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By focusing on Pasolini's uncompleted film project "San Paolo", Luca Di Blasi's article 'One Divided by Another: Split and Conversion in Pasolini's "San Paolo"' analyzes the notion of split (the split in the structure of time and, above all, the split of the figure of Paul) and concentrates especially on the very moment of Paul's Damascene conversion. Di Blasi refers to the "Kippbild" as a model that can be used to understand better certain ambivalences in Pasolini's Paul. Locating Pasolini's reading of the founder of the Church in a triangulation with two major contemporary philosophers, Alain Badiou and Giorgio Agamben, Di Blasi shows that two opposing possibilities of interpreting Paul - as militant subject of a universal event and its necessary consequences (Badiou) and as representative of softness, weakness, poverty, "homo sacer" (Agamben) - fit perfectly with the two aspects of Pasolini's Paul. Pasolini's profoundly split Paul thus represents a dichotomy which disunites two major figures of contemporary leftist thought.
Bruno Besana's article 'Badiou's Pasolini: The Problem of Subtractive Universalism' also deals with Pasolini's script about Saint Paul, but from the perspective of Alain Badiou's theoretical essay "Saint Paul and the Foundation of Universalism" and of Badiou's different thoughts on Pasolini, on the logic of emergence of novelty, and on its thwarted relation with universalism. Two main points appear in Besana's comparative reading. First, the idea that radical novelty or change can only be built in a 'subtractive manner', i.e. via the appearance of something that, by its sole presence, erodes the consistency upon which the present is structured. This is developed through Pasolini's ideas of 'inactuality' and 'forza del passato' and by Badiou's concept of 'event'. Second, a fundamental paradox inherent to the logic of change: change is only possible if it is organized in a set of coherent consequences, but the organized mode (for instance, the party) of such consequences inevitably reduces change to a constant compromise with the present.
In this brief excursion into the poetry of Dante and Montale, Rebecca West suggests some approaches to only a few issues that emerge out of the creation of both the primary beloveds of Dante and Montale and of those feminine figures that have been characterized as ostensibly 'antitranscendental' and more secondary in their roles and meanings. As regards Montale's primary feminine figure, Clizia, West argues that she is, to use Teodolinda Barolini's term for Beatrice, a 'hybrid' poetic character, and ultimately exceeds the limits of the poetic beloved as traditionally conceived and read, not only in the courtly tradition upon which she is modelled but well beyond it. In the case of the so-called secondary 'other women' in Dante's and Montale's poetry, West seeks to show that they are much less separable from the primary feminine figures than such binaries as major/minor, transcendent/erotic, soul/body, and traditional/experimental may lead us to believe. Lastly, West considers specifically the wife-figure, in her conspicuous absence from Dante's corpus and in her late appearance in Montale's. For both poets, there are complex intertwinings, interferences, and non-dualistic patterns that form a densely textured poetic weave, in which both the primary and the secondary feminine figures provide "fili rossi" as well as not so easily graspable dangling threads of meaning. These threads have to do with the preoccupation of both poets with the possible integration of immanence and transcendence, embodiment and abstraction, and with the very limits of poetic language. West's topic is also motivated by a feminist-oriented search for modes of deciphering the figure of the feminine beloved in lyric poetry that are not conditioned exclusively by the traditional emphasis on the male poet-creator, but which allow for a shift in focus onto the female figure who is, of course, the creature of the poet's imagination and skill, but who also often takes him into regions in which the excesses (commonly associated with the female) of non-binary thought and the mysteries of alterity - the feminine symbolic sphere, in short - do not so much allow the emergence of neatly squared-off meanings as the evolution of more oblique, circular conduits of potential significance. As a specialist of modern literature, Rebecca West concentrates on Montale more than on Dante, mainly noting the Dantesque aspects of the former's poetry.
Even if the title of Wolfgang Koeppen's last novel, "Der Tod in Rom", alludes quite obviously to Thomas Mann's novella, "Der Tod in Venedig", Koeppen's text must be understood first and foremost as a response to Mann's most controversial novel, "Doktor Faustus". The novels of Mann and Koeppen rank among the most well-known literary examinations of National Socialism but stand in a complementary relation to each other. "Doktor Faustus", published in 1947, analyses the cultural and intellectual origins of German fascism, while "Der Tod in Rom", published only seven years later in 1954, criticizes the continuity of National Socialist ideologies in post-war Germany. Both authors focus their analyses of fascism on fictional avant-garde composers who seem at first glance detached from any political context. [...] The actual starting point of Florian Trabert's paper, however, is the fact that both novels are preceded by epigraphs taken from Dante's "Inferno". Trabert begins by commenting on the references to Dante in "Doktor Faustus" and then continues by analysing the allusions to the "Commedia" in Koeppen's novel, which constitute, as Trabert demonstrates, a complex constellation among the three texts.
This paper is a study of language disorders in two works by twentieth-century poets in dialogue with Dante's Paradiso: Vittorio Sereni's "Un posto di vacanza" (1971) and Andrea Zanzotto's 'Oltranza oltraggio' (1968). The constellations that Francesca Southerden focuses on are linguistic, and the specific 'disorder' she wants to consider is aphasia - the dissolution of language. Charting the way in which Sereni and Zanzotto construct the universes of their poems as 'per-tras-versioni' of their Dantean counterpart - something 'turned aside' or 'diverted', which 'cuts across' the ideal, Dantean scheme - she shows how, in different ways, the intertextual dialogue between modern and medieval author manifests itself as a 'resemanticization' of the language of "Paradiso" or, better, of that coming-into-language of desire and the poem which, textually speaking, Dante's third canticle takes as its alpha and omega.
The subject of this paper is a recent comic movie version of Dante's "Comedy": a 2007 puppet and toy theatre adaptation of the "Inferno" directed by Sean Meredith. It is certainly not the first time that Dante and his theatre of hell appear in this kind of environment. Mickey Mouse has followed Dante's footsteps and very recently a weird bunch of prehistoric animals went a similar path: in part three of the blockbuster "Ice Age" (2009), a new, lippy guide character named Buck uses several Dante quotes and the whole strange voyage can be described as a Dantesque descent into dinosaur hell. In the following pages Ronald de Rooy argues that Meredith's version of Dante's "Inferno" is not only funny and entertaining, but that it is also surprisingly innovative if we compare it to other literature and movies which project Dante's hell or parts of it onto the modern metropolis.
Although Dante’s influence on modernism has been widely explored and examined from different points of view, the aspects of Virginia Woolf's relationship with the Florentine author have not yet been extensively considered. Woolf's use of Dante is certainly less evident and ponderous than that of authors such as T.S. Eliot and James Joyce; nonetheless, this connection should not be disregarded, since Woolf's reading of Dante and her meditations on his work are inextricably fused with her creative process. As Teresa Prudente shows in this essay, Woolf's appreciation of Dante is closely connected to major features of her narrative experimentation, ranging from her conception of the structure and design of the literary work to her reflections concerning the meaning and function of literary language.
Dante's 'Strangeness' : the "Commedia" and the late twentieth-century debate on the literary canon
(2011)
A reflection on Dante and the literary canon may appear tautological since nowadays his belonging to the canon seems a self-evident matter of fact and an indisputable truth. It is for this very reason, though, that a paradigmatic role has been conferred on Dante in the contemporary debate both by those who consider the canon a stable structure based on inner aesthetic values and by those who see it as a cultural and social construction. For instance, Harold Bloom suggests that 'Dante invented our modern idea of the canonical', and Edward Said, in his reading of Auerbach, seems to imply that Dante provided foundations for what we call literature "tout court". While his influence on other poets never ceased, the story of Dante's explicit canonization through the centuries revolved around the same critical points we are still discussing today: his anti-classical 'strangeness' in language and style, the trouble he occasions in genre hierarchies and distinctions, and the vastness of the philosophical and theological knowledge embraced by the "Commedia" (and, as a consequence, the relationship between literature and other realms of human experience). Dante's canonicity is also evinced by the ceaseless debates that he has inspired and the many cultural tensions of which he is the focus. In the next few pages Federica Pich tries to reflect on the features that make the "Commedia" central both to the arguments of the defenders of the aesthetic approach, such as Bloom and Steiner, and to the political claims of the so-called 'culture of complaint'.
'Perhaps the sodomites should be written out of Dante's "Inferno"', Jarman wrote in his journal on 1 August 1990: 'I'll offer myself as the ghostwriter.' What does he mean by 'ghostwriter' here? How queer is this odd speech-act? What is he offering to do to the homophobic landscape of the "Inferno", that forbiddingly sealed textual prison, with his Hollywood pitchman's casual bid to 'write out' the sodomites as if they were a slight embarrassment to the divine justice system? Is he speaking in jest as a writer of gay satires and sacrilegious memoirs, or in deadly earnest as an activist who had renounced the middle-class pretensions and frivolities of the pre-AIDS gay world? [...] Jarman counters the trope of homosexual theft visually with the triumphant figure of Man with Snake. The Dantesque merging of snake and thief is replaced by an erotic dance in which the gilded youth raises his phallic partner above his head and seductively kisses it on the mouth. Whereas Dante would have us notice the grotesque parody of the Trinity played out in the seventh bolgia - with the unchanging Puccio as God the Father, the two-natured Agnello-Cianfa as Christ, and the fume-veiled Buoso receiving his forked tongue from the serpent Francesco in a demonic replay of the gift of tongues from the Spirit - Jarman clears away all overdetermined theological meanings to revel in the purely aesthetic impact of the phallic dancer. All the ghosts from Dante's snakepit are conjured away in the film and replaced with the solid presence of a single gorgeously spotlit male body. Ghostwriting Dante, for Jarman, meant more than a mere appropriation of homoerotic scenes from the "Inferno" into his screenplay. It meant a complete reimagining of their aesthetic significance within the filmscape of his Dantean transformations.
Dante's "Inferno" and Walter Benjamin's cities : considerations of place, experience, and media
(2011)
When Walter Benjamin wrote his main texts, the theme of the city as hell was extremely popular. Some of his German contemporaries, such as Brecht or Döblin, also used it. Benjamin was aware of these examples, as well as of examples outside Germany, including Joyce's "Ulysses" and Baudelaire's "poetry". And he was - at least in some way - familiar with Dante's "Inferno" and used it, and in particular Dante's conception of hell, for his own purposes. Benjamin's appropriation of the topos of the Inferno has been seen as a critique of capitalism and as a general critique of modernism by means of allegory. In the following analysis, Angela Merte-Rankin takes a slightly different approach and, despite Benjamin's status as an expert on allegory, considers hell in its literal sense as a place and examines the issues of implacement that might follow from this standpoint.
Manuela Marchesini brings Agamben's ideas to bear on Gadda's "Pasticciaccio" and vice versa. While preserving the specificity of their different fields of operation, this mutual exposure contributes to reframing the Culture War of yore. On the one hand, we have a novel published after World War II with a tortuous gestation and convoluted publication history and reception, written by an author who happened to outlive his creative 'canto del cigno'; on the other, a philosophical and essayistic speculation on contemporary events. The function of Dante's "Comedy" in each author spans from the textual to the allegorical, but rests upon one single crucial common denominator: both Gadda and Agamben take literature seriously. [...] The present essay, part of a larger project unfolding along the same lines, attempts a 'close reading' in the spirit that Edward Said has solicited from the humanities in his lectures at Columbia - or, to put it differently, a tentative 'exercise' of critica in the wake of modern Italian Romance philology and textual criticism from Pasquali through Contini and Debenedetti (a lineage of which Agamben's approach appears to be mindful). [...] Marchesini passes over the general Dantesque infernal allegory of "Pasticciaccio" in order to expand on its final scene. Her thesis is that "Pasticciaccio's" allegorical use of Dante's "Comedy" does not just unravel its interpretive knot. It also points to a utopian overcoming of binarism that concurs with Agamben's reflections. "Pasticciaccio's" closure is neither an epiphany (in the sense of a final celebration of the missing piece that completes the puzzle of the novel), nor does it signal a collapse into ambiguity or irrationality (in the sense that everything is left undecided, wavering between one possibility and its opposite). Gadda maintains his interpellation of wholeness unequivocally throughout the novel.
During the Black Revolution, LeRoi Jones used a radical adaptation of Dante to express a new militant identity, turning himself into a new man with a new name, Amiri Baraka, whose experimental literary project culminated in "The System of Dante's Hell" in 1965. Dante’s poem (specifically, John Sinclair's translation) provides a grid for the narrative of Baraka's autobiographical novel; at the same time, the Italian poet's description of hell functions for Baraka as a gloss on many of his own experiences. Whereas for Ralph Ellison and Richard Wright, Dante marks a way into the world of European culture, Baraka uses Dante first to measure the growing distance between himself and European literature and then, paradoxically, to separate himself totally from it. Baraka's response to the poet at once confirms and belies Edward Said's claim that Dante's "Divine Comedy" is essentially an imperial text that is foundational to the imperial discipline of comparative literature. That Baraka can found his struggle against imperialist culture, as he sees it, on none other than this specific poem suggests the extent to which it is a richer and more complex text than even Said imagined. To see exactly how Baraka does this, Dennis Looney proposes to read several extended passages from "The System of Dante's Hell" to take stock of its allusiveness to the Italian model. For all the critical attention to Baraka, surprisingly no one has undertaken the necessary work of sorting out his allusions to Dante in any systematic way.
Early in his life Pasolini showed interest in Dante: in a letter sent to Luciano Serra in 1945, he declared that 'la questione di Dante è importantissima'. He later reaffirmed his interest in Dante in two attempts to rewrite the "Commedia": "La Mortaccia" and "La Divina Mimesis". [...] In 1963 he mentioned "La Divina Mimesis" for the first time. [...] Critics have mostly focused on the work's unfinished condition as a sign of the poetic crisis which Pasolini experienced at the end of his life. Scholarly interpretations of "La Divina Mimesis" can be divided into three main groups: the first strain can be primarily attributed to a 1979 essay by Giorgio Bàrberi Squarotti, four years after the publication of La Divina Mimesis. Bàrberi Squarotti attributes Pasolini's difficulty in completing his rewriting of the "Divine Comedy" to the author's ideology. The work's intermittent irony and its unfinished state are good indicators of the impossibility of recreating Dante's achievement, in particular the Dantean ideology. [...] The second strain of interpretation stresses the work's linguistic dimensions. The period when Pasolini conceives of the project of "La Divina Mimesis" corresponds, according to his repeated declarations, to a time of dramatic change in the Italian linguistic context. [...] Finally, the third type of interpretation locates "La Divina Mimesis" in the theoretical context of Pasolini's final conception of poetry. Here critics stress in particular the difference between the poet's intentions and the final result.[...] These three interpretative strains share the conviction that, in comparison with its model, Pasolini's project ends in failure. It is a failure in at least three senses: on the level of its ideology (not as strong as Dante's), on the level of reality (because of the linguistic standardization of Italian society), and on the level of aesthetics (even though the author pretends that his failure possesses an aesthetic value). This paper would like to question this conclusion: by redefining the object of mimesis and its conditions Davide Luglio tries to understand the reason why the author decided to print his work in a form that at first sight appears ill-defined and fragmentary.
In a 1949 letter, Cesare Pavese describes with great zeal the genesis of a new work - one he compares, albeit with a certain amount of irony, to Dante's Commedia. [...] This embryonic project would quickly become the novel "La luna e i falò", completed in less than two months and published shortly before Pavese's suicide in 1950. On the surface, there would seem little reason to take seriously the analogy drawn by the author between "La luna" and the "Commedia", for the novel in question contains no explicit references to the medieval poet. Tristan Kay argues in this essay, however, that the presence of Dante in "La luna" is both more pervasive and more significant than has previously been suggested. While critics have noted in passing several narrative and structural parallels between the two texts, which Kay details in Section II, no attempt has been made to consider their wider significance in our understanding of Pavese's novel. What follows is a reading of "La luna" which shows that the "Commedia" functions not simply as a formal model for Pavese, but, more importantly, as an ideological anti-model, in dialogue with which the author articulates his deeply pessimistic understanding of the human condition.
The 'fortuna di Dante' among English and American poets of the twentieth century is a rich story that continues on into this millennium with new permutations and undiminished energies. Pound and Eliot canonized Dante for more than one generation of poets and readers. It was "Purgatorio" rather than "Inferno" that both Pound and Eliot valorized, its charged and affectionate poetic encounters serving as a model for key moments in both their works. [...] Yet it was two American poets, James Merrill and Charles Wright, who focused their attention and delight specifically on the "Paradiso", a much less common predilection for both poets and general readers. [...] Wright says that he writes for the dead; sometimes he seems to write as the dead. It is this premature identification with the dead, even if sporadic, which makes Wright so different from both Dante and Merrill, for whom the afterlife is ultimately an affirmation of life. Both Dante and Merrill make us understand the usefulness of the fiction of the afterlife as a way of staging a dialogue with the dead - which is what much of poetry, perhaps much of life, is about. What all three poets share is a dream of paradise as a site that emboldens the imagination.
The 1935 Fox Films "Dante's Inferno" (directed by Harry Lachman) traces the rise and fall of an entrepreneur. Its protagonist, Jim Carter (played by Spencer Tracy), begins the story as a stoker on a cruise liner. The narrative opens with a burst of flames from the ship's boiler, and the ensuing scene goes on to show the protagonist competing at shovelling coal for a bet in the sweltering engine-room. Interspersed are shots of the superstructure directly above with a number of elegant and vapid passengers following the game below. This initial sequence thus concisely conveys the main features of the film's social agenda through imagery that anticipates that of two of its later 'infernal' sequences. [...] Spectacular admonition and concern about the ruthless pursuit of wealth are the main features which link this "Inferno" of the thirties to the one that had appeared some six hundred years earlier. Wealth and avarice were, of course, demonstrably serious concerns for Dante: as Peter Armour, for example, has shown, there is a recurrent and pervasive concern with money, its meaning, and its misuse throughout the "Commedia". So it is not surprising that the "Inferno" should also have been appropriated by social critics some hundred years before the 1935 Hollywood fable. [...] Some of the narrative and visual patterns in "Dante's Inferno" imply an uneasy underlying vision of the movie industry and its practices. Other productions, publicity, and journalism of the time reinforce suggestions of such a metafictional approach to movies, morality, and the market in the 1935 "Dante's Inferno".
"Nel regno oscuro" is the first part of a planned trilogy inspired by the "Divine Comedy", integrating the Middle European style of Giorgio Pressburger's previous works with the attempt to engage with the first part of Dante's poem. The role of Virgil, Dante's guide in the "Inferno", is taken by Sigmund Freud, and the journey of the melancholic protagonist begins as psychoanalytic therapy to enable him to come to terms with the loss of his father and his twin brother, but soon turns into a journey through the realm of the dead which, like the "Divine Comedy", takes the shape of a series of encounters with the shades of historical figures. Thus Dante's descent to hell metamorphoses into a phantasmagoric voyage to the most intimate and obscure dimensions of the human psyche as well as a journey through the tragic events of history in the twentieth century - and the Shoah in particular. The combination of the personal, the collective, and even the universal is one of the most interesting aspects Pressburger takes from Dante's poem. In the following analysis Manuele Gragnolati explores how both Dante's "Divine Comedy" and Pressburger's "Nel regno oscuro" place personal and collective suffering at the centre of their own narratives and stage writing as a political, ethical, and possibly 'salvific' way to deal with this dual suffering, even as they differ in their concepts of identity and selfhood on the one hand and in their models of history on the other.
Dante as a gay poet
(2011)
The reception of the "Vita nuova" among contemporary Italian poets is not based on the love theme. The "Vita nuova" provides Italian twentieth-century poets more with a model of autobiographical writing than with an erotic paradigm. What is essential is that the imitation of the "Vita nuova" expresses a clearly polemical anti-Petrarchan poetics - something which, of course, one would have no reason to look for in American poets. The American poet Frank Bidart's idiosyncratic appropriation of the young Dante, as opposed to the Dante-versus-Petrarch-based interpretation of Italian poets, is peculiar but by no means as exceptional in the American panorama as it might at first appear. Other gay American poets also treat Dante as a model: Robert Duncan, J. D. McClatchy, and James Merrill. In this essay Nicola Gardini attempts to explore, however rapidly, the grounds on which Dante may have become so essential for such poets. To be sure, the Dantism of these gay American poets may be viewed as a particular moment of the well-established American interest in Dante which goes as far back as Emerson and Longfellow and had its peak in Pound and Eliot. But Gardini argues that such gay Dantism - which no survey of Dante's twentieth-century influence has yet brought to the fore - is a kind of cultural allegiance stemming originally and specifically from the soil of gay discourses and gender preoccupations. Interestingly, Dante, not Petrarch, also serves as a model for some Italian homosexual poets: Michelangelo, Pier Paolo Pasolini, and Giovanni Testori. What, then, is it in the work of a poet like Dante, who confined the sodomites in hell and mostly sang the praises of one woman, that is so compatible with, indeed inspiring for, gay views?
In December 1960 the Leo Castelli Gallery in New York displayed a series of thirty-four illustrations of the "Inferno" by the avant-garde artist Robert Rauschenberg. Rauschenberg had developed this project over the previous two years, working on it almost exclusively, first in New York City, and then in an isolated storage room in Treasure Island, Florida, where he retreated to concentrate on the last half of the cycle. [...] Whatever the spark that set the project in motion, we find Rauschenberg's reply to his detractors here: the refuse that crowded his "Combines" was no joke, nor was it there to undermine or deride high art in the spirit of Dada. With his collection of things, he was composing a new language, turning fragments - the ruins of his environment and culture - into emblems. And what is an emblem if not a composite figure, an assemblage of diverse fragments into a new unity and order? As such, it is an elusive visual allegory whose pictorial image tends to lose its consistency and become a sign open to interpretations; in it, the different narratives springing from its multiple nature come together and give birth to a polysemic language. It is with this language, abstract and referential at the same time, that Rauschenberg translates Dante's poem and makes it new by linking it to something in existence, present in the viewer’s reality of mechanically reproduced images. By choosing 'to ennoble the ordinary', he, perhaps unconsciously, became the hermeneutist of his age and gave durability to what was trivial and precarious.
Between 1816 and 1821, the philologist François Raynouard (1761–1836) published a "Choix des poésies originales des troubadours". His connections with Madame de Staël's cultural circle at Coppet determined the construction of the myth of courtly love as a forerunner of Romantic love. [...] Acording to this cultural tradition, Dante is an intermediate (although pre-eminent) step in the history of Western desire, a process begun in medieval Provence and revitalized by European Romanticism. When Lacan approaches Dante, it is therefore one Dante - this Dante - that he is approaching. The present essay, in which Fabio Camilletti analyses three tightly interwoven texts, explores some of the reverberations of this encounter. In 1958, Lacan published in "Critique" an article entitled 'La jeunesse d'André Gide, ou la lettre et le désir'. This text, later included in Lacan's "Écrits", was meant to be a review of a biography of the young Gide published in 1956 by Jean Delay, entitled "La jeunesse d'André Gide". In comparing Gide's life with his works of youth, Delay notably focused on Gide's novel of 1891, "Les Cahiers d'André Walter", the third text on which Camilletti focuses his inquiry. These three texts evoke in various ways the relationship between Dante and Beatrice, using it as a cultural allusion through which specific problems of sexuality (or, better, of the absence of sexuality) are conveyed. This essay aims therefore to be a study in the rhapsodic and subterranean presence of Dante and the "Vita Nova" between the end of the nineteenth and the twentieth centuries, as well as in the relationship between literature and psychoanalysis through the quartet Dante-Gide-Delay-Lacan.
'Dante and Ireland', or 'Dante and Irish Writers', is an extremely vast topic, and to cover it a book rather than an essay would be necessary. If the relationship between the poet and Ireland did not begin in the fourteenth century - when Dante himself may have had some knowledge of, and been inspired by, the "Vision of Adamnán", the "Vision of Tungdal", and the "Tractatus de purgatorio Sancti Patricii" - the story certainly had started by the eighteenth, when the Irish man of letters Henry Boyd was the first to produce a complete English translation of the "Comedy", published in 1802. Even if one restricts the field to twentieth-century literature alone, which is the aim in the present piece, the list of authors who are influenced by Dante includes Yeats, Joyce, Beckett, and Heaney - that is to say, four of the major writers not only of Ireland, but of Europe and the entire West. To these should then be added other Irish poets of the first magnitude, such as Louis MacNeice, Ciaran Carson, Eiléan Ní Cuilleanáin, and Thomas Kinsella. Therefore Piero Boitani treats this theme in a somewhat cursory manner, privileging the episodes he considers most relevant and the themes which he thinks form a coherent and intricate pattern of literary history, where every author is not only metamorphosing Dante but also rewriting his predecessor, or predecessors, who had rewritten Dante. Distinct from the English and American Dante of Pound and Eliot, an 'Irish Dante', whom Joyce was to call 'ersed irredent', slowly grows out of this pattern.
Transforming a text - narrative or poetic - into a play, made of dialogues and organized into scenes, has been one of the most frequent forms of literary transcodification both in the past and in the present. We can find examples of this procedure at the very origins of Italian theatre, which indeed began as the rewriting of earlier texts, both in the "sacre rappresentazioni" and in the profane field: the Bible in the first case and the Ovidian mythologies in the second. Poliziano's "Fabula d'Orfeo" and "Cefalo e Procri" by Niccolò da Correggio are the first well-known examples of this process. Thus, the metamorphosis of a text into a dramatization has many models in the history of theatre and literature. It would be of great interest to start with an overview of the different types, aims, and forms of transcodification of texts that are enacted in order to create dramatizations capable of being performed on stage. Erminia Ardissino attempts to offer an introduction to her study of Giovanni Giudici's play about Dante's "Paradiso" with a brief discussion of three different practices of theatrical transcodification. She looks at three pièces written at the request of the Italian scenographer Federico Tiezzi between 1989 and 1990 as stage productions of the three cantiche of the Divine Comedy. Although they belong to the same project, are inspired by the same person, and share a unified aim, the three pièces created by Edoardo Sanguineti, Mario Luzi, and Giovanni Giudici show three different approaches to the task of transcodifying a text in order to produce a drama - the task, in Genette's words, of creating a theatrical palimpsest.
'ici uniglory' is an installation on paper. The piece intertwines fragments of six texts by Bruno Besana, Fabio Camilletti, Antke Engel, Sara Fortuna, Laura Taler, and Andrea von Kameke, written in response to the video installation UNIGLORY, a work-in-progress exhibited at ICI Berlin. The responses are edited, fragmented, and re-assembled to reflect the way the filmmaker worked with the filmed dance footage in the original installation, essentially re-choreographing words. The subtle tensions between the different responses allow for shifts and movements within the piece. The result is a poetic intermingling of voices that rub up against one another. Tension also acts as a binding agent, holding all the fragments together and allowing them to be woven into a collective text.
The article offers a philosophical reading of Mazen Kerbaj's sound piece "Starry Night". Recorded in 2006 during the bombing of Beirut by the Israeli Air Force, the piece stages an acoustic encounter between the improvised sounds of the trumpet and live bomb explosions. Arguing for a formal examination of the ways in which Kerbaj stages the problem of the genesis of musical order in the exchange between trumpet and bombs, the article draws parallels with explorations of the problems of the State and of political contradiction in the Marxist tradition. Three common points are identified: the contingency of the appearance of order, its inseparability from an excess of violence, and its spatializing function. The last part delineates parallels between Kerbaj's subversive aesthetic strategies and Badiou's elaboration of the concept of the subject as the interruption of a repetitive logic of placement.
This contribution consists of an explanatory introduction and extracts from recent fiction works, 'White Tales' (novel) and 'Peep Show' (novel in progress). Both fiction works explore the spiralling tensions between intensity and excess, desire and jouissance, via the structure and methodology pioneered in the author's previous work with 'subconscious narrative' film. The result of this prior work was the 18-minute subconscious narrative film 'The Dangers', which explores an experimental narrative structure and is fascinated by the creation and sustenance of suspense, particularly when created with the notion of the uncanny in mind.
The article sketches a critical paradigm for interdisciplinary work that is centred on tension as a highly ambiguous and ultimately deeply paradoxical notion. It highlights that a unifying account of what tension is or a systematic classification of its diverse meanings would risk resolving tensions between different approaches and privileging a particular mode of doing so. Successively focussing on aesthetic, socio-political, and physical tensions, the essay articulates tension rather as a broad umbrella term that is stretched by multi-perspectival articulations, unified through its intensive surface tension, and at the same time full of transformative and generative potentials. In particular, it proposes that tensions between different cultural or disciplinary fields can be made productive by inducing tensions within each field so that different fields can be related to each other on the basis of tension rather than some substantial commonality.
The article analyses A. Boissier's image "Les Amants électrisés par l'amour" in view of the larger question of how something is able to arouse interest on first sight, but also in repeat encounters. Highlighting the engraving's didactic iconography, the article shows how it revolves around the solution to a riddle and uses a typical design of the Enlightenment to show the uncovering of a deception. As such, the engraving is part of a long tradition of showing (supposedly) supernatural events, more specifically the tradition of Magia naturalis. At the same time, the image contains dissonances and can be seen to simulate suspense through dichotomies that can be identified as antagonistic historical concepts. The article furthermore discusses the amalgamation of love and electricity in contemporary discourses and addresses the temporal dimension of the engraving, which constructs itself out of an absence, out of something yet unseen.
The article provides a close reading of the video "Sometimes you fight for the world, sometimes you fight for yourself", dir. by Pauline Boudry/Renate Lorenz (2004, 5'). It reads the video as promoting what it calls a 'queer politics of paradox', that is, a politics that acknowledges desire as a constitutive moment of the political and at the same time challenges the political via a queer understanding of desire in order to make room for the political articulation of the Other. The article argues that a reworking of the political - one that aims at de-centring its hegemonic dynamic and creating space for Otherness - becomes possible if one invites paradox as a specific, anti-identitarian, and agonistic mode of tension to function as a constitutive moment of desire and of the political.
Writing a positive account of utopias has always been a difficult and risky task. Utopias have always already been out of fashion and outside of time. Since 1989 at the latest, visions of utopia appear to have come to an end. Twenty years after Fukayama's 'end of history', this article re-assesses the potentially fruitful roles for utopia’s out-of-timeness. Focusing on the critical potential of utopias through the concept of tension, it argues that utopian thought must be conceptualized through its tensile connections both to the status quo of a given society and to its possible futures.
The article compares the aesthetic notions of the "je ne sais quoi" (as it emerges in the Renaissance and is widely debated in the eighteenth century) and of the 'uncanny' as theorized by Ernst Jentsch and Sigmund Freud in the early twentieth century. Its hypothesis is that both notions, in situating aesthetic experience in a liminal space between pleasure and trouble, can be considered after-images of non-aesthetical notions - notions that belong to the domain of the sacred and have metamorphosed as forms of aesthetic undecidability through the paradigmatic fracture of early modernity. The article focuses on depictions of female figures directing their gaze upward - in the iconography of Sade's Justine, in popular imagery connected with Lourdes apparitions (1858), in medium photography, and in the images taken by Charcot of his hysterical patients at the Salpêtrière - and argues that they become a Warburgian Pathosformel indicating a space of undecidability and 'nonsense' between the subject and otherness.
This article shows that 'tension' cannot be conceived as a specific object of an analysis for which one could determine a precise field of enquiry. Instead, it establishes tension as a specific mode or angle of approach with which any given contingent object or set of objects can be explored. The wideness of its applicability and the specificity of its angle suggest that research on tension can help to unfold a better understanding of a classical ontological question concerning the essential value of actions and relations in the definition of what a thing is. The text follows this line of argumentation by pairing contemporary philosophical sources and specific aesthetic and political examples. Suggesting the possibility of an open classification of different modes of tension, it clarifies the extent to which the essential definition of a thing is bound to the contingent analysis of its transformations.
This article discusses the function of tension in autobiographies written by eighteenth-century doctors George Cheyne, Francis Fuller, Claude Revillon, and the Viscount de Puysegur. It studies how their rhetorical strategies stir tensions in readers through the narration of their own periods of infirmity and search for a remedy. The descriptions of their recoveries offer resolution, legitimate their medical practices, and help diffuse their works. Through the staging of these reversals, the authors suggest a shift in the way the role of medical doctors was perceived as well as a fundamental change in their relationship to illness.
This edited transcript of a presentation by filmmaker/choreographer Laura Taler responds to Heinrich von Kleist's text by taking him on as a dancing partner. It follows a simple structure of proposal and response similar to that found in the movements between leader and follower in Argentine tango. Engaging Kleist's text in the double form of a speech and a tango performance, this critical contribution follows a twofold direction: it questions Kleist's representation of dance as a mechanical activity deprived of any form of intelligence and it refuses his attempt to force the aesthetic experience of dance into a framework that privileges theory over bodily experience. These two classical philosophical positions are questioned and provocatively opposed to the dynamic, situated, and dialogic thought performed within a witty tango interaction.
This article conceptualizes tension as a relation between elements in which at least two forces with different directions are involved. How can this concept of tension be applied to the analysis of the peculiar logic of life in common? The article offers a reading, inspired by the method of conceptual history, of the use of the concept of 'force' in three models of society: Hobbes's political model, the economic model proposed by the thinkers of commercial society, and Durkheim's social theory. The analysis sheds some light on the ways in which the presence of contradictory forces can be taken to be constitutive of the social itself. This observation is then used to suggest that the puzzling fascination exerted by the notion of tension can be better understood if we see it pointing to some fundamental features of our way of collectively inhabiting the world.
Insects, the new food?
(2017)
In many parts of the world it is common to eat insects while in the western world it is regarded as a bizarre habit, even evoking disgust. Is this justified? What if insects were nutritionally similar to our common meat products and have proven to be delicious in blind tests? Insects have an environmental impact which is much less than our common production animals, so why not eat it? If these questions can be answered affirmatively, then the question is: Can we persuade the western consumers to take this psychological barrier? There has been a tremendous interest during the last five years to promote insects as food. There are now close to 200 start-up companies listed. Also, in the scientific world the interest is growing exponentially, testified by the number of articles on edible insects that have appeared during the last 15 years (83 from 2011 to 2015 against 9 from 2001 to 20051). These articles deal with harvesting from nature, environmental benefits, nutritional value, food safety, processing, and consumer attitudes. I will give a short overview of the developments in these different areas.
Am 6. Juli 1916 notierte Ludwig Wittgenstein in seinem Tagebuch: "Und insofern hat wohl auch Dostojewskij recht, wenn er sagt, dass der, welcher glücklich ist, den Zweck des Daseins erfüllt." Diese Aussage ist eingebettet in Überlegungen zur Beziehung von Ethik und Ästhetik in seinem Tagebuch, die später in den 'Tractatus logicophilosophicus' einfliessen (ab Satz 6.42). Die Figur Dostojewskijs, die am explizitesten solche Sätze aussprach, wie den oben zitierten, ist der Starez Sosima aus den 'Brüdern Karamasow'. Wittgenstein hat diesen Roman so oft gelesen, dass er ihn nahezu auswendig konnte, insbesondere die Reden des Starez Sosima. Obwohl Wittgenstein darauf bestand, dass Ethik "unaussprechbar" ist, deutet er an, dass Literatur das gute Leben "zeigen" kann. Somit überschreitet er die Grenzen der frühen analytischen Philosophie, die sich an mathematischen Wissenschaften orientierte und sich möglichst von der Kunst abzugrenzen suchte.
Des critiques et écrivains de nouvelles ont défendu l'idée que la brieveté et un unique moment de clarté sont les éléments essentiels du format court typique de la nouvelle. Cependant, la nouvelle postcoloniale est plurielle, polyphonique et versatile, et elle a tendance à s'appuyer sur le désaccord culturel, social, et linguistique. Ce chapitre examine la traduction et l'échec de celle-ci dans l'oeuvre de deux nouvellistes prolifiques qui viennent des deux différentes traditions postcoloniales : Nadine Gordimer et Anita Desai. La prémisse de mon argument est que les nouvelles de ces écrivains ont pour la plupart lieu dans des espaces périphériques, par exemple des villages et des avant-postes. Elles dramatisent une forme de processus postcolonial de désengagement des centres de pouvoir en explorant et en remettant en question des hiérarchies discursives. Cette renégociation implique la présence de perspectives multiples et de subjectivités plurielles, de même qu'elle insiste sur des traductions problématiques et des malentendus surgissant en leur sein. Par l'étude de textes de Gordimer et Desai, ce chapitre considère plusieurs formes de malentendus – fausses représentations, mécompréhension, traductions erronées et obstructions linguistiques – qui ses présentent dans deux nouvelles. Il ressort de cette analyse que les malentendus sont susceptibles de devenir les instruments de l'expression d'une résistance dans les sites hégémoniques de la langue et du pouvoir.
Cet article examine le rôle souvent occulté et pourtant essentiel de la traduction comme source d'innovation et de créativité dans l'histoire littéraire et la théorie. Il s'appuie sur plusieurs exemples allant du fameux épisode de la création d'Ève à partir de la "côte d'Adam" dans la Bible de Jérôme, basée sur la traduction fautive du mot hébreu "qaran" en latin et reflétant le biais patriarcal de Jérôme, à la traduction, tronquée du Deuxième Sexe de Simone de Beauvoir (1946) par le zoologiste retraité Howard M. Parshley qui allait néanmoins inspirer des études marquantes de la seconde vague féministe américaine telles que "The Feminine Mystique" (1963) de Betty Friedan et "Sexual Politics" (1970) de Kate Millett. L'exemple le plus développé retrace l'interaction productive de la traduction et de la réécriture dans la fiction d'Angela Carter, de "The Fairy Tales of Charles Perrault" (1977) jusqu'à ses célèbres "stories about fairy stories" recueillies dans "The Bloody Chamber and Other Stories" (1979) et "American Ghosts and Old World Wonders" (1992). Je propose de lire les variations de Carter sur "Aschenputtel" dans "Ashputtle or The Mother's Ghost" comme un correctif à sa traduction de la morale de "Cendrillon ou la Petite Pantoufle de Verre" de Perrault. La poétique traductive (translational poetics) de Carter démontre ainsi l'impact crucial de la traduction – y compris des erreurs – sur la démarche de l'écrivain, qui associe la (re)lecture créative inhérente à l'activité de traduction au travail de (ré)écriture jusqu'à en faire la matrice à partir de laquelle elle a élaboré son oeuvre singulière.
BLACK KIRBY is a collaborative "entity" that is the creative doppelganger of artists / designers John Jennings and Stacey "Blackstar" Robinson. The manifestation of this avatar is an exhibition and catalog1 of primarily visual artworks-on-paper that celebrate the groundbreaking work of legendary comics creator Jack Kirby regarding his contributions to the pop culture landscape and his development of some of the conventions of the comics medium.
BLACK KIRBY also functions as a highly syncretic mythopoetic framework by appropriating Jack Kirby’s bold forms and revolutionary ideas combined with themes centered around AfroFuturism social justice, Black history, media criticism, science fiction, magical realism, and the utilization of Hip Hop culture as a methodology for creating visual expression. This collection of work also focuses on the digital medium and how its inherent affordances offer much more flexibility in the expression of visual communication and what that means in its production and consumption in the public sphere. In a sense, BLACK KIRBY appropriates the gallery as a conceptual "crossroads" to examine identity as a socialized concept and to show the commonalities between Black comics creators and Jewish comics creators and how they both utilize the medium of comics as space of resistance. The duo attempts to re-mediate "Blackness" and other identity contexts as "sublime technologies" that produce experiences that sometime limit human progress and possibility. This paper / presentation will examine some of the themes of this inaugural exhibition of this new artistic team and share the processes involved with the ideation, execution, and installation of the exhibition.
The present volume documents the twofold character of the conference 'Science meets Comics' with the first part focusing on comics as a format for communicating complex topics and the second part addressing food in the age of the Anthropocene as one such example for complex topics. The overall objective of the symposium was to deal with the results and suggestions of the presentations and discussions, to find possible pathways on how to feed the world in the future and to co-produce the final chapter of the scientific comic 'Eating Anthropocene' together with all artists participating in the project. In order to sum up the framing, contents and design process of the comic as well as to highlight its Anthropocene context we below provide a slightly abridged version of the preface of our comic book.
Interview mit Katerina Teaiwa über ihr Buch zu den Umweltschäden und schweren Menschenrechtsverletzungen auf der Insel Ocean Island (Banaba) aufgrund des Phosphatabbaus durch Besatzungs- und Kolonialmächte.
Our daily food consumption is slowly but surely turning into the largest environmental threat. The agricultural sector consumes 70% of the water used by humankind. The production of meat consumes enormous amounts of water compared to plants. Innovations in the area of food production are lately summarized as AgTech, agricultural technology. This encompasses all sorts of areas, ranging from drone-controlled tractors to printed hamburgers. Specifically the challenge of making use of the limited areas available in cities and maximizing crop yields has seen a recent boom in novel approaches – and quite a bit of investor finance.
Human-induced environmental change represents one of the major challenges of current and future generations. To evaluate the anthropogenic impacts on the biosphere, the concept of Planetary Boundaries was developed, indicating that in case of four out of nine environmental indicators a transgression of corresponding boundaries has already taken place: Biodiversity loss, climate change, land-system change, and biogeochemical flows. Further, paleoclimate research has shown that the earth´s environment has been relatively stable for the last 12,000 years. Researchers assume that this, in geological terms, very short period – called Holocene – is now already again replaced by a new geological era: the Anthropocene, due to the tremendous impacts humans had on earth.
In Japan, most contemporary readers expect comics, or manga, to be entertaining fiction ('story manga'), magazine-based, and targeted at age- and gender-specific demographics. These narratives eventually reappear in bound book editions ('tankōbon'), after they have proven to be popular to an extent that would warrant print runs of more than 5,000 copies. Due to the central role of magazines as first site of publication since the 1960s, genre specificity has been essential – for editors, readers, and artists alike. While manga's traditional genres have been gender- and age-specific, thematic genres such as SF, horror and comedy, or recently also blog-like essay manga, come to the fore whenever the otherwise prevalent categories forfeit efficacy. But there is one genre which does not comply with these categories, i.e. gakushū manga, educational or instructional comics.
A comic can tell the story of almost anything: a single atom, the entire solar system, the past, future events, dreams and thoughts. All this, and more, can be depicted. When presenting facts, a certain artistic licence can be deployed if, for instance, the author wants to emphasise important details; likewise, aspects he or she deems irrelevant can be left out. Moreover, questions and issues can be laid out that are difficult or even impossible to portray photographically or cinematically. However, when the cartoon strip sets out its version of information, events, objects and people, it can also result in a distortion of reality. The graphic may not always make clear exactly how something looks or the precise way in which something happened. And even where documentary images exist, the comic strip representation of the non-fictional is always coloured by artistic interpretation.
There is no doubt that factual discourse exists in comics – the kind of communication that intends to be understood as a reference to a shared and actual reality. Factual comics are not, however, common. While the formal structure of comics clearly allows for factuality, the historical specificity of its aesthetics seems to introduce a non-binding but plausible 'drift' of the art form, ultimately pulling away from reality and towards fiction. This does not prevent factual comics, but it allows for subversive remnants in their aesthetic make-up. One of these is a 'parasitic imagination', which might be understood in the context of Michel Serres' concepts of the parasite. It opens up cartoonish depictions for tertiary significations beyond the drawing and its ultimate real reference. Rather than avoid this basic vehicle of comic book discourse, the 'challenge to factual comics' must be how to employ them in the service of the intended communication.
Beyond Illustration
(2017)
Sophisticated science reported on in comics. The once unthinkable is here as comics are being leveraged and enthusiastically welcomed into forums that would have been off limits not long ago. It's an exciting time of change. But in this headlong dash forward, I want to offer a pause for consideration, and suggest that we ask, what are the things that comics do uniquely compared to other forms of representation? And from there, let us explore how we can best take advantage of comics' particular affordances to do with comics things only comics can do.
In Britain in the late 1880s, two pop cultural icons had an extraordinary meeting: one, Ally Sloper, the fictional star of comic books and stage productions and the other Jack the Ripper, the real-life serial killer who was instantly fictionalised on page and stage as the bogeyman of the moment. The aim here is to explore the way in which this dynamic developed, with a focus on a single issue of 'Ally Sloper’s Half-Holiday' (October 20, 1888), which appeared at the point in time when it was first realised that the killings were being done by a lone individual, and when panic was at its peak. What was at stake politically in the comic’s reaction? What can it tell us about Victorian attitudes to fear, death, and poverty? About the status of women? Finally, about law and order, and the social contract that existed between citizen and police?
In this article I read Jaime Cortez's graphic novel 'Sexile' as an intervention into linear narratives of crossing such as the "victim-rescuing narrative" (Shaksari) or the "transsexual narrative" (Bhanji). 'Sexile' celebrates the resourcefulness and creativity with which the denizens of the borderlands craft homes in the no-man’s land between departures and impossible arrivals. I argue that it is both the story that Sexile (re)tells as well as the format of the graphic novel that make 'Sexile' a life-affirming, useful, and challenging monument to life in the borderlands of national and gendered belonging.
Monsters are no rarity in the history of U. S.-American comics, but in Ken Dahl's eponymous small press comic they assume a articular function: His morphing monsters tell a story about how being a carrier of the herpes virus leads to incessant worry and social isolation. Dahl's narrative exposes the instability of the body's boundaries, and that of the distinction between illness and health. This chapter reads Monsters through traditions and theorizations of the Monstrous and Grotesque, as well as cultural histories of medicine that have shed light on discourses of contagion and (in-)visibility of illness. It is the idiosyncrasies of the comics medium and its history, and those of Dahl's stylistic choices, that enable a particularly tangible representation of social and personal illness experience.
This essay on the nature of the boundary of the comics form is an analysis of US Congressman John Lewis’s autobiography March, which recounts his early days as a civil rights leader and is in the form of a comic or "graphic novel". A few key examples are examined in which normally distinct images and textual elements blend together thereby bringing into question the nature of the boundary in a more general sense as it functions in the comics. Some of the formal elements of the graphic novel analyzed by the essay include its symbolic composition, arrangement of panels and images, treatment of light and dark areas, deployment of racialized icons, and blurring of temporalities and history.
Th¬e main principle of holism – "the whole is more than the sum of its parts" – can be traced back to ancient philosophical studies. Although the term itself was coined by Jan Christiaan Smuts in 1926, the earliest formulations can already be found in Taoism, in the philosophy of Lao Tzu, as well as in Aristotle's 'Metaphysics'. However, a complete and profound sense of the principle has only been revealed in such theories as Gestalt psychology (Kurt Koffka, Max Wertheimer and others), the general systems theory (Ludwig von Bertalanffy), and the theory of complexity (synergetics) as formulated by the Moscow school of synergetics (Sergey Pavlovich Kurdyumov), to name just a few. ¬inking in this direction, from the whole to the parts (subsystems), is quite unusual for classical science which, in its course of analysis, usually moves from distinct parts to the whole. In synergetics, according to Hermann Haken, order parameters determine how parts (subsystems) of complex systems behave. A select few order parameters, as Haken says, encompass the complex behavior of diverse parts and, therefore, lead to enormously reducing the complexity in a description of a given system.
'Synergetics', a fascinating interdisciplinary science initially proposed by Hermann Haken in the late 1960s, is a framework for understanding the interaction effects of very large complex systems, with an emphasis on explaining how self-organized macroscopic phenomena can emerge as a result of these underlying interactions. An especially exciting aspect is that entirely new and distinct properties of the system can emerge somewhat spontaneously. e approach has seen great success in a host of fields ranging from physics and chemistry to brain science and economics.
If reductionism and a search for deterministic, predictive 'laws' of nature represented the dominant research strategy – and world view – of the scientific community during the 20th century, 'emergence' has become a major theme, if not the dominant approach in the 21st century, reflecting a major shift of focus toward the study of complexity and complex systems. However, this important 'climate change' in the scientific enterprise has been accompanied by much confusion and debate about what exactly emergence is. How do you know it when you see it? Or don't see it? What are its defining properties? Is it possible to predict emergence? And is there more to emergence than meets the eye? Beyond these meta-theoretical issues, there is a deep question that is often skirted, or even ignored. How do we explain emergence? Why does emergence emerge? Here, I will briefly recount the history of this important concept and will address some of the many questions that surround it. I will also consider the distinction between reductionist and holistic approaches to the subject, as well as the distinction between epistemological and ontological emergence (that is, the ability to deduce or predict emergence versus the concrete reality of an emergent phenomenon). I will argue that living systems are irreducibly emergent in both senses and that biological evolution has quintessentially been a creative emergent process that is fully consistent with modern (Darwinian) evolutionary theory. Furthermore, as I will explain, novel 'synergies' of various kinds have been responsible for the 'progressive' evolution of more complex living systems over time. e selective advantages associated with emergent, synergistic effects have played a major causal role in the evolutionary process.
Bild und Leidenschaft
(2010)
This experience, listening to the radio version of "The Green Hills of Earth" was the first form in which I encountered a problem that in the following years continued to haunt much of the work I have done ever since. This problem has a double aspect, since it involves both 'the visibility of the invisible' and, inseparably linked to it, that of the 'invisibility of the visible'. Far from excluding each other, as opposites are commonly expected to do, 'visibility' and 'invisibility' seem here to be inextricably linked, although not simply the same. The prominence, in the story, of repetition and recurrence, indeed of doubling, suggests that another term should be introduced to describe this curious relationship of non-exclusive opposition, that of 'divisibility'. Visibility divides itself into what is visible and what is invisible. And given the fact that this is also a question of life and death, of living and dying, the process of divisibility can be said to produce not just appearances, but 'apparitions' (which in English, unlike its 'false friend' in French, signifies 'ghosts' and not just appearances). Listening to the radio in that darkened bedroom, I think what I experienced was something like the apparition of such divisibility, by which the invisible seemed to become visible, but only by making the visible invisible. Much later I learned that this was a phenomenon - if one can call it that - quite familiar to philosophers and aestheticians who generally tried to interpret it with the use of words such as "fantasy" and "imagination": what Kant, for example, in 'Kritik der reinen Vernunft' calls "productive" as distinct from "reproductive imagination", which does not merely reproduce what one sees but which produces representations of things that were never seen (and perhaps could never be seen). But I never felt that such concepts were capable of accounting for the strange capacity of those invisible 'images' to produce feelings whose intensity seemed in direct proportion to their indistinct and relatively indeterminate - non-objective - quality.
The three 'Materialienbände' - 'Schnitte'; 'Rom, Blicke'; and 'Erkundungen für die Präzisierung des Gefühls für einen Aufstand' - that Rolf Dieter Brinkmann produced in the early 1970s have, in the last decade, gradually come to be recognized as central statements of a radically new cultural formation. A peculiar feature of this recognition, though, is the relative puzzlement that lingers over the question as to the 'form' of these volumes. That the three objects resist generic classification is by now a truism of the Brinkmann literature; yet even the construction of a cultural field within which the volumes might be compared to other works has remained elusive. The essay that follows, based largely on a reading of 'Rom, Blicke', is an attempt to construct precisely that cultural field.
Law and literature: that is a sufficiently broad subject to warrant reference to the Fontane character Effy Briest’s "wide field." Indeed, the sites where law and literature encounter each other, where they border on each other, merge, converge, overlap, or where they relate as opposites, even finding themselves as rivals or enemies seem legion. In contrast to the intentions of Effy Briest in that famous novel, my reference to this line is not intended to abort further inquiries; instead I want to chart the field in question with the aim of developing a preliminary typology of the ways in which law and literature have been engaged and have engaged one another. Against the background of this overview, I want to turn to a much smaller field. This small field - a plot of long fallow farmland, to be exact, located between two adjacent, perfectly maintained wheat fields in a fictive Swiss village - will serve as an example or test site for "law and literature" as they emerge in Gottfried Keller’s narrative 'Romeo und Julia auf dem Dorfe', from his mid-nineteenth century collection of novellas 'Die Leute von Seldwyla'. Whether and how the case study of that small field at the centre of Keller’s story can make a case for the larger field of "law and literature" remains to be seen.
Slovenian partisan film is a term which denotes films glorifying Slovenian communist-led guerrilla fighters (so-called 'partisans'), who resisted the German and Italian occupying forces during WW II. These films were made during the decades of communist rule in post-war Yugoslavia and were an important part of the official ideological propaganda. Since the fall of communism in 1989 and Slovenia's secession from former Yugoslavia two years later, however, partisan films have fallen into complete neglect. This is regrettable since they not only represent an important (and not necessarily unattractive) part of Slovenian film history but also allow unique insights into the complexities of the official ideology during the decades of communist rule in the country (1945−89). Namely, the existing ideology was not as simple as might have seemed from the outside: while the Slovenian Communist party had no problems with class issues (class inequalities were regarded according to the Marxist agenda as bad and everything was actually done to eliminate them), there were many important areas of social life that were neglected or dealt with in ideologically relatively ambivalent terms.
The nascent field of neuropsychoanalysis positions itself as a putative bridge between two »historically divided disciplines«. In this chapter, we address this attempt to bridge these two disciplines, through considering a particular scientific and conceptual debate that is taking place within this new field. Neuropsychoanalysis is a diverse and loosely defined interdisciplinary field that comprises the efforts of researchers and clinicians within several branches of both psychoanalysis and the neurosciences to construct a shared space of inquiry in which clinical concepts and findings can be correlated with neuronal data and models. While researchers differ in how they conceptualize the specific contours of this shared space, they tend to converge in their desire to figure out how Freudian concepts might be anchored through neurobiological and anatomico-functional investigations.
This contribution outlines the evolutionary history of aesthetic illusion, drawing on both its biological and its cultural evolution. Unlike other 'biocultural' accounts of human behaviour, however, the present considerations strictly distinguish between these two processes by resorting to the system-theoretical reformulation of evolutionary theory as offered by Niklas Luhmann. After introducing the theoretical framework, two core elements of aesthetic illusion are described as biological predispositions: the ability to become 'illuded' (as deriving from a biological adaptation for play behaviour in mammals) and the ability to take an interpretive, quasi-communicative attitude toward artifacts (which might be a by-product of the human capacity for symbolic cognition). Particular emphasis is given to the competency for cognitive metarepresentation which emerged together with play and other capacities in fundamentally intelligent animals, and which, in combination with the evolution of language in the human species, has developed into a complex cognitive apparatus called 'scope syntax' by Leda Cosmides and John Tooby. In the last part of the present article several cultural processes are pointed out which have influenced the cultural concepts that, as a cognitive 'scope' tag, guide the experience of aesthetic illusion, the most important among them being the idea of autonomous art as brought about in Western modernity.
Verbal storytelling – in a sense broad enough to include all forms from casual conversation across oral folklore to written literature – seems to be a universal human activity and has thus been considered an evolutionary adaptation several times in the past few years. The fact that a particular trait is a species-wide universal, however, does not automatically make it an adaptation; it could also be a contingent universal, that is, a cultural behavior which notably relies on biological substrates and therefore emerges in similar fashions in all human cultures, times, and milieus. Yet verbal storytelling is not only universal but also distinct to our species. The uniqueness of a trait can indeed be indicative of a biological adaptation1 in that we have reason to assume that this trait emerged newly in the given animal lineage and thus might owe its existence to the process of natural selection. However, since verbal storytelling completely depends on language, that is, another uniquely human faculty, the uniqueness of storytelling is hardly surprising and cannot serve as a conclusive argument for considering storytelling itself to be a specifically selected trait. Storytelling could simply be a particular use of language (though we shall see below that the relationship between language and narration is a little more complicated). A third possible indication of a biological adaptation, however, is the fact that storytelling seems to be a notably self-rewarding activity. It occurs on a much larger scale than would seem justified by rational choice or other reasons. As fitness-enhancing behaviors should, as a rule, be intrinsically motivated under certain conditions, the unusually high frequency of storytelling might indeed be revealing of an innate preference for this behavior.
There has been a great deal of uproar about Darwinian approaches in literary scholarship. Statements range from enthusiastic prophecies of a new paradigm for literary studies to acrimonious scoldings of reductionism. Believing that the major challenge is first to find good questions to which evolutionary psychology might provide us with good answers, I outline and critically assess different veins of argumentation as revealed in recent contributions to the field. As an alternative to some simplistic mimeticism in present Literary Darwinism, I put forward the idea of evolutionary psychology as a heuristic theory that serves to resolve defined problems in interpretation and literary theory.
Whereas in traditional models of literary narrative we had to deal with typologies mainly (for instance, of "narrative situations"; see Stanzel 1971, 1984; Fludernik and Margolin 2004; Genette 1980), we now possess a systematic description of the imagination evoked by a text, which takes into account the quasi-ontological (see Bortolussi and Dixon 2003) status of its constituents. In this chapter I search for the cognitive functions that correlate with the text features of "voice" and "perception" and for how they bring about such a "layered" imagination in the reader. The aim is to explain how and why literary narratives can run properly in the human mind-which is another way of asking how humans could develop narrative discourse as a way of communication at all.
Throughout the humanities, greater attention is being paid at present to the category of translation. More than ever before, the tradition al understanding of translation as the (philological and linguistic) translation of text and language is being expanded upon. Increasingly, translation is being spoken about as cultural translation. Yet often the use of this term is merely metaphorical, or even downright inflationary.
My point of departure is Benjamin's "Lehre vom Ähnlichen," since this text elaborates a theory of reading and writing based on the concept of "nonsensory similarity." The "strange ambiguity of the word reading in relation to both its profane and its magical meaning", which is often cited in Benjamin criticism, is derived from a precise figure, namely the constellation as a model for writing and the concomitant practices of anagrammatical dispersion.
It is no longer possible to ignore how crucial processes of cultural translation and their analysis have become, whether for cultural contact or interreligious relations and conflicts, for integration strategies in multicultural societies or for the exploration of productive interfaces between the humanities and the natural sciences. The globalisation of world society, in particular, demands increased attention to mediation processes and problems of transfer, in terms of both the circulation of global representations and 'travelling concepts' and of the interactions that make up cultural encounters. Here, translation becomes, on the one hand, a condition for global relations of exchange ('global translatability') and, on the other, a medium especially liable to reveal cultural differences, power imbalances and the scope for action. An explicit focus on translation processes— something increasingly prevalent across the humanities—may thus enable us to scrutinise more closely current and historical situations of cultural encounter as complex processes of cultural translation. Translation is opened up to a transnational cultural practice that in no way remains restricted to binary relationships between national languages, national literatures or national cultures.
'[C]ulture as text' initially proved to be a pivotal bridging metaphor between cultural anthropology and literary studies. Following an admittedly ambivalent career path, the concept of 'culture as text' has nevertheless continued to rise and has become an over-determined general principle, an emphatic key metaphor, even an overall "programmatic motto for the study of culture" […]. At first, this concept was still closely connected to ethnographic research and to the semiotic framework of interpretive cultural anthropology. However, since the end of the 1990s it has been utilised to encompass a much broader interdisciplinary horizon for the study of culture. 'Culture as text' advanced from being a conceptual metaphor for the condensation of cultural meanings to a rather free-floating formula frequently referred to in analyses within disciplines involved in the study of culture. Surprisingly, 'culture as text' has remained a consistent key phrase throughout the discourses concerned with the study of culture—even after the culture debate had long since turned away from the holistic understanding of culture implied by the formula.
Herder's concept of a national literature [...] serves as a differential category formulated in opposition to the concepts generated by universalistic rationalism and the Classicist aesthetics which is based on it, this being an aesthetics which is incapable of accommodating cultural difference. Thus Herder's concept is to be read – primarily as one looking for ways of conceiving cultural difference syncronically as well as diachronically.
Theatre constitutes a form of collective creativity. This idea is not as self-evident as one might expect. To some extent the collective Character of this art form had to be rediscovered over the course of the twentieth century, as theatre emancipated itself from the primacy of the literary text and thus from the primacy of the author. In fact, the collective character of this art form was fully brought into view again only with the debates about a post-dramatic theatre of the last few decades. In this essay I will tum back to the point in cultural history when literature started to dominate theatre and when the supremacy accorded the author began to annul theatre's collective character. This paradigmatic shift in the evolution of theatre occurred during the eighteenth century, and it is represented primarily by Johann Christoph Gottsched. In the following I will investigate Gottsched's efforts to reform the theatre of his age from a mediological point of view.
In post-Kantian idealist aesthetics, at the very latest, literature and philosophy come to rival each other as producers of "history" At this point, philosophy takes it upon itself to "adopt" art and literature, treating the image as an object upon which to lavish the philosophical "labor of the concept" and explicitly asserting the primacy of concept over image. This objectivation of the image by the concept, however, goes hand in hand with the attempt to cover up and efface the poetic act that underlies the paradigm of "history," an act that had still informed the older, premodern meaning of the concept and had been conspicuously retained and reflected in the modern literary genre of historical drama. I therefore wish to propose that the origin of the logocentric discourse of history is to be found in Hegel's philosophy of art. In the first part of my essay, I will accordingly set out to reconstruct Hegel's effacement of the poetic origin of "history" by jointly examining his aesthetics and his philosophy of history. In the second part, I will confront Hegel's logocentric approach with a reading of Goethe's historical drama Egmont that exposes the poetic origin of "history" and thereby offers an alternative to Hegel's logocentrism.
Vsevolod Garshin's "Four Days" is the story of a wounded soldier left for dead on a deserted battlefield: During four days of physical and mental agony, he reassesses his formerly idealistic attitude towards war and ends up condemning it as something far from glorious and noble. However, the importance of Garshin's short story in literary history is not so much its anti-war message as the innovative nature of the form used to convey that message. Garshin was the first to explore the potential of direct interior monologue (hereinafter: DIM): a technique which seeks to create the artistic illusion that the reader is eavesdropping on a character's inner discourse without any mediation on the part of a narrator [...]. Because Garshin's text anticipated many of the devices later used by such masters of the genre as James Joyce and William Faulkner, the form of "Four Days" merits close analysis.
A glance at the current situation in literary criticism shows that narratology, pronounced dead twenty years ago, is remarkably alive and well. This fact has been noted repeatedly and with understandable self-satisfaction in the recent literature on research into narrative theory. Just how astonishing this rebirth is, however, becomes apparent only when we step back from literary criticism and the humanities to take a wider historical view of the developments in academic and theoretical circles that preceded it. The deeply symbolic year of 1968 marked the fall of the academic ancient régime. Partly in anticipation of this and partly in response to it, a number of new leading disciplines were raised to power in western Europe as sources of hope for the future. However much they may have differed from one another in political purpose (in theoretical circles or beyond), linguistics, political economy, psychoanalysis, and structuralist semiology—to name but a few of the superdisciplines of the time—clearly belonged to one and the same paradigm in terms of how they conceived of themselves: throughout, they sought to reveal universal, ahistorical regularities in human thought and action in their respective fields.
In his book "Fiction and Diction", Gerard Genette bemoans a contradiction between the pretense and the practice of narratological research. Instead of studying all kind of narratives, for Genette, narratological research concentrates de facto on the techniques of fictional narrative. Correspondingly, Genette speaks of a "fictional narratology" in the pejorative sense of a discipline that sets arbitrary limits on its area of study. In his objection, the narratology that literary scholars practice considers fictional narrative to be at least the standard case of any narrative. In other words, what is merely a special case, within a wide field of narratives, is here elevated to narrative par excellence. According to Genette, narratology does not omit the domain of non-fictional narratives from its investigations with any justification, but rather annexes it without addressing its specific elements.
What are possible ways in which this perspective, which Genette criticizes as truncated, can be set right? Can the problem, as outlined, simply be solved by expanding the area of study in narratological research? Or are there not, perhaps, important differences between fictional and nonfictional narratives which seem to encourage narratological research, understood as a fundamental discipline of literary study, under the heading of "fictional narratology"?
In order to come to an answer here, we will first discuss the problem of differentiating between fictional and non-fictional narratives, as well as the possibility of a connection between narrative and fictionality theory. Second, we will expand our considerations to encompass pragmatic and historical aspects of narratives in order to delineate the scope of our proposal.
These […] stories are chosen from anthologies with texts called 'urban legends' (sometimes they are also referred to as 'contemporary legends', or 'urban myths'). Bearing this name in mind, we tend to read these texts as 'Iegendary' narratives that relate ficticious stories of events which never happened. But what if somebody told you these stories as factual accounts of events that really happened to the friend of a friend: wouldn't you believe them to be true – or at least consider seriously the possibility of their truthfulness? Before entering in a discussion of this question, I want to introduce in more detail the kind of narrative I am seeking to analyze.
In folk theories of art reception, readers and cinema audiences are said to experience fictional worlds vicariously 'through' characters, i.e. they 'identify' themselves with them, they partake in their experiences 'empathetically'. In the first section of my essay, I will argue that it is not character but focalization (point of view) which, on a fundamental level, guides our fictional experience, and I will exemplify several ways that characters (or similar ideas) can then in addition come into play. In the next two sections, I will discuss possible cognitive correlates of both the textual device of focalization and textual clues indicating ›persons‹. The aim is to show that what I call ›psycho-poetic effects‹ (that is, the mental representation of anthropomorphic instances) are best described as byproducts of various cognitive programs involved in the reception of narrative fiction. 'Empathy', as it is understood in the above mentioned folk theory of art reception, can then be analysed into individual algorithms of social cognition. And it can be differentiated, as is done in the last section, from other phenomena often confused with it, like emotional experience proper and emotional contagion. Also, I refer to the idea that mirror neurons provide the means to empathize with others, literary characters included. My general proposition is to revise and refine those concepts with the help of evolutionary theory and, thus, to hypothesize as cognitive correlates for textual features only programs specific enough to be correlated with a specific adaptive function which they may have performed in the process of human evolution.
Science in Wonderland
(2008)
Lewis Carroll's Alice, who first explores Wonderland (1865) and later on the country behind the Looking-Glass (1872), belongs to the most well-known characters in world literature. [...] The scientific reception of Carroll's stories – concerning physics as well as the humanities – has taken place on different levels. On the one hand, […] various Carrollian ideas and episodes obviously correspond to topics, subjects and models that are treated in the contexts of scientific discourses. Therefore, they can be quoted or alluded to in order to represent theories and questions […] – as […] physical models of the world […]or theoretical models of language and communication. […] On a more abstract level of observation, Carroll's stories have been used in order to explain and to discuss the pre-conditions, the procedures, and the limits . of scientific modeling as such. Above all, they make it possible to narrate on the problem of defining and observing an 'object' of research. […] According to Deleuze, the paradox structures of the world that Alice experiences give an idea of all meaning being groundless and all logic being subverted by the illogical. Finally, besides all affinities of Alice's adventures to scientific attempts to explain the world, the absolutely incomprehensible is present in Carroll's books as well. Especially the self proves to be something profoundly incomprehensible […].
Bakhtin and Dostoevsky shared the conviction that human life must be understood in terms of temporality. Both thinkers were obsessed with time’s relation to life as people experience it. For each, a rich sense of humanity demanded a chronotope of open time. In many respects, the views of Bakhtin and Dostoevsky coincide. Theologically speaking, one could fairly call them both heretics, as we shall see. Their differences reflect their different starting points. Bakhtin began with ethics, whereas Dostoevsky thought about life first and foremost in terms of psychology. For Bakhtin, any viable view of the world had first of all to give a rich meaning to moral responsibility. Dostoevsky could accept no view that was false to his sense of how the human mind thought and felt.
As Bakhtin noted, chronotopes arise from the density and fusion of temporal and spatial indicators. In prose narrative, the density of temporal and spatial indicators arises as a natural consequence of setting scenes and explaining action, and those indicators are fused by the centripetal forces of plot, character and so on that encourage us to read the various elements of the text as aspects of a coherent story and world. In non-narrative poetry, however, there is no story to drive the setting of scene or generation of character; there may not even be scene or character. As a result, temporal and spatial indicators can be quite sparse, and there may be little centripetal force to encourage their fusion. In a textual environment bereft of character, plot, scene, in which even the centripetal forces of syntax are frayed by linebreaks and other poetic devices, how can chronotopes form and function? [...] In the centripetal environment afforded by most prose narratives, the stable chronotopes and the relationships among them define consciousness, world and values. In the centrifugal environment of non-narrative poetry, chronotopes flicker and flow in a series of hints, glimpses, dissolves, defining consciousness, world and values via evanescence rather than stability. However, as I hope to show below, the evanescence of chronotopes in non-narrative poetry can be as central to the vitality and meaning of those texts as the stability of chronotopes is to the vitality and meaning of prose narratives.
In this contribution, I would like to examine the way in which Bakhtin, in the two essays dedicated to the chronotope, lays the foundations for a theory of literary imagination. […] His concept of the chronotope may be interpreted as a contribution to a tradition in which Henri Bergson, William James, Charles Sander Peirce and Gilles Deleuze have been key figures. Like these four authors, Bakhtin is a philosopher in the school of pragmatism. His predilection for what Gary Saul Morson and Caryl Emerson have called “prosaics” puts him right at the heart of a philosophical family that calls forth multiplicity against metaphysical essentialism, and prefers the mundane to the universal. It seems wise to proceed carefully in the attempt to reconstruct Bakhtin’s theory of imagination. In this contribution to the debate, I choose to develop a philosophical dialogue between Bakhtin and the above-mentioned philosophical family. More specifically, it seems to me that the ideal point of departure for examining the way in which Bakhtin attempts to get to the bottom of the mysteries of literary imagination is Gilles Deleuze’s synthesis of Bergson’s epistemological view on knowledge as “the perception of images”, as well as Peirce’s theory of experience based on a typology of images. In the following, I show that Bakhtin’s view of the temporal-spatial constellations in literature demonstrates a strong affinity to the Bergsonian view that perception of the spatial world is colored by the lived time experienced by the observer. Based on this observation, I then develop a typology of images which places the concept of the chronotope in a more systematic framework.
The Fugue of Chronotope
(2010)
As the survey by Nele Bemong and Pieter Borghart introducing this volume makes clear, the term chronotope has devolved into a veritable carnival of orismology. For all the good work that has been done by an ever-growing number of intelligent critics, chronotope remains a Gordian knot of ambiguities with no Alexander in sight. The term has metastasized across the whole spectrum of the human and social sciences since the publication of FTC in Russian in 1975, and (especially) after its translation into English in 1981. As others have pointed out, one of the more striking features of the chronotope is the plethora of meanings that have been read into the term: that its popularity is a function of its opacity has become a cliché. In the current state of chronotopic heteroglossia, then, how are we to proceed? The argument of this essay is that many of the difficulties faced by Bakhtin’s critics derive from ambiguities with which Bakhtin never ceased to struggle. That is, instead of advancing yet another definition of my own, I will investigate some of the attempts made by Bakhtin himself to give the term greater precision throughout his long life. In so doing, I will also hope to cast some light on the foundational role of time-space in Bakhtin’s philosophy of dialog as it, too, took on different meanings at various points in his thinking.
Bakhtin argues that each literary genre codifies a particular world-view which is defined, in part, by its chronotope. That is, the spatial and temporal configurations of each genre determine in large part the kinds of action a fictional character may undertake in that given world (without being iconoclastic, a realist hero cannot slay mythical beasts, and a questing knight cannot philosophize over drinks in a café). Recent extensions of Bakhtin’s theory have sought to define the chronotopes of new and emergent genres such as the road movie, the graphic novel, and hypertext fiction. Others have challenged Bakhtin’s characterization of certain chronotopes, such as those of epic and lyric poetry, arguing that these genres (and their chronotopes) are far more dynamic and dialogic than Bakhtin’s analysis seems at first glance to allow. Rather than taking issue with Bakhtin’s characterization of particular genres here, however, I wish to argue that we should pay closer attention to the heterochrony, or interplay of different chronotopes, in individual texts and their genres. As Bakhtin’s own essay demonstrates, what makes any literary chronotope dynamic is its conflict and interplay with alternative chronotopes and world-views. Heterochrony (raznovremennost) is the spatiotemporal equivalent of linguistic heteroglossia, and if we examine any of Bakhtin’s readings of particular chronotopes closely enough, we will find evidence of heterochronic conflict. This clash of spatiotemporal configurations within a text, or family of texts, provides the ground for the dialogic inter-illumination of opposing world-views.
This paper proposes a reflection on the potential of the chronotope as a heuristic tool in the field of adaptation studies. My goal is to situate the chronotope in the context of adaptation studies, specifically with regard to perhaps the most central treatise in the field of literary adaptation, Gérard Genette’s “Palimpsests: Literature in the Second Degree”, and to draw attention to perhaps one of the most overlooked works in the field of adaptation studies, Caryl Emerson’s chronotope-inspired “Boris Godunov: Transpositions of a Russian Theme”. I will demonstrate how the chronotope might be used in the study of literary adaptation by examining the relationships between Daniel Defoe’s “Robinson Crusoe”, its historical sources, and Michel Tournier’s twentieth-century adaptation of the Robinson story, “Friday”. My analysis draws upon three of the semantic levels of the chronotope presented in the introduction to this volume: (1) chronotopic motifs linked to two opposing themes: enthusiasm for European colonial expansionism and skepticism regarding the supremacy of European culture; (2) major chronotopes that determine the narrative structure of a text; and (3) the way in which such major chronotopes may be linked to broader questions of genre.
In this contribution we try to probe the generic chronotope of realism, which, judging from its astonishing productivity in the nineteenth century and the profound impact it has had on literary evolution and theory ever since, can be designated nothing less than a hallmark in the general history of narrative. Although we are primarily concerned with the description of the principles of construction underlying the realistic, “documentary”, chronotope, we would also like to touch upon some of its rather evident, but still somewhat under-discussed similarities with the genre of historiography. For, despite an abundance of what could be called “touches of realism” in a plethora of literary texts and genres (both narrative and poetic) since the very beginnings of literary history itself, the direct germs of realism as it developed into a particular narrative genre or generic chronotope during the nineteenth century may well be situated in “prescientific” historiographical works such as those of Gibbon or Michelet.
The aim of this introductory article [to the volume of the same title], firstly, is to recapitulate the basic principles of Bakhtin’s initial theory as formulated in “Forms of Time and of the Chronotope in the Novel: Notes toward a Historical Poetics” (henceforth FTC) and “The Bildungsroman and its Significance in the History of Realism (Toward a Historic Typology of the Novel)” (henceforth BSHR). Subsequently, we present some relevant elaborations of Bakhtin’s initial concept and a number of applications of chronotopic analysis, closing our state of the art by outlining two perspectives for further investigation. Some of the issues which we touch upon receive more detailed treatment in other contributions to this volume. Others may offer perspectives for future Bakhtin scholarship.
One of the most fundamental problems of systemic approaches to literature is the question of how systemic principles might be translated into a manageable methodological framework. This contribution proposes that a combination of functionalistsystemic theories (in casu Itamar Even-Zohar’s Polysystem theory – especially the textually oriented versions – and the prototypical genre approach proposed by Dirk De Geest and Hendrik Van Gorp 1999) with Mikhail Bakhtin’s chronotope theory shows great promise in this respect. Since I am primarily interested in literary genres, the prototypical genre approach assumes a central position in my theoretical framework. My main argument is that Bakhtin’s chronotope concept offers interesting perspectives as a heuristic tool within a functionalist-systemic approach to genre studies, enabling the study not only of the constitutive elements of genre systems, but also of their mutual relations. Bakhtin’s own vague definitions of the concept somewhat hamper the process of putting it into practice for this purpose, but with the aid of the distinction between generic and motivic chronotopes, that problem can be solved. A detailed, comprehensive account of the theoretical premises underlying my proposal can be found in Bemong (under review); here I restrict myself to the basics.
This paper forms part of a larger, ongoing project, to investigate how certain narrative possibilities that seem to have crystallized for the first time in the ancient Greek novel have proved persistent and productive over time, undergoing subtle transformations during formative later periods in the history of the genre, notably the twelfth century (simultaneously in Old French and in Byzantine Greek) and the eighteenth (the time when, according to a narrower definition, the novel is said to originate). For the present, my more limited aim is to revisit the two main essays in which Bakhtin’s theory of the chronotope (and of the “historical poetics” of the novel) are developed, and to extrapolate what seem to me to the most significant and productive lines of his approach, both in general, and with specific reference to the ancient Greek novel. I will then attempt simultaneously to apply and to modify Bakhtin’s model, in the light of a reading of Achilles Tatius’ Leucippe and Clitophon and with reference to previous critiques. The final part of the paper examines how this approach can be productive for a reading of a much later text, often regarded as “foundational” for the modern development of the genre, especially in English, Fielding’s Tom Jones (1749).
A wall-sized canvas by Twombly hanging in a purpose-built pavilion by Renzo Piano, commissioned by the Menil Collection in Houston, bears the scrawled inscription »Anatomy of Melancholy.« Untitled (Say Goodbye Catullus, to the Shores of Asia Minor) is the culminating statement of the artist’s maturity: begun in 1972, it was first exhibited in 1994. In this monumental cenotaph, Twombly’s painting displays phrases from Archilochos, Catullus, Keats and Rilke, as well as the title of Burton’s famous tome, worked into the fabric of the composition, integral to the iconic content. It is the aching heart of the select permanent exhibition of his oeuvre at the pavilion, known as the Twombly Gallery (www.menil.org/twombly.html). The austerity of Piano’s architectural setting, as well as the cunningly filtered Texas sunlight, makes this a site of cult, like the chapel containing the dark, final canvases of Mark Rothko, situated around the corner in the same urban grove of old oak. The setting is a modern Dodona, remote seat of the oaken oracle of Zeus, and it makes an evocative home for Twombly’s enigmatic constructions. These disarm conventional vocabularies of aesthetic response, drawing attention to words and snatches of verse as points of association and recognition. Looking at them involves siting a phrase such as »Anatomy of Melancholy« in other dimensions – in lines, patches, figures, colors.
The Book as a landscape
(2007)
There is a long tradition of regarding landscapes as texts and texts as landscapes. Characterizing visually experienced nature as a text implies stressing its meaningfulness, its character as a message or an expression. According to an old metaphor that was highly esteemed in medieval Christian culture as well as in early modem science, nature itself is a divine message addressed to mankind, analogously to the holy scriptures, revealing the will of God as the superior "author" to those who are able to decipher the signs. As a consequence of the process of secularization, art gains authority over the signs of nature, and it is the artist who creates messages by composing the elements of the visual world. The idea of interpreting texts as landscapes seems less evident at the first moment; it implies the notion of texts and landscapes as artificial products which depend on an individual human subject's intentions.
Popular culture is always in process; its meanings can never be identified in a text, for texts are activated, or made meaningful, only in social relations and in intertextual relations. This activation of the meaning potential of a text can occur only in the social and cultural relationship into which it enters. (Fiske, 1991a: 3)
There is a caricature of Marcel Proust in which the despairing writer is consoled by a friend saying, 'Aber, aber, mon cher Marcel, nun versuchen Sie sich doch zu erinnern, wo Sie die Zeit verloren haben.'
Literature in general, not only A La Recherche du Temps Perdu, deals with a different form of memory than that of mnemonics, in which the hints of places lead to a retrieval of what has been stored there before. Nevertheless it is difficult to pinpoint the criteria that make this difference. How does literature transcend the technologically limited sense of memory in terms of a storage and retrieval system? ...