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Magnus Marsden and Benjamin D. Hopkins
Afghanistan has long been conventionally regarded as a remote space peripheral to the wider world. Yet scholarship produced in the 2nd decade of the 21st century suggests its multiple connections to a wide array of regions and settings. Such connections are especially visible when viewed through the lens of the trade networks originating from the territories of modern Afghanistan. Scholars have come to recognize that Afghan traders have long been active players in many contexts across Asia and beyond. Such traders and the networks they form play a critically important role in connecting different parts of Asia with one another, including South Asia and Eurasia, as well as East and West Asia. The connective role performed by Afghan caravanners and religious minorities in the trade between India and Central Asia are especially well documented by historians. Increasingly so too are the activities of Afghan merchants in Ottoman territories. The trading networks Afghan traders have participated in are historically dynamic. Their orientating values shift across time and space between various forms of religious, ethno-linguistic, and political identity. The capacity to adapt to changing circumstances is helpful in understanding the continuing relevance of Afghan traders to 21st-century forms of globalized capitalism, in contexts as varied as the former Soviet Union, China, and the Arabian Peninsula.
Dan Smyer Yü and Sonam Wangmo
With the available historical Tibetan written records from late 8th century on and the existing scholarly works on Buddhism, this historical overview recounts how Buddhism was Tibetanized and how it became both the national religion of Tibet and a world religion spread to Inner Asia, East Asia, and other parts of the world. It also adds interpretive commentaries leading to more historical inquiries and suggestions for alternative historiographical approaches to the formation of Tibetan Buddhism, adopted from disciplines other than history of religion and Buddhist studies. An emphasis is placed on the significance of folk accounts that reveal “the geomythological reorientation” of Buddhist conversion in the historical Tibetan context not merely as an intellectual and doctrinal acceptance of Indian Buddhism but also as a symbiotic process in which Indian Buddhism and indigenous religious practices mutually transformed each other. The emergence of the different Buddhist schools in Tibet is also a result of the politics of the sect-specific powers throughout Tibetan history. It is thus essential to recognize the formation of the five schools also as a set of religio-political occurrences, particularly since the formation of Gelug (dGe lugs) School in the 15th century and later becoming a Gelug-based Tibetan polity in the 17th century. The Gelug School dominated Tibetan Buddhism, and successive Dalai Lamas ruled Tibet from the mid-17th to the mid-20th centuries. Given the regional and global status of Tibetan Buddhism, emphasis is placed on Tibetan Buddhism as a transregional religion in Inner Asia and later as a form of modern Buddhism since the middle of the 20th century. With these emphases, the historical overview presented here is intended to generate more scholarly discussions and inquiries into the history of Tibetan Buddhism in both monastic and lay spheres in and outside Tibet.
Throughout more than two millennia, the extensive droughty areas in East Asia were occupied by pastoral nomads. A long history exists of hybridity between steppe and agricultural areas. The ancient nomads had a specific pastoral economy, a mobile lifestyle, a unique mentality that assumed unpretentiousness and stamina, cults of war, warrior horsemen, and heroized ancestors that were reflected, in turn, in both their verbal oeuvre (heroic epos) and their arts (animal style). They established vast empires that united many peoples. In the descriptions of settled civilizations, the peoples of the steppe are presented as aggressive barbarians. However, the pastoral nomads developed efficient mechanisms of adaptation to nature and circumjacent states. They had a complex internal structure and created different forms of social complexity—from heterarchical confederations to large nomadic empires. The different forms of identity in pastoral societies (gender, age, profession, rank) are presented in this article. Special attention is given to how ethnic identity is formed from small groups. The ethnic history of the ancient nomads of East Asia is described, particularly for such pastoral societies as the Xiongnu, the Wuhuan, the Xianbei, and the Rouran.
Himanshu Prabha Ray
The eightfold path shown by the Buddha in the middle of the first millennium
This essay is framed. Four themes are significant in the archaeology of Buddhism: the history of archaeology in Asia with reference to Buddhism; defining a chronology for the historical Buddha and sites associated with Buddhism; identifying regional specificities and contexts for Buddhist sites as they emerged across Asia; and finally addressing the issue of interconnectedness and interlinkages between the various sites within the Buddhist sāsana. The active participation of learned monks and nuns in the stūpa cult and their mobility across Asia is a factor that is underscored in this paper.
Scott C. Levi
Contrary to long-held notions that gunpowder weapons technologies were devised in the West and gradually transmitted eastward into Asia, more recent scholarship indicates that innovations flowed in both directions. Scholars have also come to recognize that there was no uniformity in the ways that states implemented gunpowder weapons, and that multiple factors relating to environment, demographics, and cultural preferences informed decisions about when and how to embrace the new technology. The major Asian agrarian states of the Ottomans, Safavids, and Mughals (the so-called Gunpowder Empires) and the Ming and Qing dynasties in China implemented gunpowder weapons differently. The Ottomans were the most aggressive in this regard, the Mughals preferred a hybrid force, and the Safavids long favored cavalry. Chinese militaries employed hybrid forces to great effect, but in later years a lengthy peace during the Qing era slowed the implementation of new technologies. In Central Asia and other places where rulers could rely on large numbers of well-trained, fast-moving mounted archers and a nearly endless supply of horses, they found little reason to rush to embrace what for several centuries represented an expensive, slow, and unreliable technology.
Richard B. Allen
The period between the mid-1830s and early 1920s witnessed the migration of some 3.7 million Africans, Chinese, Indians, Japanese, Melanesians, and other peoples throughout and beyond the colonial plantation world to work as laborers under long-term written and short-term oral contacts. Studies of this global labor migration over the last forty years have been heavily influenced by Hugh Tinker’s 1974 argument that the indentured labor system was essentially “a new system of slavery.” There has also been a propensity toward specialized and compartmentalized studies of the indentured experience in various parts of Africa, the Caribbean, the southwestern Indian Ocean, India, Southeast Asia, and Australasia, with a particular emphasis on systems of labor control and worker resistance. Recent scholarship reveals that this labor system began two decades earlier than previously believed, and illustrates the need to explore new topics and issues in more fully developed local, regional, and global contexts.
Sebastian R. Prange
Piracy has been an important and persistent feature of Asia’s maritime history. In fact, the largest pirate organizations in all of history were found in Asia. Although often regarded as the antithesis of trade, piracy is actually closely related to the world of commerce. Pirates were themselves often traders (or smugglers) and relied on merchants to outfit their ships and sell their plunder. Despite the obvious and primary economic dimension of piracy, pirates were also political actors. This observation is significant because piracy has traditionally been distinguished from other forms of maritime predation (especially privateering, but also naval warfare) by stressing its supposedly inherently private nature. In Asia, however, the history of piracy is very much defined by its political contexts. Pirates themselves formed polities, whether as part of established coastal communities or in their endeavors to build their own states. What is more, as was the case in Europe, pirates often colluded with territorial states that used them as an instrument of state power, in order to harass and weaken their rivals. The political dimension of Asian piracy has long been overlooked due to the preponderance of European concepts and sources, which tend to depict all Asians involved in maritime predation as mere criminals. More nuanced studies of Asian pirates, especially when based on non-European sources, promise fresh insights into the commercial, social, and political worlds of maritime Asia.
Between 1903 and 1950, aviation technology was spread around the world and became a key concern of governments and a cultural marker of modernity. After 1903, Asia had to be explored again. Almost as soon as heavier than air flight became possible, French and British fliers began pioneering new routes to Asian cities and developing new maps and new airports along the way. With these new forms of knowledge, the colonial powers quickly moved to tie together their empires. New mapping techniques allowed for new forms of control, including what the British called “air policing,” the idea that judicious use of aircraft, and in some cases bombs and poison gas, could cheaply pacify far-flung colonial populations.
Aviation was one field, however, where the Europeans did not have a long lead on Asians. Just as Europeans were using aviation to express their dominance, Asians were using it to express their modernity. Feng Ru was making and flying his own planes in San Francisco by 1912, and Siam had an air force by 1913. Asian social and political elites, who had once traveled by rail and steamship, now preferred to fly instead. “Air-mindedness” became a marker of global citizenship.
Japan was the first Asian country to have an aviation industry. They proved their technological prowess to the rest of the world when they entered World War II. Their pilots bombed cities and fleets across Asia between 1937and 1945. The experience of being bombed as well as the drills and community organizations that grew out of experience ushered in a societal awareness of the military power of airplanes. The war culminated with two atomic air raids and was followed by a scramble to occupy and connect the newly liberated and independent parts of Asia. The post–World War II period led to an intensified effort to tie Asia together with faster transportation
Jeffrey W. Alexander
Japan has a local, centuries-old tradition of brewing sake from rice and distilling spirits from ingredients such as grain and sweet potatoes, but pioneering entrepreneurs began producing imported “Western liquors” (yōshu) in the late 19th century. This Western liquor marketplace was driven chiefly by beer brewing and whisky distilling. Western liquors were marketed, advertised, and consumed with rising popularity through the early 20th century, as living standards rose and ordinary Japanese came to afford them regularly. Following the Second World War (1939–1945), these Western commodities were no longer viewed as foreign imports, and were instead broadly regarded as domestic, if not indigenous, products. The impact of wartime rationing transformed beer into a lighter-tasting beverage that became very popular with women and young people, and whisky advertising focused closely on professional “salarymen” seeking increased prestige as well as escape from their demanding jobs.
The history of the Bengali community in Assam, along with many other communities such as the Marwari traders and the Nepalis, can be dated to the early decades of British rule in Assam when the East India Company found itself relying on Bengali amlahs (court officials) for its policing, legal and revenue administration of the newly acquired kingdom of Assam. The Bengali community grew partly due to the encouragement that the Company gave the Bengali language by using it in its courts, administration, and schools. While in 1873 Assamese replaced Bengali as the medium of instruction and language of the court, with some caveats and exceptions, the province of Assam, which was formed in 1874, brought together four historically distinct spaces in the region, including the two Bengali-speaking districts (Sylhet and Cachar) of the Barak-Surma Valley. The decades leading to Partition witnessed various factors, including employment opportunities and cultural and linguistic belonging, leading to contradictory pulls in Sylhet and Cachar on the question of whether it should be integrated with Bengal or Assam. Another important factor was the growth of linguistically based Assamese nationalism whose politics lay in the articulation of a unique Assamese literary and cultural identity along with the securing of employment opportunities. The latter would lead to a demand of an Assamese homeland free of competition from the Bengali middle class. A referendum in July 1947 based on limited franchise led to Sylhet being integrated to Pakistan while Cachar remained part of Assam and India. Other than the Bengali-speaking communities of Sylhet and Cachar, a history of the Bengali-speaking communities in Assam involves the story of peasant cultivators from East Bengal who continuously migrated into Assam in the early decades of the 20th century. While earlier pre-colonial patterns of migration were seasonal, the colonial state’s primary aim of acquiring high agrarian revenue led to specific policies and schemes that encouraged peasant migration into Assam from East Bengal. This further encouraged an intensification of commercial agriculture especially jute, changes in the transport network in the Brahmaputra valley, a developed credit network, and some local elements such as Marwari businessmen and Assamese moneylenders. However, with time this migration created conditions of insecurity for Assamese peasants who faced ejection from their lands as a result of the growing competition for cultivable land and higher rents. The colonial state’s attempt at regulating the migration—such as through the Line System in the 1920s—became a site of contestation among many emerging nationalist and political perspectives, whether of the Congress, the Muslim League or others. The tussle between the preservation of the rights and claims of indigenous peasants over grazing and forest reserves and those of Bengali Muslim immigrants over land defined the politics of the 1940s in Assam until Partition.
The presence of Bollywood films in Africa has a long history, one embedded in larger cultural and commodity exchanges between the continent and South Asia. “Bollywood” is a modern signifier for older film industries located in colonial and postcolonial India, with the largest export being commercial Hindi-Urdu movies produced in Bombay. Their circulation played out distinctly in different parts of Africa, based on colonial connections, Indian diasporic networks, regional trading linkages, and audience tastes. East Africa first saw the arrival of Indian films in the 1920s, imported by diasporic Indian entrepreneurs who opened movie theaters and screened Hollywood and British films as well. Indian and African communities both consumed Bombay movies and they increasingly came to lead East African box office shares for decades, even as moviegoing declined toward the end of the 20th century. Bollywood films reached South Africa in the 1930s and later were the preserve of isolated Indian communities under Apartheid in cities like Durban, home to a large South Asian population as a result of colonial indentured labor flows. Hindi and Tamil movies formed a cultural touchstone for settled diasporic populations who engaged with representations from a perceived homeland, although Bollywood films were mainstreamed in South African society in the 1990s.
In West Africa, lacking robust Indian diasporic networks, Lebanese traders introduced Bollywood films in the 1950s. They became immensely popular among African audiences in places like northern Nigeria and Senegal. As in East Africa, West African audiences interpreted foreign films in line with localized cultural and political values. By the 1990s, Nigerians were making some movies that riffed off popular Indian films in a global milieu of cultural mixing. In North Africa, distributors first marketed Indian movies in the 1950s to Egypt, where they attained a cult following. Bollywood stars and paraphernalia gained social prominence, although the public screening of films dwindled in the 1990s, forcing Arab fans to rely on alternate circulations, which continued into the early 21st century throughout the continent thanks to satellite television and other media technologies. The long-standing popularity of Bollywood in Africa should be no surprise given the worldwide spread of Bombay films from their inception, a tradition of exchange between South Asia and Africa, especially across Indian Ocean and imperial worlds, and Africans’ historically vigorous participation in regional and global cultural economies.
In the popular imagination, the meeting of Buddhism and Islam is often conceptualized as one of violence; namely, Muslims destroying the Dharma. Of course, in more recent years this narrative has been problematized by the reality of Buddhist ethnic cleansing and the genocide of Muslims in Sri Lanka and Myanmar. Yet, what needs to be recognized is that the meeting between Buddhists and Muslims has never simply been one of confrontation. Rather, the interaction of these two religions—which has been going on for more than one thousand years across the length and breadth of Asia (from Iran to China and Indonesia to Siberia)—has also involved much else, including artistic, cultural, economic, and intellectual exchanges.
Buddhist culture was most active and prosperous in early modern Japan (1600–1868). Buddhist temples were ubiquitous throughout the country, and no one was untouched by Buddhism. Buddhist priests wielded considerable power over the populace, and Shinto was largely subject to Buddhist control. Buddhist culture attained this considerable influence in early modern Japan through the performance of death-related rituals and prayer.
Death-related rituals (also known as funerary Buddhism) were rooted in the nationwide anti-Christian policy of the Tokugawa bakufu that utilized the administrative machinery of Buddhist temples. Using the opportunity provided by the anti-Christian policy, Buddhist temples were able to bind all households to death-related rituals and this, in turn, gave rise to the danka system in which dying a Buddhist soon became the norm in early modern Japan.
Given the rigid social status, mutual surveillance, and highly regulated nature of everyday life in Tokugawa Japan, people through prayer often turned to Buddhist deities to seek divine help for their wishes or ad hoc solutions to worldly problems. Beyond being sites of prayer services, Buddhist temples also served as spaces of learning, relief, and/or leisure, thus catering to people from all walks of life. Both prayer and play were also integral to Buddhist culture in early modern Japanese society.
C. Pierce Salguero
“Buddhist medicine” is a convenient term commonly used to refer to the many diverse ideas and practices concerning illness and healing that have emerged in Buddhist contexts, or that have been embraced and carried by that religion as it has spread throughout Asia and beyond. Interest in exploring the relationship between mind and body, understanding the nature of mental and physical suffering, and overcoming the discomforts of illness goes back to the very origins of Buddhism. Throughout history, Buddhism has been one of the most important contexts for the cross-cultural exchange of diverse currents of medicine. Medicine associated with and carried by Buddhism formed the basis for a number of local healing traditions that are still widely practiced in much of East, Southeast, and Central Asia. Despite the fact that there are numerous similarities among these regional forms, however, Buddhist medicine was never a cohesive or fixed system. Rather, it should be thought of as a dynamic, living tradition with a few core features and much local variation. Local traditions of Buddhist medicine represent unique hybrid combinations of cross-culturally transmitted and indigenous knowledge. In the modern period, such traditions were thoroughly transformed by interactions with Western colonialism, scientific ideas, and new biomedical technologies. In recent decades, traditional, modern, and hybrid forms of medicine continue to be circulated by transnational Buddhist organizations and through the global popularization of Buddhist-inspired therapeutic meditation protocols. Consequently, Buddhism continues today to be an important catalyst for cross-cultural medical exchange, and it continues to exert a significant influence on healthcare practices worldwide.
Buddhist practice transformed the religious landscape in China, introducing new forms of mental cultivation and new ritual technologies within an altered cosmology of spiritual goals. Buddhist practice was carried out by individuals, but was equally as often a communal activity. A basic unit of religious practice was the family; Buddhist cultivation was also carried out by communities of practice at monasteries, which were also sites of large-scale rituals. Forms of religious practice included meditation, oral recitation, ritual performances including confession and vow making, and merit-making activities. Meditation encompassed following breath and exercises that recreated Buddhist images in the practitioner’s mind. Meditation could be carried out while sitting, or while walking, and might also incorporate recitation of scriptures, names of the Buddhas, and dhāraṇī. Indeed, meditation practices were most often embedded in liturgical sequences that included confession, vows, and merit dedication. The goal of these religious practices might be personal spiritual development; through the concept of merit transference, religious activities also worked to benefit others, especially the dead. The fundamental of components of Buddhist practice were present very early in the tradition’s history in China, and over time these elements were combined in new ways, and with reference to changing objects of devotion. The four major bodhisattvas of Mañjuśrī (Wenshu 文殊), Samantabhadra (Puxian 普賢), Kṣitigarbha (Dizang 地藏), and Avalokiteśvara (Guanyin 觀音) were especially important as objects of devotion, and also were emplaced in the Chinese landscape, where they were incorporated into pilgrimages.
Bukhara’s status as an intellectual, economic, and political capital of Transoxania was diminished during the period of Mongol rule. Samarqand was designated as the administrative capital of Transoxania for much of this period, and the presence of Mongol forces in Nakhshab saw Bukhara subordinated to the itinerate court of the Chaghadaid-Mongol princes. Nevertheless, the city continued to be seen as an important center of religious scholarship, and its prestige was boosted by the fact that it served as the base for two of the leading Sufi movements of its time, the Kubrawiyya and the Naqshbandiyya.
Paul A. Van Dyke
In 1684, China reopened its doors to trade with the outside world, which had a huge impact on the development of global commerce. Canton quickly emerged as one of the few ports in the world where everyone was welcomed and where everyone (except Japanese and Russians) had access to everything including tea, silk, and porcelain. Unlike other ports, individual traders in Canton could buy and sell the same high-quality products as those handled by the East India companies. As the Canton trade grew, international networks became more sophisticated; as more ships went to China, new forms of remittance such as Letters of Credit and Bills of Exchange became standard, which streamlined international finance; as more money flowed into Canton, more goods were distributed worldwide, which gave rise to globalization; as economies in both the eastern and western hemispheres became more integrated with the Chinese market, there was a parallel decline in the risks of conducting trade, which encouraged the advancement of private enterprise. One by one the large East India companies found it increasingly more difficult to compete and went broke.
However, the success of the Canton trade was also its weakness. Because the legal trade was so dependent on silver collected from opium sales, and because a decline in opium sales would likely lead to a decline in rice imports, only minimal efforts were made by local officials to stop the smuggling. Foreigners were eventually able to overcome the system with the outbreak of war in the late 1830s, but this happened because the system had already defeated itself.
From its establishment on the peninsula in 1784 to Pope Francis’s visit to beatify 124 martyrs, in 2014, 230 years later, the Catholic Church in Korea has experienced massive change as it has sought to navigate persecution, imperialism, national division, war, dictatorship, and democratization. Despite the challenges it has faced, the Korean Catholic Church has managed to transform itself from a tiny, marginalized community into a highly respected part of Korean society with millions of members. This history can be divided into four periods: the time of hope, in which some Koreans came to believe that Catholicism would bring both spiritual salvation and this-worldly knowledge (the early 16th century to 1784); the time of persecution in which Catholics on the Korean peninsula suffered and died for their faith (1784–1886); the time of imperialism (1886–1945), during which Catholics had to balance the demands of nation, state, and faith in the face of increasing Japanese control of their country; and the time of development (1945–2014) as the Catholic Church in South Korea (the Catholic Church in North Korea being essentially destroyed) became an increasingly integral and active part of Korean society.
Matthew W. Mosca
China’s relations with the Asian world between 1500 and 1900 were shaped by a variety of political, economic, and cultural factors. A common denominator in these international relationships was a loose framework of ideological principles and administrative procedures later dubbed by scholars the “tributary system.” This “system,” first posited in the early 1940s, has remained the single most influential concept for interpreting the interactions of Ming and Qing China with Asian countries. However, in recent decades it has been critiqued from various perspectives, narrowed in the scope of its application, and modified by a greater focus on the actual course of specific cases rather than ideological principles. That is, historians have increasingly come to understand China’s relations with the Asian world as influenced by pragmatic considerations and changing local dynamics, so that each relationship and the factors shaping it are best understood on their own terms. One approach to the study of Ming and Qing relations with the Asian world is to consider it within the framework of three regional groupings. China’s interactions with its neighbors in Northeast Asia were shaped by its largely stable relations with Korea and the Ryukyu Kingdom, and its radically fluctuating relations with Japan, sometimes marked by conflict and sometimes by the deliberate avoidance of political contact. Early Ming political relations with maritime Southeast Asia atrophied as the role of European and private Chinese merchant intermediaries increased. Those with continental Southeast Asia (particularly Burma, Siam, and Vietnam), more enduring, were influenced by intense regional rivalries that occasionally impinged on the borderlands of China’s southern provinces. In these two regions, the Ming–Qing transition, although particularly resented in Korea where it involved two invasions, did not radically alter existing patterns of international relations. By contrast, the vast territorial expansion of the Qing Empire did greatly change China’s foreign relations to the north and west, where it encountered states that had not had relations with the Ming. In these regions the Qing government drew principles and practices from its foreign relations in the south and east, but modified them to fit new conditions. After 1800, and more intensively after 1850, European and later Japanese imperial power began to penetrate Central, South, Southeast, and ultimately East Asia, in each region undermining existing Qing relationships with Asian neighbors. By 1900, virtually all former Qing tributaries were under the direct or indirect control of the British, Russian, French, or Japanese empires.
Emperors were the symbolic and administrative pivot of the Chinese empire ever since its establishment in 221
The contradiction between the emperor’s nominal omnipotence and his limited ability to impose his personal will on his subjects was imbued into the imperial institution from its very inception. Chinese thinkers of pre-imperial age (pre-221