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Casey Alexandra Kemp
Although in Tibet there is no single text directly referred to as the Tibetan Book of the Dead, this English work is the primary source for Western understandings of Tibetan Buddhist conceptions of death. These understandings have been highly influenced by Western spiritualist movements of the 20th and 21st centuries, resulting in efforts to adapt and synthesize various frameworks of “other” religious traditions, particularly those from Asian societies that are viewed as esoteric or mystical, including tantric or Tibetan Buddhism. This has resulted in creative forms of appropriation, reinterpretation, and misrepresentation of Tibetan views and rituals surrounding death, which often neglect the historical and religious realities of the tradition itself. The Tibetan Book of the Dead is a prime example of such a process. Despite the lack of a truly existing “book of the dead,” numerous translations, commentaries, and comparative studies on this “book” continue to be produced by both scholars and adherents of the tradition, making it a focal point for the dissemination and transference of Tibetan Buddhism in the West.
The set of Tibetan block prints that was the basis for the original publication of the Tibetan Book of the Dead in 1927 by Walter Y. Evans-Wentz (1878–1968) consisted of portions of the collection known in Tibetan as The Great Liberation through Hearing in the Intermediate State or Bardo Thödol (Bar do thos grol chen mo). This work is said to have been authored by Padmasambhava in the 8th century
The Bardo Thödol is essentially a funerary manual designed to guide an individual toward recognizing the signs of impending death and traversing the intermediate state (bar do) between death and rebirth, and to guide one’s consciousness to a favorable next life. These instructions provide detailed descriptions of visions and other sensory experiences that one encounters when dying and during the post-mortem state. The texts are meant to be read aloud to the deceased by the living to encourage the consciousness to realize the illusory or dreamlike nature of these experiences and thus to attain liberation through this recognition. This presentation is indicative of a complex and intricate conceptual framework built around notions of death, impermanence, and their soteriological propensities within a tantric Buddhist program developed in Tibet over a millennium, particularly within the context of the Nyingma (rNying ma) esoteric tradition known as Dzogchen (rDzogs chen). Tibet and other tantric Buddhist societies throughout the Himalaya have developed a variety of technologies for practically applying Buddhist understandings of death, and so this particular “book” is by no means the only manual utilized during the dying and post-mortem states, nor is it even necessarily included in all Tibetan or Himalayan funerary traditions. Nevertheless, this work has captured the interests of Western societies for the past century and has unofficially become the principal introduction not only to Tibetan death rites but also to Tibetan Buddhism in general for the West.
Solomon George FitzHerbert
In both eastern Tibet and in Mongolia, the Buddhist cult surrounding the figure of Ling Gesar (Gling ge sar) or Geser Khan in Mongolian versions is an outgrowth of Gesar’s standing as the eponymous hero of an elaborate oral epic tradition. Today, the epic and the Buddhist cult exist side by side in a relationship of symbiosis. Gesar’s sanctification as an enlightened being—as the combined manifestation of the Three Bodhisattva Lords and as an “emissary” or “manifestation” of Padmasambhava—whose tricksterism is enacted on behalf of the forces of goodness, justice, and the White Side in its perennial battle against the forces of evil, injustice, and the Dark Side—is both an outgrowth but also a source of nourishment for the epic tradition as it has continued to adapt and develop up to our own times.
The Gesar/Geser epic, in all the three main regions in which it survives (eastern Tibet and its neighboring regions, the Mongolic regions as far west as Kalmykia, and Ladakh and neighboring regions), is a living and mobile tradition of oral recitation and improvisation. The available textual corpus of this epic is very large, though none of it is very old (the oldest available epic texts in Tibetan are from the 17th century and in Mongolian are from 18th century). Thanks in part to sustained state patronage in the PRC, there are now over 200 published volumes of non-duplicating Gesar epic narrative and song, mostly from eastern Tibet. A lot of this material is of a directly oral provenance. Many modern volumes are the direct transcriptions (with some editing) of the oral repertoires of contemporary bards, some of which have been very lengthy. To take one example, the recorded repertoire of the bard Samdrup (Bsam grub) (1922–2011) was over 3,000 hours long, much of which has now been published. As for literary versions, the authors of Gesar epic texts often make explicit the debt that their tellings owe to oral renditions that they have heard. The mid-18th-century author of the famous Horling Yülgyé (Hor gling g.yul ’gyed), for example, mentions that he based his telling on the oral repertoires of “some twenty bards,” several of whom he cites by name. Due to the heterogeneity and sheer volume of this available textual corpus, it is hard to make categorical assertions about the relationship between Buddhism and the epic tradition, since that relationship varies from version to version. However, some general observations may be offered. In the ritual cult devoted to Gesar that evolved from the epic tradition, matters are somewhat clearer. In the ritual texts devoted to Gesar—which are mostly offering texts—the unruly polyphony of the epic (many bards, many characters, many perspectives) is replaced with a neater integrated vision, in which the hero is praised as a totalizing culture hero and enlightened lord—a hero in every register, both worldly and spiritual, both chivalric and shamanistic.
Emperor Tri Songdétsen (Khri Srong lde brtsan; 742–c.800
The basic contours of Tri Songdétsen’s life and work may be gleaned from contemporary administrative records and from the king’s own inscribed pillar edicts and their accompanying paper documents. These describe how he was enthroned as a fourteen-year-old boy after his father was assassinated in the course of a revolt. They also give Tri Songdétsen’s reasons for officCially supporting Buddhism, and mention some of the opposition that he faced. As accounts of the concerted introduction of Buddhism to Tibet, Tri Songdétsen’s edicts constitute a clear forerunner to later Tibetan “histories of the Dharma” (chos ’byung) that would become a standard medium for Tibet’s Heilsgeschichte from the 11th century to the 21st. In this way, Tri Songdétsen also played a key role in the genesis of Tibet’s unique form of Buddhist historiography.
Ironically, the very historiographical traditions that Tri Songdétsen inaugurated in Tibet would in subsequent centuries come to express an ambivalent attitude toward the emperor’s central role in the establishment of Buddhism. Although he was lionized shortly after his death and in the century that followed, in Buddhist histories and hagiographies from the 12th century onward, Tri Songdétsen is eclipsed by the figure of the yogin Padmasambhava, who is credited as the real agent in the conversion of Tibet. Within this new narrative, the king is somewhat ineffectual in his commitment to Buddhism, such that his failure to follow Padmasambhava’s instructions eventually accounts for Padmasambhava’s departure from Tibet and for all sorts of future calamities that befall Tibet, its monarchy, and its people.
The subordination of Tri Songdétsen to Padmasambhava is part of a larger movement by which kings receded from Tibetans’ devotional emphasis and from their daily lives, and by which the figure of the lama ascended to cultural paramountcy. In particular, it reflects a shift in devotional emphasis across the 11th to 13th centuries from the cult of Emperor Songtsen Gampo (Srong rtsan sgam po; c. 605–649), who was viewed as an emanation of Tibet’s protector bodhisattva, Avalokiteśvara, to that of the yogin Padmasambhava, revered as an emanation of the Buddha Amitābha. Tri Songdétsen became a supporting player in Padmasambhava’s hagiography and cult, as one of his twenty-five disciples, and was also refigured as an emanation of the bodhisattva Mañjusrī. It is in this guise that Tri Songdétsen is remembered within Tibetan cultural memory and within Tibetan Buddhism more generally from the 12th century to the 21st.
John R. Stumme
During the 20th century there was a remarkable change in the interpretation of Martin Luther’s approach to society. During the 19th and first part of the 20th centuries, many understood that Luther advocated a sharp separation between gospel and world, faith and politics, church and state. Faith or religion was understood to be a private affair that had nothing to do with the autonomous functioning of government and other secular institutions. Christians were to obey the existing powers, even if unjust or authoritarian, and serve their neighbor through acts and church institutions of mercy. Lutherans were called quietists, defeatists, and dualists, and Karl Barth alleged that Luther’s understanding of law and gospel allowed other gods to claim allegiance alongside Jesus the Lord. And then especially there were the Lutheran failures in the Nazi experience.
All of this spurred theologians to critically evaluate their tradition and to take a fresh look at Luther in order to assist the church to be a more responsible presence in a changing world. In the middle decades of the last century, there was an impressive outpouring of historical and theological studies on what was being called Luther’s “two-kingdoms doctrine.” These studies did not exonerate Luther from all the ills of the tradition that bears his name, but they did reveal that other ideas and interests led to Luther’s approach often being wrongly interpreted and ideologically misused. These studies offered new interpretations, often differing in their positions and emphases, which demonstrated the complexity, the “labyrinth” (Johannes Heckel), of Luther’s thought and also revealed something about the social location of the interpreter. Yet there was wide agreement that Luther in his life and his theology did not disdain or withdraw from social and political life. On the contrary; a revisionist strain saw Luther’s theological distinctions to be essential for the church both to preserve the uniqueness of the gospel and to encourage Christians to participate critically in society. Questions remained, yet many in various contexts found in Luther a way for the church to affirm both justification and justice.
This all too brief sketch of the controversial and checkered history of interpretation of Luther’s thought on society since the early 20th century sets the stage for turning to Luther himself. In addressing social and political issues, Luther moves out from the center of his theology. That center is justification, the belief that people, sinners before God, are forgiven and justified by faith alone because of Jesus Christ. Christians living in faith before God also live at the same time in the networks and institutions of society where they are freed and called to love their neighbor. For Luther Christians always live in these two realms or relationships in which God is active; the loving God who justifies also creates the world in which Christians and others live. Better labels for Luther’s approach than “two kingdoms” are “the twofold rule of God” or “the two realms.”
Luther works out his understanding of political authority and its relation to spiritual authority as part of the twofold rule of God. He does so while protesting the abuses in the church and leading a reforming movement. He is concerned to show the proper function of Word and sword and their relationship. His 1523 treatise Temporal Authority: To What Extent It Should Be Obeyed sets out his perspective, which later he developed and modified.
The Uganda Martyrs Guild (UMG) was founded in 1897, after the killing of a number of young Catholics, Protestants, and Muslims, who had worked as pages at the court of the king of Buganda. The Catholic Church made the Catholic victims the center of a cult of martyrs. They were beatified in 1920 and canonized in 1964. Since its founding, the UMG has served as a point of mediation between Uganda and the transnational network of the Catholic Church. In the early 1990s, the UMG emerged as a witch-finding movement in western Uganda, which continued until the organization changed its procedures and began to refrain from naming witches in 2005. Since that time, members have increasingly shifted their focus instead to the healing and security of UMG members and those willing to join the UMG.
Mark S. Smith
The Ugaritic texts provide a rich resource for understanding the Late Bronze Age kingdom of Ugarit, located on the coast of Syria. The site has yielded about two thousand tablets in Ugaritic, the West Semitic language of this city-state, and about twenty-five hundred tablets in Akkadian, the lingua franca of the period, as well as many texts written in seven other languages. These reveal a cosmopolitan, commercial center operating in the shadow of two great powers of the eastern Mediterranean basin, the Egyptians and the Hittites.
The Ugaritic texts offer innumerable literary and religious parallels to biblical literature. The parallels are so rich and in some cases so specific that it is evident that the Ugaritic texts do not merely provide parallels, but belong to a shared or overlapping cultural matrix with the Hebrew Bible. Ugaritic literature may not predate the earliest biblical sources by much more than a few decades, but the bulk of biblical literature dates to centuries later. Moreover, unlike the coastal, cosmopolitan center of Ugarit, ancient Israel’s heartland lay in the rural inland hill-country considerably to the south in what is today Israel and occupied Palestinian territory. Despite these important differences, Ugaritic and biblical literature are not to be understood as representing entirely different cultures, but overlapping ones.
Religion has always been a contextually based phenomenon, particularly in urban space. Cities of every size, in every period, and in every region of the country have been defined by the towers and spires of faith traditions. They have mapped cities, providing anchors to religionists who worship there, and contributing to the construction of civil society and a sense of place. Communities of faith have drawn migrants and immigrants to settle in a particular place and provided resources for adaptation and integration. Houses of worship have often defined neighborhood identities and become progenitors of social capital beyond their walls. Increasingly the physical and social forms of religion are becoming more diverse—different accents, practices, music, dress, and even scents pour into and out of houses of worship that may not be grand old structures but more modest structures built for other purposes, blending into the cityscape. Still, religion is influential in shaping its context both spatially and socially.
But the relationship is reciprocal, as context acts on the questions, meanings, and practices of faith groups as well. The city has occupied the religious imaginations of many traditions as an ambivalent symbol, seen as both the locus of depravity and of redemption. Out of these imaginaries religious questions, meanings, practices, and forms of engagement have been shaped. Further, the economic, political, social, and institutional dynamics of the urban space impact the practice and understanding of religion, and how it is expressed and lived out in everyday life.
The interaction of religions and urban space—what can be described as a dynamic synapse in a human ecology—is emerging as a focus of exploration in understanding how cities work. Although religion is often overlooked by many urban theorists, researchers, planners, developers, and governments, it is gaining fresh attention by scholars. Drawing on major schools of urban theory—particularly the modernist Chicago School and the postmodern L.A. School of Urbanism—the spatial dimension of urban religion is being analyzed in research projects from a growing number of contexts. Theoretical and empiric work is enabling a deeper understanding of the relationship of religion and cities; they cannot be considered in isolation. Religious agency cannot be exaggerated or romanticized but should be considered as what two researchers have called “one of the ensemble of forces creating the new American metropolis” (Numrich, Paul D., and Elfriede Wedam. Religion and Community in the New Urban America. New York: Oxford University Press, 2015.). In the same way, faith groups of all traditions and dimensions do not exist in isolation of their context as bubbles in city space. The intersection of space and urban religion is complex, especially as both religion and cities are in the midst of great change in the 21st century.
In the early 19th century, American Protestants began to send missionaries abroad as part of the foreign mission movement. They were responding to the Great Commission of the Bible: to go into the world and spread the Gospel. This historical moment allowed them to do so because of political and commercial developments that provided Americans with access to the peoples of the world in an unprecedented way. Emerging alongside religious revivalism and other large-scale movements for social reform, foreign missions responded to a sense of optimism at the time over the possibility of human action to be able to bring about the kingdom of God on Earth. This movement aimed at the conversion of the whole world to Protestant Christianity, which for many of these missionaries in these decades would also involve the embrace of cultural changes. In 1810, the new era of international missions began with the formation of the American Board of Commissioners for Foreign Missions. By 1860, American missionaries were at work around the globe, with important stations in South and East Asia, Africa, the Middle East, the Pacific Islands, and the Americas. The conversion of the world, though, was out of their grasp; few converts came to the American missions in these years. In spite of that, missionaries opened schools, translated and distributed Scripture and other religious texts, and preached as widely as they could. As missionaries went abroad and sought to change the places they reached, they also became important sources of information about those places to their supporters at home. Missionary publications informed American readers about the people, cultures, and religions of the world and in so doing helped to shape American understandings of how the United States ought to relate to these other foreign spaces.
Cara Lea Burnidge
Scholars of American religious liberalism, like the historical subjects they study, wrestle with the place and power of modernity in American history and culture. Recognizing and articulating the influence of modernity requires constant attention to what is, broadly speaking, “foreign.” It includes religious people, groups, ideas, and practices that developed in relationship to liberalism as a historically transnational ideology and movement, as well as those people, groups, ideas, and practices classifiable as “liberal” in relation to the contemporary moment. The historical events, figures, and ideas central to liberal ideological movements in America felt connected, through both their perception and experiences, to ideas, places, and people outside of “America.” This heightened the sense of belonging to an exceptional, if not universal, culture while also placing that culture in global perspective. Identifying who and what is and has been “liberal,” as well as narrating their history, thus requires attention to what Thomas Tweed and others have referred to as “global flows.” As a result, “American religious liberalism,” as a subject of study, does not merely denote a religious liberalism located within the geopolitical borders of America, but a religious liberalism formed, expressed, and experienced through a context of “America.” Consequently, foreign relations have a long and tangled history with American religious liberalism and liberalizing cultural moments and movements in the United States.
Foreign figures, ideas, movements, and institutions are a constitutive element in the historical narrative of America’s religious liberalism. From German theologians who introduced American Christians to new biblical hermeneutics to transnational reform movements inspiring new forms of religious practice through social and political activism, global intellectual networks have encouraged Americans’ development of liberal modes of thought and practice. The politics of global empires and international society has also inspired liberal activism through international societies and nongovernmental organizations advocating for anticolonial, pacifist, abolitionist, suffragist, human rights, and many other humanitarian causes. This global context for American reform activism has been a significant factor in the development of liberal factions of numerous religious affiliations. The “global flow” of liberal reform pushed Americans toward spiritual experiences in developing areas of the world through both missionary efforts and individual spiritual exercises. Contact with the “outside” world often turned otherwise conservative or moderate missionaries toward liberal or liberationist theologies. Liberalism also brought “world religions” to American shores.
Engagement with “others,” however, is not the only key factor in the intersection of American religious liberals with foreign relations. Religious liberalism has animated each “tradition” defining the history of U.S. foreign policy. Not least of all, religious liberals were instrumental in crafting and promoting internationalism in the long 20th century. Theologically liberal Protestants were in many ways the ideological architects behind interventionism as U.S. foreign policy. Liberal Protestant metaphysics and political activism assumed that intervention was necessary because it improved the lives of those deemed less fortunate and, consequently, was a universal agent for good in the world. Liberal religious institutions and the theologies they produced encouraged intervention (in all its various forms: economic, cultural, militaristic, diplomatic, etc.) on local, national, and international scales for the sake of a nebulous “greater good,” the more sectarian notion of “social salvation,” or even ultimately, and unironically, world peace. To liberal Protestant eyes, such intervention followed the example set by Jesus, fulfilled God’s will for humanity, and provided an opportunity to meet God in the natural world, either through encountering the “least among these” or establishing peace on earth. By the mid-20th century, liberal Catholics and Jews helped to reconstruct public perception of this “American way” around the notion of a shared Judeo-Christian foundation to American identity and action in the world.
Lawrence A. Peskin
Encounters between Americans, Muslims, and Jews in North Africa played a foundational role in Americans’ early understanding of Islam and Judaism. At a time when the United States population had few Jews and virtually no free Muslims, North Africa was one of the places Americans were most likely to meet individuals from these groups.
Initially, American sailors and diplomats encountered North African Muslims and Jews as the result of frequent ship captures by Barbary corsairs beginning in the colonial period and culminating in the 1780s and 1790s. After 1815, the sailors and diplomats were joined by missionaries journeying to the Mediterranean region to convert Jews and Muslims as well as non-Protestant Christians.
These encounters prompted a good deal of literature published in the United States, including captivity narratives, novels, plays, histories, and missionary journals. These publications reinforced two dominant views of Islam. First, the early focus on Barbary corsairs capturing American “slaves” reinforced old notions of Islam as despotic and Muslims as “savages” similar to Native Americans. Missionary accounts prompted more thoughtful approaches to Muslim theology at the same time that they reinforced existing notions of Islam as a deceitful religion and revivified millenarian hopes that the declining Ottoman Empire foretold the Second Coming.
As a result of the captivity crises, Americans often had to deal with the area’s small but influential group of Jewish merchants in order to get terms and credit to free their countrymen. These fraught negotiations reinforced older European stereotypes of Jews as sharpers and Shylocks. As with Islam, the missionary period brought more thoughtful consideration of Jewish theology as Americans engaged in chiliastic hopes of bringing the Jews to Jerusalem.
After 1850 or so, Americans interested in Jews or Muslims looked less frequently to North Africa. Growing immigrant populations, first of Jews and then of Muslims, meant that Americans could encounter people of all three Abrahamic faiths at home. At the same time, missionary interests moved east, into the Holy Land, Syria, Turkey, and ultimately East Asia. Nevertheless, the early impact of North Africa on American thinking retained its influence, as is evident from President Barack Obama’s 2009 speech on American-Islamic relations delivered in Cairo.