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In recent years, the history of emotions has acquired an epistemological maturity that has established its legitimacy in the historiographic field. But what is an emotion? Although "emotion" is not a medieval word, the great historian of emotions, Barbara H. Rosenwein, refuses the semantic fixity of the vocables, by slipping voluntarily on the terms and by the playing of the synonymies. Emotional expressionism is the mark of the late Middle Ages in religious life but also in the political, ecclesial, and social worlds. The social sharing of emotions fulfills the function of strengthening the collective identity. In a sense, to rewrite the history of the Great Schism from the perspective of the history of emotions is to consider the great fresco of ecclesiastical passions in their experiences, their discursivity, and their subsequent reception. Passions were often silenced a posteriori by the great official narrative of the Church. That is the gap between archives and narratives.
The chapter examines the intricate relationship established between the papacy and pre-university education in the early modern age, roughly spanning from 1400 to 1800. The focus lies on the connection between the pontiffs who most promoted the educational activities of the religious teaching orders during the centuries when Catholic identity was primarily defined by its educational dimension. This gave rise to a pedagogical experimentation that was, perhaps, unprecedented in Western history.
The emergence of religious teaching orders, including the Jesuits, Somascans, Barnabites, and Piarists, to mention only the most renowned, wasn’t always directed solely towards educational pastoral work. Instead, it was often at the direct behest of the popes that these congregations embraced the educational path. A similar argument can be applied to female education, which is also addressed in this chapter and is a fundamental part of Catholic education in the early modern age.
The Cambridge History of the Papacy is organized to provide readers with a critical–historical survey of the structural development of the papacy as an institution and as an actor in Church history, and in world history. It is hard to imagine a sphere of human activity over the past two millennia that has not been influenced by, and influenced in turn by, papal action – be it in the domains of religious belief and practice; social, cultural, and political thought; art, science, medicine, ethics, diplomacy, and international relations. Four questions – each addressed throughout the three volumes of the present work – have framed that vision across vast chronological and geographical expanses: the pope’s centrality within the Catholic Church, the primacy of papal power as an instrument of governance, the papacy’s cultural influence in society and culture, and the implications of secularity for its place in the lives of believers and non-believers alike. Each question – and the search for answers – converges around the fundamental question of papal authority: its original claims; the ebbs and flows of its effective reach; and the numerous ways in which claims, and expressions of papal authority and supremacy, have been contested within the Catholic tradition, and from without.
Papal tombs are a primary source for the study of papal politics. This chapter gives a chronological overview of papal burials, from early Christendom to the end of the fifteenth century. It addresses questions of burial preferences, church topography (especially in St. Peter’s and St. John Lateran in Rome), as well as the individual appearance of each monument. For the late Middle Ages, the importance of artists to formal innovation is underlined (Arnolfo di Cambio) and set in relation to the patron’s choice of traditions the monument is meant to refer to in its placement and appearance – to antique, French, or Italian models. The increasing number of funeral monuments for members of the Church hierarchy, as well as for laymen, kings, and nobles, starting in the thirteenth century, stiffened the competition in monumental burial and increased the need to develop appropriate papal features.
The Cambridge History of the Papacy is organized to provide readers with a critical–historical survey of the structural development of the papacy as an institution and as an actor in Church history, and in world history. It is hard to imagine a sphere of human activity over the past two millennia that has not been influenced by, and influenced in turn by, papal action – be it in the domains of religious belief and practice; social, cultural, and political thought; art, science, medicine, ethics, diplomacy, and international relations. Four questions – each addressed throughout the three volumes of the present work – have framed that vision across vast chronological and geographical expanses: the pope’s centrality within the Catholic Church, the primacy of papal power as an instrument of governance, the papacy’s cultural influence in society and culture, and the implications of secularity for its place in the lives of believers and non-believers alike. Each question – and the search for answers – converges around the fundamental question of papal authority: its original claims; the ebbs and flows of its effective reach; and the numerous ways in which claims, and expressions of papal authority and supremacy, have been contested within the Catholic tradition, and from without.
Papal ceremonial acted as a language through which the pope and clergy described Catholic identity, history, and moral ideals, establishing a liturgy and ceremonial practice that could be adapted to changing circumstances in Rome and beyond. Topography did not restrict papal ceremonial but enhanced it. Rather than seeing the pope as a prisoner of his ceremonial, as some stereotypes do, this chapter explores papal ceremonial as a language that articulated narratives of authority, responded to crises, and bridged gaps. From late antiquity through the twenty-first century, liturgy, politics, urban administration, and pilgrimage/tourism grew together in cities across the Christian world. As technology has eased communication and travel, the pope has sought more direct ways to speak to Catholics, yet the public maintains an interest in the papacy that grew out of fascination with its premodern ceremonial character.
The Cambridge History of the Papacy is organized to provide readers with a critical–historical survey of the structural development of the papacy as an institution and as an actor in Church history, and in world history. It is hard to imagine a sphere of human activity over the past two millennia that has not been influenced by, and influenced in turn by, papal action – be it in the domains of religious belief and practice; social, cultural, and political thought; art, science, medicine, ethics, diplomacy, and international relations. Four questions – each addressed throughout the three volumes of the present work – have framed that vision across vast chronological and geographical expanses: the pope’s centrality within the Catholic Church, the primacy of papal power as an instrument of governance, the papacy’s cultural influence in society and culture, and the implications of secularity for its place in the lives of believers and non-believers alike. Each question – and the search for answers – converges around the fundamental question of papal authority: its original claims; the ebbs and flows of its effective reach; and the numerous ways in which claims, and expressions of papal authority and supremacy, have been contested within the Catholic tradition, and from without.
This chapter examines the papacy’s positioning vis-à-vis colonization and decolonization, defined both as a political changeover from European to African governance and as a longer, subtler, and more complex process of rejecting European influence and authority in both the public and private spheres, including religion. It investigates Vatican approaches to Catholic missions in Africa during the colonial period, how successive popes navigated the political changes of decolonization, and how they sought to make Catholicism more hospitable to Africans. Finally, it underlines how Africans themselves, such as the prominent intellectual Alioune Diop, played a central role in instigating papal action to make the Church less Eurocentric and more welcoming to other peoples and cultures.
This chapter examines the governance of the papacy prior to and following the Risorgimento, focusing on administrative reform, military affairs, and finances. It analyzes the domestic and foreign aspects of papal rule. Domestically, the papacy implemented administrative changes and faced opposition from local groups advocating for reform. This unrest led to increased reliance on foreign assistance, including military support from Austria and France. Financial burdens compelled the papacy to seek foreign loans from the Rothschilds, creating an unhealthy reliance on foreign means and powers. Ultimately, the papacy was unable to withstand a united opposition that resulted from these policies. The analysis highlights the tension between the Church and temporal government, influenced by religion and nationality. Local control and freedom from foreign interference emerged as key factors in advocating for change.
Throughout its history, the papacy has engaged with the world. Volume 1 addresses how the papacy became an institution, and how it distinguished itself from other powers, both secular and religious. Aptly titled 'The Two Swords,' it explores the papacy's navigation, negotiation, and re-negotiation, initially of its place and its role amid changing socio-political ideas and practices. Surviving and thriving in such environment naturally had an impact on the power dynamics between the papacy and the secular realm, as well internal dissents and with non-Catholics. The volume explores how changing ideas, beliefs, and practices in the broader world engaged the papacy and lead it to define its own conceptualizations of power. This dynamic has enabled the papacy to shift and be reshaped according to circumstances often well beyond its control or influence.
This chapter provides a survey of ecclesiastical and monastic organisations and how lay people engaged with them. There was no singular ‘Frankish Church’. There was considerable variation in what people wanted, how the liturgy was arranged, access to church councils and books, and how communities connected to Roman, English, Irish, Spanish, or Byzantine religious worlds. Communities were united by relatively compact beliefs, not least the need for imminent moral reform and penance ahead of an inevitable appearance at Judgement Day – whether it was at hand or far in the future.
One of the most enduring criticisms of papal infallibility is that it seems to set the pope apart from the Church. Much has already been done to correct this impression, but the current ‘synodal moment’ offers a unique opportunity to substantially further this ecclesiological integration. Along such lines, the present article first proposes that the teachings on infallibility in Lumen gentium be read through the chapter on the People of God (LG25 through LG12), thereby treating the pope as a member of the faithful and drawing out the charismatic dimension of infallibility. The article then pivots to exploring the widely overlooked Eastern Catholic reception of Vatican I. Specifically, it details the dogmatic importance of a clause added to Pastor aeternus by two patriarchs as part of their conditional acceptance – something drawing from a deeper tradition of synodal examination of papal teaching. These two sections converge to reveal a more synodal infallibility at the level of initial discernment and reception. More so, these genuinely synodal elements of papal infallibility are discovered as existing within the previous tradition. Elements that, going forward, can fruitfully be given a new hermeneutical priority.
In this treatise, Bartolus of Sassoferrato explores the phenomenon of factionalism in the fourteenth-century Italian city republics. He gives an account of the local nomenclature of Guelfs and Ghibellines, relating these labels historically to the papal and imperial camps in the contested region of northern Italy. He explains that, nowadays, such labels have only local relevance, not ideological significance. He then analyses the legality of joining such parties, concluding that if the reason for doing so is to uphold the common good, it is lawful.
Among the most important modern Catholic thinkers, Joseph Ratzinger, later Pope Benedict XVI, fundamentally shaped Christian theology in the 20th and early 21st centuries. His collaborations and debates with figures such as Henri de Lubac, Karl Rahner, Jean Daniélou, Hans Küng, Hans Urs von Balthasar, and Jürgen Habermas reflect the key role he has played in the development of Christian life and doctrine. The Cambridge Companion to Joseph Ratzinger conveys the depth and breadth of his significant legacy to contemporary Catholic theology and culture. With contributions from an international team of scholars, the volume assesses Ratzinger's theological synthesis in response to contemporary challenges that Christianity faces. It surveys the major themes and topics that Ratzinger explored, and highlights aspects of the ideas that he developed in his engagement with a wide variety of intellectual and religious currents. Collectively, the essays in this volume demonstrate how Ratzinger's epochal contributions to Christian thought will reverberate for generations to come.
The story of Merovingian decline is inexorably linked to that of Carolingian ascent, a coupling that is ubiquitous in the historiographical record. The success of Carolingian propaganda is thus evident in the adoption of its perspective in later works of historiography. While it is now widely held that the death of Dagobert I did not herald the depletion of Merovingian vigor, this view was adopted by numerous post-Carolingian compositions. It is present in the two sources discussed in this chapter, the twelfth-century Chronica of Sigebert of Gembloux and the sixteenth-century Sefer Divrei Hayamim leMalkei Tzarfat uVeit Otoman Hatogar [The Book of the Histories of the Kings of France and the Turkish House of Ottoman] by Yosef Ha-Kohen. Both were composed at considerable remove from the Carolingian period, yet they bear the traces of its historiography’s far-reaching influence. This is especially noticeable in their periodization of the Merovingian era. The chapter will argue that both authors saw the decline of the Merovingian line as a process precipitated by the disastrous reign of Clovis II (d. 657), and that this appraisal influenced their coverage of his successors.
Intended as a sequel to Rome in the Eighth Century (Cambridge, 2020), this survey of the material culture of the city of Rome spans the period from the imperial coronation of Charlemagne in 800 to the nadir of the fortunes of the Roman Church a century later. The evidence of standing buildings, objects, historical documents, and archaeology is brought together to create an integrated picture of the political, economic, and cultural situation in the city over this period, one characterized initially by substantial wealth resulting in enormous patronage of art and architecture, but then followed by almost total impoverishment and collapse. John Osborne also attempts to correct the widespread notion that the Franco-papal alliance of the late eighth century led to a political and cultural break between Rome and the broader cultural world of the Christian eastern Mediterranean. Beautifully illustrated, this book is essential for everyone interested in medieval Rome.
How did the papacy govern European religious life without a proper bureaucracy and the normal resources of a state? From late Antiquity, papal responses were in demand. The 'apostolic see' took over from Roman emperors the discourse and demeanour of a religious ruler of the Latin world. Over the centuries, it acquired governmental authority analogous to that of a secular state – except that it lacked powers of physical enforcement, a solid financial base (aside from short periods) and a bureaucracy as defined by Max Weber. Through the discipline of Applied Diplomatics, which investigates the structures and settings of documents to solve substantive historical problems, The Power of Protocol explores how such a demand for papal services was met. It is about the genesis and structure of papal documents – a key to papal history generally – from the Roman empire to after the Council of Trent in the sixteenth century, and is the only book of its kind.
This chapter starts the transition to the period after 1250 and argues that advocacy remained important into the fifteenth century (and later), in part because it was central to debates about imperial and papal authority. Beginning in the twelfth century, both popes and emperors insisted that the German ruler was the special advocate of the Roman Church, but the two sides differed on what this title meant. While the popes asserted that it was the emperor’s responsibility to defend the Church from its enemies and that the popes therefore had a role to play in selecting an able defender, the emperors claimed that as advocates they could exert wide-ranging influence over the Church and even call Church councils when necessary. This conflict not only highlights the inherent fluidity of the role of the advocate centuries after it first appeared but also helps to explain why so many people would continue to want to call themselves advocate during the half-millennium after 1250.
This chapter analyzes the abundant sources that record accusations of violence and other abuses committed by advocates in the eleventh to thirteenth centuries. While much of this evidence includes rhetorical flourishes that suggest advocates were barbaric tyrants, a close reading of the sources demonstrates that many advocates employed specific strategies to benefit in corrupt ways from their positions. These included abusing their judicial authority, making excessive demands for protection payments from churches’ dependents and treating ecclesiastical estates like their own property. This chapter also tracks disputes between monasteries and advocates that lasted multiple generations, in order to argue that advocates’ corrupt practices were deeply rooted in the challenges churches were continuously confronted with when they needed to grant someone else access to their property in order for that person to provide protection and exercise justice.
This chapter focuses on the period between roughly 1050 and 1150, when calls to reform the Church and religious life swept across Europe. The new religious orders that emerged in this period, including the Cistercians, Premonstratensians and Augustinian canons, all sought to limit the influence of secular authorities over their communities. Nevertheless, this chapter argues that – especially in the German-speaking lands – church advocacy was already too entrenched a feature of society for these new orders to ignore it or effectively control it. Someone needed to provide protection and exercise justice over the numerous estates these new foundations were receiving, and nobles had already come to rely on the position of advocate as an effective means of asserting their influence over monasteries and churches. As a result, while Church reformers increasingly sought in this period to regulate and place limits on advocates’ responsibilities, they were unable to prevent high-ranking nobles from accumulating large numbers of church advocacies in their own hands.