirical research into the question, “why do people behave as they do in ‘morally’ salient circumstances”? And of particular interest — are there findings that are useful for understanding the behavior of “ordinary people” in times of catastrophe?
Naomi Ellemers, Jojanneke van der Toorn, Yavor Paunov, and Thed van Leeuwen's "The Psychology of Morality: A Review and Analysis of Empirical Studies Published From 1940 Through 2017" (link) provides a large literature review of research in the psychology of morality since 1940. Based on content analysis of almost 1,300 research articles. published since 1996, they have classified research topics and empirical methods into a small number of categories. Here is a cluster graph of their analysis.
Empirical approaches and measures: The authors find several fairly distinctive empirical approaches to problems in moral psychology. Most of these approaches primarily make use of self-reports and questionnaires by subjects in response to morally relevant questions. Topics include —
The bulk of these studies rely on correlational analysis. Some of the research papers reviewed make use of controlled experiments in which a set of controlled laboratory circumstances or a series of questions are presented to the subject, and the researcher hopes to discover causal relationships based on variations in behavior resulting from changing experimental conditions. (It is striking that neither of the most famous experiments on moral behavior are mentioned or placed within the conceptual structure of the authors' findings: the Milgram experiment and Philip Zimbardo's Stanford Prison Experiment.)
Ellemers et al further differentiate studies of morality according to the level of mechanism that is the primary object of investigation: intrapersonal, interpersonal, intragroup, and intergroup mechanisms. Here is their brief summary of these levels of mechanisms:
(a) research on intrapersonal mechanisms, which studies how a single individual considers, evaluates, or makes decisions about rules, objects, situations, and courses of action; (b) research on interpersonal mechanisms, which examines how individuals perceive, evaluate, and interact with other individuals; (c) research on intragroup mechanisms, investigating how people perceive, evaluate, and respond to norms or behaviors displayed by other members of the same group, work or sports team, religious community, or organization; and (d) research on intergroup mechanisms, focusing on how people perceive, evaluate, and interact with members of different cultural, ethnic, or national groups. (342)
Here is their tabulation of "number of publications" classified by mechanism and research theme.
"Intrapersonal" mechanisms are the predominant object of research in all research areas except "Moral judgments", and "Intragroup" mechanisms are least frequently examined across the board.
The authors identify three "seminal publications" in the field of the psychology of morality: Haidt 2001, Greene et al. 2001, and Jost, Glaser, Kruglanski, and Sulloway 2003. They also provide the top three seminal publications for each research area. These are selected based on the total number of citation each article received.
This article succeeds in providing an abstract map of topics, methods, and levels of analysis across a reasonably comprehensive set of research articles published between 1960 and 2017. The extensive list of references the authors provide is a course in itself on the current state of empirical moral psychology. (Interested readers will also find much relevant discussion in Hellemers' monograph, Morality and the Regulation of Social Behavior: Groups as Moral Anchors.)
Two other articles are worth considering on the question of how we should go about trying to understand "human morality and moral behavior" using empirical methods.
Kristen Monroe's "Cracking the Code of Genocide: The Moral Psychology of Rescuers, Bystanders, and Nazis during the Holocaust" (link) is particularly interesting in connection with the problem of understanding how "ordinary people" can commit evil actions. Her article provides both a useful survey of a large literature of social-psychology studies of individual genocidal behavior, and her own original research based on close analysis of extensive interviews with genociders, bystanders, and rescuers. Especially important among the sources included in Monroe's literature review is The Courage to Care (Rittener, C., & Myers, S. (1986)), which provides a large collection of Holocaust-era survivor interviews from each category. Monroe's 2012 monograph Ethics in an Age of Terror and Genocide: Identity and Moral Choice goes into more extensive detail on the main findings of "Cracking the Code of Genocide" concerning what we can learn from interviews with participants about the nature of moral conduct.
Most interesting is Monroe's own work in which she performs detailed analyses of 100 interviews in order to identify underlying themes and psychological factors. She uses "narrative interpretive analytic methodology" (706) to sort out factors of psychological importance. Monroe's analysis finds that there are distinctive differences in self-images, worldview, and cognitive classifications (700) across these three groups of participants.
A narrative interpretive analysis of in-depth interviews with bystanders, Nazis, and rescuers of Jews during the Holocaust reveals the intricate but critical importance of psychological factors in explaining behavior during genocides.... Bystanders see themselves as passive people, lacking in control and low in efficacy. The Nazi self-image is as victims who need to protect themselves and their community. Rescuers consider themselves connected to all human beings through bonds of a common humanity. The rescuers' idealized cognitive model of what it means to be a human being is far more expansive and inclusive than the model employed by bystanders or Nazis. (700)
She offers six major findings:
Gabriel Abend looks at the field of moral psychology from the other end of the telescope in "What the Science of Morality Doesn’t Say About Morality" (link). He provides a literature review the current research area in moral psychology that aims to discover a neuroscience analysis of morality. This field of research program attempts to provide neurophysiological correlates with moral judgments. "What brain areas are “activated,” “recruited,” “implicated,” “responsible for,” or “associated with” making moral judgments?" (162). Abend's article provides a sustained critique of the assumptions in use in this field, and what he regards as its over-emphasis on one small aspect of "morality in everyday life": the question of moral judgment. Against the idea that this line of research constitutes the whole of a "new science of morality", Abend asks for methodological and theoretical pluralism. "I call for a pluralism of methods and objects of inquiry in the scientific investigation of morality, so that it transcends its problematic overemphasis on a particular kind of individual moral judgment" (abstract).
The complex realities of the Holocaust are now more than seventy-five years in the past. And yet the history, causes, and variations of this nightmare period have not yet been adequately understood (link). An excellent recent volume makes the case that social scientists -- political scientists, sociologists, demographers, economists -- potentially have much more to offer than they have done to date. In Politics, Violence, Memory: The New Social Science of the Holocaust, Jeffrey Kopstein, Jelena Subotić, and Susan Welch have assembled a rich collection of articles from current social-science research that illustrates the value that social science perspectives can bring to understanding the complex events that make up the Holocaust. (Here is an earlier post summarizing historians' silence about the Holocaust following the end of World War II; link.)
The editors' introduction provides an analysis of the incentives of the disciplines of the social sciences to account for the relative neglect of questions surrounding the Holocaust in political science, sociology, and demography in the 1960s through the 1980s and 1990s. The topic was likely to be considered an "area study", far from the methodological and theoretical orthodoxies of the established social science disciplines. It was a "special case" and not amenable to the large-scale generalizations preferred by social-science methodologies at the time.
Within political science in particular, perhaps nothing illustrates the delay in taking up the Holocaust as an object of study more poignantly than the fact that the first panel in the history of the annual meeting of the American Political Science Association devoted entirely to the subject appeared in the program only in 2011. (p. 19)
What can social scientists bring to contemporary Holocaust research? A key underling theme that runs across many of the essays is the idea that we should approach the Holocaust, not as a single unified event, but as a series of parallel and geographically and nationally separated events and processes. Here is a formulation of this idea by the editors in their introduction:
Charles King elaborates on his idea that the Holocaust is best seen by social scientists as a series of events, shaped in large part by local actors attuned to their own circumstances and institutions alongside the state strategies of the occupying power. He also highlights the Holocaust as a product of interstate collaboration and competition, the dynamics of which greatly affected outcomes in different nations. (p. 30)
Here is King's own formulation of the idea:
The macrohistorical phenomenon is so large and multilayered that a social science of it seems meaningless, or perhaps too meaningful. The Holocaust is thus best seen not as a single “case” but as a macrohistorical matrix of highly variable forms of mass killing, resistance, and survival. Recent work within Holocaust studies and an emerging literature offering social scientific insights on the Holocaust itself have revealed a vast field of variation—from the identity of perpetrators, to the possibility of resistance and survivorship, to the evolution of mass killing as state policy. (p. 43)
And Daniel Ziblatt summarizes this approach in his concluding essay in these terms:
Recently, historians have pushed back against this narrative with more fine-grained attention to local and decentered unfolding of events (Gross 2001; Bartov 2018). This volume represents a sustained effort of social scientists to join this conversation. This happens at a moment when not only social scientists but also historians have moved to the micro. At the core of this intellectual convergence is the proposition that the Holocaust is not simply to be thought of as a single “case” or “singular event” that occurred between 1933 and 1945, directed by the hierarchical German Nazi war machine. Instead, King (chapter 1) and the other authors suggest that the Holocaust should be conceived of as a process of (1) disparate events—mass killings, pogroms, forced migration, resistance, and survival; in which (2) multiple types of actors—perpetrators, victims, and bystanders— participated; all in (3) multiple locations—far from Berlin, and outside of German-directed concentration camps, and instead spread across the diverse landscape of both urban and rural communities in Central and Eastern Europe. (pp. 454-455)
The idea here is that it is valuable and insightful to examine the regimes of killing encompassed by the Holocaust at a range of levels -- macro, meso, micro; geographical; bureaucratic/military/organizational; gender; and other dimensions as well. And contributors argue that this strategy of disaggregation permits comparison across cases that sheds light on the behaviors, capacities, and outcomes that were present in different locations -- Lithuania, Hungary, or Denmark, for example.
This approach is similar to an important stream of research in historical sociology: comparative historical sociologists and new institutionalists who seek to understand the meso-level social arrangements that differentiate across apparently similar cases. This preference flows from an assessment of where the causal action is to be found: not at the grand level of macro-structures, but at the intermediate and contingent level of meso-level social processes and arrangements. It is a methodology that directs our attention to the social mechanisms through which outcomes of interest have arisen, and also account for the variations across episodes that we can observe. (McAdam, Tarrow, and Tilly make this point in Dynamics of Contention.)
The thrust of King's chapter, echoed in many other contributions, is that we can fruitfully seek out causes of mass killings in the borderlands (Ukraine, Belarus, Lithuania) by understanding the chronology, location, and population details of various episodes, and then engaging in careful comparison across cases to sort out what appear to be operative social influences (or what we might also call social mechanisms). How did mass killings by civilians vary across instances in ways that can be associated with factors like religious affiliation, existence of inter-group relationships, ideology, economic duress, and other factors?
This approach affirms that there were certainly macro-level causes at work -- German state policy and military decision-making -- but that these macro-level actions did not uniquely determine the outcomes. Both Eugene Finkel and Jeffrey Kopstein argue in their chapters for the importance of episode-specific factors in seeking to understand the ways that different locations displayed different patterns of resistance and mass murder. Kopstein's comparison of the occurrences of pogroms in 1941 in Lithuania and Ukraine illustrates the point. He asks:
What, then, was the meaning of the pogroms of summer 1941? Why engage in these exercises in public humiliation and brutality? Let us return to the simple statement made at the outset of this chapter: pogroms occurred in less than 10 percent of the localities in Western Ukraine where Jews resided. In other places, pogroms either were stopped, in many cases by local Ukrainian heroes, or never got off the ground in the first place. What distinguished these two very different kinds of localities? (p. 180)
Jan Burzlaff's contribution offers an historian's appreciation for the importance of finding a level of analysis that is neither too general nor too particular:
The second chief benefit for historians stems, I believe, from the close attention that social scientists pay to variations, paving the way for a middle ground between law-like regularities and historians’ attention to specificity. It is a truism that the Holocaust unfolded very differently across various countries, regions, even cities—hence the importance of understanding both Nazi policies and social processes on the ground (Bloxham 2009). The combination of different scales of analysis not only allows for a more careful understanding of how local and communal factors played a role in the Holocaust’s unfolding, but also dismisses one-size-fits-all approaches to the origins and variety of Nazi violence and—above all—the absence of neighbor-on-neighbor violence in specific communities (Bartov 2018). (p. 100)
In addressing the facts of the Shoah, it is crucial for historians and social scientists to fully recognize the depth of the human catastrophe that the Holocaust represented. This is one reason why there has been a continuing debate over the question of whether it is ever legitimate to compare the Holocaust to other horrific instances of genocide (link). King addresses the issue of comparability in an appropriate way:
It is fully possible to accept the uniqueness of the Holocaust as a world-historical event while also fruitfully comparing each of its myriad components with their cognates elsewhere: the relationship between ideology and purposeful killing, the origins of genocidal state policy, collaboration and denunciation, the politics of military occupation, rescue and resistance, the dehumanization of noncombatants, the political economy of violence, and survivorship and the politics of memory, among many others. (p. 57)
...
The problem with this view is that it too easily glides over the ethics of comparison, the morality of “modeling” human suffering, and the ultimate purposes for which scholars willingly delve into awfulness. After all, the comparison of discrete human experiences is never a cavalier exercise, especially in the realm of violence, loss, and death. The systematic and thorough nature of Nazi practice still places the Holocaust in a peculiar moral category. Its scale was gargantuan. It involved the purposeful killing of millions of individuals as well as the extinguishing of an entire civilization—the culture of the East European borderlands rooted in Jewish religiosity and the Yiddish language. It flowed from an ideology that was not just distasteful but fundamentally abhorrent, one that marshaled science and history to condemn an entire human population to elimination—in theory, anywhere its members happened to live on the entire planet. It produced social, political, cultural, and economic consequences that are still unparalleled. The Holocaust can still be a moral category of one even when specific episodes of violence, the tactics of perpetrators and heroism of resisters, and importantly the social scientific patterning within this world-historical event turn out not to be unique. The sum of every massacre, pogrom, shooting, and gassing within the Holocaust still does not quite equal the Holocaust. (pp. 79-80)
Politics, Violence, Memory provides a valuable demonstration of the importance of confronting various aspects of the Holocaust using methods and theories from the social sciences. One can only hope that it will help to bring studies of the Holocaust into the mainstream of the social sciences. It is a vast and tragic reality that we have not yet adequately understood or internalized.
(Here are two other interesting and innovative contributions to new social science research on the Holocaust: Geographies of the Holocaust, edited by Anne Kelly Knowles, Tim Cole, and Alberto Giordano, and Morality in the Making of Sense and Self. Stanley Milgram’s ‘Obedience’ Experiment and the New Science of Morality, edited by Matthew Hollander and Jason Turowetz (forthcoming).)
The election of Donald Trump in 2016 presented mainstream America with a shocking wakeup: right-wing extremism, with its dimensions of Christian nationalism, white supremacy, racism, and anti-LGBTQ bigotry, had somehow wound up on the carousel, and was now in control. This shouldn't be a complete surprise, since the Tea Party and the rantings of Pat Buchanan in the previous decades had written many of the scripts of the president with the orange hair. But we need to know more about how the extreme right came to be a mainstream political ideology.
Matthew Dallek's Birchers: How the John Birch Society Radicalized the American Right provides one important strand of that background. Dallek argues that the John Birch Society managed to deeply radicalize the Republican political movement from its founding in 1958 to the 2010s. Dallek provides a narrative of the formative years of the Birch Society in the 1950s when activists like Robert Welch marketed an extreme anticommunism among wealthy, conservative businessmen (often including leading members in the National Association of Manufacturers). A striking feature of this story is the speed and virulence with which right-wing activists established new chapters of the John Birch Society in cities throughout the country. And it was largely a white-collar and professional group of men and women who became true believers.
By the time of the assassination of President John F. Kennedy in 1963, the society had declared itself around strident themes of anticommunism, opposition to the civil rights movement, alliance with segregationist politicians (p. 99), alignment with fundamentalist Christian groups, conspiracy theories (fluoridation of public water supplies), and unhinged attacks on school teachers and libraries thought to harbor "un-American" ideas. When the struggle for civil rights intensified in the 1960s, Dallek documents the alliances that existed between the Birch Society and the segregationist governors George Wallace and Lester Maddox (191, 199).
What is especially striking about the account Dallek offers is the "no-holds-barred" tactics used by the Birch Society in attacking its enemies. Ruining careers, threatening violence, and making unfounded accusations against their opponents were all in a day's work for this movement completely certain of its moral correctness. The recklessness and malevolence of Joe McCarthy continued in the Birch Society.
Dallek's narrative makes it apparent that there is a great deal of continuity from the early political extremism of the John Birch Society and contemporary right-wing GOP talking points -- anticommunism, conspiracy theories about public health measures, the language of white supremacy, xenophobia, and a propensity towards guns and violence. And, as Dallek demonstrates, many of these themes became talking points for Donald Trump in his first presidential campaign, and central to MAGA political speeches. But there is another similarity as well -- the behind-the-scenes alliances that existed in 1958, and continue to exist today, between highly wealthy donors and the political strategies of extremist politicians.
Pat Buchanan was not a member of the John Birch Society, so far as I know. But his influence as a far-right advocate of conservative issues -- as an opinion writer, as a presidential assistant, as a speech writer for Nixon and Agnew, and as a serial candidate for President -- has been enormous within the US conservative movement. A scan of the quotes on his official webpage illustrates these themes: Christian nationalism, extreme anti-abortion advocacy, Great Replacement Theory, racist fear of "dependent Americans", anti-immigrant bigotry, rejection of equality of citizenship, fundamental mistrust of the Federal government, anticommunism, anti-Muslim bigotry, and an apocalyptic view of the future of America. Here is one quotation from State of Emergency that encapsulates Buchanan's worldview:
If we do not solve our civilizational crisis — a disintegrating culture, dying populations, and invasions unresisted — the children born in 2006 will witness in their lifetimes the death of the West. In our hearts we know what must be done. We must stop the invasion. But do our leaders have the vision and will to do it? (State of Emergency)
Buchanan ran for the GOP presidential nomination in 1996. And, as a contemporary Newsweek profile put it, he ran on a platform of fear, mistrust, and hatred (Newsweek, March 4, 1996). Here are the closing paragraphs of the profile, illustrating Buchanan's "ethnonationalism".
Last week on CBS Radio, Buchanan defended his columns that helped free wrongly accused Nazi war criminal John Demjanjuk as "the best journalism I ever did." The critics were "fly-specking," he said. But in his March 17, 1990, column on Demjanjuk, the mistakes were hardly trivial. In arguing that diesel-engine gas could not have killed the Jews at Treblinka, Buchanan ignored evidence of deadly Zyklon B gas at Treblinka (where more than 850,000 Jews died), accused survivors of "group fantasies of martyrdom and heroics" and essentially bought the line of those who minimize the Holocaust.
His old words on immigration may pose an even larger problem in the campaign. "The central objection to the present flood of illegals is that they are not English-speaking white people from Western Europe, they are Spanish-speaking brown and black people from Mexico, Latin America, and the Caribbean," he wrote in 1984, stressing that the issue is "not about economics." (26)
(Here is the entry on Treblinka on the United States Holocaust Memorial Museum website. The historical evidence concerning the use of diesel-engine carbon monoxide as a lethal gas at Treblinka is unambiguous, and was documented in Vasily Grossman's initial reporting on Treblinka in 1944 in The Hell of Treblinka; link.And here is an article Dallek contributed to the Atlantic that does a good job of formulating his key findings; link.)
An earlier post offered what is for me a fairly large change of orientation on fundamental questions of social ontology: a conviction that the concept of ontological individualism is no longer supportable. My concern there was that this phrase gives too much ontological priority to individual actors; whereas the truth about the social world is more complex. Individuals are indeed the substrate of social structures and entities, but social entities are in turn constitutive of individual social actors.
The implication is that our social ontology needs to give equal priority to both actors and structures. But how can we make sense of these three ideas in a non-paradoxical way:
The most compelling answer will sound a bit foreign to analytically-trained philosophers, but it seems inescapable: actors and structures are linked in an inseparable loop of mutual influence over time, with both actors and structures dependent on the current ensemble of “actors-within-structures” within which they have developed, changed, and persisted. The social world is thus inherently “fluxy”, reflecting unpredictable changes in all its elements at the same time. This implies a vision of the social world that is radically different from the ancient Greek idea of “atomism”, where unchangeable “atoms” constitute more complex wholes. In this view, both parts (actors) and ensembles (structures) take on their current properties as a result of the properties of actors and ensembles in the recent past. (That’s what makes this a diachronic view of social ontology.) I can imagine Heraclitus applauding, given his cryptic suggestions about flux and patterns.
This view has radical ontological implications. For one thing, neither actors nor structures have “essential natures” or fixed and unchanging properties. Rather, the properties of structures are determined by the past and present actions and thoughts of actors and prior characteristics of structures; while the mental characteristics of present actors are shaped by the ambient social arrangements within which they develop. (We must concede that there is a biological precondition: human beings must be the kinds of “cognitive-practical machines” that can embody very extensive change.) Further, actors are influenced by ambient structures (external causes); but a given generation of actors is capable of genuine innovation and creativity (internal causes). And likewise, structures are modified by generations of actors (external causes); but structures also create opportunities for structural innovation (internal causes).
A second implication is that neither form of simple conceptions of causal determination is at work: bare individuals do not “determine” the workings of structures, and abstract structures do not “determine” the features of social agency and identity possessed by a generation of actors at a time. Both actors and structures are influenced by features of the other; but influence is not the same thing as determination.
A third implication is that the fact of interaction over time (history) is crucial for understanding the nature of social change. At a given moment in time we find a (contingent) stock of actors and structures. Through their current mental frameworks, actions, and strategies, the actors influence the future development of the structures — whether by supporting their persistence or by introducing changes into their workings. Simultaneously the current structures influence the development of the mental frameworks, normative schemes, and practices of the actors — sometimes by largely reproducing the features of actors of the recent past, and sometimes by contributing to major shifts in identity, mental framework, and social dispositions.
For given explanatory purposes we can begin our analysis of actors-within-structures at a moment in time. So, for example, we can attempt to explain several centuries of change in the Roman Empire by beginning with Augustus; investigating the public and private mentality of Romans at the time; and investigating the specifics of the institutions of power that existed in public and military institutions at the time. But the story will then unfold with a dynamic interplay between changing institutional arrangements and changing mentalities. The processes of change described here are extended over time, and they imply a high degree of contingency in the directions of change and persistence that are induced. The extended “system” of actors-embedded-in-current-structures evolves in unpredictable ways. And this is an inherently diachronic process; it is crucial for social explanations to reflect the iterative process of influence that is at work over time.
These observations imply at least four pathways of social causation — none of which is prior to the others.
There is another important fact to keep in mind. This is the fact of heterogeneity of both structures and actors. Roman institutions were heterogeneous across space, and Roman mentalities were heterogeneous across social groups and other differentia. This point is worth emphasizing:
The “Protestant Ethic” was not a single unitary social-cultural framework across the face of Europe, and capitalist economic practices were not the same in Sweden as in Italy. Likewise, the identities and mental frameworks of individual actors and populations of actors differ across time and space. So instead of a simple causal relationship — “The Protestant Ethic diffused Europe and produced economically rational actors” we have a complex causal relationship — “A range of instantiations of post-Catholic Christian daily culture existed across Europe and produced a range of instances of social actors”.
All of this is somewhat abstract. But it coheres well with the approach to institutions, actors, and change taken by Kathleen Thelen and other new institutionalists in historical sociology. The view of institutional change offered by Mahoney and Thelen in Explaining Institutional Change is instructive. For example:
Exactly what properties of institutions permit change? How and why do the change-permitting properties of institutions allow (or drive) actors to carry out behaviors that foster the changes (and what are those behaviors)? How should we conceptualize these actors? What types of strategies flourish in which kinds of institutional environments? What features of the institutions themselves make them more or less vulnerable to particular kinds of strategies for change? (3)
And the malleability of the actor herself is emphasized as well:
If institutions involve cognitive templates that individuals unconsciously enact, then actors presumably do not think about not complying. (10)
Almost by construction, then, ChatGPT cannot have a meaningful and directed conversation about a given topic. Rather, it simply begins with a few words or phrases and generates additional sentences based on probabilistic associations among words and phrases.
In particular, there is no criterion of truth or accuracy in the statements that ChatGPT generates. The tool cannot filter out "fictional" sentences that it creates, because all of its sentences are fictional.
Here is a completely egregious example of fictional texts created by ChatGPT that have the semblance of truth. Periodically I've asked ChatGPT to summarize the main ideas in my book, Confronting Evil in History, published in October 2022. Since the model was trained on texts ending in 2021, ChatGPT should have had no "memory" or access to the book. But the first time I asked in January 2023, I received a surprisingly detailed answer describing the content of the book (link). In subsequent weeks I got a non-response along these lines:
I'm sorry, but I don't have information about a book called "Confronting Evil in History" by Daniel Little. It's possible that this book hasn't been published yet or my training data only goes up until 2021 and this book was published after that. Can you please give me more context or provide a different question?
Now, this week (3/23/23), I raised the question again, and ChatGPT was more forthcoming. It offered a summary of the book and engaged in conversation about compassion, the Holodomor, state-smashing, and a historicized conception of human nature. So far, so good. I then asked:
DL: Can you give me some quotes from Little's book that explain "historicized theory of human nature"?
Certainly, here are a few quotes from "Confronting Evil in History" that help explain Little's concept of a "historicized theory of human nature":
These are plausible sentences that might have occurred in the book. But there is a hitch: none of these quotes actually appears in the book. None of them is a genuine quotation. (In fact, the book is only 68 pages long, so the quote from p. 97 is doubly fictitious.)
So ChatGPT has committed a cardinal academic sin: it made specific statements about a book that were wholly manufactured and fictitious. If it were a human author it would be guilty of serious academic fraud. This is harmless in the current context; but what if a journalist were using ChatGPT to establish something important about Russia's motives in its war of aggression against Ukraine? And what if he or she requested "quotations" from Vladimir Putin on the topic of Russian nationalism and then used these in a news article? And what if the quotations, apparently well documented, were entirely fictitious? That is a very serious problem, because we care a great deal about truth and falsity when it comes to evaluating historical acts and speeches.
Here is one other egregious example of ChatGPT's mendacity. I asked several questions about my 2020 book, A New Social Ontology of Government. and ChatGPT had "plausible" comments. But then I asked a more specific question:
DL: Are there book reviews of Little's "New Social Ontology of Government"?
Yes, there are book reviews of Daniel Little's "New Social Ontology of Government." Here are a few examples:
1. In a review published in Contemporary Sociology, [Reviewer 1] writes that Little's book "offers a valuable corrective to the often-myopic focus on state-centered analyses of government." [Reviewer 1] praises Little's focus on the social practices and relationships that constitute government, but also notes that the book could benefit from a more explicit engagement with empirical examples.
2. In a review published in Philosophy of the Social Sciences, [Reviewer 2] writes that Little's book is a "tour de force" that offers a "sophisticated and nuanced" account of the nature of government. [Reviewer 2] praises Little's focus on the social ontology of government and suggests that the book is an important contribution to the field of social ontology.
3. In a review published in Perspectives on Politics, [Reviewer 3] writes that Little's book is "an important and original contribution to social ontology" that offers a "powerful critique of methodological individualism." [Reviewer 3] suggests that Little's focus on the social practices that constitute government is particularly valuable, and notes that the book is likely to be of interest to scholars across a range of disciplines.
Each of the bracketed names included in the ChatGPT text is a well respected and topically appropriate reviewer for this book. The journals cited are relevant as well. However, none of these reviews is genuine. ChatGPT has made them up out of whole cloth.
My final exchange with ChatGPT in that session is illuminating:
DL: These book reviews are all fictional. None of them exist.
I apologize for my previous response. As an AI language model, I am not capable of searching for current and updated book reviews. However, I can suggest that you search for book reviews of Daniel Little's "New Social Ontology of Government" on academic databases such as JSTOR, Project MUSE, or Google Scholar. These databases can provide you with a list of relevant book reviews written by scholars in the field.
What is the root problem here? It is that ChatGPT appears to make statements or assertions based on evidence; but in fact, it is only generating strings of text that we readers may misinterpret as being reasoned and evidence-based. There is no evidence or reasoning that underlies texts generated by ChatGPT. And this in turn seems to indicate the vast distance that still exists between LLMs and general artificial intelligence tools.
An especially egregious example was confirmed in 2018 when two former Ford Motor Company executives in Argentina were convicted of crimes against humanity for their cooperation with the military dictatorship in operations leading to the kidnapping and murder of twenty-four labor activists (link). The crimes occurred during the dictatorship of the 1970s, and the trial of executives and military officers culminated in 2018. Here is the summary of facts provided in the New York Times story:
A three-judge panel sentenced Pedro Müller, 87, then a manufacturing director at a Ford factory in Buenos Aires province, to 10 years, and Héctor Francisco Sibilla, 92, then the security manager at the plant, to 12 years for assisting in the kidnapping and torture of their colleagues.
The two executives “allowed a detention center to be set up inside the premises of that factory, in the recreational area, so that the abductees could be interrogated,” according to court papers.
These judicial findings establish the inexcusable behavior of Ford Motor Argentina. The question arises here, as it did in the case of Ford Werke during the Holocaust, the level of knowledge and control possessed by Ford Motor's parent corporation. This question is addressed in the New York Times article as well:
“It is clear that Ford Motor Company had control of the Argentinian subsidiary during the ’70s,” said Mr. Ojea Quintana. “Therefore, there is a direct responsibility of Ford Motor Company and that might give us the possibility to bring the case to the U.S. courts.”
Ford said in a statement the company was “aware of the verdict about the supposed participation of ex-employees of the firm in events related to human rights in the ’70s.” The company added that it “always had an open and collaborative attitude with judicial authorities supplying all the available information.”
It is evident that Ford's corporate position on its responsibility for these atrocities was ambivalent. The statement that the corporate headquarters is "aware of the verdict" is quite different from "FMC acknowledges and expresses remorse for these crimes that occurred in its Argentine subsidiary in the 1970s."
Victoria Basualdo, Tomás Ojea Quintana, and Carolina Varsky address these issues of corporate responsibility in greater detail in "The Cases of Ford and Mercedes Benz", contained in The Economic Accomplices of the Argentine Dictatorship. In their very informative chapter they describe the background of the crimes committed at the Pacheco manufacturing plant in the 1970s: