Vincent Blok: Ernst Jünger’s Philosophy of Technology: Heidegger and the Poetics of the Anthropocene

Ernst Jünger’s Philosophy of Technology: Heidegger and the Poetics of the Anthropocene Book Cover Ernst Jünger’s Philosophy of Technology: Heidegger and the Poetics of the Anthropocene
Vincent Blok
Routledge
2017
Hardback £105.00
154

Reviewed by: Richard Fitch (Independent Scholar)

Ernst Jünger (1895-1998), was a problematic polymath whose life and work continue to discreetly haunt both German and European intellectual life. He was first a soldier, highly decorated and often wounded in the First World War. The Second War he spent as a staff officer occupying Paris where he mingled with the likes of Picasso. Both experiences were transmuted into literature, most famously in his 1920 memoir of the trenches, Storm of Steel, which made his literary name. He went on to excel in many literary genres, such as those of memoir, diary, novel, essay, science fiction, allegory, theoretical tract and in the forms of literary expression usually associated with the name of Friedrich Nietzsche. He stands alone, amongst German writers, with Goethe, Klopstock and Wieland in having had two editions of his collected works published in his lifetime. As if this were insufficient for a life well lived, he was also an entomologist of some distinction. So far, so wiki — he appears a figure of some note; but is he, or was he, of philosophical note?

There is a paucity of English-language secondary literature on Jünger, and little of that literature is of direct philosophical interest. Does this matter? Was Jünger more than a warrior littérateur entranced by beetles – if being philosophical would make more of that? In this book Vincent Blok sets out to provide an affirmative answer to this question. He proceeds in two keys: in that of the history of philosophy and in that of philosophical argument.

With regard to history, Blok’s strategy is to entwine Jünger with Martin Heidegger. This is no facile ‘x & y’ project. They corresponded, and Heidegger was a careful reader of Jünger, and more than a careful critic. Volume 90 of his Gesamtausgabe carries the title Zu Ernst Jünger ‘Der Arbeiter’. And in his celebrated essay collection Pathmarks the essay ‘On the Question of Being’ is a direct response to Jünger’s essay ‘Across the Line’. But even more than this Heidegger saw Jünger as the figure that stood between himself and Nietzsche. This in itself would seem to suffice to establish Jünger’s place, howsoever minor, in the history of thinking in the twentieth century. However, Blok desires even more than this. More than showing the influence of Jünger on Heidegger, and exploring Heidegger’s critical response to Jünger, Blok ventures to assert that Jünger goes beyond Heidegger. To ground this startling proposition a change of key is required, to that of philosophical argument.

With regard to philosophical argument, Blok initially uses the entwining with Heidegger to make an intervention in the philosophical questions of, not only, as the title suggests, technology, but also those of nihilism and language. And Blok entwines these questions as he entwines his leading men. And it is with regard to the question of language that Blok argues that Jünger goes beyond Heidegger.

The book consists of an argument in three interlinked movements. First, Jünger’s concept of the worker is explored as it is presented in his text with the most direct philosophical import: The Worker of 1932. Then Heidegger’s engagement with this concept takes the stage. Finally, Blok suggests how Jünger’s work might be understood to elude the critique that issues from Heidegger’s engagement, and thus be of continuing philosophical import. This book is an argument first. Readers after an introduction to Jünger’s life and work need to look elsewhere. In addition, at least a basic appreciation of the full range of Heidegger’s mature thought is probably a prerequisite for a fruitful engagement with Blok’s argument. The three movements will be tracked in turn.

Part One ‘The Age of Technicity and the Gestalt of the Worker’: The Worker: Dominion and Form, to give its full title, is a work written in the twilight of the Weimar Republic that seeks to explore how one can reorientate oneself in the wake of the shattering of the brittle maps of nineteenth century bourgeois liberalism by the brutal hammer of the First World War. Without much need for the gifts of prophecy, the implication is that the Weimar Republic sought to carry on as if nothing had happened and that is the secret of its coming disaster. Jünger with the form, or gestalt, of the worker seeks to articulate a more robust response to a world whose contours are formed by the ice and fire of technology and not by the ethereal legal fictions, then practically dispelled, of contracts and rights. Central to The Worker is a slippery conception of gestalt, and it is here that Blok’s focus falls. As Blok argues, for Jünger gestalt indicates that power that gives fundamental ontological form, and thus unity, to a particular epoch of human existence. Blok describes gestalt as “a summarising unity or measure within which the world appears as ordered.” (13) Gestalts can differ, so the world can appear as ordered in different ways. It seemed clear that the appearance of the order of the world changed in Germany, and in Europe, between the springs of 1914 and 1919. Reflecting on his experience of the trenches Jünger intuits a shift in fundamental measure from that of the Enlightenment to that of the worker. Evidence of this is that the War makes no sense in a world as ordered by the Enlightenment. It makes no sense, yet it is, thus something must have changed. But the shift is hard to discern, so for those without the eyes to see it is experienced as the nihilistic dissolution of bourgeois values and meaning-giving. It is hard to discern because, for Jünger, a gestalt cannot be perceived directly, but only through its effect on its world. The gestalt is not a product of history as even ‘the characteristic of time changes through the influence of the gestalt.’ (16). Blok argues that Jünger sees his task first to draw out the contours of the forms of life as work imposed by the new gestalt of the Worker, and then strive to find ways of being that might productively respond to this new fundamental ordering. In the gestalt of the worker, the world appears ordered as work, to the extent that even leisure is understood as a form of work. And the world is waiting for the task. Blok quotes Jünger to the effect that “The working world expects, hopes to be given meaning.” (12).

Blok understands this meaning-giving in Nietzschean terms, specifically those of the will to power as art. And before proceeding Blok offers an intermezzo on Nietzsche’s conception of nihilism. The Nietzsche presented is a Nietzsche of the will to power. While this Nietzsche is currently interpretatively unfashionable, this is the Nietzsche that Heidegger sees Jünger as embodying, so it is contextually apposite. More problematic is Blok’s rather narrow understanding of nihilism which he takes to consist in the erasure of the “Platonic horizon of the transcendental idea.” (21).

Returning to Jünger, Blok now explores how the gestalt of the worker leads to the type of the worker, where the type is the way of life that fits best with the gestalt. One is already in the gestalt of the worker so, “Our transition to the type of the worker thus consists of a becoming who you are.” (32). Blok’s reading here is informed by Jünger’s 1930 essay ‘Total Mobilisation’. Being a worker-type is not a matter of personal industriousness or wage-slavery. It is an attunement to the situation that the new gestalt of work leaves one in. “In the epoch of the worker, ‘work’ would form the metaphysical measure of the world and men, in whose light the technological world appears as technological order and man finds his destination as the type of worker.” (35). Again, it is not a matter of a traditional work-ethic, or a class based analysis calling the workers of the world to unite. It is a recognition of the metaphysical ordering that currently dominates. It is a strange metaphysics which appears necessary while it dominates, but which can dissolve, and with it its necessity, in the blink of an eye. This shift to the worker means that what appears as nihilism is not the collapse of all value, or the highest values devaluing themselves, but the misrecognition of a shift in the metaphysical order of the values that themselves give order to the appearance of our world – a shift here from Enlightenment to Work. And to consciously create oneself as a worker is to most fittingly respond to the manner in which the world appears to be ordered when it is ordered by the gestalt of the worker. The analysis of the gestalt of the worker thus does not aspire to the utopian or normatively prescriptive but tries to be realistic and phenomenological. It is a response to the world, and one’s most fitting place in it, as they appear given. The ‘heroic realist recognises himself as the type of the worker’ (36). One may not like this world of work, but it is the world that appears.

How does the worker work? This work is, somewhat surprisingly, a poetic task guided by the gestalt: “The will to power is led as though by a magnet by the gestalt, which is not and only is in the will to power as art.” (36). It is a poetic task, bringing forth a language that allows the dominion of its gestalt ‘to emerge from its anonymous character’ (35). What then is the worker to work at? “The worker’s task is to transform the work-world of total mobilisation into a world in which the gestalt guarantees a new security and order of life.” (39). The task of the worker is to be bring to light how the world appears to be ordered in the epoch of the worker, where this bringing to light is guided by the source of that ordering, and results in the practical ordering of life. There is a suspicion that here Blok’s Jünger is too close to Nietzsche, but then that is where Heidegger also finds him so he is in good company.

Part Two: Heidegger’s Reception of Jünger – Work, Gestalt and Poetry: Blok identifies Heidegger’s key problem with Jünger as his apparent claim that nihilism can be overcome. Where Jünger sees two gestalt: Enlightenment and then Work, Heidegger only sees one nihilism. The gestalt of the worker is yet another occasion of the forgetting of the question of being. Furthermore the gestalt itself is platonic, still concerned with the search for certainty and security. And from this symptom Heidegger diagnoses that Jünger remains within the orbit of Nietzsche’s metaphysics. But Jünger is not minor satellite, but ‘the only real follower of Nietzsche’ (54). As ever there is the question of the trustworthiness of Heidegger’s interpretation, whatever its stimulating novelty. Blok notes that the likes of Günter Figal and Michael Zimmermann argue that it is Jünger that first provokes Heidegger to find his own response to the question of technology and to the modern world in general. A response that would lead to Heidegger grasping for both National Socialism and then Hölderlin.

Blok begins his defence of Jünger by examining the development of Heidegger’s ontology of work in Being and Time and beyond. He argues that this development is provoked by his reception of Jünger’s work, but that, between 1930 and 1934, Heidegger was following Jünger rather than reacting against him, so that, for example, ‘following Jünger, Heidegger rejects economic conceptualizations of work and worker’ (70). For Blok it is only in 1934 that Heidegger develops his own response, and it only then that he turns his guns on Jünger. Only then does Jünger become captive to the unquestioning of Being, and becomes one who indicates but does not question. Where Blok sees Jünger as engaged in a poetic task, Heidegger sees him all ‘bound up with the will to power of representation’ (80). Jünger fails to enact the ‘new’ languaging of Being that is required. For his own part Heidegger begins to move away from the trope of work towards those of exposure and Gelassenheit. As Blok notes “According to Heidegger, our questioning is only really philosophical when this questioning recoils back from what is asked, back upon itself.” (88). One might speculate that Gelassenheit et al, the whole post-conceptual rhetorical apparatus of the mature Heidegger, with its negative and mystic overtones, be a recoiling back from not only Jünger’s world of work, but also from the world of the trenches (and perhaps even from their successors as the locus of extreme horror — the camps, though that is certainly too charitable to Heidegger) that was the midlife to the expression of this world? Blok examines Heidegger’s use of a conception of gestalt in his essay ‘The Origin of the Work of Art’ (1935-6) with an eye on Heidegger’s emerging idea of the poetic tasks of language. Blok’s response is, by now, as expected. Whatever Heidegger’s idea of the poetic task, Blok argues that Jünger is up to it. Jünger’s is not the old language of will to representation or of the bad old subject. Blok quotes Jünger “It has far more to do with a new language that is suddenly spoken and man answers, or he remains silent – and this decides his reality… The clatter of looms from Manchester, the rattle of machine guns from Langemarck – they are signs, words and sentences of a prose that wants to be interpreted and mastered by us.” (104). Whence then this new language? From Engels’ Manchester or Jünger’s trenches, or indeed from their contemporary equivalents, or from sojourns at Todtnauberg? Jünger may lack Heidegger’s philosophical sophistication but perhaps he is not without judgement here. And howsoever Blok may overstate Jünger’s case, it is perhaps, against Heidegger of all thinkers, a case worth overstating. For Heidegger, the man of the university-machine, we are exposed off the beaten tracks of the Black Forest. For Jünger, the stormtrooper insect-fancier, we are exposed on the battlefield or the factory floor (it is all too easy to think of contemporary equivalents here). Wherever they both are, Blok asserts that Jünger is “on his way to an understanding of the essence of language that is no longer metaphysical.” (106). And that, all over the place, is the philosophical goal.

Part Three: The Essence of Language and the Poetics of the Anthropocene: In this final act Blok makes a case for Jünger as a properly post-Heideggerian poetic language-worker and thus not a pre-Heideggerian epigone of Nietzsche. It is the weakest part of the book, but that might be no bad thing. Why? Because of the structure of his argument and book, Blok has to connect this act to the preceding two, in particular the first act on the worker. In order to achieve this he examines texts such as Jünger’s 1963 essay ‘Type, Name, Gestalt’ where the link, via gestalt, is obvious. However, much as Heidegger did, in his later years Jünger moved far from some of his earlier work, and especially from anything that reeked of political engagement. This retreat might be seen, in print, as early as On the Marble Cliffs (1939), a thinly but artfully veiled allegory of the Germany of the time and its horror. By 1951’s The Forest Passage, Jünger is a ‘forest fleer’ or rebel, alone in the same German forests where Heidegger sought a different sort of solace. Jünger seeks a quiet but firm freedom, not the main event. And by his 1977 allegorical novel Eumeswil, there is the figure of the Anarch, not to be mistaken for the anarchist, who survives the world dominated by work not by embracing the fate of the worker but by cultivating a resolute scepticism and a careful if still quiet freedom. “The difference is that the forest fleer has been expelled from society, while the anarch has expelled society from himself.” (Jünger 1995, 147). This seems far from the trope of work, and Blok is aware of all this, he notes that ‘the poet must stand in opposition and not engage in the workshop landscape.” (113). But he also appears constrained by the logic of the argument he has already made. But when, at the close of a chapter that touches on The Forest Passage, Blok asserts that “In general, we can conclude therefore that Jünger’s later essays are in line with his early work on the gestalt of the worker.” (116) the effect is not altogether convincing as to whether Blok himself believes his own case. That said, there is much of interest in the case that he does make. And even if he is constrained by his earlier positions, this reader senses that, ultimately, fidelity to Jünger’s text wins out, hence the weakness of his argument might not be a weakness when it comes to exposing Jünger’s work.

There is also the problem, for Blok, of trying to demonstrate how Jünger manages to squeeze past Heidegger on their tight forest path to post-metaphysical language, in only 33 pages including notes. His case simply does not have room to breathe. For example, Blok asserts that the inaccessibility of gestalt necessitates poetic naming, but does not explore how this echoes the withdrawal of Being that Heidegger associates with clearing and event. And while Blok asserts that the “Geheimnis [secret] of the gestalt makes clear that the new epoch of the worker is not a matter of observation but of poetry.” (141) it is not always clear quite how we got from work, and the trenches, to poetry. While Jünger clearly was an skilful, experimental and promiscuous stylist, the suspicion remains that this is inadequate to merit the mantle of a new post-metaphysical language fit for the time of the worker. All in all the third act reads as a draft of an argument to come, and when it comes it will be welcome.

A complicating of the actual relationship between Heidegger and Jünger would also be welcomed, as would, though it is clearly outwith the task Blok set for himself, a questioning of the relationship of each, personal and intellectual, with another German master of the dark arts, Carl Schmitt. In an interview on the occasion of his 90th birthday Jünger reflected on what he saw as Heidegger’s political stupidity: “He thought something new was coming [in 1933], but he was terribly mistaken. He did not have as clear a vision as I did.” (Hervier 55) How might Heidegger have responded? In the same interview Jünger relates one of his brother’s Heidegger anecdotes: “One day, Heidegger was stung on the back of the neck by a bee, and my brother told him that that was excellent for rheumatism. Heidegger didn’t know what to answer.” (Hervier 55). In his final letter found in the collection of their correspondence Heidegger, on the occasion of Jünger’s 80th birthday, wrote: “My particular wish for you on this day is brief: Remain with the proven, illuminating decision on your singular path of saying. That such saying is itself already an act that needs no supplement by a praxis, only few still (or yet?) understand today.” (Heidegger & Jünger 61). Blok does aid in that task of understanding.

A few scattered comments: as is not uncommonplace the index is lamentable; the book’s connection, as promised in its title, with the workplace concept of the Anthropocene is slight, gratuitous and unnecessary to the argument (138-9); the style is repetitive but repetition of one’s place in the argument can keep one on track, and it ameliorates the effect of the inevitable typos and occasional infelicities in sentence construction.

In conclusion: Blok benefits from the lack of a substantial body of existing English-language secondary literature, in that it is easier for a novel perspective to stand out when the field is not crowded. Though he might soon have company with the publication in late 2017 of an English translation of The Worker (Jünger 2017). Although details and arguments might be disputed, he clearly establishes Jünger as a significant interlocutor with Heidegger and thus as someone who cannot be philosophically ignored by readers of Heidegger. Likewise, much as Heidegger cannot be ignored by those engaged with the philosophical questions of technology, nihilism or language, neither now can Jünger. In short and to repeat: Blok succeeds in making sure that his Jünger can no longer be ignored by philosophers, especially by those who care about the same philosophical questions that propelled Martin Heidegger’s mature work.

References:
Heidegger, Martin & Jünger, Ernst. Correspondence 1949-1975, translated by Timothy Sean Quinn (London: Rowman & Littlefield, 2016).
Hervier, Julien. The Details of Time: Conversation with Jünger, translated by Joachim Neugroschel (New York: Marsilo Publishers, 1995).
Jünger, Ernst. Eumeswil, translated by Joachim Neugroschel (London: Quartet Books, 1995).
Jünger, Ernst. The Worker: Dominion and Form, translated by Bogdan Costea & Laurence Paul Hemming (Northwestern University Press, 2017).

Christoph Durt, Thomas Fuchs, Christian Tewes (Eds.): Embodiment, Enaction, and Culture

Embodiment, Enaction, and Culture: Investigating the Constitution of the Shared World Book Cover Embodiment, Enaction, and Culture: Investigating the Constitution of the Shared World
Christoph Durt, Thomas Fuchs, Christian Tewes (Eds.)
MIT Press
2017
Hardcover $55.00
456

Reviewed by: Anya Daly (University College Dublin)

Enactivism as a theoretical framework that addresses diverse domains is establishing itself firmly as the paradigm of the 21st century.[1] Not only does it have the potential to bridge the so-called analytic-continental philosophy divide and the east-west divide, but it also offers cogent reinterpretations of key issues in all the disciplines concerned with the human and animal sciences. The enactivist account challenges and is differentiated from paradigms that explicitly or implicitly rely on rigid external-internal oppositions as well as those grounded in a reductive materialist metaphysics such as the currently popular paradigm of neurocentrism.  Any persisting Cartesian dualisms in addition to monist reductivisms are thus revealed as bankrupt endeavours in the investigation of consciousness, agency, subjective experience and our shared worlds.

This current collection of essays presents a rich offering of interdisciplinary scholarship from some of the leading thinkers alongside emerging scholars connected to the enactivist tradition and its progenitor phenomenology; their remit — to investigate how the various dimensions and domains of our shared world are crucially informed by cultural modes of embodiment and enactively galvanized cultural contexts. Many of the chapters were presented as papers at the conference Enacting Culture: Embodiment, Interaction and the Development of Culture, October 15-17, 2014, University of Heidelberg, Germany. This was the final conference marking the end of the European Commission funded Innovative Training Network, Towards an Embodied Science of Intersubjectivity.

Embodiment, Enaction and Culture: Investigating the Constitution of the Shared World comprises 20 chapters organized around 4 themes: Phenomenological and Enactive Accounts of the Constitution of Culture; Intersubjectivity, Selfhood and Persons; Cultural Affordances and Social Understanding; and Embodiment and its Cultural Significance. It is important to note that, while the title may be taken to suggest otherwise, any reader expecting the cultural themes of aesthetics to be addressed in this book will be disappointed. The writers in this current collection represent the disciplines of philosophy, neurophysiology, cognitive science, psychology, psychiatry, sociology, anthropology and evolutionary studies and so address ‘culture’ in the broader sense. This volume will be an important resource not only for philosophers, but also for those researching and teaching in any of the disciplines represented here by these various writers.

As Merleau-Ponty has declared “the very first of all cultural objects which enables all the rest to exist, is the body of the other person as a vehicle of behavior (Phenomenology of Perception: 364). As soon as I perceive the living body of an-other, my environment attains significance not just as the context and means of my possible agency but also that of the other. Through the potentialities and actualities of interaction, our bodies form a system” (Daly, 2016). Merleau-Ponty here articulates the central organizing insight that motivates this collection of essays; that culture, embodiment and sociality are intrinsically and dynamically interdependent.

Christophe Durt, Thomas Fuchs and Christian Tewes in their introduction acknowledge the intellectual debts of enactivists to the ground-breaking book, The Embodied Mind (1991), in which the authors, Francisco Varela, Eleanor Rosch and Evan Thompson, launch the enactivist vision; and they in turn have acknowledged their intellectual debts to biology, Buddhist philosophy, phenomenology and specifically the phenomenology of Merleau-Ponty. As the editors explain, the writings address the constitution of the shared world through the interrogations of “participatory and broader collective sense-making processes manifested in dynamic forms of intercorporeality, collective body memory, artifacts, affordances, scaffolding, use of symbols, and so on.  The contributors investigate how preconscious and conscious accomplishments work together in empathy, interaffectivity, identifications of oneself with others through emotions such as shame, we-intentionality, and hermeneutical understanding of the thoughts of others. The shared world is seen as something constituted by intersubjective understanding that discloses things in the shared significance they have for the members of a culture” (Durt, Fuchs, Tewes, 2017:1). The initial inspiration for enactivism came from the biological sciences with the idea that the organism both geared into its environment through its active sensorimotor engagement and itself became cognitively constituted through this engagement; in other words, the salience of the environmental features depended on the survival requirements of the organism and the perceptual, agentive and cognitive capacities of the organism reciprocally became structured by the demands of the environment. In the cultural domain, enactivism interrogates how collective cultural activity constitutes worlds of shared significance, not, as the editors insist, in any constructivist sense but rather in the mode of disclosure. And they give recognition to Merleau-Ponty and his notion of the ‘intentional arc’ for this enactivist notion regarding the human life-world. Due to its perspicacity and relevance to this book, it is worth repeating here:

The life of consciousness – cognitive life, the life of desire or perceptual life – is subtended by an “intentional arc” which projects round about us our past, our future, our human setting, out physical, ideological and moral situation, or rather which results in our being situated in all these respects. It is this intentional arc which brings about the unity of the senses, of intelligence, of sensibility and motility.  (Phenomenology of Perception, 2006: 157; 2012: 137)

The chapters in this volume address all of these various aspects of the cultural world from the everyday sensorimotor perceptual engagements, to affective intersubjective life, through to artifacts and technology, to institutions, and finally to the psychopathological which, in the breakdown and failures of the ‘intentional arc’, provide unique and incisive insights into the life of consciousness.

It is impossible in a review to do justice to each and every chapter in this broad collection and so I will briefly discuss only a few that have relevance to my own current research interests.

The collection begins with a groundwork piece by Dermot Moran, who sets the scholarly context for much that the later chapters depend, with his essay – ‘Intercorporeality and Intersubjectivity: A Phenomenological Exploration of Embodiment’. His opening statement gives recognition to the centrality of phenomenology for revolutionizing philosophy in the twentieth century by offering a radical reconceptualization of human existence that continues to inform the philosophy of mind and action, and the cognitive sciences.  Moran offers a rigorous analysis of the lines of investigation, the conceptual convergences and divergences of key contributors in the phenomenological tradition.  Given the complexity of the domain and that intellectual debts were not always explicitly acknowledged in both some of the primary literature and the secondary literature, this is no mean feat.  Importantly, he alerts scholars to the fact that in the evaluations of Husserl’s work, his later “original, radical and fundamentally groundbreaking explorations of intersubjectivity, sociality, and the constitution of historical cultural life” (25) are often overlooked. And while Moran reminds us that this later work was key to both Heidegger and Schutz, it is Merleau-Ponty, in the preface to his opus Phenomenology of Perception, who famously ‘outs’ Heidegger as having developed central ideas in his Being and Time on the basis of Husserl’s unacknowledged later work Ideas II (Phenomenology of Perception, 2006: viii; 2012, lxx, lxxi). Moran is more circumspect about this omission on the part of Heidegger and turns his focus on Husserl’s mature reflections to give them the appreciation they deserve and, moreover, set the record straight. Specifically, Moran’s interrogations are concerned with Husserl’s elaborations of the role of lived embodiment in the intentional constitution of culture, our mutual being-for-one-another and the riddle of transcendental subjectivity.

Moran alerts us to the Husserlian origins of key concepts found in the work of later phenomenologists such as ‘world-consciousness’, ‘generativity’, the interrelation that holds between objectivity and intersubjectivity – as he writes: “The sense of objectivity is co-constituted by us, and we are constituted as living beings in relation to this backdrop of world” (27).   And it is this co-constitution of worlds that become expressed in all the various dimensions of culture. The discussion then turns to a key distinction in the phenomenological analyses of body and embodiment between Leib (lived body) and Körper (physical body), more readily associated with the work of Merleau-Ponty, but nonetheless, as Moran notes, already present in the writings of Fichte, Husserl, Scheler, Stein and Plessner.  So too, the signature notion of the ‘I can’ as elaborated by Merleau-Ponty is prefigured in Husserl’s later work and this contributes to self-constitution as much as denoting capacities and powers in world-engagement.  Here we have the dialectical dynamic as expressed through the enactivist framework and this is further elaborated on in discussions tracking the scholarly sources of enactivist ideas such as co-constitution, embeddedness and participatory sense-making in the earlier notions of situatedness, reversibility, empathy, intercorporeity and intersubjectivity.

One of the discussions that especially drew my interest was that concerning intrauterine lived experience from the perspectives of mother and fetus. Whereas Merleau-Ponty, drawing on Piaget, erroneously argues for an indistinction of perspectives between mother and fetus or newborn, Husserl recognizes that there is both an attunement and distinction between subjectivities from the beginning. Moran identifies a number of correspondences between the thinking of Husserl and current research in developmental psychology, referencing in particular the work of Colwyn Trevarthan (37). Vasudevi Reddy in Chapter 6 – ‘The Primacy of the “we”’, develops an account compatible with and extending some of Trevarthen’s founding ideas.

Ezequiel Di Paolo and Hanne de Jaegher, in Chapter 4 ‘Neither Individualistic nor Interactionist’, give a review of key debates in the enactivist account of intersubjectivity that continue to generate controversy, suggesting that some of these have arisen in the first place due to misinterpretations which call for clarification. This is exactly what they seek to do, differentiating those accounts that intersect partially with enactivism but which failed to appreciate key aspects from those that remain attuned to the central organizing insights of enactivism.  There are two misreadings that they target particularly. Firstly, there is a confusion, they claim, between the operational account of social interactions versus interaction as participatory sense-making. They write: “The realm of intersubjectivity is animated by a force that is neither what goes on in people’s brains or in their self-affective bodies nor what occurs in social interaction processes – if we consider each alternative on its own.  On the contrary, intersubjective phenomena emerge only as a dynamic relation between these two broad domains: the personal and the inter-personal.  Any emphasis on either side of this relation at the expense of the other fails to capture the complete picture” (87). It is exactly this insight that is prefigured in Merleau-Ponty’s argument that while I am always “this side of my body”, there is nonetheless an internal relation between self and other and that it is this category of otherness at the heart of subjectivity which underwrites relations between external others. He writes: “Between my consciousness and my body as I experience it, between this phenomenal body of mine and that of another as I see it from the outside, there exists an internal relation which causes the other to appear as the completion of the system” (Phenomenology of Perception, 2006:410; 2012:368). The crucial point di Paolo and de Jaegher defend is that “social interaction and embodied agency are equiprimordial loci of scientific and philosophical inquiry” and further that “intersubjective phenomena emerge only as a dynamic relation between the two broad domains; the personal and the interpersonal” (87); the relation thus transcends the relata; and importantly while the relata maintain their autonomy, their coupling “constitutes an emergent autonomous organization in the domain of relational dynamics” (89).  They furthermore stress that the coupling is never guaranteed, because if we allow the “autonomy conditions for both interaction patterns and participants, the experience of the other never achieves full transparency or full opacity but rather intermittently moves through regions of understanding and familiarity toward provinces of misunderstanding and bemusement, corresponding to phases of interactive coordination or breakdown respectively” (91). The second misreading they target is the claim that enactivism is unable to account for interior life, as in imagining, planning and thinking, without recourse to representation.  In brief, Di Paolo and de Jaegher argue that the ‘agent-world’ coupling in the here and now is not, contrary to representationalists’ claims, the only possible source of meaning-generation for enactivists. Due to the length constraints of this review I will not rehearse the careful and persuasive arguments they marshal in support of their case, but just note that in the section titled ‘Deep Entanglement’, de Jaegher and di Paolo, recruit experimental neuroscience to add force to their analyses.  So too they address the emergence of hybrid accounts that seek to patch the holes in their theoretical frameworks by aligning with another theory; these accounts never achieve coherence or explanatory sufficiency; and notably, they often smuggle in Cartesian commitments entirely incompatible with enactivism, such as the distinction between ‘online’ and ‘offline’ cognition.

Chapter 6, ‘The Primacy of the “We’’, brings the integrated expertise of philosophy, phenomenology, developmental psychology and cognitive science together to investigate collective intentionality in human sociality.  The authors, Ingar Brinck, Vasudevi Reddy and Dan Zahavi stress the importance of clarifying both the theoretical commitments and the on-the-ground science regarding collective intentionality so that when it is invoked in the diverse disciplines, from psychology, politics, anthropology through to economics etc., these invocations will be on a surer footing.  Despite the philosophical work already accomplished in this domain, the authors argue that there are a number of key issues that remain controversial and unresolved.  As they write: “… it is by no means clear exactly how to characterize the nature, structure, and diversity of the we to which intentions, beliefs, emotions, and actions are often attributed.  Is the we or we-perspective independent of, and perhaps even prior to individual subjectivity, or is it a developmental achievement that has a first- and second-person-singular perspective as its necessary precondition? Is it something that should be ascribed to a single owner, or does it perhaps have plural ownership? Is the we a single thing, or is there a plurality of types of we” (131). Here I recognize particularly the issues with which Zahavi has been grappling over the past few years, reaching evermore refined articulations of the philosophical questions and precision with regard to the philosophical stakes.

Reddy brings the developmental psychological perspective into the investigation suggesting that the empirical claims and the conceptual interpretations originally expressed in Piaget’s research from the 1960s, notably the claims of a fusion of perspectives between the neonate and others, are coming under serious challenge. She stresses the significance of the empirical research regarding “infant discrimination at birth between internally and externally originating sensory stimulation, fetal distinctions between own and other bodies as targets for actions, and early forms of social interactions” (133). Reddy draws on other cutting edge research (other than her own) in infant and fetal attention, interaction, affectivity, neural response etc., to give further support to her key claim that the self-nonself differentiation and sense of agency are ontogenetically basic and well in advance of being able to pass the ‘mirror self-recognition’ test and also in advance of any awareness of group affiliation or its converse social ostracism.

Zahavi and his coauthors develop one of the key lines of their argument in opposition to that of Hans Bernhard Schmid (2014), who argues for a plural self-awareness that precedes both self-experience and other-experience. They rightly argue that not only does this imply an unacceptable ‘fusion’ but also that Schmid has failed to differentiate between “social relatedness, common ground, and we-intentionality” (137). They further argue that while the first two shared experiences are necessary for interaction, ‘we-intentionality’ cannot be guaranteed, most notably in conflictual situations.

Brinck, Reddy and Zahavi build a rigorous case for the view they are defending.  They conclude by differentiating between three possible options: “First, the we is conceptually and developmentally prior to the I and the you.  Second, the I, the you, and the we are equiprimordial.  Third, the I and the you are conceptually and developmentally prior to the we” (142).  It is the third option which they favor.  Nonetheless, I would like to suggest there is another option that has not been considered and which has clear philosophical support from Scheler and Merleau-Ponty; the philosophical support of this view from Husserl is somewhat ambiguous.[2]  This fourth option proposes that the I and the we of primary subjectivity are equiprimordial but without fusion; these, the constitutive modes of identification and belonging, both underwrite and become further shaped and developed at the secondary level of concrete interpersonal relations.  According to Scheler there is an a priori ‘logic of the heart’ that underwrites:

… all morally relevant acts, experiences and states, in so far as they contain an intentional reference to other moral persons; obligation, merit, responsibility, consciousness of duty, love, promise-keeping, gratitude and so on, all refer, by the very nature of the acts themselves, to other people, without implying that such persons must already have been encountered in some sort of experience, above all without warranting the assumption that these intrinsically social acts… can only have occurred and originated in the actual commerce of men with one another. They demonstrate that even the essential character of human consciousness is such that the community is in some sense implicit in every individual, and that man is not only part of society, but that society and the social bond are an essential part of himself; that not only is the ‘I’ a member of the ‘we’, but also that the ‘we’ is a necessary member of the ‘I’ (Scheler, The Nature of Sympathy, 1913) my italics.

Merleau-Ponty writes:

We must conceive of a primordial We [On] that has its own authenticity and furthermore never ceases but continues to uphold the greatest passions of our adult life and to be experienced anew in each of our perceptions.  (‘The Philosopher and His Shadow’, Signs, 175)

For Merleau-Ponty, Otherness is a category internal to the subject and without which apprehension of external others would be impossible; the internal sense of otherness can thus be understood as ‘others-like-me’ – ‘us’ or ‘we’, which necessarily requires differentiation from ‘others-not-like-me’.

What I dispute in Brinck, Reddy and Zahavi’s account is the assertion that: “I can be aware of myself (for instance, as a subject of experience or embodied agent) without being reflectively or prereflectively aware of myself as part of a we, and I can be aware of another without that awareness necessarily giving rise to a shared we-perspective” (143).  Just as in the perception of a figure, the ground even though indeterminate is nonetheless a positive presence that is always there, so too in the awareness of myself as an embodied agent or subject of experience, there is always the implicit awareness of myself as belonging to a particular we, whether of species or culture which necessarily informs engagement in that particular context.  With regard to the awareness of another, that other is always culturally situated as like-me or not-like-me, as belonging to my sphere of we-ness or not.  And so whether or not the encounter gives rise to a shared-perspective, depends entirely on the intersubjective identification of we. For further discussion of this alternative view, see Merleau-Ponty and the Ethics of Intersubjectivity, (Daly, 2016).

Matthew Ratcliffe, in Chapter 7 – ‘Selfhood, Schizophrenia, and the Interpersonal Regulation of Experience’, extends the discussions of enactivism into the domain of psychopathology. The central thought that Ratcliffe pursues in this chapter is that while understanding psychopathology in terms of disturbances of the self offers fruitful reconceptualizations of problematic issues within psychiatry, the invocation of minimal selves remains to be fully and convincingly articulated.  Ratcliffe cites Zahavi’s articulation of this notion (151) – that the minimal self is the most fundamental, underpinning all forms of self-experience and that whereby the integrity of experience itself is assured.  This integrity of experience is challenged in schizophrenia in ways that are more profound than in other mental disorders, and hence, according to Zahavi, schizophrenia must be understood as a disturbance of the minimal self.  While Ratcliffe does not dispute any of the above, he insists that the minimal self needs to be understood also in terms of the concrete interpersonal in contrast to Zahavi’s view that minimal selfhood is anterior to interaction.  Thus Ratcliffe challenges the widely held view, as above, that schizophrenia originates solely in disturbances of the minimal self and proposes that rather the interpersonal dimension is also key as both the source of a precipitating trauma and oftentimes also the means of compounding misidentifications and delusions.  Ratcliffe builds an integrated analysis from diverse philosophical sources and clinical research, concluding that trauma and damage to basic trust vindicate the claim that investigations of schizophrenia must take account of relational factors rather than regarding it as a solely individual disorder.

The next chapter ‘The Touched Self’ also offers a critique of Zahavi’s account of the minimal self.  While neither Ratcliffe nor Ciaunica and Fotopoulou dispute the existence of a minimal self, they do, however, dispute how this minimal self is conceived and constituted; both of their accounts insist on the importance of the concrete interpersonal to the sense of ‘I’.  For Ciaunica and Fotopoulou, selfhood, even minimal selfhood emerges in the mutuality and proximity of social interactions. It is to the editors’ credit that they invited Zahavi to respond to these critiques and in this way we have the advantage in reading, of witnessing the evolution of this aspect of the self debates.

In Zahavi’s own words, his account of the minimal self is that “experiential episodes are neither unconscious nor anonymous; rather they necessarily come with first-personal givenness or perspectival ownership.  The what-it-is-likeness of experience is essentially a what-it-is-likeness-for-me-ness (Zahavi and Kriegel, 2016)” (194). Importantly for advancing the debate, Zahavi identifies a significant shift in Ratcliffe’s account from the stronger claim that the minimal self is interpersonally constituted to the claim that the minimal self is not an unchanging core of selfhood and with this Zahavi then asserts that his “thinner and more minimalist self is a condition of possibility for Ratcliffe’s interpersonally constituted minimal self” (195).  And I agree with Zahavi that a minimal self is the condition of possibility of interpersonally constituted minimalist selves, but would like to suggest following the same thread of thought in my response to Chapter 6, that the minimal self includes both the ‘I’ and ‘we’ (without fusion); and this is how subjects can break out of egoic isolation, how they can be constitutively open to the later interpersonal dimensions (Daly, 2014, 2016).

I was interested to read Zahavi’s response to the chapter from Ciaunica and Fotopoulou; that he had also found that their criticisms had not hit the mark and that there were some idiosyncratic and confusing use of terms – such as ‘mentalization’. Nonetheless, in my view, Ciaunica’s and Fotopoulou’s identification of the need to tackle the affective dimension of minimal selfhood is a most promising avenue of investigation. I hope that they pursue this and that they also reassess and refine their philosophical differences with Zahavi in future work. Zahavi is proving his value as a philosophical provocateur in the esteemed tradition of Socratic gadflies!

Chapter 11, ‘The Significance and Meaning of Others’, is yet another demonstration of the breadth of scholarship and versatility in thinking that Shaun Gallagher brings to all his writings.  In this contribution, he examines social cognition through the lens of hermeneutics, focusing specifically on the distinction between significance and meaning with regard to interpretation.  Gallagher weaves together a number of the key threads in his philosophical repertoire to deliver a compelling case for pluralism with regard to social cognition. The chapter begins with a clear survey of the contributions from leading historical figures in the hermeneutical tradition, contrasting the traditional approaches to textual interpretation (Hirsch and Betti) which sought to establish meaning as the truth of the text, in other words, that which corresponded to the author’s original intention, with that of Gadamer who gave priority to significance – the interpretation that the reader brings to the text. While it is Hirsch who introduces the distinction, as Gallagher points out (219), for Gadamer any access to the meaning of the text is inevitably via an interpreter and so significance always informs meaning. There is no objective unchanging meaning. These interpretations can be further complicated and deepened, as Gallagher reminds us with Habermas’ notion of ‘depth hermeneutics’ which brings into play all the cultural and socio-political forces that shape any interpretation. Gallagher writes: “In this view, the deeper meaning is equivalent not to the author’s intentions, or to the original audience’s understanding, but to a realization of how certain socioeconomic forces shaped such intentions and understandings and their subsequent interpretations” (220).

In what follows, Gallagher employing hermeneutical practice in the domain of social cognition, maps the notions of meaning and significance onto the current theory of mind accounts, noting the theoretical and methodological ‘fit’ between Theory-Theory (TT) and traditional hermeneutics, whereas his own account of Interaction Theory (IT) coheres well with the Gadamerian account. Gallagher offers cogent critiques of the purely inferential TT account and he builds a convincing case for his hermeneutical analysis of social cognition in terms of interaction (IT) and also understanding others through the dynamical processes of narrative. To my mind these comparisons of differing theoretical domains testify yet again to not just the viability but even moreso the perspicacity of the enactivist account which coheres with the insights of Interaction Theory.

Chapter 12, ‘Feeling Ashamed of Myself Because of You’, by Alba Montes Sánchez and Alessandro Salice is one of the most philosophically satisfying papers I have read on this subject.  It offers a succinct and critical synthesis of the literature, and furthermore identifies precisely the point that these other accounts overlook. The ‘I’ is co-constituted with the ‘we’ and this underwrites our susceptibility to feeling shame for others on two counts; shame-inducing others as members of our in-group and also in the wider sense as belonging to our human species.  And it is this rendering of the primordial ‘we’ to which I have previously referred (in this review) and also in the context of the empathy debates (Daly, 2014, 2016). They distinguish their current proposal from earlier discussions which focus on the fact that “shame is not possible for a monadic, isolated self” (Zahavi 2014, 2012; Montes Sánchez 2014), that “the self of shame is intrinsically social”, arguing that there is an additional aspect to shame which is able to account for hetero-induced shame (231), when one feels shame because of the behavior or experience of another.  I have now removed the ‘Shame’ paper off my ‘to-do’ list.  This current chapter from Montes Sánchez and Salice has not only made this entirely redundant but they have also accomplished their analysis of this overlooked aspect of shame in such a superb way that it would be extremely difficult to improve on.

Daniel Hutto and Glenda Satne’s Chapter 5, ‘Continuity Skepticism in Doubt: A Radically Enactive Take’ is, like a number of chapters in this collection, another foray into the fine-tuning of the articulation of the enactivist account so as to ensure that counterfeits are not mistaken for the real-thing.  Their particular aims are to clarify the related issues of content, representations and evolutionary continuity in the REC account and its rivals. Importantly, they stress that content-involving cognitions are compatible with the REC account, but are only available to those entities that have some mastery of sociocultural practices. This will be a particularly rewarding read for those already familiar with the debates and acronyms as the analyses not only reference earlier critical engagements between the various proponents but also offer an incisive if not fully resolved response to the continuity skeptic.

Chapter 10, ‘The Emergence of Persons’, by Mark. H. Bickhard, takes the discussion into the domain of metaphysics and as he stresses he is drawing on process metaphysics not entity metaphysics to give an account of the emergence of persons.  Bickhard defends a view that aims to challenge the account of Radically Enactive Cognition and its critique of representationalism.  He argues that even some of the more primitive life forms require normative truth-valued representational capacities.  It seems that the conflict between the two accounts might be reconfigured by; firstly, determining what constitutes mastery of sociocultural practices; and secondly, whether what constitutes representation may be construed more broadly beyond narrow cognitivist formulations.

Chapter 16, ‘Neoteny and Social Cognition: A Neuroscientific Perspective on Embodiment’, by Vittorio Gallese, proposes a new model of social perception and cognition through the simulationist paradigm, and suggests what might qualify as the neural underpinnings for such an account.  The thrust of Gallese’s argument is that a closer examination of neoteny (according to Stephen Jay Gould — that humans “retain in adulthood formerly juvenile features, produced by the retardation of somatic development” (309)) will support his claim that embodied simulation plays a key role in evolution and ontogeny.

The discussions are all philosophically interesting, but in my view the last section deserves special mention; here Gallese ties his analyses of neoteny with the aesthetic experience of fictional worlds.   And while I would challenge Gallese’s claim (Daly, 2018) that during “the aesthetic experience of fictional worlds, our experience is almost exclusively mediated by a simulated perception of the events, actions and emotions representing the content of fiction”, nonetheless, that he brings this aspect of human experience into the debates is important. As I alerted in the beginning of this review, the artistic dimensions of culture were a regrettable but understandable omission from the selection of chapters.

Chapter 17, ‘Collective Body Memories’, by Thomas Fuchs extends the usual considerations of memory and body memory as individual experience into the intersubjective and collective domains, drawing principally on phenomenology and also indicating intersections with enactivism and dynamical systems theory.  Fuchs’ key thought is that the similarities of embodiment and the commonalities of the human situation and practices, contribute through familiarity and repetition to the transfer of bodily memories and habits across time to become collectively embedded in cultural practices and rituals. Our bodies respond with a collective ‘know-how’ when solicited by the cultural situation or the interactive dynamic which have roots in a bodily remembered past.  These all serve to establish and consolidate collective body memory.  He writes: “Cultures preordain and suggest certain ways of sitting, standing, walking, gazing, eating, praying, hugging, washing, and so on.  In so doing, they induce certain dispositions and frames of mind associated with these bodily states and behaviors: for example, attitudes of dominance or submission, approximation and distance, appreciation and devaluation, benevolence or resentment, and the like” (333).  Fuchs examines bodily memory from the perspective of the individual experience, within the interactions of a dyad and also social groups across the domains of philosophy, psychology, sociology, sport and everyday culture.  His thorough scholarship conjoined with his thought-provoking analyses add an important dimension to the overall aims of the project.

The final chapter, ‘Embodiment and Enactment in Cultural Psychiatry’, by Laurence J. Kirmayer and Maxwell J.D. Ramstead, examines the implications of cultural diversity for individuals undergoing anomalous experience in psychopathology, in illness, and also for those seeking to intervene on behalf of these individuals.  They propose there is a bi-directional relevance between the paradigms of embodiment, enaction and narrative practice, with the concerns of cultural psychiatry.  None of these approaches dismisses the value of neuroscience in the understanding of human experience, but nonetheless there is a warranted wariness of the neurocentric tendency in much modern psychiatry.  The focus of this chapter as the authors outline is to examine “the cultural neurophenomenology of mental disorders that focuses on the interplay of culturally shaped developmental processes and modes of neural information processing that are reflected in embodied experience, narrative practices that are structured by ideologies of personhood, culturally shared ontologies or expectations, and situated modes of enactment that reflect social positioning and self-fashioning” (397).  They specifically draw on the phenomenology of delusions to establish their case that “psychopathology cannot be understood completely in neurobiological or individual terms but requires a broader social and cultural perspective” (Kirmayer and Gold, 2012) which also takes account of the often blurred lines between what is considered pathologically mentally ill and what may be described as self-limited forms of psychopathology that are not debilitating (399).  The analyses extend from enaction, to predictive processing, to metaphor and embodiment, to the metaphoric mediation of illness narratives, to embodiment, enactment and intersubjectivity in delusions, to cultural ontologies and constructions of normativity, culminating in a discussion of the cultural neurophenomenology of psychopathology. Each analysis displays a breadth and acuity of scholarship that deserves a more extended treatment – another book perhaps.

Unfortunately, this review could not do justice to all the chapters in this collection.  These other chapters include: ‘We Are, Therefore I Am – I Am, Therefore We Are: The Third in Sartre’s social ontology’ by Nicolas de Warren; ‘Consciousness Culture and Significance’ by Christoph Durt; ‘The Extent of Our Abilities: The Presence, Salience and Sociality of Affordances’ by John Z. Elias; ‘The Role of Affordances in Pretend Play’ by Zuzanna Rucinska; ‘Ornamental Feathers Without Mentalism: A Radical Enactive View on Neanderthal Body Adornment’ by Duilio Garofoli; ‘Movies of the Mind: On Our Filmic Body’ by Joerg Fingerhut & Katrin Heinmann; ‘Painful Bodies at Work: Stress and Culture’ by Peter Henningsen & Heribert Sattel.

Conclusion:

Given the potential scope of such a topic it is of no surprise that other equally important dimensions of enaction and culture were not included in this volume such as those flagged in the introduction – notably the work achieved by Lambros Malafouris in regard to material culture and his fascinating book How Things Shape the Mind (2013), appreciatively referencing Shaun Gallagher’s earlier book How the Body Shapes the Mind (2005).  So too Richard Menary’s work in the area of ‘tools’ as elucidated in his books Cognitive Integration: Mind and Cognition (2007) and as editor of and author in The Extended Mind (2010).  The fine arts, music and theatre, the high-cultural domains, are conspicuously absent (apart from the last section of Gallese’s chapter) and this is a great pity particularly given the centrality of Merleau-Ponty’s thought to the origins of enactivism and his enduring fascination and appreciation of painting in revealing our shared worlds. Nonetheless, the chapters included in this volume present new insights, refinements of the debates and extremely valuable contributions to our understandings of the cultural dimensions of subjectivity and intersubjectivity both in anomalous experiential contexts and in the everyday context.

References:

Daly, Anya. 2014. “Primary Intersubjectivity: Empathy, affective reversibility, ‘self-affection’ and the primordial ‘we’”. Topoi, Special Issue: Embodiment and Empathy: Current Debates in Social Cognition, Vol. 33, Issue 1,

Daly, Anya. 2016. Merleau-Ponty and the Ethics of Intersubjectivity. London: Palgrave Macmillan.

Daly, Anya. 2018. “Merleau-Ponty’s Aesthetic Interworld: From Primordial Percipience to Wild Logos”. Philosophy Today.

Durt, Christoph, Thomas Fuchs, Christian Tewes (Eds). 2017. Embodiment, Enaction and Culture: Investigating the Constitution of the Shared World. Boston: MIT Press.

Gallagher, Shaun. 2017. Enactivist Interventions: Rethinking the Mind. Oxford: Oxford University Press.

Gallagher, Shaun. 2005. How the Body Shapes the Mind. Oxford, New York: Oxford University Pres.

Husserl, Edmund. 1989. Ideas Pertaining to a Pure Phenomenology and to a Phenomenological Philosophy — Second Book: Studies in the Phenomenology of Constitution, Trans. R. Rojcewicz and A. Schuwer. Amsterdam: Kluwer Academic Publishers.

Jardine, J. 2017. Empathy, Embodiment, and the Person: Ipseity and Alterity in Husserl’s Second Ideen. Copenhagen: Faculty of Humanities, University of Copenhagen.

Kirmayer, L. J., and I. Gold. 2011. “Re-socializing psychiatry: Critical neuroscience and the limits of reductionism“. In Critical Neuroscience: A Handbook of the Social and Cultural Contexts of Neuroscience, (eds) S. Choudhury and J. Slaby, 307-330. Blackwell.

Malafouris, Lambros. 2013. How Things Shape the Mind. Boston: MIT Press.

Menary, Richard (Ed). 2010. The Extended Mind. Boston: MIT Press.

Merleau-Ponty, M. 1962, 2006. The Phenomenology of Perception. Trans. Colin Smith. London: Routledge Kegan Paul.

Merleau-Ponty, M. 2012. The Phenomenology of Perception. Trans. Donald A. Landes. Abingdon, New York: Routledge.

Merleau-Ponty, M. 1964. “The Philosopher and his Shadow”, Signs. Trans. Richard C. Mc Cleary. Evanston, IL: Northwestern University Press.

Scheler, M. 1970. The Nature of Sympathy. Trans. P. Heath, Hamden, CT: Archon Books.

Schmid, Hans Bernhard. 2014. “Plural Self-awareness”, Phenomenology and the Cognitive Sciences. 13:7-24.

Varela, Rosch and Thompson. 1991. The Embodied Mind. The MIT Press.

Zahavi, D. and U. Kriegel. 2016. “For-me-ness: What it is and what it is not”. In Philosophy of Mind and Phenomenology: Conceptual and Empirical Approaches, (eds) D.O. Dahlstrom, A Elpidorous and W. Hopp, Routledge, 36-53.

 

 


[1] See Shaun Gallagher’s latest book – Enactivist Interventions: Rethinking the Mind, Oxford: Oxford University Press, 2017.

[2] In Ideas II, and in the section titled – ‘Transition from solipsistic to intersubjective experience’ (trans, 1989), Husserl outlines various implications of pursuing the solipsistic thought experiment, indicating that it is only in the interaction with others, particularly in conflictual situations, that the intersubjective sphere and a shared world can be established. Nonetheless, he points to an underlying condition for any interaction to take place in a footnote. “Of course, this conflict should not be considered total. For a basic store of communal experiences is presupposed in order for mutual understanding to take place at all” (84). It is this that I would suggest is pointing to Merleau-Ponty’s ‘primordial we’, and Scheler’s ‘I’ within the ‘we’, and the ‘we’ within the ‘I’.  The intrasubjective experience of belonging to a ‘we’, lays the ground for shared intersubjective experience and this is not a fusion because the attention constantly shifts between ‘I’ and ‘we’, just as perception shifts between figure and ground. An alternative interpretation of this quote was suggested to me by James Jardine, “namely that Husserl is here indicating that, in order for reciprocal understanding to occur I must ‘assume’ that the other’s experiential world is similar to mine in certain respects (an assumption that is then confirmed in the ongoing course of the other’s expressive ‘behaviour,’ particularly when that behaviour exhibits that the other has recognized and is responding to me as a fellow embodied subject). The term which Husserl uses here, ‘gemeinsam,’ could just as well be translated as ‘common’ rather than ‘communal’” (Jardine, 2017).

Béatrice Longuenesse: I, Me, Mine: Back to Kant, and Kant Again

I, Me, Mine: Back to Kant, and Back Again Book Cover I, Me, Mine: Back to Kant, and Back Again
Béatrice Longuenesse
Oxford University Press
2017
Hardback £30.00
288

Reviewed by: Çağlan Çınar Dilek (Central European University)

I, Me, Mine: Back to Kant, and Back Again by Beatrice Longuenesse presents a comprehensive study on different understandings of the notion of ’I’ through focusing particularly on how ‘I’ is used by Kant in ‘I think’ and comparing it with its usage by Descartes, Wittgenstein, and Sartre. This book presents the provocative claim that Freud is a good candidate for being a descendant of Kant by naturalizing his view of ‘I’. The book consists of three parts. Firstly, the author starts with a comparative analysis of ‘consciousness as a subject’ in Kant, ‘usage of I’ in Wittgenstein and ‘pre-reflective cogito’ in Sartre. Then she moves back to Kant’s understanding of ‘I’ in ‘I think’ and in ‘I ought to’ through his criticism of rationalist ideas on the nature of ‘I’ as a substance, as simple, and as a person. Lastly she presents how Freud’s notions of ‘ego’ and ‘superego’ have similarities to Kant’s ‘I think’ and ‘I ought’ and how Freud can naturalize Kant’s transcendental philosophy.

Longuenesse does not intend to give an historical study but rather aims to present a strong Kantian picture of ‘I’ that is most loyal to him and also strongest in today’s discussions, as the topic fits nicely into the contemporary discussions in philosophy of mind and language. The choice of historical figures in this sense works towards a better understanding of the intended strong Kantian position. In this direction, Descartes’ argument against skepticism for the existence of ‘self’ provides also a foundational starting point for the peculiarity of ‘I’ in ‘I think’ — that we necessarily experience ourselves as a simple substance and as a person with diachronical unity, but we cannot infer these qualities of the ‘I’ as an object as conceived by rationalists. While Wittgenstein’s distinction between ‘use of I as subject’ and ‘use of I as object’ has framed discussions in philosophy of language on self-ascription and the referent of ‘I’, phenomenological ideas like ‘pre-reflective consciousness’ have made a great influence in the philosophy of mind and consciousness in last decades, reviving a move towards One-Level Accounts of Consciousness in contrast to Higher-Order Representational Theories of Consciousness. And Freud’s notions help us to understand Kant’s ‘I’ in his theoretical and practical philosophy in an embedded and embodied context.

In the first part (Chapters 2 and 3), Longuenesse starts by treating self-consciousness as a first-person usage of ‘I’. In this direction, she introduces Wittgenstein’s distinction between two uses of ‘I’: ‘the use as an object’ and ‘the use as subject’. The author then compares this distinction by Wittgenstein with Kant’s distinction between ‘consciousness of oneself as subject’ and ‘consciousness of oneself as object.’ For Wittgenstein, the ‘use of I as object’ is exemplified in cases where you utter sentences like “my arm is broken,” “I have grown six inches,” while the ‘use of I as subject’ is exemplified as you say “I see so and so,” “I think it will rain,” and “I have toothache”. The distinguishing feature of the ‘use of I as a subject’ is that there is no possibility of error, while there is one in the ‘use of I as object’. Shoemaker describes this by saying ‘the use of I as subject’ is “immune to error through misidentification relative to first-person pronoun” and Longuenesse goes along with this description throughout the book while treating Wittgenstein’s notion. Accordingly, even when ‘I’ actually refers to ‘oneself as an object’ and that person later infers that the mentioned subject is identical to himself (as in John Perry’s example where he finds out that the person who is making a mess in the market turns out to be himself), the final criterion for finding out the truth about the statement (person x = ‘I’) is not objective. Rather, “there needs to be a point at which no more search for objective criteria is called for in order to establish the identity between the entity of which the predicate is true, and the believer and speaker of the current thought asserting the predicate to be true.” To establish this, the believer should have a special access to information about herself.

Longuenesse argues that even the ‘use of I as object’ depends on the kind of information that, expressed in a judgment, would ground a ‘use of I as a subject’. So, the question becomes what this ‘I as subject refers to’ (of course if it refers to anything at all; Anscombe argues that it does not, but Longuenesse argues against such a position). Evans thinks that the referent is the embodied entity. Accordingly, self-ascriptions, which are immune to error through misidentification (IEM), “are not limited to mental states but include bodily mental states.” For him, the referent as an embodied entity constitutes the conditions of the possibility for a referential use of ‘I’. He makes use of Kant’s ‘I’ as accompanying all our perceptions, and argues that without such an embodied and embedded referent we end up with at most a formal ‘I think”. It follows that ‘I’ in ‘I think’ represents only “a form of thought and it is not used to refer to any entity at all.” Longuenesse agrees with Evans on emphasizing the role of the embodied entity, while she disagrees that Evans’ claim about the referent of ‘I’ is true, both as a Kantian interpretation and as a claim in itself. According to Longuenesse, it is right only to say that in the lack of information about the properties of the referent of ‘I’, one cannot derive any property ‘I’ refers to. Nevertheless, this does not mean that ‘I’ in ‘I think’ does not refer to any entity at all. This is an important point on which Longuenesse builds the second part of the book where she treats Kant’s criticisms of rationalist claims about the nature of ‘I’. Accordingly, Kant denies that we can infer the properties of the ‘I’ — as being a substance, simple and a person, as claimed by rationalists, while he does not deny that ‘I’ refers to any such entity at all.

Longuenesse thinks that Kant`s distinction between ‘consciousness as a subject’ and ‘consciousness as an object’ does not match Wittgenstein’s distinction. The ‘use of I as a subject’ that grounds all the uses of I (as an object or subject) is better understood through the Kantian notion of ‘transcendental unity of self-consciousness’, which maps only a part of  Wittgenstein`s ‘use of I as a subject’ — as in ‘I think’. So one needs to distinguish different uses of I as subject: 1) self-location, 2) self-ascription of bodily predicates, 3) self-ascription of P predicates and 4) the unity of `I’ that grounds `I think’. The fourth kind of self-consciousness on which ‘I think p` rests is presupposed in all other uses of I and is a necessary condition for any use of I and any judgment.

Chapter 3 is devoted to different uses of ‘I’ as a subject, this time from a phenomenological perspective, and continues to investigate its relation to ‘I’ as an embodied entity. Longuenesse makes use of Sartre`s distinction between ‘non-thetic/non-positional’ consciousness and ‘thetic/positional’ consciousness. ‘Non-thetic consciousness’ accompanies all consciousness that is directed to an object, and it is omnipresent, while it is not itself taken as an object (which is the case in thetic consciousness). Thetic consciousness is a reflective kind of consciousness where one`s attention is directed to the non-thetic consciousness. Sartre considers both the awareness of one`s own body (body-for-itself) and awareness of the unity of mental activity (pre-reflective cogito) as forms of non-positional consciousness. Longuenesse makes a comparative analysis between Sartre`s ‘pre-reflective cogito’, Wittgenstein`s ‘use of I as subject’ and Kant`s ‘consciousness of oneself as a subject’. She argues that Sartre`s and Wittgenstein`s notions share the weaknesses vis-a-vis Kant`s notion: Sartre and Wittgenstein defend stronger and broader claims than Kant by aiming to offer an account of the kinds of self-awareness that back all cases of the use of I as subject, but then they fall into a contradictory position. Kant`s position is stronger by presenting a less comprehensive position: it only tries to back the ‘use of I as subject’, which is then considered as a ground for other kinds of uses of I (like of our body).

It is interesting to see a comparison between Kant and Sartre that also includes Wittgenstein, if we consider recent discussions on consciousness in philosophy of mind. Phenomenology has been having an effect on theories of phenomenal consciousness in the last decades, through using ideas by Husserl, Merleau-Ponty, and Sartre. Dan Zahavi has been one of the pioneers to bring these ideas back to analytical philosophy to argue against representational theories – particularly Higher-Order Representational Theories. An important focus of attack of such phenomenological approaches is David Rosenthal with his classical Higher-Order Thought Theory. He argues that one can explain what-is-like-ness, a subject’s being phenomenally conscious of being in a mental state, through explaining state-consciousness. State-consciousness of a particular state that is directed to the worldly object is explained through a higher-order mental state, which is thought-like in form and makes the first-order mental state conscious by representing it in an immediate and non-inferential manner. Without the presence of such an occurrent Higher-Order Thought (HOT), our first-order mental state is not conscious and there is nothing-it-is-like to undergo that particular mental state. This state has still the property of ‘mentality’ as having a particular qualitative object as its content and this is explained though a theory of mentality, distinct from a theory of consciousness. Dan Zahavi argues against such an approach by using notions from the phenomenological tradition such as ‘mineness’, ‘subjectivity’, ‘first-person perspective’, and ‘pre-reflective consciousness’. The essential idea is that there is always a form of pre-reflective consciousness present in our experience, for which a higher-order representation is not necessary and even destructive to understand that particular phenomenological consciousness, because representation changes the nature of conscious experience by objectifying and thus modifying it. This pre-reflective consciousness makes an experience ‘for-me’, through which I experience the world and of which I am always aware. Thus, this is at the same time a form of self-consciousness: there would not be any form of self-consciousness possible without the minimal, pre-reflective consciousness, and we don’t need to give a different account for self-consciousness by explaining it through meta-representation or reflexivity.

It is important for such a discussion that Longuenesse points to the relation between a Kantian ‘I’ in ‘I think’ as the condition of possibility for any experience and ‘pre-reflective cogito’ as the condition for Cartesian ‘cogito’. But the similarities are not limited to this: both in Sartre and Kant ‘I’ is not an object, the representation of which falls under the concept ‘I think’/cogito, but rather ‘I think’ is “the very expression of the act of thinking.” This emphasis is again important to consider the activity and the subject of activity together. Only by understanding this interrelatedness is it possible to discuss the subject of experience in a proper way, for which phenomenology has had important effect against theories distinguishing between subject and its experience (and which then try to understand how an experience belongs to a self and how the unity of self is constituted through distinct theories), and against views which treat ‘I’ as representation as the outcome of a developed ability of concept usage.

The second part of the book (Chapters 4, 5 and 6) deals with the Cartesian ‘cogito, ergo sum’ and with the question of whether we can infer anything about the nature of ‘I’. Kant accuses «Descartes and his rationalist followers for having been under the illusion that they could derive not only ‘I exist’, but also an answer to the question ‘What am I?’ from the mere consideration of the proposition ‘I think’» (74). Chapter 5 deals with the different reasons Descartes and Kant choose to infer from ‘thinking’ to ‘I think’ rather than ‘it thinks’. Chapters 5 and 6 deal with Kant`s refutations of rationalist arguments that `I’ is i) a substance , ii) simple, and iii) a person (with personal identity across time).

It is illuminating to see in Chapter 4 how far Descartes and Kant agree on the role of ‘I’, while they have different motivations to use ‘I think’ in their arguments. Longuenesse explains how Descartes deals with skeptical doubt and presents ‘I think’ as a foundational solution to it, while Kant responds to a Humean skepticism that is “primarily directed at the objective validity of the idea of causal connection.” According to Kant, for a representation to be possible or to be something to me, it should always be accompanied by the ‘I think’. Kant does not progress from there to “I think cannot be true unless ‘I’ is true”, nor does he infer the nature of ‘I’, but he rather moves to the claim that “all representations I ascribe to myself are so ascribed in virtue of being taken up in one and the same act of bonding and comparing them, an act that is determined according to some universal concepts of the understanding,” and the concept of causal connection is one of these with which Kant primarily deals. The author does a great job comparing the notion of thought and consciousness between these two philosophers in depth that is helpful towards any contemporary theory of consciousness, as lots of theories lack clear distinctions between different kinds of consciousness and how these relate to ‘thought’ and ‘I’.  Accordingly, Descartes’ notion of ‘thought’ is broader than Kant’s in terms of including any occurrent mental state, while Kant refers only to conceptual representations, particularly to judgments.

Longuenesse’s categorization of three kinds of consciousness in Kant is useful to compare him with Descartes and Sartre: 1) the mere consciousness of the act of thinking, 2) the indeterminate perception that I think, 3) the empirically determined consciousness of the sequence of one’s mental states. The first one is self-consciousness as consciousness of the pure act of thinking. We cannot represent it as an object and we cannot categorize it. We cannot infer anything about its essence, even if we cognize it as the subject and ground of thinking. This spontaneous consciousness is considered similar to Sartre’s ‘pre-reflective cogito’. The latter kind of consciousness is an empirical intuition, “a mere perception of an act of thinking I take to be mine.” It has ‘time’ as its form and ‘sensation’ as its matter that is constituted of affecting oneself with one’s own act of thinking. This propositional ‘I think’ is located in time in relation to other perceptions but it remains indeterminate in so far as it is not. The third one is a “consciousness of my own existence in time as a thinking being” and here ‘I think’ contains ‘I exist.’ Longuenesse compares this explicit reflection on the sequence of my thoughts with Sartre’s ‘reflective self-consciousness’. The first kind of consciousness provides an immediate consciousness of myself, while the third kind of consciousness plays an important role to refute Descartes’ idealism. Descartes establishes the epistemic certainty of ‘I think’ through the identity between ‘perceiving that one thinks’ and ‘thinking’, and then infers ‘I exist’ from ‘I think’. On the other hand, Kant does not need such a move by considering ‘I think’ as a Cartesian, simple inspection of mind, because his argument is that ‘I think’ just means ‘I exist thinking’. Kant secures our knowledge of ‘I think’ through ‘perceiving that I think’, but he characterizes that perception as an act of self-affection differently from Descartes. So Longuenesse argues that there are more similarities than supposed between Descartes and Kant, while she shows that Kant essentially differs from Descartes by arguing that the consciousness of my thinking that grounds the consciousness of my own existence does not show anything about the nature of ‘I’. From the premise that ‘I think’ includes ‘I exist’, it does not follow the conclusion that “I exist merely as a thinking being distinct from my body.” This entity only refers to the individual currently thinking the proposition in which ‘I’ is used.

Chapter 5 deals with Kant’s argumentation against the ‘Paralogism of Substantiality’ and ‘Paralogism of Simplicity’ – fallacious arguments used by the rationalists towards the nature of ‘I’, respectively, that it is a substance and that it is simple. For Kant, they make use of a middle term, which has a “different meaning in [the] major and minor premise[s].” This is the reason they make syllogistic inferences from the apparently same concept that has in fact two different meanings. Kant aims to analyze these different meanings to show how rationalist arguments are valid in appearance but in fact invalid.

According to Kant’s formulation, the rationalist arguments have a ‘major premise’, a ‘minor premise’ and a ‘conclusion’. In the Paralogism of Substantiality, rationalists refer from the major premise that a subject that cannot be thought of something other than a subject as it cannot be a predicate of something else, and the minor premise that ‘I’ as thinking can only be thought of as a subject and cannot be predicated of something else to the conclusion that ‘I’ as thinking is a substance. However, there is a difference between saying ”I can only think of myself under the concept of substance” and “I am a substance,” where Kant agrees with the former claim and rationalists infer the latter one. For Kant, the minor premise is wrongly constructed to lead to an invalid inference from major premise and minor premise to the conclusion: The “entity thought under the concept ‘I’ is represented as an absolute subject only in a logical sense.” While ‘subject’ in the major premise refers to an absolute subject, ‘subject’ in the minor premise refers to a ‘logical subject’ — the substantiality of the subject is only represented to the subject itself. Hence ‘subject’ (and thus substance) that is used as a middle term by rationalists is actually not a middle term at all. Similarly, in the Paralogism of Simplicity, from the major premise “that something whose action can never be regarded as the concurrence of many acting things, is simple”; and the minor premise that “‘I’, as thinking, am something whose action can never be regarded as the concurrence of many acting things”; the conclusion “So I, as thinking, am simple” is inferred. Again, the concept ‘I’ is only logically simple and the subject thought under the concept ‘I’ is necessarily thought to be simple because “its action is thought to be indivisibly one.” However, the simplicity of the subject of the action is represented only to that subject itself.

Longuenesse infers from these discussions a positive Kantian idea that has found its place in contemporary philosophy of mind in the distinction between the “first-person standpoint and third-person standpoint”. Accordingly, the entity that represents itself under ‘I’ necessarily represents itself as an existing thing (substance), as indivisibly present in all its thoughts (simple), but ‘this first-person standpoint’, however universally indispensable to the act of thinking, tells us nothing about the objective nature of the thing that thinks” (131). That Longuenesse considers this distinction as the positive Kantian idea is valuable when we consider the discussions in contemporary philosophy of mind, epistemology and science on the question whether one should apply a special first-person methodology for a research on consciousness, or whether one can give a scientific and/or reductive explanation of consciousness with a third-person methodology that is used by science and on other philosophical notions.

In Chapter 6, the focus is Kant’s argument against ‘Paralogism of Personality’ — the claim that ‘I’ is a person. For Kant, the rationalist argument has a similar structure, inferring from the major premise that someone conscious of the numerical identity of itself in different times is a person, and the minor premise that ‘I’ as thinking is conscious of the numerical identity of itself in different time, to the conclusion that ‘I’ am a person. Again, Kant accepts the major premise and he is in favor of an idea of person that is diachronically synchronous contrary to the Lockean idea of person whose memory is enough to establish psychological continuity. However, Kant rejects the idea that the consciousness of identity expressed by the use of ‘I’ in ‘I think’ is sufficient to infer that I am, as an existing entity, a person. Longuenesse sums up this issue nicely as follows:

So the paradox of ‘I’ is this: ‘I’, as used in ‘I think, refers to an existing thinking, known by the I-user (the thinker) to exist, in virtue of the fact that the I-user, in each instance of thinking knows herself to exist. ‘I’, as used in ‘I think’, is even the only purely intellectual concept that does give access to an existing thinking. But if, from the way we think of ourselves in using ‘I’ in ‘I’ think, we infer there is an object that we take to be, as a thinking thing, a substance, simple, and numerically identical through time, then we make a mistake: that object is a fiction. The error of the rationalist metaphysician (the error of Kant himself in his pre-critical incarnation) is to insist that on the basis of the thought ‘I’ think we have sufficient ground to assert that the fictitious object of that representation is transcendentally real: real in itself. The mere thought ‘I think’ in fact provides no such ground (164).

What is especially different in the discussion about personality is that Kant enriches the concept of personality by focusing on moral personality in addition to psychological personality. Moral personality is dependent on two components: i) “being an empirically determined, persisting entity, conscious of its own numerical identity through time, and ii) having the capacity to prescribe the moral to oneself, as the principle under which one’s maxims are determined.”  Without an understanding of moral personality, it is not possible to comprehend Kant’s criticism of Syllogism of Personality and also his full picture of ‘I’ in general. This notion also relates previous discussions in the book to Longuenesse’s important final claim in the last part (Chapters 7 and 8) that Freud can be considered in a sense a descendant of Kant, if we consider the parallels between Kant’s ‘I’ in ‘I think’ with Freud’s ‘ego’, and Kant’s ‘I ought to’ with ‘superego’.  Kant’s ‘I’ in ‘I’ think, as the concept of ‘unity of apperception’, is an organization of mental processes governed by logical rules. This is a formal condition and Kant is known to assign this capacity “to an unknown and unknowable transcendental subject” (175). Kant’s methodology is clearly not empirical and the discussion is part of his transcendental philosophy, which constitutes a clear polarity to Freud’s empirical investigation and causal-developmental account of the capacity to think in the first person. Despite the differences, Longuenesse argues that we can see important similarities between them, and Freud can naturalize Kant’s transcendental subject.

The author considers the similarities under four points: Firstly, Kant’s ‘I’ in ‘I think’ (‘I’ as discursive thinking) has its counterpart in Freud’s ego. Kant’s ‘logical use of the understanding’ is similar to Freud’s ‘reality principle’. Ego functions in line with the ‘law of secondary processes’ according to this principle and it can conflict with ‘id’ and the ‘laws of primary processes’. “Intuitions are brought under concepts and then combined in judgments and inferences according to logical rules.” So, the differentiations Freud makes between ‘id’ and ‘Ego’; ‘laws of primary processes’ and ‘secondary processes’; ‘consciousness as an immediate quality of mental states’ and ‘consciousness as the property of mental states’ (whose content obeys the rules of the ego) can be compared to the distinctions Kant makes between different kinds of consciousness (as discussed in Chapter 5). The nature and function of ‘ego’ is parallel to the second notion of consciousness in Kant, “according to which I am conscious of a representation if it is taken up in the unity of consciousness that makes objective representation and thinking possible.” Secondly, there are parallels between Kant’s ‘synthesis of imagination’ and Freud’s perceptual images that are organized according to the rules of ego. Just as in Kant the discursive expression of the unity of consciousness in concepts and judgments presupposes a “prediscursive activity of combination or synthesis performed by the imagination,” in Freud perceptual images and representations of imagination are subject to the rule of the ego, and if they are pre-conscious, these images can become conscious only if they are associated with words. Thirdly, Kant and Freud have parallel views on the mental activities of which we are generally not conscious. For Kant, there is no thought without language and intuitions are blind if they are not subsumed under concepts. In Freud, “access to words is the way a representation enters the realm of reason and level-headedness.” Kant emphasizes that qualitative or intentional consciousness of the working of our imagination is blind (not conscious), while Freud also argues that “the complex operations that go on in our minds are mostly unconscious.” Fourthly, it is necessary for Kant that ‘I’ is represented as an object in the world. The transcendental unity of apperception gets information of the body via the sensory information carried by a bodily state. Freud also argues that “the ego is first and foremost a bodily ego” and thus the emphasis on embodiment of ‘I’ in Kant and ‘ego’ in Freud is again parallel.

Freud’s naturalization of ego makes use of ‘second nature’ as the developmental account he presents on the occurrence of ego happens in a social context. This structure that includes the social aspects of this developmental process is understood through his notion of ’super-ego’ (ego-ideal). This is in accordance with the notion of ‘I’ in Kant’s ‘I ought to’ and his account of ‘personality’ that includes a moral self (as dealt in Chapter 6). The argument on this similarity between Kant and Freud has the same structure:  just as we can give a causal-development account of Kant’s ‘I’ in ‘I think’ through Freud’s ‘Ego’, we can do the same of ‘I ought to’ through Freud’s ‘super-ego’, which “can be seen as providing a developmental story for the conflicted structure of mental life that grounds, according to Kant, the use of ‘I’ in the moral ‘I ought to’” (226). Freud considers Kant’s ‘categorical imperative’ as the direct heir of ‘Oedipus complex’ — as an unconditional normative constraint on the ego. Freud explains the practice of reason-giving and justification as characteristic of a developed ego, and gives a causal history of the idea of categorical imperative through the development of ideas from eigtheenth-century rationalistic philosophy. More than that, just as Kant considers the manifestation of moral attitude primarily through a feeling of respect, there is also a moral feeling at work in Freud’s picture on “curbing libido and aggression,” which he calls the “supra-personal side of human nature” (221). Another point is that in both pictures we have blindness to one’s real motives. Even if this blindness is to be treated in different ways, there is one thing in common: Freud’s ‘unconscious’ and Kant’s ‘motivated blindness’ both refer to our lack of knowledge of our real motives for performing an action, even in cases when we believe we acted upon a universal maxim. Lastly, the relation between ego and body is comparable to the way Kant indexes transcendental unity of apperception to a particular body.

After showing the similarities and differences, Longuenesse ends up with the claim that Freud gives us a naturalized account of Kant’s picture of ‘I’:  firstly, in Freud we do not need to refer to an unknown and unknowable transcendental subject to explain ‘I’ in ‘I think’ and ‘I ought to’. Secondly, a developmental history is presented to our capacity to settle norms of cognition and practical agency. Thirdly, second nature is naturalized. The contents of our norms are constituted by the internalization of parental figures and (through language) by the social and symbolic tools, rather than by our relation to nature. All of these parallel points present us a path to understand a non-transcendental subject through relating bodily and transcendental self in an empirical way, while also doing justice to a Kantian, broad understanding of ‘I’ by including psychological and moral self under the study of self.

Longuenesse’s book does not only provide us with a deeper and enriched understanding of Kant’s understanding of ‘I’, but it is also packed with many insightful ideas about how we can relate different notions of various philosophers from different paradigms and disciplines. She fills in the gaps within the history of philosophy to get a better understanding of contrary positions both within a particular time-period and across time, and traces back many important distinctions and ideas in contemporary philosophy of mind to Kant. This is a special source for anyone working in Kant for sure, but other than that it will also be an invaluable source for philosophers of mind and language and epistemologists who work in any aspect of self and consciousness such as phenomenal consciousness, phenomenology of our experience, the nature of self, first-person perspective, unity of self, first-person usage of ‘I’, personal identity, agency and moral self, and ego. I believe it will lead to further analysis of Kant under the auspices of such contemporary discussions, and it will motivate further comparisons between Kant and other historical figures. Most importantly, her treatment of Kant through Freud’s ego and superego opens up a new dimension of discussion, and as her argumentation has a deep and solid structure, it is not easy for anyone working in philosophy of mind and ethics to stay unresponsive to this provocative and thought-provoking comparative analysis.

Roman Ingarden: Controversy over the Existence of the World, Volume I

Controversy Over the Existence of the World, Vol. I Book Cover Controversy Over the Existence of the World, Vol. I
Polish Contemporary Philosophy and Philosophical Humanities
Roman Ingarden
Peter Lang GMBH
2013
Hardback £45.00
320

Reviewed by: Aleksandar Novakovic (University of Belgrade)

Existential Ontology of Roman Ingarden

When Roman Ingarden began his work on Controversy over the existence of the world, his magnum opus, everything was different from the time the process was finally over. The book, which he initially started writing for his great master Edmund Husserl[i], in the end turned out to be written for himself alone[ii]. From 1935 when his work had started until 1947 when two volumes of the book were published, the language of the book changed, the country in which it was written transformed, the master died, and the whole of Europe and the world underwent horrible turmoil from the Second World War. The intellectually inviting ambiance of Göttingen, Freiburg, and Kraków in which he – together with other phenomenologists from Husserl’s circle, could passionately investigate the most theoretically appealing issues of the day – was substituted for an atmosphere of fear and struggle for existential survival in which many of Ingarden’s colleagues perished. When in 1941, after two years of war (Poland was occupied and divided between the forces of Nazism and Bolshevism in 1939) he eventually continued his work on Controversy it was more than the philosophical passion that somehow prevailed over grim reality. It was, rather, Ingarden’s struggle for his own spiritual sustainment (23). Since 1947, the book has lived up to several Polish (1947/8, 1960/61, 1987) and one German edition (1964/65), but it waited only until 2013 for the first volume[iii] to be published in English as an unabridged edition[iv].

These initial existential remarks, both about the author and his work, are of significance here, because they reflect a “detached” character of the philosophical work in relation to time, as the work’s ill-fated destiny is not to be recognized by the time of its own, of being stripped out from its time from the philosophical audience and the state of debate of the pre-war philosophical scene. However, if one is to speak about the philosophical influences that it has achieved, then it has been thoroughly out of sight, both from phenomenological reception and from the strands of philosophy that deal with ontology in a rather different fashion. Although Controversy is Ingarden’s most ambitious and most far-reaching ontological work and despite the fact that his research in aesthetics is by his own admittance only to be incorporated under more fundamental ontological investigations that he developed in Controversy and elsewhere[v], he is still overwhelmingly perceived as the philosopher of art, and his contribution to ontology and metaphysics is not sufficiently recognized. But, the time factor cannot, however, diminish the inner qualities of Controversy that surpass any “here” and “now”. For it is, without any doubt, the philosophical masterpiece of its time, and its author is a metaphysician par excellence.

The process of reading Controversy will reveal to the reader one of the reasons – besides the ones already mentioned – why the book, in spite of all of its qualities, was lacking an influence. It represents not just a systematic critique of Husserl’s commitment to the idealist standpoint but also opposition to several highly influential philosophical schools and strands of thought of the XX century. This amounts foremost to the “neo-positivist” school which altogether rejects metaphysics as “senseless” and also to the group of authors and standpoints that sprang out from the phenomenological way of philosophizing, such as French existentialists and the philosophy of “fundamental ontology” of Martin Heidegger. It is evident that in Controversy Ingarden renounces not just antimetaphysical reductionism of positivism as a “crude, tacit metaphysics” (77, futn.152), but also existentialists metaphysics and its pathos for the human being’s “fate in the world” (87, f.192.). It seems as though he thinks that the latter somehow neglect the primary task of metaphysics, as it is conceived from the time of Aristotle and to which Ingarden is deeply committed.

Written in the isolation from philosophical community and stripped out from intellectual resources[vi] Controversy evolved during the wartimes as the most profound examination of the possible solutions to the mystery of the existence of the world, and equally important, as the most honestly approached and conscientiously rendered philosophical self-dialogue on the issue that haunted the author since his early philosophical career. Let us recall that in 1918 Ingarden wrote now famous “Idealism letter” to Husserl in which he openly questioned the merits of the master’s philosophical allegiances. At that time Ingarden noticed that Husserl was steadily renouncing the last vestiges of realist components in the process of development of his radically new method of phenomenological reduction[vii].

The famous Husserl’s thought (often expressed before students) that “If we cancel consciousness, then we cancel the world” (184) effectively comprises this philosophical position toward the existence of real-world which creates the starting point for Ingarden’s attack of transcendental idealism. If, after the reduction is completed there remains nothing of the “transcendence” of the object that cannot be derived from pure consciousness alone, and if itself of the thing-in-itself is espoused as nothing other than pure qualities of constitutive activity of transcendental I, and as a negation of some unknowable mystic element of the world – the world of itself – than the traditional dualism between object and subject is abolished, and the only ontologically existent entity – regarding the phenomenologizing subject can represent nothing more than this activity of constitution and the subject of constitution.

Ingarden could not accept the metaphysical consequences of transcendental idealism, nor the consequences of other historically similar (idealistic) answers to the ontological puzzle of the existence of the world. But in order to give the full philosophical meaning of his realist intuitions, he had to change the whole perspective from which the dichotomy of idealism and realism was to be approached and the ontological status of the world determined. The manner in which he sets out to accomplish this task did not mean abandoning the general phenomenological way of analysis, nor even some components of his master’s approach – he had never renounced phenomenological reduction as such – but the shift from the epistemological dimension of analysis to the ontological, and consequently metaphysical one. The daring change of perspectives enabled Ingarden to present the essence of the core problem to the more fundamental, divergent and uncertain terrain than the one that could be obtained from the sole epistemological perspective. Here lies also Ingarden’s greatest contribution to the understanding of the reality of the real world that surpasses the borders of one specific school of thought. But this change of perspective would not be sufficient to make the difference – if it was not to repeat the traditional sins of metaphysics – were it not accompanied by additional elements that surpass limitations of every dogmatic vision of knowledge – distinctive qualities of methodological openness and theoretical breadth with which the author approaches the central problem of the book.

*

Volume I of Controversy comes with the translator’s note, preface, an addendum to the German edition, six chapters and an appendix of nine alphabetically arranged parts. This volume also incorporates parts of text from previous editions that Ingarden changed and revised for this final version. The most devoted reader can also find comments and explanations by translator Arthur Szylewicz rather useful and appropriate. But all these markings integrated within the body of the text that serve to incorporate older editions of Controversy are, in some measure, making the book harder to read and less fluent, which for the impatient reader can be an obstacle. But even more, one can ask, whether the first unabridged English edition should have come without these additions in order to be presented to the philosophical public in its best guise and most approachable manner.

In the short preface, the author tells us the history of his own work on the idealism/realism problematic that precedes Controversy and which had contributed to its structure and form. As we have seen, external circumstances have tremendously shaped the pace in which the whole process of writing evolved. In the conclusion of the preface, Ingarden expresses what he thought should be the final reach of Controversy. Since one of his tasks is to demonstrate the complexity of the central problem and the vast number of possible solutions to it, the “narrowing” of “the scope of possible solutions” (24) should be seen as its final reach. In this regard, both the first and the second volume of the book should have been seen as “prolegomena” (24) to some further investigation of the controversy of the existence of the world.

The first chapter with the title “Preliminary reflections” aims to articulate the main question of the book particularly with the connection to Husserl’s idealism. In that regard, Ingarden sketches the history of the concepts of “idealism” in ancient philosophy, particularly in Plato, and contrasts it with the modern understanding of the term “idea” and “idealism” (28). In the former sense idealism refers either to the domain of things that exist (e.g. ideas exist alongside physical objects) or with the mode of beings of objects that exist (e.g. ideas are more real than physical objects), while in the latter the term “idea” has to be associated with consciousness’ experiences of the subject. More importantly, these experiences are bestowed with special ontological status, and, even more, they are not just accepted alongside the real world, but the real world is intrinsically – as a “being” of lesser perfection – somehow derived from them. In that regard, what is certain and indubitable for modern philosophers from Descartes onwards is the existence of “pure consciousness” while the existence of the “real” world is to be questioned. These terminological clarifications are helping Ingarden to precisely formulate the main question of the book: “…what is at issue in the controversy between idealism and realism is the existence of the real world – and a specific mode of this existence at that – as well as the existential relations between the world and consciousness…” (28) And also: “…I concern myself strictly with the question pertaining to the existence of the real world, and indeed, in the final reckoning, with precisely that world which is given to us in direct experience in the form of countless things, processes and events, and which contains both purely material entities and psycho-physical individuals…” (31).

In that endeavor, Ingarden aims to attack the “the deepest and the most serious attempt to settle the idealism/realism dispute…” (32) which for him is the transcendental idealism of his master. The main task here is, firstly, to reexamine the “the total context of the starting point” (44) of the dispute by questioning whether the sole partition relies on the presumption – which in the end is a metaphysical one – that by itself needs to be investigated. Namely, that of our picture of the real world acquired through “experience and its structure” (43). Ingarden’s point is that we can never be sure that every moment of the transcendence of the object can be completely seized by what is called pure immanence, or the activity of the transcendental I. The elusive ontological “residue” that is left outside the scope of phenomenological reduction, opens the door for the ontological dimension of investigations. In that way, traditional transcendental/epistemological treatment of the dispute has been abandoned.

Secondly, the standard resolution of the dispute presupposes just two possibilities: either world exists and is separate from the mind – and we know this fact on the basis of experience, or it does not exist and is derived from the pure consciousness. But this dichotomy is tremendously reductionist since it neglects the possibilities of the various kinds of modes of being of the real world in case it is acknowledged that it exists (44). And here the “ontological turn” is more than needed insofar as the epistemological perspective offers just two or possibly three solutions heavily dependent on certain (hidden) metaphysical standpoints in the case when many ontological solutions are in the vicinity. For the transcendence of an object is, prima facie, an ontological issue (45). Unlike the standard approach which starts and ends with the epistemological investigation, with only having some indirect ontological consequence, the new investigative path proposed in Controversy starts from ontology then continues with metaphysics and, in the final stage, ends with an epistemological verification of the results obtained in the due process.

In order to justify this new order of philosophical priorities, Ingarden, in the second chapter of the book, addresses two different and yet closely interconnected issues. He emphasizes the difference in nature of the philosophical and the investigations of so-called special sciences, and, secondly, he offers a very precise distinction between ontology and metaphysics that can justify his critique of the “epistemological orientation” of transcendental idealism. Concerning the former, all special sciences (he distinguishes “sciences of facts” and “apriory sciences” among them) share same basic characteristics. Namely, their solutions to theoretical problems are epistemically grounded, their functioning is not determined by the questioning of the core presuppositions that lie in their foundations, they are “special” because they always refer only to one domain of being, and the differences between essential and inessential properties of investigated entities is frequently overlooked (54). All this treatment has to show how distinctive the philosophical “style of analysis” is, and how it differs from that of special sciences (49).

By its spirit and its content, these analyses resemble usual phenomenological explanations of the matter. But in what follows Ingarden introduces a very original, significant, and it has to be said, plausible understanding of the nature of ontology that enables him to explain its priority over metaphysics and epistemology respectively.

He says: “The most general concept of ontology follows from its defining characteristic as a purely apriory analysis of the contents of ideas”(74). Conceived as such, ontology deals with “pure possibilities” and ”necessary interrelationships among ideal qualities, or among the elements of the ideas’ content” (62). These pure possibilities are to be distinguished from empirical possibilities which are related to an object existing in time and space. In that respect, Ingarden gives his own, and from a traditional Platonist point of view, sharply different account of the nature of the concept of the idea[viii]. These pure possibilities are not “determined by any matter-of-fact within real world” (66), they are time-independent, and they are not to be spoken of in terms of degree or measure. We can see, thus, how Ingarden presupposes a special sphere of objects and their interconnections that are the sole subject-matter of the ontological investigation. This sphere is predefined in such a manner that the investigator is bound up to the structure and content that already “exists” in it. But, one would perform a serious misapprehension if one would think that this implies some commitments to the matter of the fact of the real world[ix]. For the latter would be only the task of metaphysics, and ontology, as pure apriory analysis of possibilities can never ascertain the factual dimension of the matter. Ontology can only say what are the possibilities at our disposal for the contemplation on the subject matter. This is the core reason why ontology represents “foundational research” (74), and the first and necessary step in every path to metaphysics. This is also the reason why any epistemologically driven research into the controversy is always partial and biased – for it, by default, closes the door for the whole myriad of solutions that should be taken into account.

On the other hand, the task of metaphysics is to determine the factual conditions in the sphere of the existent. It has to specify what really exists, in what manner, and, above all, what is the true nature of existence. In contrast to ontology, metaphysics has to “clarify essentially necessary facts or factual interconnections among essences” (78), it does not deal with possibilities – although it presupposes them – it determines the real fact-of-the-matter of the world. Furthermore, and this is crucial for the metaphysical undertakings as such, it does not ask only for the existence of this or that entity of the world. It, of course, does that to, but it primarily asks for the existence of anything at all, of the “totality of and all existents whatsoever”[x]. And, after that, it asks what are the grounds, or ground, of that actually existing world – of that anything at all that exists (78). Ingarden, however, does not presuppose that the admittance of the importance of these vital tasks that metaphysics has to accomplish, signifies the possibility of their resolution, nor that human capabilities are sufficient for such an endeavor at all. Here, the mere fact of the importance transcends the possibility of success or failure. For Ingarden rightly clarifies that being impossible in some respect does not mean being senseless as such – the distinction that even today escapes the minds of many lovers of “desert landscapes”.

All of this leads Ingarden to the following conclusion: “It is clear that core of the entire Controversy is a particular metaphysical problem which, however, can neither be properly formulated nor successfully attacked without appropriate ontological preparation” (86)

And the role of epistemology, or theory of knowledge as Ingarden calls it, is reduced to the specific analysis which is partially ontological and partially metaphysical (83). In any regard, it comes after ontological and metaphysical investigations.

The entirety of investigation undertaken in chapter II enables Ingarden to distinguish three fundamental questions: ontological, metaphysical and epistemological; and three sub-questions within an ontological one: existential-ontological, formal-ontological and material-ontological (87). Ingarden remarks that all-encompassing research of an entity “must be conducted in all three of these directions, both metaphysically and ontologically” (89). The volume I of Controversy treats only existential-ontological dimensions of the dispute. It does not deal with whether something exists, or whether it exists in the appropriate form; it has only to tease out which mode of being or existence is proper to something and its essence (88). The second volume deals with formal-ontological issues, and the third one, which was never completed as an integral part of Controversy[xi], was supposed to treat material-ontological issues of the dispute.

Volume I of Controversy begins, in fact, with the third chapter in which Ingarden exposes what he calls “basic existential concepts” and previous chapters are preliminaries to the type of ontological analysis presented in the first volume. Since, as we have seen, the basic question of the relationship between mind and the real world is formulated in rather a specific context and philosophical orientation, Ingarden now wants to see how we can approach the question of their nature and mutual relationship with a “clean” philosophical start. In order to do that, he has to explain in an ontological manner the notion of “being real” and only after that he can step into the analysis of the relationship of dependence or independence that exists or does not exist between these two poles.

In that respect Ingarden emphasizes that although the notion of being-real is a simple one, it does not mean it is absolutely unanalyzable too (96), for a simple entity as the “color orange” is not composed of some further elements, but is in fact unique, thus it is still possible to distinguish some moments in it, the moments through which it is similar to red and yellow (96). Likewise, in our everyday experiences we always encounter an object in the totality of its being, and Ingarden vigorously tries to show how we cannot “attach” the notion of existence to the being as something separate from the sum total of properties that it inherits, nor as some such property (here, Ingarden’s pays due credit to Kant), and he gives an example of the existing and perishing lamp that should evoke the whole mystery of non-existence in a typical phenomenological manner (101-102).

But usually, we are not familiar with just one mode of being, namely being-real. There are also other modes of being, such as being-possible, being-ideal and even some other possible modes (99). It is crucial here to acknowledge that we always encounter something (some entity, process, idea…) through a specific mode of being, but these modes of being are totalities of existential moments that Ingarden wants to have ontologically distinguished. An entity is not composed of those moments, for the nature of every mode is something simple, but only with the help of a philosophical abstraction we can discern some moments in them, like in the example with orange color (108). In that regard, these moments are (philosophically) older than the specific mode of being that we always meet in our direct and naïve encounters. And furthermore, every entity is bound up with a specific mode of being, it cannot undergo a change in the mode of being. That is to say, the same object cannot be ideal and then real since it would not be the same object anymore. The existing lamp that undergoes complete annihilation so that we can only have an idea of it as it was when it existed, is not the same lamp since it now “exists” in a different mode of being, namely that of an idea.

So, we can see how Ingarden introduces – apart from his own understanding of metaphysics and ontology presented in the second chapter – new contents for the old terms such as “existence”, “mode of being”, “idea”. We can see that the notion of “existence” is the most abstract and general idea (108), then follows the less abstract, but still not sufficiently concretized, concept of “the mode of being” that is present both in the naïve attitude and epistemological perspective of empiricist philosophy and transcendental idealism, and, in the end, the primitive and essential components of existential-ontology – existential moments – that are the subjects of existential-ontological investigations.

Ingarden distinguishes a group of four pairs of existential moments:

  1. autonomy – heteronomy
  2. originality – derivativeness
  3. self-sufficiency – non-self-sufficiency
  4. independence – dependence (109)

Something is autonomous if it “has its existential foundation within itself” and, “it has it within itself if it is something that is immanently determined within itself” (109) as the “redness” of a red color (whether as a pure ideal quality or the material property of some object) is something that is immanently determined within the essence of a red color. But the existence of something is not dependent on being autonomous since purely intentional entities of works of art exist too, but as heteronomous objects whose essence is being supported by an intentional act or “creative act of consciousness” (116).

Something is original if it is produced by itself, and the opposite derivative – if it has been produced by something other (118). Ingarden emphasizes that it is evident that originality goes necessarily along with autonomy, but that opposite does not necessarily hold. Something can be autonomous but derivative, as, for example, an ideal quality of redness that exists autonomously but is not produced by itself. And heteronomy as such excludes originality, since if something possesses no existential foundation within itself, it cannot, eo ipso, produce itself.

And here Ingarden undertakes the long and difficult task of explaining the notion of existential originality through the analysis of historical understandings of “being-per-se”, or the Absolute Being, and its relation to the notion of causation. The aim is to show how traditional (predominantly scholastic, and on it based modern, especially Spinoza’s concept of “causa sui”) understanding of the cause and effect is irreconcilable with the notion of original being. The main misconception lies in the assumption that cause and effect are some kind of entities or even separated “things” that exist in a different time, while original being is, per definitionem, timeless, and from that stems from the “absurdity” of comprehending an absolute being in relation to causality. Thus, a cause and an effect are not “things” nor do they persist in time separately from each other. But just because of that they are not one individual entity either. Rather, these notions are to be understood as concepts of the system equilibrium on one side, and the “perturbation” of the system on the other that can be properly called “cause” (136). And what is usually in the philosophical tradition understood as “cause” is just in fact “indirect” cause (129), while the cause properly determined is “direct” one (causa efficiens), as something that happens simultaneously with the effect, but is still not the same as effect alone. Thus, the difference between originality and derivation is purely existentially-ontological and as a such, it has nothing to do with the causation as a peculiar intraworldly relation (141). Moreover, originality is primarily an existential moment and is not directly related to the concept of a deity. Here, Ingarden is only interested in existential moments as such and their mutual relationships.

The notion of “existential self-sufficiency” means that something, in order to exist, does not require something else to be present alongside it in one whole. “Thus, for example, the element of “redness” is contained in a non-self-sufficient manner in the whole “red color,” since it must co-exist with the moment “coloration” that occurs in the same whole.” (147). But on the other hand, some red color that exists in an individual concrete object is also self-sufficient, since “it is at least likely that we cannot speak of an amalgamation between the “red color” and a red thing that is as intimate as the one that obtains between redness and coloration in the red color” (148). There are various kinds of self-sufficiency and non-self-sufficiency in regard to different parameters[xii], and also one “absolute” notion of self-sufficiently which is opposed to all of these (152). And all of them have to be taken into consideration in order to escape the “crude errors” since “a particular entity can fail to be non-self-sufficient in one sense, and yet be so in some other sense” (152).

On the other hand, something depends on something else if it needs something else to support its “subsistence” (153), although, at the same time, it can be self-sufficient. For example, a “son” ceases to be the son of a father who has just died. However, he is still someone, and in that respect a self-sufficient entity, but he is not “a son” anymore.

Those, “provisional”, so far only “smelted”, existential moments (157), whose number would significantly increase if the “existence of entities in time” (157) would be taken into account, can help to create pure ontological concepts of Absolute and Relative being and their variants. Thus, the lists in the sum of eight concepts of being (156-7) are proposed by Ingarden, while the concept of absolute being simultaneously incorporates all four “right-side” moments of existence: autonomy, originality, self-sufficiency, and independence. The omittance of one of these moments automatically reduces an absolute to a “relative” concept of being. Besides this, Ingarden lists also, eight pairs of mutually exclusive moments (155) that should automatically reduce the number of possible combinations of modes of being.

Ingarden closes the third chapter with an “outlook” of the relevant questions for the dispute. Here, he once again emphasizes that the solutions of the controversy are not to be searched in the mode of, what can be called, an encountered being of the real world. For the usual epistemological perspective presupposes that “we already know in what mode the world encountered by us exists. Yet on the contrary – this is precisely the first chief question in the metaphysical reflection on the world” (163). The pure existential moments should help us to evade such a path to the solution. Rather, the solutions would have to be searched for in the modes of moments of existence, since we do not know whether, in fact, the real world exists, and even more, in what mode of being it exists. What we only know so far is that we, or our phenomenologizing I, exist, but here too the nature of this “being” is only to be approached through the analysis of the various possible combinations of existential moments.

Finally, in the fourth chapter, Ingarden undertakes an exhaustive analysis of possible solutions to the controversy. The analysis starts from the six assumptions where the indubitability of the existence of consciousness is taken for granted as well as the regular and unproblematic flow of pure experiences of phenomenologizing I presupposed. The sixth premise is a modular one, with the consequence that every following variant has been composed of different existential moments associated with the nature of consciousness. In that way, an investigation of eight groups of problem solutions is being enabled, with the consequence of taking into account an enormous number of possible solutions (at least 64). Basically, Ingarden analyses eight hypothetical philosophical positions[xiii] in relation to this group of eight different assumptions. He compares whether or not such positions are compatible with the set assumptions. The aim is to narrow the “ontological choice” as much as possible in order to prepare the terrain for other types of investigations in Volume II.

The positions that are being elaborated are absolute realism, absolute creationism, dualist unity realism, dependence realism, realist unity creationism, idealist dependence creationism, and their group variations respectively. In the walk of the analysis, many positions are being rejected due to the mutually exclusive existential moments. For example, some positions claim that the real world is original but this is in conflict with the set premise that it is derived from consciousness or not-self-sufficient and dependent (on it). It is worth mentioning that Ingarden’s treatment of the position labeled “idealist dependence creationism”, which is in fact, Husserl’s position, reveals two general accusations sent to the master’s address. Namely, Ingarden accuses Husserl of “metaphysical commitments” (186) where we had to be dealing with only – in Ingarden’s terms – ontological ones. Also, he accuses the master of employing not sufficiently clarified concept of a mode of being of the real world (188). Ingarden also analyses the negative solutions (the real world does not exist at all) as well as “doubled solutions” of Kant and Bergson (219-223). These double solutions are consisting of a specific pair of above-listed positions that can cohabitate side by side without interconnections – as is the case of Kant’s world of things-in-themselves (which mirrors the position of absolute idealism), and the phenomenal world (that represents idealist dependence creationism) (220-1).

The final results of the analysis are summarized in two groups of admissible solutions. Groupe of variants of realism (real world not being derived from consciousness), and a group of variants of creationism (real world being derived from consciousness). The second group is divided further into the group of realist creationism (real world derived but autonomous) and the group of idealist solutions (real world derived and heteronomous).

Ingarden summarizes the results in this way:

“It turns out that there are incomparably more variants of “Realism” than of Creationisms belonging to the realist subclass, and only two solutions are “idealist” (225).

This means that the existential-ontological analysis – and that means investigation of logical relationships between pure existential moments – admits vast majority of realist solutions (for example, absolute realism is admissible in all 8 group of solutions) and even in the group of creationism where the real world has been in fact derived from consciousness, there are several solutions in which the real world exists autonomously. Husserlian idealist dependence creationism is one of those admissible idealist solutions.

However, Ingarden is aware that this kind of analysis is to be taken only provisionally, since many factors are not being taken into account. If at the end, only one solution is proven to be ontologically valid, it would also need to be metaphysically verified. Furthermore, if there would be more than one final ontological solution, than, as Ingarden says: “the world’s existence or non-existence would not be ontologically transparent” (226). Both scenarios are uncertain and it is not ruled out that none of the solutions will be admitted in the end because it might be revealed that all of them are “contradictory” (226).

Up to this treatment, Ingarden has only analyzed existential moments and their logical relations without any introduction of the dimension of time. As we have seen this has brought to the fore eight different concepts of being. The introduction of time in the investigations of the sixth part of Controversy opens the space for an exposure of other existential moments which makes the whole existential analysis more complex and even daunting. For as the path of the phenomenological treatment of time that here Ingarden undertakes seems from the outset more delicate and slippery than pure logical treatment of the relationships between some predefined logical elements. This is all the more so because the time of Ingarden’s concern is not a common time of everyday life, nor the “subjective” and formal time of a Kantian hue (228); the time he analyses is a concrete and absolute time (281) that is inseparable from objects, and only this analysis can “capture the full modes of being” (281) required for the potential solution of the controversy. The strategy is that, if the idea of the existence of the real world is to be generally allowed – and we have seen why existential-ontological analysis must allow it – then the analysis of the mode(s) of being of real world cannot be carried out without the analysis of time, since one of the ideas of real-world presupposes temporality of the world. And secondly, if this temporality is to be analyzed it cannot be accomplished without taking into an account the beings that we encounter as temporal, the beings that are time-determined, for as only with and through them we can in the first place approach the phenomenon of time. In that way, Ingarden attempts to find the ontological essence of the being-real as such – which amounts also to the reality of consciousness – and we will see that this ingredient is intrinsically related to time.

The temporal world, Ingarden claims, comes equipped with three temporally determined sorts of individual entities – events, processes and persisting objects (229) and analysis should detect the key existential moments of the mode of being of these entities. If the phenomenological analysis of concrete time would reveal some existential characteristics within them that bespeak of their selfsufficiency and even autonomy than it will be possible to further narrow the possible solutions of the controversy by rejecting the philosophical positions that are inconsistent with such a conceived nature of temporal objects.

Although all these entities are constitutive for the phenomenon of time itself – because time cannot exist without objects being-in-time or being temporal objects – there is, in a way, the gradation of their “reputation” in relation to the question of existential-ontological supervenience. In order to explain this, Ingarden has to show how temporal objects are distinguishable from each other essentially (that is, by its form), that none of them can be reduced to the other. For example, it is customary to understand events as just “shorter processes”, but this is thoroughly misleading since events in the “pregnant sense” (251) of the word are instantaneous and processes – from the smallest one to the largest – are lasting through time. The mode of being of events “consists precisely in that ’coming-into-being’ and ‘passing away’ – and indeed both in the same instant” which means that “the event does not exceed the bounds spanning a single concrete Now” (231). On the other hand, processes are more complex entities consisting of the shifts of phases that can be distinguished only in abstraction, and that constitutes a “phase-whole” mode of their being, and on the other side, “process-objects”, or “the mode of being of the temporal object constituted in the passage and growth of that phase-whole” (250). Objects persisting in time are also “outlasting” individual moments, or instants such are events. But in comparison to processes, they do that in a completely different manner. They are remaining “identically the same” during the certain period of time in which these events occur (252). In fact, and this is crucial, objects persisting in time are bearers of the processes, they are supervening over processes. “Without persistent objects, there would be, in accordance with their essence, no processes whatsoever, whereas the processes, when they transpire at all, modify the persistent object only in their qualitative endowment” (253). That means that, by their form, persisting objects are incapable of change, since “enduring in time and surviving the lapse of time is not yet in itself any change” (255). They only change due to their “material endowment” (255). In that regard, in comparison to persistent objects, processes are existentially dependent and even non-selfsufficient (254).

This analysis of temporal objects reveals an additional, and for the grasping of the essence of being-real of temporal entities crucial existential, moment. That is the moment of activeness as efficaciousness, as a way in which “what is real fulfills its existence by shaping and filling out some present – but in doing so also immediately forfeits that existence” (241) And here, too, we have a sort of gradation in terms of existential potency (280) of temporal entities. Every process is exerting some activity by fulfilling certain moments in time with the concrete content that marks this activity efficaciousness. In other words, every process makes a difference, an ontological (and metaphysical) difference in the body of time. But only persisting objects, and especially living beings, can intensify the activity in order to stay the same within the contexts of changing processes and states, by actively resisting the passing of time, and by building an active and self-reflective (in the case of consciousness beings) stance toward time dynamics. This enables a living being to possess “partial persistence independence” (272) with regard to time. The persisting moment of living being consists in its “survival mode” as a direct consequence of its activeness, that is, its capability to remain the same over time. This is especially noticeable against the background of what Ingarden calls the “fissure-like” existence of beings, inanimate and living ones, respectively. A living being is active toward its fissure-like existence whereas an inanimate world is just passively associated with the lapse of time and its permanent fissures, it does not live out its fissures actively, it does not “catch the time” of its own being. A living being is actively resisting the passing of every single “now”, it actively connects past and future with the present in order to sustain itself, that is, its essence as an enduring object.

And furthermore, it is just the fragility of living beings, the possibility of their partial or complete annihilation by external forces and factors, that makes them selfsufficient and autonomous entities. For as only something that is selfsufficient can, in fact, be annihilated in the real sense of the word. Some rock is not selfsufficient in this respect since it does not actively contribute to its own subsistence. The rock cannot be “fragile” although it can certainly be smashed since it is not in its nature, in the first place, to be autonomous. On the other hand, both the fragile and fissure like properties of temporal beings, as the marks of their imperfections, indicates that they could be only subsumed to the category of derivative, and not original entities (288).

These considerations of the relation of being-real and time through the analysis of temporal objects enable Ingarden, in the sixth and concluding chapter of the book, to further narrow the choice of possible solutions to the controversy. At the same time, this shows to be an opportunity to question and in fact rebut his master’s position as untenable for mere existential-ontological reasons. Only now, Ingarden can conclude, that if time has essential characteristics of the being-real then the existential mode of temporal beings, and especially their autonomy to the time, exclude both the Husserlian position (of idealist dependence creationism) and other similar solutions that presuppose existential heteronomy of the real world: “If, however, time were to belong to the essence of being-real, then the number of these solutions would have to diminish. For the being-in-time of an existent force to pass through the activeness-sphere an existent’s activeness presupposes its autonomy. Hence, if the real world, or what exists in it, were really determined by time, then it would have to exist autonomously” (281) Ingarden concludes that in the end, 11 solutions are admissible, and from them only variants of realism and realist creationism – idealism is ruled out grosso modo. However, this does not mean that the world cannot be created or in some other aspects related to consciousness. It only means that it is ruled out that for its sustainment it need be dependent on an external factor such as consciousness because the real world is, by the realist creationism presupposition, autonomous to pure consciousness.

The introduction of time in the existential-ontological analysis reveals another possible set of existential moments (activity, fissuration, fragility…) that can help create new concepts of beings that are “richer” in content (290). Ingarden thus distinguishes absolute supratemporal being (insystematic two variants), supratemporal-ideal-being, temporally-determined (real) being, and purely intentional being (being possible). The concept of temporally determined being has been conceived in three different dimensions, related to the nature of time (present, past, and future). But these are only preliminary steps in further, formal-ontological, material-ontological and consequently metaphysical investigations of the nature of the real world, and its relationship (if there are any) to the consciousness. Ingarden, thus, cautiously remarks that “at the moment we know nothing positive of either the form or the material essence of the real world that would be significant for its mode of being” (297). Unless we succeed in “grasping the temporality of an existent, and of the world in particular, in an indubitable manner” (300) the final resolution of the controversy cannot be resolved.


[i] “I had in fact just begun to write the new book for him, this being the reason for writing it in German” (22, f.11).

[ii] “I wrote only for myself…” (23).

[iii] The volume II was published in 2016, by the same publisher and editor.

[iv] An abridged edition was published in 1964 under title Time and Modes of Being (translated by H. R. Michejda), Springield Ill: Charels Thomas.

[v] In the preface to Controvesy Ingarden documents the rich history of his work in ontology.

[vi] He was unable to use his library at that time (23).

[vii] This was, for Ingarden, first noticeable in “unstable” guise (p. 33 f. 35) of Ideas I (1913) and then fully acknowledged in the matured form of Formal and Transcendental Logic (1929) and Cartesian Meditations (1929).

[viii] Due to the space limitation we can here just note that the structure of idea is explained by its “bilateral” nature of “stock of qualities” and content, and within the content, there are also differences between “variables” and “constants” (68-73).

[ix] This “reduction” seem to be prevailing characteristics of contemporary Neo-Aristotelianism.

[x] The famous “first question of metaphysics” that a thinker such as Heidegger escape to give an answer to, and Robert Nozick boldly answered in rather unorthodox and appealing manner in his Philosophical Explanations.

[xi] And was published as separate book Über die kausale Struktur der realen Welt, Tübingen: Max Niemeyer Verlag, 1974.

[xii] Ingarden lists five groups of variants (148-152).

[xiii] That only in some aspects resemble historically developed philosophical positions.

Jacques Derrida, Hans-Georg Gadamer, Philippe Lacoue-Labarthe: Heidegger, Philosophy, and Politics: The Heidelberg Conference

Heidegger, Philosophy, and Politics: The Heidelberg Conference Book Cover Heidegger, Philosophy, and Politics: The Heidelberg Conference
Jacques Derrida, HansJacques Derrida, Hans-Georg Gadamer, and Philippe Lacoue-Labarthe, Edited by Mireille Calle-Gruber, Translated by Jeff Fort, Foreword by Jean-Luc Nancy Georg Gadamer, and Philippe Lacoue-Labarthe
Fordham University Press
2016
Hardback $85.00
116

Reviewed by: Facundo Bey (Universidad Nacional de General San Martín / CONICET-Universidad de Buenos Aires)

On the evening of February 5, 1988, at the University of Heidelberg, three of the major and most influential figures of the 20th-century philosophy met in Heidelberg before a large audience. Fifty five years before, in the same lecture hall, Martin Heidegger, as Rector of the University of Freiburg, had given a speech that would be part of the firsts steps towards a running sore, “a wound in thought itself” [c’est une blessure de la pensée] in Maurice Blanchot’s words[i], a proper caesura, entitled “Das Universität im neue Reich» [The University in the New Reich]. Jacques Derrida, Hans-Georg-Gadamer, and Philippe Lacoue-Labarthe, three unquestionable distinguished Heidegger’s interpreters, came together that February of 1988 for over two days to discuss the philosophical and political implications of Martin Heidegger’s thought and legacy, under a Gadamer’s sign of hospitality: the encounter took place in the common linguistic territory of the French language. Heidegger, Philosophy, and Politics: The Heidelberg Conference, edited by Mireille Calle-Gruber, and translated into English by Jeff Effort, collects the fruitful dialogues between these three thinkers and their exchanges with the audience during this unforgettable debate officially entitled “Heidegger: Portée philosophique et politique de sa pensée” [Heidegger: Philosophical and Political Dimensions of his Thought].

Days after the conference, once the text of the public debate was ready, Derrida, Gadamer, Lacoue-Labarthe, but also, Calle-Gruber—who was in charge of the presentation—and Reiner Wiehl—president of the session—, all of them, agreed to defer the publication[ii]. Those were unquiet days: only a year before had been published the «spectacular» book by Víctor Farías, Heidegger et le nazisme[iii] (1987) and, by the time of the Heidelberg Conference—partially motivated by the whirlwind generated by the Farías’ book—the media focus was as never before concentrated on Heidegger’s documented Nazism (which was already known from the 1960s, provided by Guido Schneeberger[iv], as Gadamer remembers[v]). Both Lacoue-Labarthe[vi] and Gadamer[vii], as it is well known, had largely discussed Farías provocative book, and had considered that was written not without recourse to misrepresentations and malicious omissions. Farías also devoted himself to denounce not only Heidegger Nazism but the so-called «heideggerianism», especially what he understood as its French decline: Jean Beaufret and Jacques Derrida, both unfairly associated to Robert Faurisson and his revisionist-negationist theories regarding the non existence of gas chambers in the nazi concentration camps. Thus, the gadamerian decision that the conference be delivered in French, besides representing an act of generosity, acquires a new meaning.

Derrida, Gadamer and Lacoue-Labarthe faced in this conference the complexities of the discussion on a shared ground, each resorting to their own considerations while attempting to set up a dialogue (despite the manifest intention, at least from Derrida and Lacoue-Labarthe, of not giving a full account of their own most well-known published texts). To begin, Lacoue-Labarthe invoked his thesis on the confrontation, “the inmense debate”, that Heidegger, after the rectorship at Freiburg, would have started with what National Socialism meant in the history of the West, through the calling of art into question and the deconstruction of Western aesthetics, that is to say, the understanding of the essence of tékhne [viii]. One of the central thesis of Lacoue-Labarthe, that is present in his participation in the conference, is that the question of art occupies a nodal place in Heidegger’s self-interpretation of the enigma of his own political commitment, since it would constitute his self-confrontation with National Socialism, his own Auseinandersetzung subsequent to the experience of the Rectorship. After 1934, Heidegger introduces poetry and the poet figure as the main references for the reflection on the German identity and, in this way, Nietzsche’s previous dominant influence begins its decline to give way to the new hero: Hölderlin. The terms in which the myth and the tragedy would be thus later understood will not be those of the great German mimetic dream of Greece proper to nazi Wagnero-Nietzscheanism, but those of Dichtung, Sprache and Sage, which, in turn, overflow the aesthetic determination of the poetic.

Gadamer, contributed to the conference with both his irreplaceable reflections and testimonies, but also reopening the interrupted conversation started in April 1981 at the Paris Goethe Institute with Jacques Derrida. Therefore, Gadamer’s intervention was focused, on one hand, in its testimony value, maybe because the questions of the audience had conducted him too much in this way. In this respect, “surprise” and “shock” are the recurrent adjectives he used for describing what was then in 1933 his reaction to Heidegger’s Rectorship chair acceptation, indissociable of the latter’s public nazi commitment, specially when he had seemed to Gadamer politically much closer to National-Bolshevikism[ix] (which, in the eyes of Gadamer, as political Movement, had not a biologicist discourse). The main hypothesis of Gadamer is that Heidegger really believed for a moment that the nazi revolution was the possibility of a true spiritual renovation, but once he understood Nazism had become not more than a “decadent revolution”, it was for him no more his revolution, he felt no responsible at all for anything. And that would explain his great ambiguities: first of all, his silence. But also the responsibility with respect to the great number of colleagues and students who followed him in his political decision together with the disturbing contradiction of writing contemporary on the “forgetting of being”, the predominance of technics and the devastating consequences of the industrial revolution.[x] On the other hand, Gadamer presented a critical point of view of Heidegger’s path to the “fragmentation of metaphysical conceptualization by means of this force he exerted against words”[xi], that involved a similar consideration regarding to Derrida, and that allowed Gadamer to understand himself closer to Paul Celan and his sense of fragmentation.

Derrida, for its part, during the conference superbly questioned Heidegger’s own questions and avoidances, as well as the meaning of legacy and responsibility. He asserted—by way of an improvised and risky hypothesis, later shared by Lacoue-Labarthe and Gadamer—that Martin Heidegger’s silence, his unforgivable silence in the face of the barbaric horror of Nazi extermination, is the legacy that has bequeathed us. In Derrida’s words:

What I am saying here is very risky, and I risk it as a hypothesis, while asking you to accompany me in this risk. […] with a phrase spoken in the direction of an easy consensus, Heidegger woul have closed the matter. […] I believe that if he had let himself go for a statement, let’s say, of immediate moral reaction, or of a declaration of horror, or of non- forgiveness—a declaration that would not itself be a work of thought at the level of all that he had already thought—, well, perhaps we would feel more easily spared the work that we have to do today: because we have to do this work. That is what we have inherited.[xii]

This hypothesis is, ultimately, the beginning of a response, an answer to the question of responsibility of thought. On the one hand, improvisation would be a kind of responsibility by means of risking a disarmed speech.[xiii] On the other hand, to be heir to a legacy supposes always a response, the act of responding for not only a call not chosen, but also one that comes before oneself[xiv]. This is the call that Farías book wanted to mute, the path this book tried to close by doing a “case closed” out of the Heidegger nazi commitment. For this commitment was not in 1988 nor now something someone can put into question. Heidegger’s Nazism is indisputable. But to be heir to a legacy in the sense Derrida expressed it means a response to the dogmatic question where Faría’s book seem to lead: “is it posible yet to read Heidegger?”.

Somehow, today the 1988 scenario recurs. The publication for the first time of the Heidelberg Conference in 2014, in its French first edition[xv], concurrent with the beginning of the publication of the Schwartze Hefte in Germany, revealed a “dislocation” [décalage], as Jean-Luc Nancy has said[xvi], which comes not only from the very root of the problem itself, the relationship between Martin Heidegger and his political commitment with Nazism, but also from the mediatic racket generated by the very publication of the Schwartze Hefte themselves.

The process, begun in 2014, of the gradual publication of the Schwartze Hefte, which are loaded with resounding anti-Semitic expressions (that occupy a new and important place in the philosophical work of Martin Heidegger, although are not the only elements of these books), challenges us today to think, demands pronouncements and explanations, in a climate of opportunism, confusion, obscurantism and controversy as it was that of the late eighties. Once again, the mass media (but not only the media) raise a false alternative that may be summarized as it follows: «If he was a great philosopher, then he was not a Nazi; if he was a Nazi, then he has not been a great philosopher»[xvii]. Thus, the task would be enormous for the heirs: none other than the terrifying and valuable mandate to think what Heidegger did not think, to say what he was not able to say[xviii], namely, the affinities and common roots among his thought, the essence of the West and Nazism; the subject of Nazism by itself; the basis for his National-Socialist engagement.

Nowadays, the publication of the Schwartze Hefte came to dispel the silence, but did not liquidate the task. In any case, today there is no way to avoid the inevitable. As Donatella Di Cesare said:

Even the stereotype of the philosopher lying in an impolitic conformity seems totally unmotivated. Heidegger was by no means a «conformist» and in the Black Notebooks—as in other works of the thirtiesappears a politically radical philosopher. It will therefore be necessary to rewrite the chapter «Heidegger and politics» which promises to be much more complex than what has been assumed so far[xix].

That chapter today is beginning to be rewritten, little by little. To be sure, Donatella Di Cesare and Peter Trawny[xx]—editor of the Schwarze Hefte, published by Klostermann—provide today the most penetrating and accurate analysis on Heidegger’s anti-Semitism (although each one from a different point of view). In particular, in direct relation to one of the main reflections that the publication of the Heidelberg Conference brings up, Di Cesare dedicated half of his Heidegger & Sons. Eredità e futuro di un filosofo (2015) to face the problem of Heidegger’s legacy. Two paths seem to be shaped in the face of the intellectual inheritance of the German thinker. On the one hand, «orthodoxy», which either denies or trivializes the status of Heidegger’s political statements, reacts with loyal impotence, marginalizing texts, problems, even people. On the other hand, a spectacular parade of pamphleteer whistleblowers sets out to hunt down the «Heideggerians», suspected subscribers of any action or omission of Heidegger. Of course, these are false options that take us to just a single alternative: refusing to think. For, as Di Cesare affirms, «an inheritance is never something that can be either fully received or, on the contrary, totally refuted»[xxi]. We are heirs, whether we want it or not; that means having to learn to be both faithful and unfaithful[xxii]. Reading Heidegger, Philosophy, and Politics: the Heidelberg Conference will not dissipate the new questions that the publication of the Schwartze Hefte opened, but may give us both a vision of a path that must be understood as well as an understanding of some initial conclusions of three major philosophers that should be necessary overcome if we are really willing to confront once again to the challenges posed by Martin Heidegger’s thought.

References:

Blanchot, Maurice. «Notre compagne clandestine», in Textes pour Emmanuel Levinas (Paris: J.-M. Place, 1980).

Cohen, Richard A. Face to face with Lévinas (Albany, NY: State University of New York Press, 1986).

Derrida, Jacques, Hans-Georg Gadamer, Philippe Lacoue-Labarthe. Heidegger, Philosophy, and Politics: the Heidelberg Conference (Fordham University Press, 2016).

Di Cesare, Donatella. Heidegger e gli ebrei. I «Quaderni neri» (Torino: Bollati Boringhieri, 2014).

Di Cesare, Donatella. Heidegger & sons: eredità e futuro di un filosofo (Torino: Bollati Boringhieri, 2015).


[i] Cohen, Richard A. Face to face with Lévinas (Albany, NY: State University of New York Press, 1986), 43. Originally in Blanchot, Maurice, «Notre compagne clandestine», in Textes pour Emmanuel Levinas (Paris: J.-M. Place, 1980), 81.

[ii] Derrida, Jacques, Gadamer, Hans-Georg, Lacoue-Labarthe, Philippe. Heidegger, Philosophy, and Politics: the Heidelberg Conference (Fordham University Press, 2016), xiii.

[iii] Farías, Víctor. Heidegger et le nazisme (Paris: Verdier, 1987).

[iv] Schneeberger, Guido. Nachlese zu Heidegger (Bern: Suhr, 1962).

[v] Derrida, Jacques, Gadamer, Hans-Georg, Lacoue-Labarthe, Philippe. Heidegger, Philosophy, and Politics: the Heidelberg Conference, 63.

[vi]Sur le livre de Victor Farias, Heidegger et le nazisme”, in Lacoue-Labarthe, Philippe. La fiction du politique: Heidegger, lart et la politique (París: Christian Bourgois, [1987] 1998), 173-188. The text resumes with some modifications an article appeared in the Journal Littéraire: “Le procès Heidegger”, Le Journal Littéraire, no. 2: 115-117, December 1987-January 1988.

[vii] Published originally as “Zurück von Syrakus?”, in Die Heidegger-Kontroverse, ed. Jürg Altwegg (Frankfurt am Main: Athenäum, 1988), 176-79; later was published in French in Le Nouvel Observateur, January 22-28, 1988, translated by Geneviève Carcopino. It was also translated into English as “Back from Syracuse?,” trans. John McCumber, Critical Inquiry 15, no. 2 (Winter 1989): 427-30. The English version of Gadamer’s text was included in the edition here reviewed.

[viii] Derrida, Jacques, Gadamer, Hans-Georg, Lacoue-Labarthe, Philippe. Heidegger, Philosophy, and Politics: the Heidelberg Conference, 37-38.

[ix] Ibid., 64-75.

[x] Ibid., 11-12.

[xi] Ibid., 41.

[xii] Ibid., 35-36.

[xiii] Ibid., 16.

[xiv] Ibid., 65-68.

[xv] Derrida, Jacques, Hans-Georg Gadamer, Philippe Lacoue-Labarthe, and Mireille Calle-Gruber. La conférence de Heidelberg, 1988: Heidegger, portée philosophique et politique de sa pensée (Paris: Lignes, 2014).

[xvi] Derrida, Jacques, Gadamer, Hans-Georg, Lacoue-Labarthe, Philippe. Heidegger, Philosophy, and Politics: the Heidelberg Conference, vii.

[xvii] Di Cesare, Donatella. Heidegger e gli ebrei. I «Quaderni neri» (Torino: Bollati Boringhieri, 2014), 3. All Di Cesare’s translations by Facundo Bey.

[xviii] Derrida, Jacques, Gadamer, Hans-Georg, Lacoue-Labarthe, Philippe. Heidegger, Philosophy, and Politics: the Heidelberg Conference, 35.

[xix] Di Cesare, Donatella. Heidegger & sons: eredità e futuro di un filosofo (Torino: Bollati Boringhieri, 2015), 79.

[xx] Trawny, Peter. Heidegger und der Mythos der jüdischen Weltverschwörung (Frankfurt: Vittorio Klostermann GmbH, 2015).

[xxi] Di Cesare, Heidegger & sons, 33.

[xxii] Di Cesare, Heidegger & sons, 33-34.

Manuel DeLanda, Graham Harman: The Rise of Realism

The Rise of Realism Book Cover The Rise of Realism
Manuel DeLanda, Graham Harman
Polity
2017
Paperback €19.02
240

Reviewed by: Mark Losoncz (Institute for Philosophy and Social Theory, Belgrade / Novi Sad)

This book presents an enthusiastic dialogue between two contemporary philosophers, Manuel DeLanda and Graham Harman. Neo-materialism and object-oriented ontology face each other as equally inspiring conceptual approaches to the key issues of new realism. One might have thought that DeLanda’s philosophy of dynamic relations and intensities, strongly influenced by Deleuzian concepts, can only be interpreted as a devoted rival of Harman’s philosophy which is very clear, in a partially neo-Aristotelian manner, about the priority of individual-substantial objects. But as the dialogue evolves, we have to realize that things are much more complicated.

So, what binds the interlocutors of this book together? First of all, they needed a common enemy to unite them. Indeed, the enemy has no clear outline – it embraces as different currents and thinkers as social constructivism and Alain Badiou, culturalist pseudo-Marxism and Karen Barad. According to DeLanda and Harman, they can all be brought together under the flag of anti-realism, either because of the denial of a mind-independent cosmos or because of treating human subjectivity as an ontologically outsized (co-)creator of the world. While DeLanda and Harman sometimes present realism as a heretic alternative with respect to mainstream continental trends, they also offer another perspective according to which 20th century continental philosophy can be re-read, at least partially, as a series of realist tendencies. For example, it is claimed that Deleuze is a continental realist, that Husserl’s concept of the object as an invariant form can serve as an inspiration for contemporary realism and that Heidegger’s tool-analysis has also serious realist consequences. Roughly speaking, in continental philosophy, realism is both an excommunicated pseudo-problem and the hidden message of its exciting underground. What is more, Harman does not hesitate to mention the fellow travelers: the speculative realists, Maurizio Ferraris and Markus Gabriel.

Although DeLanda and Harman are careful to emphasize their shared rejection of anti-realism throughout the book, the lines between their respective philosophies are not blurred. Already in the first chapter it is obvious that DeLanda’s neo-materialism cannot easily be reconciled with Harman’s “realism without materialism” which denounces materialism as a reductionist approach, being unable to account for immaterial entities such as fictional characters in novels. From the viewpoint of Harman’s flat ontology, “materialism has often led to premature decisions about what should and should not count as real.” (15) In contrast to this position, DeLanda proposes a material-energetic-informationism that “involves a rejection of entities that transcend the world of patterned matter-energy” (16). This immanentist model gives fiction a less mystifying status by defining it as an emergent property, or, more precisely, as a level of emergence. The first chapter of the book is valuable for several reasons. In particular, it is useful for clarifying the difference between materialism and realism, for being critical of various reductionist approaches (“undermining” / micro-reductionism and “overmining” / macro-reductionism) and for thematizing the dilemma of aprioristic and aposterioristic thinking in philosophy. Furthermore, there is an interesting debate on Aristotelian essences and forms, Harman being sympathetic to these concepts and DeLanda rejecting them on the grounds of his historical-genetic theory of singularities. The critique of Marxism is arguably the worst part of this chapter, especially when DeLanda suggests that Marxists have a “special brand in which a priori schemes of synthesis (the negation of the negation) form the core of their position” (12). It seems almost superfluous to say that this extremely abstract use of the term “Marxism” ignores the rich diversity of classical and contemporary Marxisms, with special regard to those that are highly critical of dialectical categories and the Hegelian legacy of Marx.

The second chapter relies upon Lee Braver’s 2007 book A Thing of This World: A History of Continental Anti-Realism in order to make precise distinctions between realist and anti-realist positions. The key issues are the mind-dependence of the world, truth as correspondence, the possibility of a complete description of the world, the possibility of true and untrue statements, the relationship between knowledge and the knowable, and the claim according to which the human subject has a fixed character. DeLanda and Harman complete Braver’s list with three more problems. The first concerns the question whether the relation of the human subject with the world should be considered a privileged relation for philosophy, the second is whether subjective experience is linguistically structured and the third is about the world as a holistic entity in which everything is inextricably related. One of the most valuable aspects of this chapter is DeLanda’s and Harman’s insistence on defining the concepts of relation and relationism as precisely as possible. While Harman criticizes Whitehead, Latour and Barad for conceptualizing relations without properly taking into consideration the relata that are prior to them, DeLanda emphasizes that we should not accept “intrinsic relations that determine the very identity of what they relate”, but only extrinsic relations (32). The other aspect that deserves special mention is the interlocutors’ agreement with respect to the impossibility of a complete description of the world. According to the conclusions of object-oriented ontology, Harman claims that “things in the world cannot be converted into bundles of accurate descriptions” (44), that is to say, there is always and necessarily a withdrawal of real objects. On the other hand, by relying on insights from the philosophy of chemistry and fuzzy logic, DeLanda focuses upon the problem of emergence, i.e. of new properties that cannot be reduced to the interactions of already existing entities and that can never be exhaustively described.

The third chapter is by far the richest one. DeLanda and Harman carry on with the topic of realism, but this time by focusing more on the main statements of object-oriented ontology and neo-materialism. It is almost impossible to summarize this chapter as it ranges from the concept of possibility, through the critique of reductionisms, to the ontological status of objects. We would like to underline two important aspects: one concerns essences, and the other is about dispositions. With a strong background in Aristotelian-Zubírian ontology, Harman argues that essences are “salvageable” and that otherwise it would not be possible to interpret objects as consistent entities. Whereas DeLanda claims that the concept of essence is illegitimate and unnecessary, the interlocutors seem to make a compromise by concluding that there is haeccity (“thisness”) that makes objects identifiable. In this context, DeLanda rightly insists on the fact that, according to Deleuzian ontology, the virtual is segmented into distinct actual objects as products. There is another extremely exciting debate on dispositions, i.e. on capacities to affect and being affected. Harman refuses to put dispositions into things and comes to the conclusion that dispositions should be treated as new compound entities that result from interactions between objects. DeLanda elaborates his philosophy of tendencies and capacities in details, with a special emphasis on defining the identity of actual objects as a combination of actual properties and virtual dispositions. In short, DeLanda suggests that we should account for the enduring identity of objects “by the mechanisms of emergence behind the historical genesis and day-to-day maintenance of an object’s identity” (88).

The fourth chapter deals with the question of cognition and experience. The interlocutors seem to agree that “epistemology” is a bad term, either because it implies a dualist ontology that privileges the relation between humans and everything else, or because epistemological debates tend to ignore many kinds of “rightness of fit”, e.g. the know-how dimension of experience. Accordingly, this chapter is very critical of various scientist epistemologies (empiricism, mathematic reductionism, etc.). Harman explains his approach to cognition by stressing the point that certain essential aspects of objects are necessarily withheld or withdrawn and that our access to objects is always mediated by processes of translation. In light of this, he presents his view on the difference between real and sensual objects. DeLanda’s concept of cognition resonates with the object-oriented approach only partially: he emphasizes that “we can use the possibility of future novelty, the imperfect record of past traces, the spatial and temporal scale-dependence of the world’s presentations … to spell … out [the withdrawal of objects]” (103). Similarly to Harman, DeLanda’s theory gives importance to the mechanisms of transformation between real objects and our experiental patterns, but with more attention to the biologic origins of embodied cognition and selective attentional processes. The common ground in this  chapter is the insight that absolute knowledge is impossible, either because of the fundamental withdrawal of objects, or because of the open-ended character of nature and the untraceable aspects the past.

The last chapter articulates conceptual dilemmas with respect to time, space and philosophy of science. Harman equates “real time” with changes in space and defines sensual time as a relational entity that is derivative of the succession of objects. While he seems to accept the irreversibility of sensual time, on the other hand, he claims: “if we consider time as belonging to the real itself, then I guess I’m not a realist about time” (119). DeLanda is strongly opposed to this non-realist philosophy of sensual time and he emphasizes the irreducibility of real time, i.e. the succession of causes and effects by relying upon insights from the theory of relativity. DeLanda also offers a very useful analysis of the concept of intensity. After a longish debate on Latour, the interlocutors debate on the role of knowledge, semantics, falsification and the definition of truth. Harman summarizes the difference between their respective philosophies as follows: 1. while DeLanda privileges dynamic entities, Harman gives importance to the “inertia” of objects; 2. in contrast to the emphasis on the philosophy of science (especially on the philosophy of chemistry) in DeLanda’s philosophy, Harman’s philosophy seems closer to the arts (and for Harman “the exemplar is aesthetics”); 3. while object-oriented ontology focuses on individual-substantial entities, DeLandian neo-materialism offers a detailed conceptualization of outside factors such as phase-spaces and attractors; 4. while Harman puts emphasis on formal causes, for DeLanda it is more important to clarify the role of final causes. DeLanda completes this list with his critique of the object-oriented concept of fundamental withdrawal and Harman’s denial of real time.

Jacques Derrida, Hans-Georg Gadamer, and Philippe Lacoue-Labarthe, Edited by Mireille Calle-Gruber: Heidegger, Philosophy and Politics: The Heidelberg Conference

Heidegger, Philosophy and Politics: The Heidelberg Conference Book Cover Heidegger, Philosophy and Politics: The Heidelberg Conference
Jacques Derrida, Hans-Georg Gadamer, and Philippe Lacoue-Labarthe, Edited by Mireille Calle-Gruber, Translated by Jeff Fort, Foreword by Jean-Luc Nancy
Fordham University Press
2016
Hardback $85.00
116

Reviewed by: Raymond Aaron Younis (Australian Catholic University)

In this valuable, timely and in many respects, enlightening volume, Mireille Calle-Gruber gathers together a number of important documents: the transcripts of a discussion between Gadamer, Derrida and Lacoue-Labarthe at a seminar in Heidelberg on Heidegger: Philosophical and Political Dimensions of his Thought; a series of questions to Gadamer, Derrida and Lacoue-Labarthe, and their answers concerning Heidegger’s thinking, political affiliations and commitments; and a thought-provoking and altogether memorable appendix by Gadamer.

Gadamer’s response is, in some ways, not surprising, and striking. First of all, he chooses to speak in French (since the other two speakers, Lacoue-Labarthe and Derrida, are French, and visitors to Germany); he asserts that there is “no authentic conversation without dialogism, that is, without the basis of a common language” (6) — one might add: also without authentic hospitality. He brings no text; he sees the invitation to speak as “license permitted to an improvisation” (6). He insists on a familiar note: “there is no point in speaking about Heidegger if one is not familiar with the origins of Platonic and Aristotelian metaphysics” (6-7). Indeed, he reminds us that this was the main reason why he had begun to read the works of Derrida. He explains that his interest lies not just in a “set of problems touching on Heidegger” but also in the question of “how, to some extent, it also determined us” (7).

He then turns to Derrida’s “concept” of deconstruction: “the term ‘deconstruction’ then, taught me immediately to recognize this connotation [destruktion as a ‘return to living speech’] that had never come to mind for us when we were listening to the young Heidegger speak of Destruktion. ‘Deconstruction’ wants, it seems to me, to underscore that it is a question not simply of destroying, but also of constructing something” (7). He hastens to add, however, quite unsurprisingly, that he is not “inhabited” (as Derrida “is”) “by the conviction that there is a total rupture of communication among men today” (8). He reminds the audience also that the hermeneutics at the basis of his reflection on communication is not as interested in “the hidden meanings of words and discourse” (8).

He argues that Derrida sees in Heidegger‘s interpretation of Nietzsche a “form of continuation, unintended and involuntary, of the tradition of metaphysics and even of logocentrism” – a “true provocation”, he calls it (8). In Gadamer’s view, Heidegger’s greatness lay in this: that he had taught Gadamer “that logocentrism was in a way the destiny of the West. That it was at the foundation of metaphysics…. That this logocentrism had constituted, for Heidegger himself, the true invitation to philosophy” (8). In a sense. Heidegger had begun to “comprehend” something “not comprehensible by means of the conceptuality or the metaphysics of the Greeks and of medieval or even modern thinkers” (8-9).

Gadamer then turns to the question of Heidegger’s “engagement in the National-Socialist movement” (9). He introduces a deeply personal, and troubling, note:

we were troubled by it from the moment when we began working with him, when we were his students. I was at Marburg and was a young colleague of Heidegger’s when he began to get involved in the Nazi movement in Freiburg. It is true and must be confessed, that for many of us this came as a surprise. Perhaps one will say: you were blind! Young people are blind, in a way, when they are guided by a master with great energy and force; so they give their attention only to what corresponds to their own interests and their own questions (9-10).

This insight brings him to the “crucial and absolutely inevitable problem,… the problem of German Nazism” (10). And he is insistent on this point: “it is clear that one cannot dissociate Heidegger’s philosophy from the fact of the extermination that took place” (10) — presumably because they had been troubled by Heidegger’s direct “involvement” in “the Nazi movement in Freiburg”. He does not note that the involvement was uncritical, of course, but his alarm could perhaps be explained by the very nature of that “involvement”. He insists also on the context: a period of liberalism, a bourgeois culture in decline, an age of artistic visions of the destruction of German culture, and so on. The young Heidegger had been “determined” by this kind of background, which extended to the critique of transcendental idealism, neo-Kantianism, “the critique on the part of Jewish thinkers and Catholic thinkers” during World War 1, and so on (11).

Nonetheless, he emphasises two problems

that have remained very troubling… throughout my life. The first has to do with the responsibility assumed by a man as excellent and paradigmatic as the thinker that Heidegger was in 1933… but also… there is the other fact, contradictory and disturbing: to wit, the same thinker, at the same moment—at a time when he supported, certainly not everything, not the anti-Semitism, not the racism, not the biologism of Nazism, but all the same some of its fundamental decisions—this thinker was writing texts that we still today can read as an anticipation of the coming reality. I am thinking in particular of “Die Zeit des Weltbildes,” of the description of the “forgetting of being,” as he called it, of the predominance of technics and of the consequences of the industrial revolution; in short, of everything that, as we know, began long ago but became evident only more recently, and is evident for young people to such a degree that this is perhaps today, in the eyes of the old man I am now, the most troubling fact there is: I mean, the pessimism of young people with regard to the possible future of humanity (11).

The question of responsibility is a profound one, given the context that Gadamer highlights; the question of Heidegger’s support for some of the “fundamental decisions” of Nazism is also a profound and troubling one, as are its connections with his writings concerning the “predominance of technics and of the consequences of the industrial revolution” (11), and the emerging pessimism “of young people with regard to the possible future of humanity” (11).

So the first “great ambiguity” in the case of Heidegger is the question of responsibility; the second one concerns the “ambiguity of his silence” (11). (“Heidegger never spoke of his error”, though Gadamer adds that “he did say once that it was ‘the greatest error of my life’”, in relation to his “engagement” with the Nazi Party). He intensifies the analysis considerably, in searing terms:

But that is superficial with regard to the serious affinities that exist between Heidegger’s philosophical position and certain tendencies of that movement. It is this question that has always preoccupied the Jewish friends I have met in America during my travels. They all say: the error of Heidegger, his participation in the movement, these are things that could be forgiven. But why did he never evoke that? Why did he refuse to speak of it? (11-12).

He explains how his attempt to explain “why Heidegger did not recognize any responsibility” in an article in Le Nouvel Observateur had been “very mutilated” (“but what can one expect, when a German writer engages in a Parisian debate”, 12). He critiques Farias’ book except “on one point”:

I am referring to the date of June 30, 1934, the Night of the Long Knives. It was there that my difference with Heidegger, I believe, revealed itself as fundamental. For both of us, this was a date with fatal consequences, but we did not understand this fatality in the same way. For Heidegger, it was the end of the revolution as he understood it: that is to say, a spiritual and philosophical revolution that ought to have brought with it a renewal of humanity in all of Europe. Whereas for me this stabilization of the Nazi revolution through the support of the army brought the irrevocable certainty that it would never be possible to be liberated from this regime without a catastrophe. This was, in my eyes, the prospect we were facing. And for me it is clear that it is mere hypocrisy to ask, why did you not rebel against it? When faced with weapons one does not counter them with preaching (12).

The bifurcation of their two paths is striking: for Heidegger, according to Gadamer, the Night of the Long Knives signalled the end of a revolution, in a “spiritual and philosophical sense”, that promised to bring in its wake, a renewal of all Europe; for Gadamer, it signalled a national “stabilization” which brought him the certainty that it would not be possible to be liberated from the “revolution”, except in catastrophic terms. It may be, as he argues, “that it is mere hypocrisy to ask, why did you not rebel against it?” But the question cannot be disengaged quite so readily: when one is faced with weapons, admittedly preaching may be futile, but it could be argued that critical thinking and questioning need not be abandoned entirely (notwithstanding the “determining” elements that Gadamer identifies incisively).

So, Gadamer concludes with some observations on that article in French, on a hermeneutical note that is long familiar from his writings, in which optimism and the possibility of authentic and meaningful communicative relations are affirmed, in the knowledge that the next speaker will be Derrida: he reaffirms his conviction that “communication can always take place, and that in my work there is not at all this insistence on the rupture that formed the destiny of human culture today” (13).

Derrida’s response is significantly longer than Gadamer’s, perhaps not surprisingly, though interestingly, he does not respond directly to Gadamer’s forceful claims about Heidegger. He begins with a startling claim: he professes to be happy, afraid, “very impressed” and “very intimidated” by “what is developing here”! (13) Derrida imagines Heidegger’s specter, or “something of his specter, predicting that this evening there will be no thinking [ça ne pensera pas]! And that is indeed what may happen” (13).

Perhaps. But it is evident that some thinking has already taken place, deep thinking or pondering, as Heidegger would have it, on the part of Gadamer. Derrida seems to mean that thinking may not take place in this challenging and less than ideal context: a short meeting, speaking briefly rather than reading (or writing) in detail, and so on. He clarifies his meaning:

an agreement in favour of improvisation: we are improvising, and we will continue to improvise. Why improvise in this case? Whereas everything, on the contrary—the gravity of the matter, the complexity of the problems, of the texts, of the political and historical situations, of the traps awaiting us at every moment—all this, precisely, would push us to weigh our words, to leave nothing to chance, to never improvise…. And I must say that personally, each time that I have attempted to speak of these questions—as I have done again recently—, I avoided improvisation as much as I possibly could. Not in order simply to defend or protect myself, but because the consequences of every phrase and sentence are so grave that all this deserves, precisely, to be removed from the element of improvisation (14).

He reasons that they are “improvising”, yet the complexity of the issues, the gravity of the situation, and so on, demand that they do not improvise. But it is not obvious that Gadamer had merely improvised; on the contrary, his talk seemed to come out of some deliberation, and over a sustained period of time, on the complexities and gravity of the situation —  hardly without preparation. Yet Derrida insists on the point about improvisation. So, Derrida turns to Gadamer’s talk and to “a philosophical question… in what terms responsibility will be defined. Which category of responsibility ought to guide us, not only in the definition but in the taking of responsibilities?” (14)

On the one hand, Derrida insists on the improvisatory aspect, and on the other hand, speaks of Gadamer’s abundant attention to some of these things. Yet he raises an important question about the meaning of responsibility and the responsibilities that one has, for example, in relation to reading Heidegger carefully: since the publication of Farias’ text among others, “many of those who were not professional philosophers, or experts on Heidegger, if you will…  have accused those who have been interested in Heidegger either of being uninformed regarding Heidegger’s Nazi engagement or, if they were informed… of not having transformed into a common problem, what they were aware of as professional philosophers” (14-15). The point about non-professional philosophers is fair enough. The “accusations” ought to be examined carefully and not merely in a purely improvisatory way which is after all, in a sense, an unphilosophical way of inquiry, as Derrida would have it.

Farias’ book has provoked emotions, Derrida claims; a provocation that compels “professional philosophers” to explain their own work on Heidegger, and in less than ideal circumstances, namely in terms of improvisation. Now, if Derrida is correct on this question, then the point is a strong one. Such issues, such “provocations”, largely on the part of non-professional philosophers, in a philosophical sense, demand not improvisation but pondering, deliberation, systematic and careful reflection, in short, all the things that improvisation makes impossible. He therefore introduces a complication, an aporia concerning improvisation, or in other words, the very mode of discourse and format of the exchange, as he sees it, that day, which makes him fearful: “improvising runs the risk of preventing us… from maintaining a certain refinement, a certain rhythm in the discussion that we are used to. In short, a certain style of discussion that is ours” (15). He seems to believe that such a mode, or format, runs a grave risk: it prevents the philosophers, who are also teachers, from maintaining a “certain style of discussion” which is inherently philosophical (though he does not name it here), which belongs to philosophy (and by implication, it seems, not to the style or mode which belongs presumably to those who are not professional philosophers).

 A grave risk and a formidable but necessary one, then, according to Derrida, since philosopher-teachers in their philosophical mode (whatever that may be, but certainly involving complications and qualifications) are disarmed by the demands of the operative mode of discourse: disarmed in at least two senses, that is, deprived of a kind of power and disabled or weakened considerably. But he insists, “that no one here is in any way favorable, or wishes to be favorable, to what we always very cursorily call Nazism, totalitarianism, fascism” (16), or is to be suspected of wishing to defend them; no one wishes, he claims, to disculpate him [Heidegger] or render him innocent of every kind of fault in that respect (16).

So, though he feels disarmed, and though he fears the risks, he nonetheless feels that it is necessary to speak, and requests a “protocol of discussion”: that no one is to be suspected of defending the theses of Nazism, totalitarianism, fascism; that no one “claims to absolve Heidegger, to disculpate him or render him innocent” of fault in these respects. The point he makes here is an important one: he is characteristically going, not just to improvise, but to introduce a number of complications, and he wishes to maintain a distinction between complication as a philosophical (aporetic) mode and justification or evasion. He wishes to affirm the possibility of being vigilant “with regard to the discussions that develop on this subject… with regard to our discourse and our improvisations, in such a way that they would not contain or reproduce the gestures, the aggressions, the implications, the elements of scenography that recall the very thing against which we are allied” (16). He warns against modes that improvisation may valorise and promote: “every gesture that proceeds by conflation, precipitous totalization, short-circuited argumentation, simplification of statements, etc., is politically a very grave gesture that recalls…the very thing against which we are supposed to be working” (17).

He also warns, characteristically, against gestures which seem to attack totalitarianism yet unwittingly reproduce the very thing they attack; against attacks upon him for not denouncing “Heidegger’s Nazism”, even as he denounces this in his writings (“I speak of nothing else”, 18). He returns to the question of the significance “of the encounter this evening” (18). He asks why the “intense phase” of the debate took place in France, and reflects again on the sufficiency of the analyses in relation to the complexity of the “phenomenon” (18-19), on the over-determination, and points to a number of threads, even as he admits that they are insufficient. And he attacks the unreflective linking of France and Heideggerianism with good reason: he points out that such a linkage is both reductive and simplistic, for there is “not one single French Heideggerianism”, just as he insists on this point in order to detotalize the matter and insist on the differences and the ruptures that have marked the legacy of Heidegger (19).

He rightly insists on the amount of work that “remains to be done” (20), in relation to such complications, and complexities. He insists also on bringing the discussion back to

the political situation in France and in Europe. At a moment when the destiny of Europe, as one says, is taking a certain path, when a certain political discourse dominates the discourse on politics in Europe, in France, in Germany, and in many other Western democracies, we see a confrontation between, on the one hand, a resurgence of ideologies and comportments that are not unrelated to what one identifies very quickly as Nazism, fascism, totalitarianism; and, on the other hand, a social-democratic discourse whose values of reference are those of the rights of man, of democracy, of the liberty of the subject (21).

This is a “confrontation” between two discourses, one “not unrelated” to what may be identified, “very quickly” (again), with “Nazism, fascism, totalitarianism”, on the one hand, and a discourse that revolves around rights, democracy, liberty and the subject, on the other hand. One of the symptoms of this clash is anxiety or fear or distrust, not always informed, he argues, by a careful and reflective approach to reading the complex texts, but also “the compulsion to accuse very quickly, to judge, to simplify” – an “extremely grave” symptom (22) of an age in which nothing less, as he would have it, than the destiny of Europe and its path, are at stake. He also finds the accusations in Germany “unjust”: “so compulsive, so precipitous and globalizing” (22). Accordingly, he presents two “hypotheses”: first, “that for well-known historical reasons, the relation to Heidegger became so intolerable that, aside from a few exceptions, naturally, Heidegger has been little read in Germany since the war” (22). In France, he believes Heidegger was read with less of a bad conscience, for one bypassed a certain reading of Heidegger. He argues that “the reading of Heidegger in Germany was rather repressed since the war” (22).

The second hypothesis is that this “repression was bound to produce, in the form of a projection-expulsion, a desire to accuse, from the other side of the border, those who for their part had anything to do with Heidegger” (23). So, what the encounter “this evening” symbolizes “is the possibility, today, thanks to these provocations, of lifting the inhibitions on every side, and of not only reading Heidegger with the political vigilance required, but of reading him” (22-23).

Now, the first hypothesis is not supported by strong evidence, it has to be said, by Derrida. Of course, one can grant it as a hypothesis, but hypotheses without supporting evidence remain tenuous; they remain suppositions. The second hypothesis is that the “repression” of the reading of Heidegger’s works “since the war” in Germany, which has lead, amongst other things, to the “encounter” between the three thinkers at the conference nonetheless symbolically offers a possibility, namely that of lifting prohibitions (just how is not explained by Derrida) and that of actually reading Heidegger “with the political vigilance required”. It has to be said though, notwithstanding Derrida’s justifiable insistence of reading Heidegger carefully, vigilantly, responsibly and within a political context of human rights, liberties and the subject very much to the fore, the second hypothesis concerning a “projection-expulsion” is no less tenuous than the first. Of course, it may be true, but it is impossible to tell for sure from this contribution.

He closes on three important points at least: first, he reminds the audience of what interests him, in particular, about Heidegger’s thinking, namely “what, in Heidegger, on the one hand, made it possible to question the traditional categories of responsibility, of the subject, for example, of right [du droit], and what let itself nonetheless, up to a certain point, be limited by this questioning—and even, perhaps, by the form of the question” (23). Second, he argues that “deconstruction” is not an “abdication of responsibility”, even when it “places in question this axiomatic of subjectivity or of responsibility, or when it places in question certain axioms of Heidegger’s discourse” – he insists that it is, at least in his view, the “most difficult responsibility that I can take. And to trust in traditional categories of responsibility seems to me today to be, precisely, irresponsible” (24). Finally, he points, characteristically, to an aporia, and therefore to the importance of vigilance: “complicities between a discourse that is, let’s say, humanist and democratic but that has not reelaborated in a critical fashion its own categories, and that which it is meant to oppose” (24-25).

Lacoue-Labarthe speaks briefly (perhaps because Derrida spoke for too long!), but he makes a number of critical points, clearly, forcefully and concisely: he notes, firstly, that he belongs, unlike Derrida, to “the generation of 1940”, and so, sees the question differently:

This is still a family affair because, in the discourse, the language, the statements that suffused my childhood and my adolescence, in high school and in my surroundings, I heard pass a countless number of anti-Semitic phrases pronounced by schoolmates and friends, by adults, who were not particularly extreme right wing, but for whom this language was more or less natural (26).

In an important sense, he tackles the question of French antisemitism directly, and without protestation or equivocation: the “language” and “discourse” of antisemitism and the extent to which it had become “natural” for a whole generation. Or more. He reminds the audience of the importance of such questions: “when one touches on these problems, this is a question that one should never forget to ask oneself. What would I have done, given that it was only afterward that I gradually discovered all this?” (27). It is notable that he wishes to note the importance of this question without aporiai, without hesitation, just as it is notable that he emphasised the practical response, not the merely theoretical one: there is something that needed to be done, or that should have been done.  He warns, with remarkable and clear insight, against an attack that is “emerging”, that Farias’ book, or its conclusions, “will help to authorize, to legitimize” (28): he refers to a “kind of liberal philosophy, social-democratic, if you like, founded on what one of the two journalists I mentioned a moment ago calls a ‘juridical humanism’” (28), and notes the role played by Stalinists and ultra-Stalinists: “it is the same people who, in order to construct that humanism, are in the process of finding authorization in Farias’s denunciation” (28). He insists on this point: there is in this an undeniably political scene being played out. And I believe that this must not be passed over in silence (28).

It is a remarkable and striking contribution, and all the more so because it follows, and marks a stark contrast to, Derrida’s speech: it is spare, measured, stark and direct, and it does not shy away from the central question, the ethical, responsible, vigilant and unflinching critical analysis of Nazism and Heidegger’s complicity with aspects of the ideology, not just in his complex philosophical works, which demand extended attention, to be sure, but in his writing and thinking more generally in that context (his letters, notebooks, lectures, and his opinions expressed to friends and colleagues, and so on and so forth): it is, he notes, “perhaps only today that we are capable of beginning an attempt at an analysis of Nazism, of the fascisms; because it is in effect the first time that, on the one hand, we are at bottom rid of the communist . . . obstacle, let’s call it”  (29).

He insists like Derrida on the importance of reading Heidegger thoughtfully and responsibly, but does not shy away from the context for such a reading, as many have noted, in particular Jaspers, Gadamer and Habermas, among many others, namely, the reality of Nazism in Heidegger’s thinking, even if one grants that Heidegger’s Nazism was not pure and unquestioning:

it is the reading of Heidegger that, I believe—provided that one carry it out in a certain way, of course—can give access to a certain reality of Nazism. An access that the univocal moral and political accusation—which of course I share; but in fact when one tries to carry out philosophical work one cannot after all limit oneself to that—has continued to mask (29).

He anchors his analysis not in aporetic complications, or extended problematizations, but in an attitude, which needless to say, attaches quite readily to the practical, namely, distrust of certain ideologies:

From the moment when one began to distrust the use of the word “fascist,” from the moment when there was a questioning of what is called leftist totalitarianism, from that moment, perhaps, it is possible for real work to begin. And that is the reason why—this is one of my grievances against Farias’s book—the simplification that consists in presenting Heidegger as entirely Nazi seems to me extremely unfortunate in this story: because perhaps it will be necessary, for a certain time still, to fight about this presentation, in order to try to make it understood that, in Heidegger, one of the secrets of Nazism has remained unperceived up to now (29).

It is not self-evident, or demonstrative, it has to be said, that this moment, and only this moment, signals the possibility of the commencement of “real [philosophico-critical] work”. The moment, so to speak, when Heidegger’s commitment to the spirit, if not the letter, of Nazism becomes apparent, is an important moment in relation to the commencement of this critical project; those moments, so to speak, when there was an understanding, a dawning awareness, on which “questioning of what is called leftist totalitarianism” could be based, also make it possible for real work to begin.

What follows however in the volume is a (valuable) series of questions to the speakers, with their answers, and questions from the audience, also with answers, along with an appendix by Gadamer. He notes the crucial differences between the reception of Farias’ book in France and in Germany. He expresses surprise over the “uproar” that Farias’ book has generated in France, since “almost all” of what Farias reveals “has long been known” in “German speaking countries” — and wonders, “could it be that so little is known there about the Third Reich? Heidegger’s followers, believing they were defending him, no doubt contributed to the affair by continually repeating the refrain of his ‘rupture’ with Nazism at the end of a year of disappointing experiences as the rector of Freiburg” (79).

He notes that in Germany, “no one is able to feign surprise in discovering that Heidegger did not leave the Nazi Party” (79); and he highlights the reaction of the younger generation in Germany, and their questioning: they find it “difficult to imagine the reality of that time: the conformism, the pressure, the ideological indoctrination, the sanctions. . . . Many of them ask, ‘Why did none of you cry out?’” (79). He answers, by affirming the underestimation of “the natural human inclination toward conformism, which is always ready to be taken in by any type of deception”, typified in particular, by the question, “Does the Führer know about this?” (79).

The historical context is critical, and Gadamer underscores it, in a way that, in a sense, seems intended to carry the reader well beyond aporetic questions and beyond astonishment or perplexity. He insists that the strategy of explaining (away) Heidegger’s political errors by claiming that they “have nothing to do with his philosophy” is insulting; for after fifty years of reflection on “the reasons that disturbed us and separated us from Heidegger for many years” “we” cannot be astonished to hear that Heidegger had “‘believed’ in Hitler” (80).

It is important to note the register here, to note that Gadamer chose to write like this, in the appendix, which is in an important sense the last word in the volume. It is quite breathtaking- there is no obfuscation, confusion, equivocation, hesitation or evasion:

Heidegger was not a mere opportunist. His political engagement clearly did not have much to do with political reality. The dream of a “people’s religion” encompassed, in fact, his profound disillusionment at the course of events. But he secretly safeguarded this dream. This is the dream he believed he was pursuing during the years 1933–34, convinced that he was rigorously fulfilling his philosophical mission by attempting to revolutionize the university. It was to this end that he did everything that outraged us. For him it was a question of breaking the political influence of the church and the inertia of the academic mandarins. He even gave Ernst Jünger’s vision of “The Worker” a place alongside his own ideas on overcoming the tradition of metaphysics on the basis of being. Later, as is well known, he went so far as to speak of the end of philosophy. That was his revolution (80-81).

He then tackles, without obfuscation, confusion, equivocation, hesitation or evasion, the question of Heidegger’s responsibility:

Did he then feel no responsibility for the terrible consequences of Hitler’s seizure of power, the new barbarism, the Nuremberg laws, the terror, the blood spilled—and, finally, the indelible shame of the extermination camps? [The answer is a rigorous “no.” For that was the perverted revolution and not the great renewal arising from the spiritual and moral [sittlich] strength of the people, which he dreamed of and longed for as the preparation of a new religion of humanity.] (81)

Such writing demands thinking and reflection, and deliberation, of course, but to put it bluntly, after some fairly long-winded exchanges in the volume, it is bold and striking, like his pronouncements on Farias’ book (“very superficial”, “grotesque” in some senses, “overflows with ignorance”, and so on):

What was considered the world over as a radical step forward in thought, his confrontation [Auseinandersetzung] with the Greeks, with Hegel, and finally with Nietzsche, had all this suddenly become false? Or have we long since finished with all that? Or perhaps what we are being asked to do is definitively to renounce thinking. Watching anxiously from afar as Heidegger thus strayed into the cultural politics of the Reich, we sometimes thought of what happened to Plato at Syracuse. One of his Freiburg friends, seeing him in the tram after his departure from the rectorship, asked him, “Back from Syracuse?” (81)

He ends with a reminder, like Derrida and Lacoue-Labarthe, perhaps intentionally, about the “requirements of thinking”, but in a different key:

The requirements of thinking are not so easily eluded. Even those who were disturbed at the time by Heidegger’s political adventure and distanced themselves from him for many years would never have dared to deny the philosophical impetus with which he had not ceased to inspire them from the beginning. [Just as Heidegger in the 1920s did not create blind followers for himself, likewise one must find one’s own paths of thought, now more than ever.]

[Whoever believes that today one need no longer be concerned with Martin Heidegger has not taken the measure of how difficult it will always be for us to debate with him, instead of making oneself ridiculous by looking down on him with an air of superiority.] (82)

So, he reminds us, pointedly, in the closing paragraphs in the volume, of the (above all, philosophical) importance of finding not so much an aporia, but a euporia (a way for thinking, which is not mere questioning – that is, a “path” of one’s own), “now more than ever”; he reminds us of the, above all, philosophical importance of engaging critically without evading responsibility (for example, for naming the thing by its true name, “the reality of Nazism” in Heidegger’s thinking, without obfuscation, confusion, equivocation, hesitation and/or evasion).

If Derrida presents hypotheses which remain unjustified, tenuous or questionable, if he (somewhat ironically, it has to be said!) spends a considerable amount of time given to him improvising on improvisation, as well as on the short amount of time given to them (though his speech is the longest, by far!) and on aporetic considerations and performative problematizations, which are not always convincing, and if Lacoue-Labarthe is not entirely convincing on the question of just which “moment”, if any, is entirely suitable for the genesis of “real work” on this problem, Gadamer closes with a sobering, largely lucid and startlingly concise meditation on conformism, ideological indoctrination and resistance, complicity and “rupture”, and the authentic and difficult, but always necessary task of thinking.

Adam Y. Wells (Ed.): Phenomenologies of Scripture

Phenomenologies of Scripture Book Cover Phenomenologies of Scripture
Wells, Adam Y., editor
Fordham University Press
2017
Paperback $32.00
210

Reviewed by: Douglas Giles (University of Essex)

To consider the phenomenology of scripture is a challenging task, not only because it wades into religion, a subject area preloaded with emotions and identities, but because it wades into the tension between theological readings and scientific/historical readings of scriptural texts. The essays in Phenomenologies of Scripture, edited by Adam Y. Wells, seek to apply the unofficial model of phenomenology, “back to the things themselves,” to the study of scripture. Specifically, the application of phenomenology in this collection of essays aims “to shift the center of biblical studies from science to scripture itself.” (1) Wells states that “the phenomenology of scripture must begin with a radical openness to scripture, rigorously avoiding the temptation to declare at the outset what scripture can or must mean.” (7)

At first appearance, this sounds simple enough. Rather than prejudge what a scriptural passage means, we are open to the passage showing its meaning to us. However, a phenomenological openness to scripture is complicated—particularly the question of what we are bracketing off in our epoché. There are two challenges facing the authors in Phenomenologies of Scripture. One, how can any text, especially religious scripture, be understood apart from its social-historical context. Two, how can scripture be read without preconceptions about the truth of the religion itself? On the first challenge, to consider the text itself outside of its social context is artificial and perhaps prejudicial. There is a temptation within religion to consider scripture as having arrived inspired, if not dictated, by a divine source rather than from a social-historical context. It would be hypocritical to bracket off the social-historical context without also bracketing off the assumption that the text is the “Word of God” and thus outside of any worldly context. Scripture, even if divinely inspired, is a set of particular words in particular languages written down at particular times and places. To make sense of the gospel and epistles requires that we not bracket off consideration of ancient Greek language and Hellenistic cultural understandings if we are to make sense of the frequent allegories and word usages.

On the second, more profound challenge, a phenomenology of scripture must be open to the text itself without preconceived notions about the truth claims of the religion to which it belongs. Phenomenology does mean going back to the text itself, but one’s worldview cannot help but inform interpretation of the text’s meaning. There is frequently a prejudgment either for or against religion in the reading of any scriptural passage. The authors in Phenomenologies of Scripture are justifiably cautious about a scientific/historical approach to scripture because that methodology has at times been accompanied by prejudgments that religious beliefs are false. Unfortunately, several of these authors fail to apply the epoché equally, and accompanying their approach to scripture is a prejudgment that religious belief is true. Whether one has the belief that a religion is true or the belief that it is false, either belief will restrict one’s interpretation of what a scriptural passage can mean. A phenomenology of scripture must first and foremost cast off any prejudgments in favor of or against religion. A good phenomenologist considering a religious text would read a passage without requisitioning it to serve a premeditated agenda. He or she would openly consider both the text of the passage and the religious claims that inform the passage and the religious claims that are informed by the passage. Plus, the phenomenologist would offer insights to the text that are not restricted to those who already believe or already disbelieve. It is self-evident that hostility toward religion prejudices one’s reading of scripture, but it seems at cross-purposes with a phenomenology of scripture to declare at the outset that the bible fits within the doctrine of the church. Despite this, several authors in this book do just that.

Several of the authors in Phenomenologies of Scripture interpret the book’s task differently than how I have and are carving out a distinctly Christian phenomenology. Several of them make a solid case for such a methodology. Robyn Horner says, “A phenomenological reading is an attempt to bring to light; it should only bring a light to bear on a text in order to show what is given there.” (115) What is given in scripture is a message to the Christian community, so she also says, “I read here, as one who listens to the text in the context of the Christian community.” (115) Whether or not one agrees with that combination, Horner is phenomenologically consistent within her prejudgment of Christian truth by bracketing off prejudgments about the text’s meaning after accepting its Christian context. In her analysis of the gospel story of Jesus and the woman caught in adultery, Horner talks about the experience of Jesus within herself during reading the passage. There is a connection between reading of scripture and religious experience, and Horner is correct that religious phenomena are not to be a priori excluded as a possibility. (119) Her position is that religious phenomena described in scripture ultimately are to be explained theologically but that this still requires discrimination and discernment. (119-120)

Horner’s essay raises the question of whether, if we are to get the meaning out of the text, the reading of scripture is necessarily a religious or devotional act. It is legitimate to ask whether a purely neutral and objective reading of a scriptural text possible or even desirable. Jean-Louis Chrétien thinks not. (140-141) He argues that we are touched by certain passages in a characteristic way when they are powerful enough to speak to us, explaining that “The failures of a weak man before miniscule difficulties of everyday life do not move me in the same way as the shipwrecks of a strong man in great trials.” (128) Chrétien likens Paul’s Epistle to the Romans as a drama of “the manifestation and the revelation of evil as evil by means of the interdict pronounced by the law.” (131) The law in question is the Jewish Torah, and its role in the emerging Christian faith is a thorny theological issue for Paul. Any reading of Paul’s words in Romans must acknowledge that Paul’s words are an expression of one side within a theological dispute. The drama of the dispute can touch us either as neutral onlookers or as people invested in the outcome of the dispute, but these are decidedly different dramas. Chrétien states that the passage he analyzes in Romans is heavy with stakes of great consequence for the comprehension of Christian existence and that this is why he believes a purely neutral and objective approach is insufficient. This is true if we are invested in the dispute, not simply as Christians, but as Christians who believe that Paul’s position on the issue of Jewish law is relevant to our Christian existence. This certainly describes Chrétien’s position, and it informs his reading of Paul.

Horner and Chrétien apply phenomenology within the sphere of Christian hermeneutics with the aim of deepening the understanding of the meaning of Christianity. There is nothing wrong with such legitimate applications of the phenomenological method as long as the parameters are made clear. Phenomenologies of Scripture could be clearer on this point—that the essays are Christian phenomenology of Christian scripture. No viewpoints of phenomenologies of, for example, Buddhist or Islamic scriptures are offered, and Jewish scriptures are discussed only in terms of their inclusion in and relevance to the Christian faith. Also, what the book and its essays do not adequately address is the difference between a phenomenology of text and a phenomenology of God. This problem is seen clearly in Emmanuel Housset’s essay on Paul’s Epistle to the Ephesians (159-178) in which he focuses on the religious experience of God, and his phenomenological openness to the text is in service of that aim. He is completely honest about that, opening his essay with the following: “As a matter of methodological principle, an authentic phenomenology of religious experience should not place conditions on the manifestation of God, but should understand him only from his Word.” (159) One could take umbrage at these assumptions of God and scripture as violating phenomenology, but Housset correctly discerns that the common ground between phenomenology and scriptural study is humility: “phenomenology requires humble submission to the phenomena as they give themselves, endeavoring with the most possible rigor to avoid all theoretical or speculative bias.” (160) Like Chrétien, Housset stresses the importance of letting a passage affect you. For Housset, this affect is achieved through confrontation; but for Housset, the confrontation of one’s will is less with the text than it is with God. Housset’s position makes sense in that knowing someone, god or human, requires a confrontation that cannot be achieved through a detached viewpoint. This leads to the question of whether, in approaching any text, our confrontation is with the text or with its author. If one prejudges Christian scripture as being delivered by God, then it is easy to understand that ultimately the confrontation is with God and the aim is to be transfigured by the encounter. (161) Outside of this assumption and aim, it is less clear, and it remains an important question for the phenomenology of any text. Housset’s interesting mention of Heidegger’s idea of attunement to a text deserved a wider discussion.

That we are dealing with a specifically Christian phenomenology can be seen in Kevin Hart’s close analysis of the text Luke 15:11-32, which is commonly known as the story of the prodigal son. Hart’s phenomenological analysis of the parable is extensive and detailed but is largely a legal analysis of inheritance relations between the father and his sons. Hart is aware that the parable in Luke is not intended to be history—it is a story intended to teach a moral lesson—and the analysis of the parable needs to reflect that. Along that line of inquiry, Hart makes the good point that the narratives for both sons are unfinished because the story is a “parable of decision, one that offers eidetic possibilities that, structured according to a narrative, indicate that we should be more like the father than like either son.” (99) Hart has an agenda in his analysis, because he believes the parable shows that it has an agenda, which is to get readers to move from a worldly way of thinking to a divine one. He is honest about that agenda, acknowledging that Luke 15:11-32 has no revelatory claim on the nonbeliever, but for the believer, the Holy Spirit speaks through the text. (102) In this distinction, Hart confirms the concern I expressed earlier that a phenomenology of scripture offer insights into the text that are not restricted to those who already believe. For Hart, that means that the parable can be read strictly as a historical text by the nonbeliever, but although believers can learn a great deal from what the historians say about the text, historical reason is not sufficient in telling them what the text means. Hart argues that phenomenology makes no judgment about the rights and wrongs of belief or nonbelief and is neutral with respect to an individual’s choice to pass from nonbelief to belief in reading a scriptural text. (102-103) This seems an appropriate stance for phenomenology in general. Hart’s next step is to delineate what a Christian phenomenology could look like, using Jesus as an example. Jesus performs a phenomenological reduction in his telling of parables, Hart says, bracketing off everyday life and its worldly logic in order to lead the listener to a deeper place of divine logic. This “parable as the reduction from ‘world’ to ‘kingdom,’” strips the listener of worldly humanness and by means of this reduction tells us something of God who is pure love outside of all categories and rules. (103-105) This formula may not convince the nonbeliever, but, as Hart points out, phenomenology is neutral to each individual’s decision. I take this to be the boundary between a general phenomenology and a Christian phenomenology—that the latter can carve out this interpretive space with an additional reduction that brackets off the scientific/historical stance toward scripture. As Hart observes: “Where the historical-critical method forbids any passage from scripture to creed, phenomenology allows us to recognize that one vital element of the creed, the incarnation of God, is transcendentally supposed by Jesus’s relating of a parable of the kingdom.” (108)

Jeffrey Bloechel makes a similar distinction between a general scientific/historical phenomenology and a Christian phenomenology. His approach is to respond to Giorgio Agamben and Alain Badiou’s analysis of Paul’s epistles. Bloechel argues that neither Agamben nor Badiou addresses Paul as a theologian but instead as a source for conceptions of human freedom from containment within the political order. (144) Agamben and Badiou take into account only the structure, not the content, which leaves them with a reading devoid of everything Paul the author cares about and wants to communicate. In particular, Agamben and Badiou ignore Paul’s desire for there to be a community of faith united in the life of the spirit. (148) Because Agamben and Badiou conscript passages of Paul’s epistles in service of their own hermeneutical agenda, they miss the author Paul’s clear purpose in writing what he did. Bloechel argues that Paul’s central interest in his writings can emerge when we avoid the temptation to think of them first of all as political texts and attend instead to the imagery he uses of the community as a body, imagery that calls us to a conversion of our basic attitudes about and orientation to the world. (151) As nonbelievers, Bloechel says, Agamben and Badiou reduce the Christian message of Jesus to “only a single, momentous event, and not necessarily a unique one.” (156) What this shows, I think, is that regardless of whether Christianity is true, the Christian believer desevers the event of Jesus from the historical background and gives it significance in history, morality, and personal eschatology. Therefore, the meaning of Christian scripture has to be understood from within that mood of belief. Otherwise, our analysis discounts both the authors and the audience of scripture, without whom the enterprise of writing and reading have no meaning.

Jean-Yves Lacoste’s analysis of Matthew 5:38-48, the Sermon on the Mount, is a theological exegesis. Lacoste seeks to understand what Jesus’s words in the sermon show us about Jesus’s place in Judaism given his claims about Jewish law. (66) Lacoste applies the phenomenological method by bracketing off the assumption of Jesus as Messiah in reading the pericope. It is naively tempting, Lacoste says, to assume Jesus’s authoritative teaching on the Jewish law in the sermon is an assertion of messianic fulfillment, but Jesus never refers to himself as Messiah. (68) With this epoché, we can try better to understand Jesus’s commands to love our enemies and to be perfect as God is perfect. Lacoste’s Christian phenomenology informs his analysis of the “difficult logic” of the sermon. (86) His analysis comes full circle in leading him back to the conclusion that “the horizon opened by the commandments of the Sermon on the Mount and the Sermon on the Plain are perceptible only by the one who sees those commandments fulfilled in the person of the man who comes from God— the Son— and probably in him.” (84)

The remaining two essays lacked critical force. Robert Sokolowski does not focus on a particular passage but on the general importance of words. Words spoken about something introduce the thing to us, he says; they bring it to mind. (22) Writing differs from speech in that the speaker can be absent. (24) But there is a tangible speaker of the scriptures, and that is the Church. The Church as the speaker of the scriptures means the scriptures are not detached and isolated but are epitomized in the Church. (26-27) This need to understand the Church’s place as speaker of scripture is why Sokolowski rejects purely historical approaches to scripture, which incline one “to think, first, that scripture trumps tradition and, second, that history trumps scripture.” (37) Sokolowski does not give us a phenomenology, even a Christian one, but a doctrinal lesson about the importance of scripture as God’s Word. The contribution by Jean-Luc Marion is a lecture that discusses the nature of the gift. This lecture is not as lucid and insightful as Marion’s other papers on the phenomenology of the gift and givenness, and I was disappointed given his other excellent work on this subject. His essay’s connection with the book’s theme is the discussion of the story of Abraham’s confirmation (Genesis 22). Marion’s interpretation of the story is strained in his attempt to fit it into his larger philosophical concerns and is not as compelling as Kierkegaard’s analysis of the story in Fear and Trembling.

Having discussed the essays in Phenomenologies of Scripture, I now turn to the two responses to those essays in the book. One is by Dale B. Martin, whose main issue with the essays is the authors’ lack of acknowledgment of interpretive agency. The reader is the interpreter of the text, and Martin takes Marion and Sokolowski to task for eclipsing the agency of the interpreter with their predetermined “this is the way things are” arguments. (191-192) I agree with Martin that most of the essays in this book hold that it is the words that do the work. This sounds good at first until you realize that it leaves out both the authors and the readers. It is a mistake if phenomenology assumes that “phenomena and words and texts simply have their meaning in themselves and just present that to us [and that] readers are passive receptors, not agents in meaning-making.” (192) Martin argues that just as objects are for us as they are interpreted by us and other human beings (emphasis his), texts cannot speak for themselves; they must be interpreted by us. Rather than putting the agency in scripture, Martin says, we need to put the agency where it belongs—with us human beings. (194) Martin praises Horner and Chrétien for giving appropriate attention to the agency of the reader as interpreter and maker of meaning and including in their phenomenology that the meaning of a text arrives only from the interpretive activities of the readers. (195-196) This is important, Martin says, because “we can have different meanings of the text, and many of them, all at the same time, interpreting differently for different ends and needs.” (196) Again, I heartily agree. If a text is designated as an object that tells us what it means, then it is not alive for readers and is more useful for the suppression of ideas than for generating and communicating them.

The other response is by Walter Brueggemann who proposes the approach to scripture of probing the thickness of the text to go beyond the obvious meaning. (180) In seeking to understand a text, he says, we are seeking to understand the culture that surrounded it and gave birth to it. To be open to this understanding, we must avoid what Brueggemann calls “totalism.” Brueggemann rebukes three types of totalism: church doctrine that occupied scripture to its own advantage and reduced biblical narrative to propositions that could become a test of membership; enlightenment rationality that has “largely explained away what is interesting, compelling, and embarrassing in the text”; and late capitalism’s reduction of narrative to medical prescriptions promising quick technical fixes to all human problems. (182) Brueggemann’s prescription to cure totalism is not to read scripture from the place of religious orthodoxy that resists any readings that conflict with the interests of ecclesiastical certitude or from the place of the modernist academy that resists any readings that conflict with the interests of reducing religion to a human sociopsychological projection. (186) When we move beyond the thinness of the conventional expectations of totalism, we dwell in thickness—the deeply coded cultural articulations and performances that are understood only by insiders. The reader must take up residence in the text and wait there, listening beyond what is given in the letter of the text. In thickness we can consider and accept interpretations of text that are clearly not acceptable in the surface observations of totalisms. For example, Brueggemann mentions the current interest, by both church and modern interpreters, to explain away the violence in the Bible, but the violence clearly belongs in the narrative because it is part of the cultural understanding of the culture from which the Bible emerged. We need to follow the story, not explain it away. Another example is being able to recognize messianic time in texts, meaning that the reading of the text is not settled in the present tense that is authorized by totalism but is instead always open to new possibilities. Being open to the possibilities in thickness are, Brueggemann says, a courageous response to today’s hurried productive society that does not want to dwell in any way that requires waiting because all meanings are known ahead of time. (181)

Maybe not all phenomenologies are courageous countercultural acts, as Brueggemann implies, but Phenomenologies of Scripture is going against the grain. The essays in the book are of more value to scholars of biblical interpretation than to those outside that discipline, but both biblical scholars and phenomenologists will find valuable approaches and ideas in these essays.

Literature:

Wells, Adam Y., ed. 2017. Phenomenologies of Scripture. New York: Fordham University Press.

 

Silvia Benso: Viva Voce: Conversations with Italian Philosophers

Viva Voce: Conversations with Italian Philosophers Book Cover Viva Voce: Conversations with Italian Philosophers
SUNY series in Contemporary Italian Philosophy
Silvia Benso
SUNY Press
2017
Paperback $25.95
318

Reviewed by: Flaminia Incecchi (St. Andrews University)

In recent years there has been a palpable growth of interest in Italian thought. Perhaps, one could claim that the popularity of thinkers such as Giorgio Agamben, Gianni Vattimo, and (more recently) Adriana Cavarero, has invited the Anglophone gaze towards the Italian intellectual panorama. The scholarship’s focus has been twofold: on the conceptual roots of the Italian philosophical tradition, as well as its contemporary trends. As far as the first segment is concerned, a number of works are worth mentioning: Giorgio Pinton’s translation of Eugenio Garin’s History of Italian Philosophy (2008) — a monumental guide which in two volumes covers Italian thinkers from Boethius to Emanuele Severino; Zakiya Hanafi’s translation of Roberto Esposito’s ‘The Return of Italian Philosophy’ (2009), a short piece that aims at tracing parallels between contemporary debates in continental philosophy — biopolitics among those — and the Italian philosophical tradition; Rocco Rubini’s The Other Renaissance: Italian Humanism between Hegel and Heidegger (2012), a lucid and erudite exploration of the reaction of Italian intellectuals to the Renaissance, analysing how and why Italian thinkers have historically experienced a sense of ‘Renaissance shame’; Brian and Rebecca Copenhaver’s From Kant to Croce: Modern Philosophy in Italy 1800-1950 (2012), in which the authors offer several translations of some thinkers who were previously unknown and unaccessible to Anglophone readers. The range covered by the book quite impressive, extending from severely understudied figures such as Pasquale Galluppi and Bertrando Spaventa, but also covering Benedetto Croce and Antonio Gramsci.

The other front on which the scholarship is growing steadily was inaugurated by Giovanna Borradori, with Recoding Metaphysics: The New Italian Philosophy (1988), a collection of essays by high profile Italian thinkers, such as Umberto Eco, Gianni Vattimo, and Emanuele Severino. Today, the translation of Roberto Esposito’s Living Thought: Origins and Actuality of Italian Philosophy (2012), as well as the forthcoming Journal of Italian Philosophy, make access to the Italian intellectual front easier than ever before. That said, the medium through which Anglophone readers can gain familiarity with contemporary Italian thought, is SUNY’s excellent book series in Contemporary Italian Philosophy (2007 — ) edited by Silvia Benso and Brian Schroeder, of which Viva Voce: Conversations with Italian Philosophers is a part of. The series features several translations from the Italian. Among them, Luigi Payerson’s Truth and Interpretation (2013), Carlo Sini’s Ethics of Writing (2009), and Gianni Vattimo’s Weak Thought (2012), just to name a few. The first book in the series, Contemporary Italian Philosophy (2007) is a collection of essays written by leading Italian philosophers, which in Benso’s words “added some new Italian voices to the continental philosophical tradition as known in the English-speaking countries, that is, a tradition deeply focused on French and German contributions” (Benso: 2017:1).

The aim of Viva Voce: Conversations with Italian Philosophers is in close conversation with, if not a continuation of, the project begun by Benso and Schroeder in 2007 with Contemporary Italian Philosophy. Similarly, Viva Voce presents readers a snapshot over the work of twenty-three contemporary Italian thinkers working within different fields of philosophy, both in the continental and the analytic tradition. Thus, Viva Voce furthers the scope of perspectives it wishes to introduce to the Anglophone world in bringing Italian analytic voices to the fore — an element that was absent in Contemporary Italian Philosophy, which was dealing with the continental tradition specifically. Benso writes:

“Despite the recent increase in attention and recognition paid to contemporary Italian philosophy, a volume that provides a contextualisation — that is, a tracing of the general interconnections, threads, and fabrics that nourish the emergence of contemporary Italian thinkers in their magnificent individualities and enable them to be the thresholds … is still missing from the Anglo-American philosophical landscape. Albeit in a minimalist format, the goal of the present volume is precisely to work toward filling of minimising such a lack” (Benso: 2016:9).

Viva Voce pledges no thematic allegiance. Therefore, it does not come as a surprise that the thinkers interviewed have different philosophical orientations, and work within different areas of the philosophical landscape. For navigation purposes, Benso has grouped thinkers along six thematic lines: (1) Ethics, Passions, Practices: Remo Bodei, Eugenio Lecaldano, Salvatore Natoli, Carlo Sini, Carmelo Vigna; (2) History, Justice, Communities: Adriana Cavarero, Giacomo Marramao, Fulvio Tessitore, Gianni Vattimo, Salvatore Vacca; (3) Imagination, Art, Technology: Mario Costa, Sergio Givone, Mario Perniola; (4) Rationality, Sciences, Experience: Evandro Agazzi, Giulio Giorello, Paolo Parrini; (5) Being, Nothing, Temporality, Place: Enrico Berti, Virgilio Melchiorre, Ugo Perone, Emanuele Severino, Vincenzo Vitiello; (6) Human Beings, Evil and Transcendence: Giovanni Ferretti, Giuseppe Riconda. Having excluded the thematic selection, the criteria informing the array of thinkers is marked by two principal factors: the “theoretical vigour that thinkers have displayed in terms of making meaningful and lasting contributions to the Italian philosophical landscape” (Benso: 2016:9), and that all were born before 1948. As the title suggests, the book format is highly innovative. Thinkers recount themselves in their own terms by answering a set of questions Benso posed over email. The motivation behind such stylistic choice is explained by Benso in the following way:

“the practices of historicism, hermeneutics, and deconstruction have taught us how all historical accounts bespeak the perspective of the narrator. In light of such considerations, it has been the more modest choice of this editor to let the story be told not by a grand narrative but by those who, through their scholarly writings as well as their academic lectures, public conferences, and performances of various kinds, have contributed to delineate such a history. Thus, the format of the interview as been chosen as the most appropriate mode of narration for the volume.” (Benso: 2016:7)

The questions are formulated adopting a “zoom-in/zoom-out technique” (Benso: 2016:8). The result is an interesting temporal movement: the first set of question asks the author about their intellectual past, in terms of their provenance, as well as the external influences and traditions they subscribed to; the second set is geared towards the present of the thinker as they envisage it, here they are asked to outline the basic tenets of their philosophical positions, the originality of their contributions, and the timelessness thereof; finally, thinkers are asked to voice their opinion about the future of philosophy given the current world, as well as offering some conclusive thoughts for philosophers and non-philosophers alike. As Benso puts it:

“The interviews follow a three-step cadence. First, they star with more general questions that address issues of provenance, external (domestic and foreign) influences, and lineages. Next, they move to a self-description offered by each interviewed philosopher and aimed at highlighting the main tenets, theoretical originality, and timeliness of each individual position. Finally, the interviews dare to glance toward the future by asking for possible ways, suggestions, and advice through which philosophy can contribute to the delineation of such a future” (Benso: 2016:8).

In the Introduction: ‘Italian Philosophy — Threshold between Cultures’, Benso raises the issue of consonance between nationality and philosophy as a potential problematic, she notes: “One question that lurks behind the denomination ‘Italian thinkers’ is, understandably, the appropriateness or even desirability of framing philosophy within national borders and identities” (Benso: 2016:2). Benso escapes the impasse by referring to the notion of geographical specificity which entails a particular “socio-politcal-economic-historic-cultural landscape” and in virtue of these factors, “Italian philosophy retains its own specificity and individuality — its own uniqueness and difference” (Benso: 2016:3). Although Benso raises a valid point by appealing to the notion of specificity, it is this reviewer’s belief that the Introduction would have acquired a greater depth had the author addressed the contested nature of Italian philosophy, from Italian philosopher’s own perspectives. The history of Italian philosophy is constellated by thinkers reflecting on the link between philosophy and national borders in two interconnected ways: the very validity of ascribing a national qualifier to philosophy, and the nature of Italian philosophy as such. Perhaps the most explicit debate in this direction was Luigi Palmieri and Bertrando Spaventa’s post-Risorgimento tête-à-tête, where the former insisted on the national character of philosophy, and the latter on its universal nature, which by definition excludes the question of nationality. Thus, integrating the question of national philosophy with the testament from Italy’s own past of contestation, would have given Anglophone readers an even deeper grasp of the Italian difference, and exorcised Benso’s veiled, but nonetheless present, fear of ‘nationalism’:

“There is an Italian language and thus an Italian literature, philosophy, and culture based on such a language much earlier than Italy becomes a sovereign state in the modern sense. In this sense, Italian philosophy as a cultural event based on language precedes the formation of all possibilities of an Italian nationalism based on geographical borders. Being Italian is a cultural event ahead of all belonging to a territory, a soil, a nation (or even a blood lineage).” (Benso: 2016:5-6).

On a related note, Benso underlines another significant aspect of Italian thought connected with its interaction with the ‘foreign’ philosophical world, namely, that of porosity. Ascribing to Dante the merit highlighting this characteristic of Italian philosophy, Benso notes: “a fundamental aspect of Italian philosophy has nevertheless to do with a peculiar penetrability, permeability, and fluidity with respect to the possibility of infiltration by foreign elements — in the specific, the influence of non-Italian philosophies and thinkers on the Italian philosophical landscape” (Benso: 2016:4). Further on Benso elaborates the notion of porosity, and describes the Italian philosophical model as “osmotic”, in the sense that it resembles:

“An alchemist’s or magician’s laboratory where experiments of fusions, amalgams, and transformations happen and new configurations are creates as a result. To be an Italian philosopher might precisely mean to be such an alchemic, magic, perhaps kaleidoscopic threshold — an opening and a door onto the outside through which inside and outside enter in contact, communicate, and open up to new visions rather than a gate that ultimately defensively closes on itself in a nationalistic move” (Benso: 2016:6-7).

Through the interviews, readers learn about the turbulent philosophical climate of post-war Italy. The demise of Fascism brought Idealism along with it, and most thinkers interviewed reflect on the opening frontiers of the philosophical horizon after decades of idealist ‘hegemony’. This is nicely put by Vattimo, as he reflects on his university experience begun in 1941: “those were the years just after the post-World War II reconstruction. They were also the years after Fascism. A common idea was the need to get out of the cultural isolation Fascism created. That meant no more focusing on Croce and Gentile, no more idealism […]” (Benso: 2016:108). The voluntary act of forgetting Idealism lead to an exponential interest in ‘imported ideas’, in engagement with outlooks that had been developed and circulated abroad while Italy was preoccupied with its own philosophy. From existentialism to analytic philosophy, new currents of thought started occupying the minds of young Italian intellectuals. An emblematic testimony of the scarce appeal of Idealism on the new generation of Italian intellectuals is that of the interviewed. Among them, only Enrico Berti (Benso: 2016:203) and Emanuele Severino (Benso: 2016:234) list Gentile among their influences. The case of the Italian post-War philosophical climate was that of a nascent pluriverse, a fertile soil where imported ideas mixed and grew following unpredictable way, much like what Benso describes as the ‘osmotic’ model of Italian thought. Of course Viva Voce cannot by definition be an all-encompassing collection, but it serves as a good indicator of the heterogeneity of philosophical orientations Italy opened up to, the variety of fields those interviewed are active in is remarkable: from feminism (Adriana Cavarero), to the aesthetics of communication and the technological sublime (Mario Costa), to Historismus (Fulvio Tessitore), the philosophy of logic, mathematics, and empirical sciences (Evandro Agazzi), just to name a few. The very diversity of schools of thought and areas of enquiry, makes it almost daunting to find a fil rouge binding the thinkers, which leads to a further difficulty: what constitutes the Italian difference? It is this reviewer’s modest opinion, that its essence is not so much rooted in content, but in methodology. What thinkers share is the approach to the discipline: the degree of philological attention and detail, which instead of suffocating their philosophical voice, makes it all the more alluring.

Overall, Benso’s Viva Voce makes an elegant contribution to the growing field of Italian thought in a number of ways. Firstly, it widens the horizon of the discipline by presenting new voices and perspectives previously unknown to the Anglophone world. Secondly, in doing so and by adopting the format it does, readers get a vivid picture of post-war philosophical climate in Italy, characterised by its reaction to Idealism as well as the profound cleavage between secular and Catholic thinkers. Thirdly, that Benso does not comment the interviews either at the beginning or at the end of the work, which amplifies the feeling of ‘encounter’ the reader experiences with the interviewed. That also leaves it at the discretion of the reader to form an opinion of the contested Italian difference, as well as identifying possible synergies between those interviewed and thinkers of the reader’s own tradition. Aside from contributing to the spread of Italian thought, Benso’s work also opens a wide array of possibilities for scholarship more generally. That those interviewed are relatively unknown in the Anglophone world, coupled with the dialogical structure of Benso’s book allows a self-presentation on the thinkers’s past that is a sort of mis a nu, quite befitting considering that the audience is not acquainted with them. This presentation style might be an interesting format for future works with a similar aim.

References:

Benso, Silvia. Viva Voce: Conversations with Italian Philosophers. New York: State University of New York Press. 2017. Print.

Benso, Silvia, and Schroeder, Brian. Contemporary Italian Philosophy: Crossing the Borders of Ethics, Politics, and Religion. New York: State University of New York Press. 2007. Print.

Borradori, Giovanna. «Recoding Metaphysics.» Recoding Metaphysics: The New Italian Philosophy. Ed. Borradori, Giovanna. Evanston, IL: Northwestern University Press, 1988. 1 — 26. Print.

Copenhaver, Brian., and Rebecca. Copenhaver. From Kant to Croce: Modern Philosophy in Italy 1800-1950. Toronto, Buffalo, London: University of Toronto Press, 2012. Print.

Esposito, Roberto. Living Thought: The Origins and Actuality of Italian Philosophy. Pensiero vivente: Origine e attualità della filosofia italiana. Trans. Hanafi, Zakiya. Cultural Memory in the Present. Ed. Vries, Mieke Bal and Hent de. Stanford, California: Stanford University Press, 2012. Print.

—. «The Return of Italian Philosophy (translated by Zakiya Hanafi).» Diacritics 39.3 (2009): 55 — 61. Print.

Garin, Eugenio. History of Italian Philosophy. Trans. Pinton, Giorgio. Vol. II: From Enlightenment to Risorgimento. II vols. Amsterdam: Rodopi, 2008. Print.
—. History of Italian Philosophy. Trans. Pinton, Giorgio. Vol. I. II vols. Amsterdam: Rodopi, 2008. Print.

Rubini, Rocco. The Other Renaissance: Italian Humanism between Hegel and Heidegger. Chicago: University of Chicago Press, 2014. Print.

 

Mark Rowlands: Memory and the Self: Phenomenology, Science and Autobiography

Memory and the Self: Phenomenology, Science and Autobiography Book Cover Memory and the Self: Phenomenology, Science and Autobiography
Mark Rowlands
Oxford University Press
2016
Hardback £41.49
224

Reviewed by: Marina Trakas (Académie de Caen)

Memory and the Self (2017), authored by Mark Rowlands, is a fascinating book that has all the qualities of good philosophical writing. It deals with a topic, memory, that has not received too much attention in philosophy of mind. It inquires about specific issues of memory that have received no attention at all, and it makes use of ideas from different philosophical traditions. Additionally it appeals to a various range of arguments, including experimental and introspective evidence to justify his claims. What is more, this delicious “combo” for the mind comes in a lucid and elegant prose, extremely clear and fluid, even for non-professional philosophers—and also for non-native English speakers— which at times achieves a literary style characteristic of fiction authors; a style that nowadays has unfortunately become more and more rare in academic philosophical writing.

The main aim of Rowland’s book is to give a better account of the key role played by memories in the constitution of personal identity and the explanation of the unity of a person. Probably the reader is familiar with the psychological-continuity views of personal identity that privileges memory as the essential factor for personhood: as Locke (1690) explained, as long as an individual possesses memories, the one remembering and the one remembered are the same person. Nonetheless, this quite intuitive conceptualization of personal identity presents some problems widely known in philosophical literature, such as the problem of circularity: how can memory explain personal identity if it presupposes personal identity? Besides these more metaphysical questions that go beyond the scope of the book, there are other common sense considerations that cast doubt on the explanatory role of the memory criterion for accounting for personal identity. The anthropologist Jannelle Taylor, writing about his mother who developed dementia, considers that despite the massive loss of memories and “all the changes she has been through, my mother ‘still’ is in many ways the cheerful affectionate person I have always known her to be. Mom still enjoys gentle joking and teasing, as she always has. She still enjoys being around people, still beams radiantly at small children when she sees them, still enjoys the give and take of conversation.” (2008, p. 316). Rowlands is of the same opinion as Taylor: regardless of the Alzheimer of Patsy Hasset, his wife’s grandfather, he felt that Patsy was still there, not simply as a human being or a biological organism, but as a person, as a psychological entity with some defining personality traits. And in fact, this opinion seems to be shared by most of us: according to an empirical study done by Jesse Prinz and Shaun Nichols (2016), people in general consider that the loss of memories does not threaten the identity of a person, in comparison with a change of moral values that is considered to have a devastating impact on it.

So our ordinary understanding of the basis of the continuity and unity of our identity over time gives us two ideas that in principle are contradictory. On the one hand, we think that the loss of memories of past experiences does not undermine personal identity; but on the other hand, we also have the intuition that memories play a certain important role in making us who we are. In Memory and the Self, Rowlands provides a clever, original—and also poetic—response that makes these two ideas compatible: memory makes us who we are even if, like Patsy Hasset, we have lost our memories, because memories of past experiences can persist and continue to shape our personhood when these past experiences have been forgotten, that is, when the content of our memories has disappeared. Rowlands calls “Rilkean memories” these mutated memories that do not have content. The origin of the name is due to the inspiration drawn from a passage of the only novel written by Rainer Maria Rilke that makes reference to memories that have been forgotten and are thus “nameless” but return in a new form: “they have changed into our very blood into glance and gesture, and are nameless, no longer to be distinguished from ourselves” (Rowlands, 2017, p. 53). As we shall see later, Rilkean memories refer to behavioural and bodily dispositions, feelings, moods and sensations, which have arisen from episodic memories but which have lost their contents and have become pure mental acts.

The characterisation of Rilkean memories and the investigation of its role in the construction and continuity of personal identity over time led Rowlands to accomplish another important task: to reconfigure our understanding of the structure of memory. Whereas a traditional analytical philosopher understands a memory as a mental representation with a tripartite structure composed of an act, an object and a mode of presentation, Rowlands proposes a four-constituent model of memory, in which (a) the act of remembering is of fundamental importance to understand the structure of a memory experience; (b) the intentional object, that is, the episode remembered (that exists independently of the act of remembering), is different from the content of a memory; and (c) the act, the content and the mode of presentation are conceptually distinguishable but inseparable: the content of a memory exists when the act of remembering operates certain transformations on the episode remembered and presents it in a certain mode. The mineness is one essential mode in which the episode remembered is presented, and this is what explains the undeniable presence of the self in every memory of our past experiences.

Therefore, a novel explanation of the way that memories make us who we are as well as a novel explanation of the structure of memory are the two major accomplishments that Rowlands intends to achieve in Memory and the Self. It remains to be seen (and evaluated) how the author develops these explanations through his book and how both of them are linked together.

Phenomenology, and the autobiographical self

But first, a remark about Rowlands’ methodology. Rowlands’ writings have been widely influenced by the phenomenological tradition, and this book is not an exception.

On one hand, Rowlands remarks (chapter 1) that whereas analytical philosophy and cognitive science have always privileged the mental content over the mental act to account for cognitive states, the phenomenological tradition has done exactly the contrary: it has privileged the study of mental acts as acts without objectifying them, in order to understand the preconditions of our experiences. Mental content, appearences in phenomenological terms, are only studied to get to the act. And this phenomenological method is exactly what Rowlands adopts: he begins with general intuitive ideas of the type of “memories makes us who we are although their lost does not undermine personal identity”, and “there are some behaviours and moods that connect the person to his past and that are thus relevant to the continuity of identity through time”, ideas that could be understood as appearences, and then he works backwards from them in order to identify the features of the act of remembering in virtue of which memories, behaviours and moods, can appear this way. Rowlands considers essential the recovery and privileged role of the act of remembering in order to understand memory, develop a workable conception of memory content and make sense of the idea that memories make us who we are.

On the other hand, Rowlands makes another use of the phenomenological method to delineate his conceptualization of the notion of self. Whereas in philosophy most concerns about the self are part of a metaphysical project that tries to understand the nature of personhood, its essential properties, its persistence through time, etc., Rowlands proposes to bracket these metaphysical questions and examine the way the self presents itself to us. If someone asks us how we would define our own self, we would probably answer her by describing our beliefs about ourselves, our values, our attitudes, our desires, etc. This description would probably be different if we were asked the same question at a different time. The idea that there are multiple selves and that each of them refers to a particular configuration of our self-knowledge at a particular time is not new. In psychology, this is a common conception of a self. The psychologist Martin Conway, for example, considers that the self refers to conceptual self-structures that are not temporally specified, such as self-schemas, self-scripts, possible selves, self-images, self-with-other units, relational schemas, attitudes, values and other self-beliefs (2005, 2009). These configurations of abstract self-knowledge, that Conway calls “the conceptual self”, are formed and ultimately grounded in episodic memories of specific experiences, and can change through time. This conception of the self constitutes a good workable notion—and a good strategy—that allows any theorist to make use of a notion of self and at the same time to set aside all the metaphysical questions related to the self (that would require an entirely different kind of research). I used it myself for this purpose. I considered that the different selves (past selves, present self, future selves) are just many and different configurations of self-knowledge, different conceptual selves in Conway’s terminology, that constitute parts of the same human being who perdures through time (Trakas, 2014, pp. 131-132). Nonetheless, Rowlands goes beyond this idea and supposes that there is a self that transcends these empirical and multiple configurations of the self. He defines this self, called “autobiographical self”, as the principles of the network of these concrete episodes of self-understanding; their laws of appearance. I have trouble understanding how this notion of autobiographical self, which is in certain way a sort of Kantian self, and thus a transcendental self, can explain the unity of the self and its distinctness from other selves (Rowlands, 2017, p. 84) without being similar to the notion of metaphysical self. I think that the practical solution to avoid a metaphysical inquiry, would be to just state (as I did) that these episodes of self-understanding or configurations of self-knowledge constitute parts of the same human being, and that they are interconnected between them because the physical continuity of the human being assures some degree of psychological continuity. This strategy does not suggest, as Rowlands does, that the principle or structure from which all the different episodes of understanding emerge is itself a self. Rowlands should have said more about the autobiographical self to prevent their readers from thinking that he is actually engaged in a metaphysical explanation of the self (even if he explicitly denies it).

Maybe Rowlands introduced this unitary notion of self in order to account for the unfolding characteristic of memory between a self who remembers what a former self experienced. Rowlands mentions the two “selves” involved in memory while discussing the differences between the notions of autobiographical self and narrative self. According to Rowlands, the autobiographical self is not the same as the narrative self and entirely rescinds from the question of whether the self has a narrative structure (Rowlands, 2017, pp. 85-87). Nonetheless, the autobiographical self is compatible with narrative accounts of self-understanding that conceive that the self who remembers adopts the position of narrator with respect to the self that originally experienced. Rowlands calls them R-self and W-self respectively. Both of them are conceptually distinguishable but not ultimately separable, because both of them—the self that is written and the self who reads what is written—form the autobiographical self. But once again, we do not need to suppose a transcendental self to explain the essential unfolding of the self that characterizes memory. Neither do we need to understand this unfolding of the self in narrative terms. We can forget about narrative and about any transcendental conception of the self, and simply state that a present self, that is nothing more than a particular configuration of self-knowledge at a given time, can have access to previous selves and their experiences because they all belong to the same human being. The numerical continuity and the degree of psychological continuity implied in the fact of belonging to the same human being would guarantee the access (to some extent) to past configurations of self-knowledge and past experiences, and thus the unfolding of the self and the possibility of self-reflection through time that are characteristic of memory.

Rilkean memories (and episodic and autobiographical memories)

The disquisition about the nature of the self implied in the claim that “memories make us who we are” is not presented at the beginning of the book but in chapter 4. After a first chapter that constitutes a condensed summary of all the ideas developed in the book—which deserves a second reading after finishing the book, in order to get a better picture of the whole—, the next two chapters (2 and 3) are focused on the characterization of Rilkean memories.

Rowlands does not intend to directly prove the existence of Rilkean memories: “Rilkean memories are theoretical posits whose existential credentials will be established by the sort of explanatory work they do” (Rowlands, 2017, p. 55). But further on: “if they are to play an explanatory role of certain sort [explaining how memories make us who we are], they must have certain features”.  In a certain way, Rowlands forces the readers to accept the existence of Rilkean memories: how will the explanatory work they do establish their existence if their characterization is conceived in a way that they could successfully accomplish this explanatory work? In any case, this tricky argument is not so relevant; readers avid of understanding embodied and affective phenomena neglected in cognitive science and philosophy of mind, will become immediately sympathetic to the idea of Rilkean memories.

Furthermore, there are examples of Rilkean memories in literature and poetry, and it is also easy to think of everyday cases. Embodied Rilkean memories refer to patterns of behavioural as well as bodily dispositions inscribed in the body that originated in the past: a curvature of the spine and a consequent back pain that originated in successive episodes of bad posture while writing as a child, a tendency to talk in a very loud voice during a normal conversation originated in successive episodes of conversation with parents who speak too loudly, are (personal) examples of embodied Rilkean memories. Affective Rilkean memories make reference to sensations, feelings and moods strongly environmentally embedded, which have a very low probability of occurring without the requisite environment. The famous episode of la madeleine de Proust, the nostalgia that arises when walking around our hometown left a long time ago, are cases of Rilkean affective memories. These behaviours, bodily dispositions, moods, feelings and sensations can appear when the initial episodic memories have vanished, can coexist with them, or can exist shortly before the onset of them (like Proust’s madeleine).

Rilkean memories can exclusively arise from memories that are person specific in order to play a role in the constitution of the person and, as Rowlands argues, only episodic memories are sufficiently specific to their subject. The same procedural memories, semantic memories, even semantic autobiographical memories, could be in principle possessed by two different people. So Rilkean memories, Rowlands concludes, can only arise from episodic memories.

While reflecting on the characterization of Rilkean memories, Rowlands introduces a new and original conceptualization of episodic memory. Episodic memories are neither memories of episodes—this will render them indistinguishable from some semantic memories that are also memories of episodes—nor memories of experiences—this will entail the falseness of most of our memories due to the fact that memory’s visual, emotional and evaluative perspectives can and often change over time. Episodic memories cannot either be understood as an adverbial modification of the act of remembering: relocating the experiential qualities of episodic memory to the act of remembering threatens the distinction between episodic memory and semantic memory (I can remember a fact angrily) and cannot explain the contradictory experiential qualities that may exist between the act of remembering and what is remembered (I can remember with joy a sad episode). According to Rowlands, episodic memories are best defined as memories of an episode that is subsumed under a specific mode of presentation: beside the rich experiential-emotional complexes that are characteristic of episodic memories, what is essential to the mode of presentation of episodic memories is that the episode remembered is remembered as one that has formerly witnessed, orchestrated or otherwise encountered by the rememberer, and that this “as” is built into the content of the memory (and not on the act of remembering).

I am quite sympathetic to both ideas: that Rilkean memories arise from episodic memories and that the self-involvement or the presence of the self in the content of memories is what makes memories episodic. Nonetheless, I have some doubts about the effectiveness of Rowlands’ arguments. First of all, he dismisses semantic autobiographical memories as a starting point of Rilkean memories because even if unlikely, it is perfectly conceivable that two different people could possess the same semantic autobiographical memories and have forgotten the other ones that would distinguish one person from the other. So because this situation is possible, semantic autobiographical memories are not considered to be sufficiently specific to the subject. The problem with the use of this kind of hypothetical scenario is that we could easily conceive of a similar scenario about episodic memories and thus come to the conclusion that episodic memories are not sufficiently specific. We could think about identical twins—who in general have a significant amount of experiences in common—who exclusively remember the episodes experienced together. In this hypothetical case, episodic memories would not be sufficiently specific to distinguish the two identical twins. This scenario is as unlikely but as possible as the scenario concerning semantic autobiographical memories, especially when we take into consideration that a lot of semantic autobiographical memories are the result of a process of semantization of episodic memories over time (Piolino, & al., 2009). In the hypothetical episodic memory scenario, what would be sufficiently person specific and would allow us to distinguish the identical twins is not the fact that these episodes are remembered as formerly witnessed, orchestrated or encountered by the rememberer, but the fact that they are remembered as episodes that formerly affected the rememberer in terms of harms, benefits, morality or self-image, and that this affection of the event—which is person specific—is part of the content of the memory (see Trakas, 2014). There is less unlikely that identical twins could only remember the events that both have witnessed, orchestrated and encountered, than they could remember these same events under the same affective tone. And this remark leads me to the second point I wanted to make concerning Rowlands’ conceptualization of episodic memory. Episodic memory is a controversial notion, very much used in psychological research, but not very well defined. Endel Tulving, the “father” of the distinction between episodic and semantic memory systems, has defined episodic memory first in terms of its content, then in terms of its phenomenology (which arise out of its mode; see for example McCormack, 2001), but in certain way the debate has just started, with the growing interest that this notion has aroused in the philosophical community in recent years. The point that Rowlands makes about the specificity of episodic memory indubitably marks a novel way of thinking about the nature of episodic memory that is very promising. But it needs further development. Semantic autobiographical memories that are originated from a process of semantization of episodic memories (very characteristic of older adults), differ from episodic memories at least in the neural substrates and mechanisms and in their phenomenology, but they are also remembered as episodes formerly witnessed, orchestrated or encountered by the rememberer. I previously suggested that in an episodic memory we remember episodes (or people, or places, etc.) as episodes that affected me in a specific way (or that stills affect me), and it is through this affection that the self is present in the content of memory. This affection can explicitly be attended to as the intentional object of my memory, or we can be aware of it in a pre-attentive or pre-reflective way; it can take the form of interoceptive bodily sensations, action tendencies or language, and it can refer to a past affection or to a present and occurrent one. According to my view, it is this affection that makes of memories episodic memories—and that is at the origin of the metacognitive phenomenology that is characteristic of episodic memory—and it is this affection that makes of my episodic memories uniquely mine. More should be explored in this line, because it clearly seems that the presence of the self is an excellent alternative to the current views to characterize the specificity of episodic memory.

In chapter 8, Rowlands argues that the presence of the self is a necessary and sufficient condition for a memory to count as an episodic. I have tried to explain before, through the example of semantic autobiographical memories that are the product of a process of semantization of episodic memories, why the presence of the self characterized as a mode of presentation where the episode is remembered as one that the rememberer has formerly witnessed, orchestrated or otherwise encountered, does not seem sufficient for a memory to qualify as episodic. Nonetheless, the arguments that Rowlands presents to defend the necessity of the presence of the self in an episodic memory are very convincing. First, we could think that the presence of the self is not necessary because non-human animals have episodic memories but neither engage in self-reflective thought nor have a self-concept. Rowlands argues that none of them is necessary for the self to be present in a memory, and that a feeling of familiarity could perfectly account for it. In fact, the thesis that non-human animals have episodic memories is quite controversial, and Rowlands should have mentioned it to reinforce his point. It could have also been argued that the semantic / episodic distinction is also present in non-humans animals, but that its characterization is slightly different from one proper to human animals (and this makes sense considering the importance of the influence of human language in the phylogenetic development of our cognitive capabilities). Second, the case of a patient named RB (mentioned by Klein & Nichols, 2012), who seems to have episodic memories that do not present a sense of ownership, could also be used as a counterexample of the necessity of the presence of the self in episodic memories. But it is not the case: or this is an example of attenuation and not of loss of the sense of ownership, argues Rowlands, or else these memories are not episodic. As he correctly points out, in the absence of the presence of the self in episodic memory, there is nothing to distinguish episodic memories from semantic memories. Therefore, Rowlands gives compelling arguments to assert the necessity of the presence of the self in episodic memories, whereas his arguments for its sufficiency in a certain way fail, because his interpretation of the meaning of the presence of the self in episodic memories is not sufficient to distinguish them from semantic (autobiographical) memories.

Before coming back to the characterization of Rilkean memories, I would like to mention an interesting distinction that Rowlands draws concerning autobiographical memory, which should be considered while theorizing about this notion. Autobiographical memory is another notion very much used in psychological research, but again not very well defined. Broadly understood, it refers to a subsystem that includes some episodic memories and different facts about the self (including semantic memories). Rowlands proposes to distinguish three types of autobiographical memories according to their intentional objects: (a) strongly autobiographical memories: the memory contains the rememberer as the intentional object of the memory, and is thus about something that happened to the rememberer (I remember I travelled to Greece or I remember I was born the 15th February 1983), (b) weakly autobiographical memories: the rememberer is not the intentional object, but is implicated in the mode of presentation of the intentional object of the memory, and is thus about something that she witnessed or encountered (I remember the flight to Greece took off 5 hours later than scheduled); (c) minimally autobiographical memories: these memories, which have no intentional object, are autobiographical because they are the descendant of a memory that is at least weakly autobiographical. While episodic and semantic memories can be strongly autobiographical, only episodic memories can be weakly autobiographical—only episodic memories can include the self in their mode of presentation—and only Rilkean memories can be minimally autobiographical. The common characteristic between all these subtypes of autobiographical memory is that all of them ultimately refer to the rememberer, and it is in this sense that all of them receive the epithet “autobiographical”.

This distinction allows Rowlands to give a minimal definition of embodied and affective Rilkean memories: Rilkean memories are involuntary memories that have no intentional content and are minimally autobiographical because they derive from episodic memories, when their content has been forgotten and only the act of remembering persists. This definition is given in chapter 3, after a series of arguments that (convincingly) show why Rilkean memories cannot be conceived as Freudian memories, nor procedural memories, nor declarative memories, nor semantic memories, nor episodic memories, nor explicit memories, nor implicit memories.

More about episodic memories: their structure

In the next section, I will come back to Rilkean memories, and to their importance for the unity and identity of the self. In this section, I will focus on the characterisation of the structure of episodic memory developed by Rowlands in chapters 8 and 9.

In the introduction, I already anticipated that Rowlands reconfigures the traditional understanding of the structure of memory by proposing a four-constituent model of episodic memory: intentional object, content, mode of presentation and act. In his model, the intentional object is different from the content, and the mode of presentation and act of remembering are conceptually distinguishable but inseparable. These two ideas are the key theses defended by Rowlands in order to change the traditional conceptualization of episodic memory that is characterized by the standard tripartite model of intentionality and the two-model of meaning.

The two-model of meaning (which, according to Rowlands, would be at the origin of Wittgenstein’s rule-following paradox) supposes that items are intrinsically semantically inert and only get meaning and reference by an act of interpretation. This model is useful to account for the semantics of photographs, and because we tend to consider episodic memories as “pictures” of past episodes, we think mistakenly that this model is also useful to understand the structure of episodic memories, when really it is not. Although I have some doubts about the intrinsically semantical inertia of photographs (a specific photograph is ambiguous but cannot “be about anything”), Rowlands makes a good point: photographs exist independently of any act of interpretation whereas episodic memories do not; and photographs need an act of interpretation at least to remove their intrinsic semantic ambiguity, whereas episodic memories do not. The list of differences could be developed (episodic memories can essentially change over time whereas photographs do not, etc.), and this would be an interesting project to finally abandon the photographic model of memories, but this is not Rowlands’ purpose in this book: he only wants to state that, unlike photographs, the contents of our episodic memories are never pure objects, unadulterated by the interpretative activities implicated in my awareness of them. The content of our episodic memories is always presented to us as something, under a mode of presentation, and this mode of presentation is not externally attached to the content, but is essentially built into it. When I remember the face of my father, I remember this face as the face of my father, and not as a visual image of a face whose appearance needs a subsequent act of interpretation to determine that it is a memory and that it is the face of my father. It may be the case that I cannot remember whose face it is, but if I have a memory experience I remember the face at least as a face that belongs to someone I previously saw. For Rowlands, in an episodic memory, meaning and reference are thus not added in a subsequent phase to the presentation of the content to the mind, but are an intrinsic part of it, entangled with it. The meaning and reference includes not only the meaning and reference that is specific to a particular memory content, but also the meaning and reference that is given in every episodic memory: the pastness and the presence of the self who remembers. The meaning and reference is given to the episode remembered, which is not inherently interpreted, when the act of remembering performs on it certain operations of transformation that present the episode remembered under different modes of presentation. These modes of presentation (which are characterized by Rowlands as complex combinations of perception, cognition, emotion and sensation) not only individuate the memory and, more importantly, render the presence of the self a necessary feature of it, but also give rise to memory content. The content of an episodic memory is thus created by the act of remembering.

And this leads us to Rowlands’ four-constituent model of episodic memory and his revision of the standard tripartite model of intentionality. Whereas the standard model considers that the intentional object of an episodic memory is equal to its content, and that this object / content is an episode—defined as a state-of-affairs—that is independent of the act of remembering and propositional in form, Rowlands not only denies the necessarily propositional nature of episodes, but also the identification between the object and the content of a memory. Whereas the intentional object of memory, that is, the episode remembered, is a state-of-affairs independent of the act of remembering, which only plays a passive causal role in the origin of our memories, the memory content is what is available to our consciousness. It is what one can discern and have access to when one remembers, and it is the product of a constructive and active process of remembering.

This later distinction is not new, but has a long tradition—recently recovered but neglected for many years— that goes back at least to the introduction of the notion of intentionality in contemporary philosophy made by Franz Brentano. The distinction between object and content was explicitly formulated by Kazimierz Twardowski (Brentano’s student) in his book On the Content and Object of Presentations (1894) and later endorsed and developed by Alexius Meinong (1899), another one of Brentano’s students. It was also more explicitly applied to the understanding of memory phenomena by Bertrand Russell (1921) and Charlie Broad (1925). All of them, in different ways and with different terminology, defended the existence of a difference between the object of a mental act and its content. I personally got back to this rich tradition and proposed a representationalist account of personal memories based on this distinction (Trakas 2014). I found it a bit disappointing that Rowlands did not mention the origin of this distinction in his book, although I understand that historical references sometimes may cut the argumentative fluidity. Nonetheless, a small footnote would not have done any harm, and it would have been a nice initiative to recognize the often forgotten rich ideas that precede us and still influence us in many ways.

Rowlands justifies the need of this distinction by means of three convincing arguments. If the memory content were identical with the episode remembered:

(a) the idea of mental content should be abandoned (there is nothing “mental” in a state-of-affairs; a state-of-affairs would be mental and non-mental at the same time), or the mentality should exclusively be placed on the act of remembering. The only way to assure the mentality of the content is to distinguish the state-of-affairs from the content and adopt the view that the content is brought into existence by a process of transformation operated by the mental act on the state-of-affairs;

(b) it would be impossible to explain why two states-of-affairs can be identical (such as Oedipus marring Jocasta and Oedipus marrying his mother) whereas the memories of them are not (Oedipus remembers marrying Jocasta but not his mother). States-of-affairs and memory content must be different because their standards of individuation are different: a mental act narrows the standard of individuation of mental content by subsuming one or more constituents of a state-of-affairs (object, property) under different modes of presentation;

(c) the presence of the self would not be essential to the memory, and thus the episode would not appear to the rememberer as one that she formerly experienced. The only way to render necessary the presence of the self and thus episodically remember an episode is to impose on that episode one or more modes of presentation. This process of transformation creates mental content, which is different from the episode.

I have also given some arguments in favour of the distinction between object and content (even if I used different terms), focused on the possible discrepancies between the content and the object of the same personal memory (Trakas, 2014, p. 32-35). The arguments that Rowlands gives are nonetheless persuasive and sufficient by themselves to convince the readers of the need for this conceptual distinction. What is more, his explanation along these two chapters shows the inseparability that is characteristic of the act of remembering, the memory content and the mode of presentation, as well as the key role played by the act of remembering in the construction of our episodic memories: it is finally the act of remembering which is responsible for the mentality, the individuation and the ownership of the remembered content.

Before coming back to Rilkean memories, I would like to make a comment about a remark made by Rowlands. According to our author, his conception of content must not be understood as something that stands between the subject and the episode, but simply as a way or mode of remembering an episode. Because the content is nothing more than the episode transformed in certain ways, Rowlands concludes that while remembering “content” we are in direct contact with the past. Like other authors, Rowlands couples a representationalist conceptualization of memory to a direct realism theory of memory. I profoundly believe not only in the incompatibility of these two conceptions of memory, but also in the impossibility of defending a direct realist view of memory. Direct realist accounts of memory cannot accommodate the existence of memory traces and fail to explain the fallibility and change that characterize our memory representations. They also fail to give a criterion to distinguish between immediate acquaintance in perception and immediate acquaintance in memory (Trakas, 2014, pp. 10-17). Memory researchers would do better to abandon the idea that memory allows us to be in direct and immediate contact with the past and to ask, instead, how a capacity that does not allow us to be in direct contact with the past can nevertheless produce reliable representations of the past.

Forgetting, endemic inaccuracy and a person’s unity and identity (for her and for the others)

In this last section I focus on chapters 5, 6, 7 and 10, chapters where Rowlands develops the role that Rilkean memories—these memories that have no content and are pure act—play in making us who we are.

As I already mentioned, episodic memories are in general considered to give an answer to the metaphysical problem of the self’s unity and identity through time (what makes a person at a time t2 a unified individual identical to a person at a time t1?). Nonetheless, the endemic inaccuracy and the forgetting of episodic memories compromise the identity of the person over time and thus threatens the role played by episodic memory in the explanation of the unity and identity of the metaphysical self. On the contrary, the endemic inaccuracy and the forgetting of memories is not a threat for the autobiographical self, neither from a first person point of view (that is, the self-experience of unity and identity) nor from a third person point of view (the recognition of the unity and identity of another self). Rowlands considers them as self-constructing opportunities that can play a positive role in the constitution of a person.

I will come back in a few lines to Rowlands’ idea of the positive role played by the inaccuracy and the forgetting of episodic memories in the constitution of the autobiographical self. I would now like to make a brief comment about Rowlands’ arguments to state the endemic unreliability of memory. Rowlands asserts the endemic unreliability of memory based on empirical studies on false memories (like studies on flashbulb memories) as well as on memory reconsolidation that, according to our author, would explain why most of our memories are unreliable: every time we access a memory trace, it returns to the unstable and labile state characteristic of short-term memory, and becomes thus sensitive to change. The idea that most of our memories are “false” is not new and has been advocated by psychologists like Elizabeth Loftus: “in essence, all memory is false to some degree” (Bernstein & Loftus, 2009, p. 373). Rowlands rightly recognizes that the notions of accuracy and inaccuracy (conceived as a spectrum) are better suited to characterize memories than the notion of truth and falsity, but he still holds that inaccuracy is endemic to memory. I believe first, that Rowlands misunderstands the notion of change during the process of reconsolidation: “change” does not necessarily mean “distortion” (a term that he explicitly uses), and several times, a change of a memory trace is necessary to render a memory more accurate (for example, when we acquire new information that allows us to better understand a past experience). Secondly, Rowlands—and Loftus—present radical and extremist conceptions of the notions of truth / falsity and accuracy / inaccuracy: all memory representations that are different (even slightly different) from a past representation would be false or inaccurate, and that is why inaccuracy (or falsity) is endemic to episodic memories. This is a surprising conceptualization for someone who proposed to conceive the epistemic values of memories in terms of a spectrum of accuracy versus inaccuracy. Third, I do believe that people who think that memory is endemically unreliable are wrong. Instead of looking at empirical studies on false memories, we would do better to look at our everyday functioning and the way it would be affected if a large number of our memories would be unreliable: not only could we not successfully navigate the physical and social world, but probably we could not even have evolved as we did. Most of our everyday actions are guided by semantic as well as episodic memories, and a human being with an unreliable memory system would be very different from what we are; maybe she will not even be human. Anthropological studies take time and are not often practiced to study psychological phenomena, but they would be of great help to provide empirical data on the reliability of the human memory system(s).

In any case, it remains to be seen how the endemic inaccuracy and the forgetting of memories can be self-constructive for the autobiographical self. Rowlands does not give an explanation of the positive role that endemic inaccuracy plays; he only states that “for an autobiographical project, false memories can be just as self-constructive as real memories” (Rowlands, 2017, p. 115). If confabulations can present some benefits for the confabulator (at least she has a story to tell to herself about who she is), it remains an open question as to whether confabulations are as self-constructive as real memories. The case of forgetting is analysed with more detail, in a specific and interesting chapter about this notion (chapter 5). Passive forgetting (memory decay over time) compromise the memory-based version of the metaphysical explanation of the self and also plays a negative role in the construction of the autobiographical self (by unbalancing the story of who we are, or making us repeat old mistakes). Nonetheless, active forgetting, that is, the conscious and unconscious engagement in a process of forgetting, plays a positive role in the construction of the autobiographical self: it allows us to forget the useless—in order to release cognitive resources—and to forget the pernicious. Furthermore, active projects of forgetting, which can include the explicit manipulation of the environment in order to facilitate or scaffold the process of forgetting (like destroying photographs), say a lot about the person you are. But there is a more pervasive and primitive process of forgetting than active forgetting, which does not require the existence of an autobiographical self who conducts the forgetting, but plays a significant role in the development and preservation of the autobiographical self. This primitive, passive but positive process of forgetting memory content refers to the process that originates in Rilkean memories. Rilkean memories play a positive role in holding the identity and the unity of the autobiographical self through time, in the face of the lost and inaccuracy of episodic memories, and more especially when the self is no longer capable of engaging in remembering (or forgetting), like the cases of Patsy Hasset or Taylor’s mother.

Rowlands compares Rilkean memories to literary style (to understand this analogy, it is worth mentioning that Rilkean memories are pure acts of remembering, without content). If we find a couple of disconnected pages of a book, the style of these pages combined with the remaining content can be sufficient to establish or at least suggest the identity of the author. The same applies to Rilkean memories. Embodied Rilkean memories, that is, the tendency to do things in certain ways in certain circumstances, and affective Rilkean memories, that is, the disposition to have certain moods and feelings in certain environmental circumstances, are part of a person’s existential style. Rilkean memories connect the person to her past and provides a form of continuity between the person who has the Rilkean memories and the person who had their episodic ancestor. Rilkean memories, as part of a person’s existential style, allow an outsider observer to distinguish and recognize individuals on their basis. That is why Rilkean memories play a key role in the recognition of the unity and identity of a person made by a third party. That is why Rowlands is still able to recognize his wife’s grandfather Patsy as the same person he used to be before developing Alzheimer’s disease and thus losing all his episodic memories. This is the right time to remember Taylor’s description of her mother quoted at the beginning of this review. For Taylor, her mother was the same person as before, because she could still recognize her existential style, that is, her particular way of being, acting and feeling: her mother was still a cheerful and affectionate person, who still enjoyed gentle joking and teasing, being around people and having a conversation, and who also still beamed radiantly at small children. Rilkean memories are finally what justify third person recognition judgements.

Rilkean memories solve then the puzzle of the unity and identity of a person from a third point of view, that is, the puzzle of the recognition of another person. But there is a still another puzzle: the problem of explaining the self-experience of unity and identity, that is, the way in which the present self (R-self) experiences a past self (W-self) as a unified individual, identical with herself. According to Rowlands, Rilkean memories are also the key to solve this puzzle, but they do not feature as what they are—Rilkean memories—but as what they were before becoming Rilkean memories: as episodic memories. The necessary presence of the self in episodic memories is the key to first-person recognition: “The person who remembers is, therefore, in her memories even when those memories are not about her. She is in her memories not simply because she has carved or shaped them from the block of the episode. Rather, it is because she had to do this in order to make them something that could be remembered. The content of memory is always infused with the person who remembered and where she is in her life. The content of memory is, in this sense, infused with style. It is infused with, and therefore shaped by, the act of remembering (…) Style and content may eventually go their separate ways—this is what happens when a Rilkean memory is formed. But before this happens, the two are entangled. The style of a person is always there, in the midst of content” (Rowlands, 2017, pp. 194-195). Therefore, because the autobiographical self is present in each and every one of the episodic memories that collectively form the record of her life, the self who remembers (R-self) experiences herself as a unified individual identical with any of her past selves (W-self). This means that Patsy and Taylor’s mother, as well as other people with dementia, could still experience their unity and identity through time if they have at least one episodic memory that remains accessible to their consciousness.

Final thoughts

Memory and the Self is an excellent book on memory, with a highly sophisticated dose of philosophical content and literary style. However, I must admit that at the end of the book I was slightly disappointed. The main purpose of the book is to introduce the notion of Rilkean memories and explain the key role they play in maintaining the unity and identity of the (autobiographical) self. Nonetheless, from the first-person recognition perspective, Rilkean memories finally do not play any role; episodic memories do all the work. Saying, as Rowlands does, that Rilkean memories play such an important role because they were episodic memories before becoming Rilkean memories, does not help to assign a real role to Rilkean memories in the self-experience of identity and unity. Although one derives from the other, Rilkean memories and episodic memories are very different. Furthermore, episodic memories do not necessarily become Rilkean memories. The truth is that Rilkean memories do not play any explanatory role in first-person recognition, and that episodic memories are the key to understand how we experience our autobiographical selves as a unified individual, identical to itself through time, despite Rowlands denying this in chapter 6: “these two facts [inaccuracy and forgetting] present a problem for the idea that our episodic memories play a major role in the construction of the autobiographical self” (Rowlands, 2017, p. 122). Moreover, in this section I would have expected more discussion with Stan Klein’s view—an author who is known and mentioned by Rowlands in this book—for whom the unity that we attribute ourselves as persons can be interpreted as a pre-reflective feeling of personal continuity that would permeate all our experiences (for evidence of an amnesic patient who maintains a sense of personal identity despite being unable to retrieve episodic and semantic personal memories, see Klein, 2014).

Rilkean memories do play a key role from the third-person recognition perspective. However, when analysing these cases, we realize that what allows us to recognize someone as the same unified individual identical through time is nothing more than different kinds of habits and character traits. Rilkean memories are finally nothing more than environmental embedded habits and character traits. Rowlands is aware that Rilkean memories may not be a new, non-standard form of memory, but just the product of a process of transformation of episodic memories (Rowlands, 2017, p. 54). This is nonetheless unimportant to him, and maybe it should also be unimportant to the reader in order to get Rowlands’ message: the recognition of these habits and character traits as states that carry in them a trace of the personal past and that allow the personal past to live in the subject in a different way than memories (understood in a familiar sense).

In spite of this small disappointment that other readers may share with me, Memory and the Self is a very pleasant book to read that truly deserves to be read, reread, and discussed by those interested in philosophy of mind and in memory.

 

Bibliography

Bernstein D. & Loftus E. (2009). How to tell if a particular memory is true or false. Perspectives on Psychological Science, 4(4), 370-374.

Broad, C. D. (1925). The mind and its place in nature. Londres, Kegan Paul, Trench, Trubner & Co.

Conway, M. (2005). Memory and the self. Journal of Memory and Language, 53, 594-628.

Conway, M. (2009). Episodic memories. Neuropsychologia, 47, 2305-2313.

Conway M. A., & Loveday C. (2015). Remembering, Imagining, False Memories and Meaning. Consciousness and Cognition, 33, 574-581.

Klein, S. & Nichols, S. (2012). Memory and the sense of personal identity. Mind, 121, 677-702.

Klein, S. (2014). The two selves: Their metaphysical commitments and functional independence. New York, Oxford University Press.

Locke, J. (1690). An Essay Concerning Human Understanding. [electronic version]. Retrieved from http://www.earlymoderntexts.com/assets/pdfs/locke1690book1.pdf

McCormack, T. (2001). Attributing episodic memory to animals and children. In T. McCormack & C. Hoerl (Ed.), Time and Memory. New York, Oxford University Press, 285-313.

Meinong, A. (1899). On Objects of Higher Order and their Relationship to Internal Perception. Zeitschrift für Psychologie und Physiologie der Sinnesorgane, vol. XXI, 181-271.

Piolino, P., Desgranges, B, & Eustache F. (2009). Episodic autobiographical memories over the course of time: Cognitive, neuropsychological and neuroimagining findings. Neuropsychologia, 47, 2314-2329.

Prinz, J. J., & Nichols, S. (2017). Diachronic Identity and the Moral Self. In J. Kiverstein (Ed.), The Routledge Handbook of Philosophy of the Social Mind. New York, Routledge, 449-464.

Russell, B. (1921). The Analysis of mind [electronic version]. Retrieved from https://www.gutenberg.org/files/2529/2529-h/2529-h.htm

Taylor, J. S. (2008). On Recognition, Caring, and Dementia. Medical Anthropology Quarterly, 22(4), 313-335.

Trakas, M. (2014). Personal Memories. PhD thesis, Ecole des Hautes Etudes en Sciences Sociales & Macquarie University.

Twardowski, K. (1894). On the Content and Object of Presentations. The Hague, Martinus Nijhoff (1977).