Archive for the ‘Empire’ Category

Commemorating the Normandy Landings   1 comment

Documenting D-Day:

This Thursday, 6th June, many of the world’s leaders will be gathering on the beaches in Normandy to mark the seventy-fifth anniversary of the Allied landings in Normandy. Those veterans who survived the landings and the rest of the war are now well into their nineties, but many will make the crossing of the English Channel once more to commemorate their fallen comrades and recall the events of June 1944. But what exactly was ‘Operation Overlord’, what happened along the coast of Normandy seventy-five years ago, and what was the significance of those events in the war itself and over the following period? To gain a true understanding, we should not simply rely on Hollywood films or even documentaries. We also need to consult the documents and other primary, eye-witness testimonies from the time, with the help of serious historians. Otherwise, there is a danger that the sacrifice of those who took part, whether they died or survived, will be trivialised and turned into a military comic-book.

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One of the joint commanders of the Operation, Field Marshal the Viscount Montgomery of Alamein, wrote an account as a Supplement to the London Gazette in September 1946:

I arrived in England on 2nd January, 1944, after handing over command of the Eighth Army, and immediately started a detailed study of the plans for the assault of the Continent – Operation OVERLORD. …

The intention was to assault, simultaneously, beaches on the Normandy coast. … The Normandy beaches were selected because they offered a better shelter for shipping and were less heavily defended than other possible beach areas along the Channel coast. …

The absence of major ports was overcome by the gigantic engineering feat of constructing two artificial ports in the United Kingdom; these were towed across the Channel in sections and erected, one in the United States sector and one in the British sector. …

My plan of assault, as approved by the Supreme Commander, provided for simultaneous landings by eight equivalent brigades – of which three were British and two were Canadian brigades, and three were American combat teams. … The total initial lift in the assault and follow-up naval forces was of the order of 130,000 personnel and 20,000 vehicles, all of which were to be landed on the first three tides. …

The Assault:

At 02.00 hours 6 June (1944) a ‘coup de main’ party of 6 Airborne Division was dropped near Benouville, to seize the bridges over the Canal de Caen and the River Orne. Surprise was complete, both bridges were captured intact and a close bridgehead was established. …

Meanwhile, the Allied sea armada drew in towards the coast of France, preceded by its flotillas of minesweepers. Not until the leading ships had reached their lowering positions, some seven to eleven miles offshore, and the naval bombardment squadrons had opened fire on the shore defences, was there any appreciable enemy activity. …

The Airborne and Seaborne Assault:

The Ninety men from D Company of the 2nd Battalion, the Oxford and Buckinghamshire Light Infantry who, under the command of Major John Howard, had debouched from the gliders and captured Pegasus Bridge without difficulty earlier that morning, held it until they were relieved by Lord Lovat’s Commandos at 13.00 hours. Lovat’s had marched from the beach up to the canal towpath to the sound of bagpipes played by piper Bill Millin (pictured disembarking below), blowing away for all he was worth. The Americans were less accurate in finding their landing zones, some units landing as much as thirty-five miles off target. But this added to the practice of dropping dummy parachutists, so confusing German intelligence that it estimated a hundred thousand Allied troops had landed by air, more than four times the actual number. The majority of the paratroopers landed in the correct drop-zones, however, and were to play an invaluable part in attacking the beaches from the rear and holding back the inevitable German counter-attack.

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The French Resistance had been ordered to ready itself for the invasion by the BBC broadcast on 1 June of the first line of the poem Autumn Song by Paul Verlaine, which went Les sanglots longs des violons de l’automme (‘The long sobs of the autumn violins’). The Abwehr had tortured a ‘Maquis’ leader and learnt that when the second line – Blessent mon coeur d’une langeur monotone (‘wound my heart with monotonous languour’) – was broadcast, it meant that the invasion was imminent. So when it was duly broadcast on 5 June at 23.15, the commander of the German Fifteenth Army in the Pas de Calais put his troops on alert, but no one warned the Seventh Army in Normandy. At Army Group B’s chateau headquarters at La Roche-Guyon, it was assumed that it must be more disinformation, as they could not believe that the Allies would have announced the invasion over the BBC. Certainly, the Germans were not expecting the offensive when it came. Shortly before 05.00, the Seventh Army’s chief of staff warned Army Group B that the attack was indeed taking place, Rommel was unavailable as he was in Germany celebrating his wife’s birthday. He only made it back to La Roche-Guyon at six o’clock that evening. His chief of staff, General Hans Speidel, ordered the Twelfth SS Hitler Youth Panzer Division to counter-attack at Caen at first light, but some of the 4,500 bombers that the Allies fielded that day severely blunted this attack. As Rommel later pointed out:

Even the movement of the most minor formations on the battlefield – artillery going into position, tanks forming up, etc. – is instantly attacked from the air with devastating effect. During the day fighting troops and headquarters alike are forced to seek cover in wooded and close country in order to escape the constant pounding of the air. Up to 640 (naval) guns have been used. The effect is so immense that no operation of any kind is possible in the area commanded by this rapid fire artillery, either by infantry or tanks.

The German Reactions to the Assault:

Interrogated after the war, Speidel quoted Rommel as having said, very perceptively:

Elements which are not in contact with the enemy at the moment of invasion will never get into action, because of the enormous air superiority of the enemy … If we do not succeed in carrying out our combat mission of warding off the Allies or hurling them from the mainland in the first forty-eight hours, the invasion has succeeded and the war is lost for lack of strategic reserves and lack of Luftwaffe in the west.

Although Hitler was not woken at Berchtesgaden with the news of the Normandy landings – he had been up with Goebbels until three o’clock the previous night, exchanging reminiscences, taking pleasure in the many fine days and weeks we have had together, as Goebbels recorded. Even by the lunchtime conference, the High Command was unsure that this was a true attack rather than a diversion. By the time the two Panzer divisions were sent against the beaches a hundred miles away, much valuable time had been lost. Rommel felt that the Allies had to be stopped from getting ashore, telling his Staff that the first twenty-four hours will be decisive. In all, there were fifty-nine German divisions in the west at the time of D-day, of which eight were in Holland and Belgium. More than half the overall totals were mere coastal-defence or training divisions, and of the twenty-seven field divisions only ten were armoured, with three of these in the south and one near Antwerp. Six divisions, four of them coastal defence were stationed along the two hundred miles of Normandy coast west of the Seine where the Allies attacked. The commanders later admitted that all of these divisions were better described as coastal protection forces rather than as true defence.

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The Beaches – Utah & Omaha:

It was 05.50 that a massive naval bombardment opened up on the German beach fortifications and the villages along the Normandy coast. The troop crossings had taken several hours in some cases and, as it had been feared that the Germans would use gas on the beaches, the anti-gas chemical with which uniforms were sprinkled smelt so disgusting that, once added to the landing crafts’ tossing about on the waves, it induced vomiting in the many troops who had not already been seasick. At H-hour, 06.30, the main American landings took place on Utah beach, followed by those on Omaha beach, with the British and Canadians arriving on their three beaches an hour later, as Montgomery himself later recorded:

On Utah beach, VII United States Corps assaulted on a front of one regimental combat team. … On Omaha beach, H Hour for the assault had been fixed for 06.45 hours. V United States Corps assaulted on a broad front. … By nightfall V United States Corps had secured a beach head about a mile in depth.

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At Utah, 23,000 men got ashore with only 210 killed or wounded, partly because the current had swept the US Fourth Division’s landing craft some two thousand yards south of the original area designated for the attack, on to a relatively lightly defended part of the coastline, and twenty-eight of the thirty-two amphibious Duplex Drive (DD)  Sherman tanks got ashore. The one regiment facing them from the German 709th Division surrendered in large numbers once the 101st Airborne had secured at least four exits from the beaches.

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On Omaha beach, however, where two-thirds of the American effort that day was to land, it was a very different state of affairs. The veteran US 1st Division (known as the Big Red One from its shoulder flash) and the 29th Division, which had never seen combat before, were to suffer tenfold the losses as did the 4th Division at Utah. Despite all the meticulous preparation, the ground had been ill-chosen for the attack. However, once the decision had been taken to expand the area to be secured by Overlord from which further operations could be conducted to take in Utah beach to the west, Omaha was the only feasible landing area between Utah and the British and Canadian beaches. The cliffs and bluffs at Omaha were, in some places, more than a hundred and fifty feet above the sea wall at the end of the dunes and the inward curvature of the bay at that stretch helped the German fields of fire to overlap.  Underwater sand bars and ridges snagged the landing craft, and the well-placed fortifications, which can still be seen today, were not silenced by the naval shelling; the anti-personnel mines, barbed wire and huge steel anti-tank ‘hedgehogs’ proved murderous obstacles; accurate German artillery fire and crack infantry troops caused havoc. Rather than the four battalions of defenders that had been planned for, there were eight, but by the time this was discovered it was too late to alter the plan of attack. These battalions provided, according to the military historian Max Hastings, by far the greatest concentration of German fire on the entire invasion front.

‘An American magazine spiked my review as it did not share the widespread adulation’ … Tom Hanks and Matt Damon in Steven Spielberg’s Saving Private Ryan.After a truly extraordinary opening – probably the most realistic battle sequence ever filmed – everything changes and becomes formulaic. The opening scenes of the movie, Saving Private Ryan (pictured right) give the best cinematographic representation of those first monstrous minutes of the Omaha landings, but even that cannot begin to show the extent of the chaos and carnage on the beaches. It would have been even worse had Rommel been right about the Allies arriving at high tide, as every gun had been fixed for this eventuality. As it was they chose low tide in order to make the obstacles more visible. The six thousand yards of Omaha beach along which the Americans landed was soon a scene of utter destruction and confusion. The American soldiers, who aged on average twenty and a half, far younger than the British, at twenty-four, and the Canadians, at twenty-nine, had to leap out of their landing craft into a hail of machine-gun and mortar fire loaded down with sixty-eight pounds of equipment, including a gas-mask, grenades, TNT blocks, two bandoliers of ammunition, rations, water-bottles and related kit. Many simply drowned when the water proved deeper than they had expected.

Although the ‘British’ beaches were in part cleared of German killing apparatus by a series of specialized tank-based gadgets, Generals Bradley and Gerow preferred a massive frontal assault. Because of heavy seas and being transferred to their landing vessels eleven and a half miles out, ten landing craft and twenty-six artillery pieces sank on their way to the beaches. The British transferred at six and a half miles out and suffered fewer sinkings as a result of less turbulent water. The loss of twenty-seven of the twenty-nine DD ‘floating tanks’, launched six thousand yards from the Omaha shore, denied the Americans the necessary firepower to get off the beach early. The RAF support planes observed a shambles … on the beach … burning tanks, jeeps, abandoned vehicles, a terrific crossfire. The official account of what happened to Able Company of 116th Infantry, 29th Division, after its landing craft hit Omaha beach at 06.36 gives a sense of the horror of those next few minutes:

Ramps are dropped along the boat line and the men jump off in water anywhere from waist deep to higher than a man’s head. This is the signal awaited by the Germans atop the bluff. Already pounded by mortars, the floundering line is instantly swept by crossing machine gun fire from both ends of the beach. … The first men out … are ripped apart before they can make five yards. Even the lightly wounded die by drowning , doomed by the water-logging of of their overloaded packs. … Already the sea runs red. … A few move safely through the bullet swarm to the beach, then find they cannot hold there. They return to the water to use it for body cover. Faces turned upwards, so that their nostrils are out of the water, they creep towards the land  at the same rate as the tide. This is how most of the survivors make it. … Within seven minutes after the ramps drop, Able Company is inert and leaderless.

It was not until 13.30, after seven hours being pinned down on the beaches, that Gerow could signal to Omar Bradley, who was on board a ship trying to make out what was going on through binoculars, that troops were finally advancing up heights behind beaches. Although there were two thousand Americans killed on Omaha beach, by nightfall a total of 34,000 men had made it ashore, including two Ranger battalions that had silenced the German coastal battery at Pointe du Hoc to the west after scaling cliffs with rope ladders. At one point the 5th Rangers had to don gas masks in order to charge through the dense smoke coming from the undergrowth of a hillside that suddenly caught fire. In Saving Private Ryan, after its truly extraordinary opening – probably the most realistic battle sequence ever filmed – everything changes and becomes formulaic. Eight US rangers under the command of a captain, having survived the initial D-day bloodbath, are detailed to seek out and save a single man, Private Ryan. Although continually voted the best war movie ever, in a recent article for The Guardian, the historian Antony Beevor has repeated his balanced criticism of Spielberg’s claims for the movie:  

Steven Spielberg’s storyline rightly dramatises the clash between patriotic and therefore collective loyalty, and the struggle of the individual for survival. Those mutually contradictory values are, in many ways, the essence of war. Spielberg said at the time that he sees the second world war as the “defining moment” in history. One also suspects that he wanted this film to be seen as the defining movie of the war. If so, it is a uniquely American definition of history, with no reference to the British let alone the Soviet role.

Gold, Juno and Sword Beaches:

The conditions faced by British and Canadian forces prior to reaching the beaches were no less harsh than those which the US soldiers had to contend with, but they met with far less resistance in their sectors and, as Montgomery later recorded, were able to establish control far more quickly, though still sustaining significant casualties:

… Second British Army assaulted on the right in the Gold sector. … H Hour for 3 British Division was fixed for 07.25 hours and the assault waves reached the beaches well on time. The leading brigade was soon a mile inland … by nightfall the Division was well-established. … 

John Watney’s eye-witness account in The Enemy Within (1946), describes in more detail the ‘order from chaos’ which was made on the ‘British’ beaches, due to the closer range of the fleet to the shore and the steady progress made by the soldiers under the cover provided by the Royal Navy’s assault:

On the beaches themselves all was feverish activity. Invasion craft of every kind and description lay at all angles in the sand; most had gone in head foremost and now lay a little off keel, half way up the beach or just in the water; others had been swung sideways and lay like rowing boats flung up by the breakers; others were still afloat, moored in the shallow waters that rippled over the grey sands, while dark splotches, which turned at close sight into tanks, carriers, guns and trucks, poured out of all these ships and crawled away in long queues across the sands, to disappear against the green of the fields. …

All around us lay the immense fleet that had brought us to this Normandy bay. There were ships of every kind, from the clear outlines of cruisers to the tubby fussiness of tugs. … Away to our left a cruiser was firing in spaced, steady salvos; to our right a second cruiser accompanied her, while behind me, out at sea, through the mist could be seen the orange flashes from what appeared to be a battleship. …

The tide left us dry at last and on the glassy stretches of the sands the ships lay in line, their bows open, spilling their cargoes on to the grey sands, in the grey light. The air was full of the roar of vehicles, the decks shook as the tanks clanked over them and nosed on to the ramps; then, rushing down the steep slopes, grasped the water-logged sand in their tracks and, with a jerking roar, heaved themselves inland. Clouds of steam accompanied these exertions, and, as I watched the tanks crawl out of the bellies of the line of the waiting ships, I was reminded of some fearsome tale of interplanetary warfare. …

Into this colourless nightmare arena of sands and tanks there came at last a touch of humanity; the first marching troops were landing now; like pony gladiators, weighed down with kit, they scrambled down the ramps and on to the wet sands; then, hunching up their packs and tightening their blankets (rolled Spanish-ways across their shoulders), they straggled off in the resisting sand, towards the land that now looked strong and real; their voices floated back, high and thin, against the din, like the muttering of a radio set tuned low in a room full of chattering people. 

There were no high cliffs at Gold, Juno and Sword beaches, and more time for the naval bombardment to soften up the German defences; however, by late afternoon part of the 21st Panzer Division attacked in the gap between Juno and Sword beaches and almost made it to the Channel before being turned back by naval fire. The British suffered over three thousand casualties, but by the end of the day, the Canadians who suffered over a thousand themselves, got the furthest inland, with their 9th Brigade advancing to within three miles of the outskirts of Caen. Montgomery concluded:

As a result of our D-Day operations a foothold had been gained on the Continent of Europe.

Surprise had been achieved, the troops had fought magnificently, and our losses had been much lower than had ever seemed possible.

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Successes, Errors & Sacrifices:

At 16.00 hour Hitler, who had dithered about the best way to react to what he still suspected was a diversionary attack, finally agreed to his Chief of Staff’s request to send two Panzer Divisions into the battle in addition to the 12th SS and 21st Panzer Divisions already committed. But as the German historian Gerhard Weinberg has pointed out,

The reinforcements dribbled into the invasion front were never enough, and the Allied air forces as well as the sabotage effort of the French resistance and Allied special teams slowed down whatever was sent. The German armoured divisions, therefore, arrived one at a time and quite slowly, were never able to punch through, and ended up being mired in positional warfare because they continued to be needed at the front in the absence of infantry divisions.

Allied aerial supremacy over the battlefield made it impossible for the German tanks to be better deployed than in piecemeal fashion in daylight. Yet five armoured divisions of the reserve in France, and no fewer than nineteen divisions of the Fifteenth Army a hundred and twenty miles to the south, simply stayed in place waiting for the ‘real’ attack in the Pas de Calais. Meanwhile, Runstedt and Rommel became more and more convinced that Normandy was indeed the true Schwerpunkt, whereas the Führer continued to doubt it. The German troops were critically under-reinforced in Normandy, partly because of the success of the Allies’ elaborate though never conspicuously uniform deception plans. A determined German ground counter-offensive had once again been staved off by Allied air power. The 7th Army had thrown into battle every available unit in the Coastal defence forces, and bringing units from Brittany would take time. That was a commodity of which they had very little since they had failed in their initial objective of flinging the invasion forces back into the English Channel immediately. Both the capacity and willingness of the Wehrmacht to push the Allies back into the sea were still there, but they were overwhelmed by the ability of the RAF and the USAAF to attack the unprotected armour from above, where it was weakest. The bombing campaigns against the Luftwaffe factories and the attritional war against the German fighters once they had been built had paid off spectacularly. Such were the forces alighting from the Arromanches Mulberry Harbour, even though the second harbour off Omaha was rendered inoperable by a storm on 19 June, that by 1 July they exceeded a million men, 150,000 vehicles and 500,000 tons of supplies.

In total, D-Day itself saw around nine thousand Allied casualties, of whom more than half were killed, a high proportion for combat in the Second World War. The Allied dead comprised 2,500 Americans, and 2,000 British and Canadians. In addition, fifteen ANZAC soldiers and fifty-seven Norwegians, Free French and Belgian soldiers were killed, making 4,572 Allied troops in total. Although expected to lose eighty per cent of their numbers, the actual figure was fifteen per cent. The American cemetery at Collesville-sur-Mer above Omaha beach bears testimony to the sacrifice of the US servicemen. The news of D-day gave sudden, soaring hope to Occupied Europe. Ann Frank, the German-Jewish author who was about to celebrate her fourteenth birthday in hiding in the hidden attic of her father’s warehouse in Amsterdam, wrote poignantly in her now well-known Diary, of her excitement at the news and of her renewed hopes for her future:

The invasion has begun! Great commotion in the Secret Annexe! Would the long-awaited liberation that has been talked of so much but still seems too wonderful, too much like a fairy-tale, ever come true? Could we be granted victory this year, 1944? We don’t know yet, but hope is revived within us; it gives us fresh courage, and makes us strong again.

A Fallen Poet:

One of those who did not survive the Normandy campaign was Keith Castellain Douglas (24 January 1920 – 9 June 1944, pictured below right), an English poet noted for his war poetry during the Second World War and his wry memoir of the Western Desert campaign, Alamein to Zem Zem. Like so many others who fell in Normandy, Douglas had lived a short life but fought a long war. He was born in Tunbridge Wells, Kent, the son of Capt. Keith Sholto Douglas, MC (retired) and Marie Josephine Castellain. Marie Douglas faced persistent ill-health, the collapse of her marriage and extreme financial distress, so much so that only the generosity of the Edgeborough Prep School headmaster Mr James permitted Douglas to attend school in 1930–1931, his last year there. Douglas sat in 1931 for the entrance examination to Christ’s Hospital, where education was free and there was monetary assistance to cover all other costs. He was accepted, and joined Christ’s Hospital, near Horsham, in September 1931, studying there till 1938. It was at this school that his considerable poetic talent and artistic ability were recognised.

After a bruising brush with authority in 1935, Douglas settled down to a less troubled and more productive period at school, during which he excelled both at studies and games, and at the end of which he won an open exhibition to Merton College, Oxford in 1938 to read History and English. The First World War-veteran and well-known poet Edmund Blunden was his tutor at Merton and regarded his poetic talent highly. Blunden sent his poems to T. S. Eliot, the doyen of English poetry, who found Douglas’s verses ‘impressive’.

Keith Douglas.jpg

Within days of the declaration of war he reported to an army recruiting centre with the intention of joining a cavalry regiment, but like many others keen to serve he had to wait, and it was not until July 1940 that he started his training. After attending the Royal Military College, Sandhurst, he was commissioned on 1 February 1941 into the 2nd Derbyshire Yeomanry at Ripon. He was posted to the Middle East in July 1941 and transferred to the Nottinghamshire (Sherwood Rangers) Yeomanry. Posted initially at Cairo and Palestine, he found himself stuck at headquarters twenty miles behind El Alamein as a camouflage officer as the Second Battle of El Alamein began.

At dawn on 24 October 1942, the Regiment advanced, and suffered numerous casualties from enemy anti-tank guns. Chafing at inactivity, Douglas took off against orders on 27 October, drove to the Regimental HQ in a truck, and reported to the C.O., Colonel E. O. Kellett, lying that he had been instructed to go to the front. Luckily this escapade did not land him in serious trouble and he got off with an apology. Desperately needing officer replacements, the Colonel posted him to A Squadron and gave him the opportunity to take part as a fighting tanker in the Eighth Army’s victorious sweep through North Africa vividly recounted in his memoir Alamein to Zem Zem, illustrated with his own drawings.

Captain Douglas returned from North Africa to England in December 1943 and took part in the D-Day invasion of Normandy on 6 June 1944. He survived the Allied landings but was killed by enemy mortar fire on 9 June, while his regiment was advancing from Bayeux. The regimental chaplain Captain Leslie Skinner buried him by a hedge, close to where he had died on forward slopes point 102. Shortly after the war, his remains were reburied at Tilly-Sur-Seulles War Cemetery (14 km south of Bayeux).

Douglas described his poetic style as “extrospective”; that is, he focused on external impressions rather than inner emotions. The result is poetry which, according to his detractors, can be callous in the midst of war’s atrocities. For others, Douglas’s work is powerful and unsettling because its exact descriptions eschew egotism and shift the burden of emotion from the poet to the reader. His best poetry is generally considered to rank alongside the 20th century’s finest soldier-poetry.

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Douglas’ poems were published in The Complete Poems of Keith Douglas by Faber & Faber (1978). Andrew Motion, the former Poet Laureate, has written that while Douglas’ north-African poems may take a seemingly insouciant attitude towards battles, they leave us in no doubt about war’s misery and waste. In Vergissmeinnicht, he juxtaposes the roles of lover and killer in the rotting corpse of a German soldier:

Three weeks gone and the combatants gone

returning over the nightmare ground

we found the place again, and found

the soldier sprawling in the sun.

 

The frowning barrel of his gun

overshadowing. As we came on

that day, he hit my tank with one

like the entry of a demon.

 

Look. Here in the same gun-pit spoil

the dishonoured picture of his girl

who has put: Steffi. Vergissmeinnicht

in a copybook gothic script.

 

We see him almost with content,

abased, and seeming to have paid

and mocked at by his own equipment

that’s hard and good when he’s decayed.

 

But she would weep to see today

how on his skin the swart flies move;

the dust upon the paper eye

and the burst stomach like a cave.

 

For here the lover and the killer are mingled

who had one body and one heart.

And death who had the soldier singled

has done the lover mortal hurt. 

Sources:

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Andrew Roberts (2010), The Storm of War: A New History of the Second World War. London: Penguin Books.

The Guardian History of the Second World War (2009).

Andrew Motion (ed.) (2003), 101 Poems Against War. Faber & Faber.

Michael Clark & Peter Teed (eds.) (1972), Portraits & Documents: The Twentieth Century. London: Hitchinson Educational.

Corbyn, Anti-Semitism and the Radical Critics of Imperialism.   Leave a comment

Imperial theorist J. A. Hobson. Photograph: Elliott & Fry/Getty Images

Introduction – The Clash of World Views:

This May Day morning, another row erupted within the British Labour Party over the proximity of its leader’s ‘world-view’ to those of radical anti-Semites in the party since its beginnings. An article by Danny Finkelstein (pictured above) has drawn attention to the foreword to a recent republication of J A Hobson’s influential 1902 ‘Imperialism’, written by Jeremy Corbyn which, apparently, lauded Hobson’s radical critique of imperialism, while failing to acknowledge the problems it raised and continues to raise in respect of anti-Semitism. Hobson argued in the book that global finance was controlled in Europe by “men of a single and peculiar race, who have behind them many centuries of financial experience”, who were “in a unique position to control the policy”. By contrast with Corbyn’s 2011 preface, books written by historians Bernard Porter (1984) and Niall Ferguson on imperialism have drawn attention to these problems in the context in which Hobson himself was writing. I have given some examples below, which I first wrote about in an article on the Cecil Rhodes controversy at Oxford elsewhere on my website.

 

Extracts from Niall Ferguson’s (2003), Empire: How Britain Made the Modern World:

So close was Rhodes’s relationship with the Rothschilds that he even entrusted the execution of his will to Lord Rothschild, specifying that his estate should be used to fund an imperialist equivalent of the Jesuit order – the original intention of the Rhodes Scholarships. This would be ‘a society of the elect for the good of the Empire’… Rothschild, in turn, assured;

‘Our first and foremost wish in connection with South African matters is that you should remain at the head of affairs in that Colony and that you should be able to carry out that great Imperial policy which has been the dream of your life’.

Not only was imperialism immoral, argued the critics, but, according to these ‘Radicals’, it was also a rip-off: paid for by British taxpayers, fought for by British soldiers, but benefiting only a tiny elite of fat-cat millionaires, the likes of Rhodes and Rothschild. That was the thrust of J. A. Hobson’s profoundly influential ‘Imperialism: A Study’, published in 1902. ‘Every great political act’ argued Hobson,

‘must receive the sanction and the practical aid of this little group of financial kings… They have the largest definite stake in the business of Imperialism, and the amplest means of forcing their will upon the policy of nations… Finance is the governor of the imperial engine, directing the energy and determining the work.’

H. N. Brailsford, another contemporary radical, took Hobson’s argument further in his ‘The War of Steel and Gold: A Study of the Armed Peace’, (written in 1910, but not published until 1914). ‘In the heroic age,’ Brailsford wrote,

‘Helen’s was the face that launched a thousand ships. In our golden age the face wears more often the shrewd features of some Hebrew financier. To defend the interests of Lord Rothschild and his fellow bondholders, Egypt was first occupied and then practically annexed by Great Britain… The extremest case of all is, perhaps, our own South African War.’

Was it not obvious that the war had been fought to ensure that the gold mines of the Transvaal remained securely in the hands of their capitalist owners? Was not Rhodes merely, in the words of the Radical MP Henry Labouchere, an…

‘… Empire jerry-builder who had always been a mere vulgar promoter masquerading as a patriot, and the figurehead of a gang of astute Hebrew financiers with whom he divides the profits?’

Like those modern conspiracy theories which explain every war in terms of the control of oil reserves, the Radical critique of imperialism was an over-simplification (Hobson and Brailsford little knew what a liability Rhodes had been during the siege of Kimberley.) And like those other modern theories that attribute sinister power to certain financial institutions, some anti-imperialism conveyed more than a hint of anti-Semitism. (283-4)

The ‘Crux’ of the Issue:

Above: Image from a map of the world in 1900, showing the extent of the British Empire.

In this last comment by Niall Ferguson, we reach the crux of the issue. Certainly, Rhodes was a colonialist and imperialist, as were most leading figures of his day, not just within the British Empire, but within all the European empires. In Africa, as noted here, the French were equally aggressive in their pursuit of land and resources, and the Belgians and subsequently the Italians also used what, even within the terms of this ‘scramble’ were excessive means against the native African populations. That is not to justify the actions that Rhodes was involved in, but just to place them in a broader context. It also needs to be noticed that his while his strategy for developing Rhodesia was a classical colonialist one, through the control of trading companies, his involvement in the Transvaal and later in the relief of Kimberley was concerned with achieving British supremacy over a white race, the Boers and that, if anything, his attitudes towards the original natives were far more liberal than those of the Afrikaners, certainly than those of Kruger. There is also evidence that, as a businessman, he retained a practical antipathy for everyday racial discrimination. On this question, he should not be judged by today’s standards, but as living at a time when theories of racial hierarchy and paternalism were dominant throughout Britain and Europe.

These theories are certainly evident in the architecture of Oxford, Bristol, Liverpool, London, Birmingham, Edinburgh and other cities which grew rapidly in the eighteenth and nineteenth century. If every surviving reminder of slavers, colonialists and imperialists were to be torn down, the city-scapes of Britain would look radically different, and greatly impoverished. More importantly, much of modern human history has been about the replacement of one great ‘construct’ with another, whether in economics, politics, or art and architecture. As Niall Ferguson has pointed out in more recent and specific publications on the issue, the liberal imperialism of the late Victorian period was criticised by Radicals who revealed themselves as overtly anti-Semitic. The new empires of fascists and communists which characterised the 1930s and 1940s were far more universally destructive than the old ones, yet we do not seek to remove every trace of them. Finally, far from being an ‘architect of apartheid’, as recently asserted in the Oxford student debates over the potential removal of his statue there, there is a fundamental ‘disconnect’ between the imperialism of Rhodes and his contemporaries in Africa and the post-1948 racist regimes in Southern Africa. They drew their inspiration from a heretical view of sectarian Calvinism which was very far removed from the Victorian ‘Anglican’ paternalism of ‘the white man’s burden’ to which Rhodes subscribed.

In an article in ‘The Guardian’ (1 May 2019) another academic historian has pointed out how deeply Hobson’s hatred of all forms of imperialism ran, and his book is certainly a compelling read, an essential one for all undergraduates studying the dominant themes and events of the first half of the twentieth century. Taylor, a professor in modern history at the University of York, wrote in his article that:

“He understood the terrible consequences of European conquest overseas like no one before. He described how jingoism and support for empire inveigled its way into popular culture at home via the media and populist politicians. It remains a signature text and influenced Lenin, the philosopher Karl Kautsky, the political economist Joseph Schumpeter and other classics of the anticolonial canon. Hobson himself went on to become an éminence grise within the Labour party after the first world war, helping draft its economic policy as it entered government for the first time in 1924. He was later tipped for a peerage.

“However, his antisemitism is inseparable from his attack on imperialism. Only alluded to once in the book to which Jeremy Corbyn added his thoughts, Hobson’s virulent assault on Jews is a recurrent theme of another book that first brought him fame and acclaim, 1900’s The War in South Africa. Sent out to cover the Boer war for this newspaper when it was known as the Manchester Guardian, Hobson let rip his racism. Reporting on his visits to Pretoria and Johannesburg towards the end of 1899, he mocked Judaism, described the control of the gambling and liquor industries by Jews, and their behind-the-scenes influence over the warmongering newspapers. Indeed, “the Jewish factor” received an index entry all of its own in this book. Without The War in South Africa, and its antisemitism, Hobson would not have shocked his way into the public eye and received the commission for his most famous work of all.”

Today the Labour Party seeks to draw a line between anti-Zionism and anti-Semitism that few would have understood a hundred years ago. The Radical anti-imperialists like Hobson had a direct influence on the development of the early Labour Party’s foreign policy. By the mid-twenties, there were those within the Labour Party, like the Fabian Beatrice Webb, who began to question the aims of the Zionist movement:

… I admire Jews and dislike Arabs. But the Zionist movement seems to me a gross violation of the right of the native to remain where he was born and his father and grandfather were born – if there is such a right. To talk about the return of the Jew to the land of his inheritance after an absence of two thousand years seems to me sheer… hypocritical nonsense. From whom were descended those Russian and Polish Jews?

The principle which is really being asserted is the principle of selecting races for particular territories according to some ‘peculiar needs or particular fitness’. Or it may be some ideal of communal life to be realised by subsidised migration. But this process of artificially creating new communities of immigrants, brought from many parts of the world, is rather hard on the indigenous natives!

In other statements, Beatrice Webb was also quite open about her antipathy for Zionism. In 1929, the new Labour government in Britain appeared to repudiate the Balfour Declaration. Beatrice’s husband, Sidney Webb, by then Lord Passfield and Colonial Secretary, published a white paper which threatened to restrict Jewish immigration and the sale of Palestinian lands to Jews. This was viewed as a provocative act, and was greeted by a furore of protests from Zionists worldwide, from Conservative imperialists in Britain and from some Labour MPs. This enabled the Zionists to sweep away this hurdle; the British government quailed beneath the storm and gave way. This was a crucial decision because, although afterwards pro-Zionist feeling in Britain was never again as strong, control of migration was taken out of Britain’s hands. The Jewish population of Palestine more than doubled in the five years between 1931 and 1936.

What determined the outcome in Palestine, the creation of the state of Israel on the left bank of the Jordan in 1948, and its subsequent expansion into Arab territory, was the balance of strength on the ground between the two populations, which had changed in favour of the Zionist settlers by 1936. Between the wars, however, Palestine had to remain a British mandated territory. The British were unable to delegate their responsibilities to the Zionist organisation, as many wanted them to do. It remained in the same state as the ‘dependent’ territories within the British empire, a colony ruled directly from London, like Kenya.

Right: Sidney Webb (Lord Passfield)

What emerges from these portraits and documents concerning Zionism, imperialism and Palestine in the period 1916-36 is that there was no imperialist conspiracy to create the state of Israel as it existed after 1948. Certainly, there were good relations between leading Zionists and imperialist politicians in Britain, including those in Attlee’s government, but it was the confusion of competing claims and rights in Palestine itself, together with the inability to control the flow of migrants and refugees under the terms of the British mandate which led to the development of the country through settlement into the self-governing state of Israel following the handover of the mandate to the United Nations in 1948. It is difficult to imagine how the outcome of these events could have been any different, especially given the refugee crisis created by the war. The idea that the state of Israel was an artificial creation, a ‘mistake’ as Ken Livingstone has called it in his more recent interview on Arabic TV, does not match the reality of the emerging patterns of the population on the ground in inter-war Palestine. There was no rational alternative to the decisions that were made and no other alternative humanitarian solution.

The Labour Party needs to accept the burden that history has given it to bear from the past hundred years. Either it continues to support the creation of the state of Israel, as Ernest Bevin and Clement Attlee finally did in 1949, or call for its dismantling and destruction, by one means or another, which is what the current leadership of the Labour Party, in the Fabian tradition of the Webbs, wants to do. The continuing tropes about global capitalist conspiracies with Israel and Jewish individuals/ organisations (like Georges Soros and ‘Open Society) at the centre of them have been shared among populist leaders from Viktor Orbán’s extreme right-wing government in Hungary to Corbyn’s hard- left supporters. Even if they wanted to, their opportunism and ideologies (respectively) would not allow them to jettison these anti-Semitic tropes.

The Debate Continues in ‘The Jewish News’, 3 May 2019:

While a spokesman said this week Corbyn “completely rejects the antisemitic elements in his analysis”, the veteran MP made no mention of this in his lengthy endorsement. Instead, the Labour leader described Hobson’s book as “a great tome”, and praised the writer’s “brilliant, and very controversial at the time” analysis of the “pressures” behind western, and in particular British, imperialism at the turn of the 20th century.

After the Board of Deputies wrote to him to demand an explanation, Corbyn responded yesterday to say he was “deeply saddened” that the…

…“mischievous representation of my foreward will have caused real stress within the Jewish community” and rounded on the “false accusation that I endorsed the antisemitic content of this 1902 text”.

“While writing the foreword, I reserved praise for some of the broad themes of Hobson’s century-old classic study of imperialism in Africa and Asia. As with many book written in this era, the work contains highly offensive references and observations. I totally deplore the language used in that book to describe Jews and people from colonised countries.

“The accusation is the latest in a series of equally ill-founded accusations of anti-Jewish racism that Labour’s political opponents have made against me. I note that the Hobson story was written by a Conservative Party peer in a newspaper whose editorial policy, and owner, have long been hostile to Labour. At a time when Jewish communities in the UK, and throughout Europe, feel under attack, it is a matter of great regret that the issue of antisemitism is often politicised in this way.”

Board of Deputies president Marie van der Zyl wrote to Corbyn, telling him that the …

… “community is entitled to an apology for this failure to speak out against prejudice against our community when confronted with racism.

“There is ‘an impression that you either do not care whether your actions, inadvertently or deliberately, signal support for racist attitudes or behaviours” …

“Whilst you, quite correctly, explicitly commended Hobson’s criticism of caricatures of African and Asian people, there is a failure to make even a passing reference to the blatant antisemitism in the book that you enthusiastically endorse.”

“In your letter, you claim only to have ‘reserved praise for some of the broad themes’ of Hobson’s book and that you ‘totally deplore’ the antisemitism that was commonplace in ‘this era.

“However, we note that your lengthy and detailed foreword of over 3500 words, variously describes Hobson’s work as “great”, “remarkable”, “interesting”, “brilliant”, “painstaking”, “very powerful”, “attractive”, “valid”, “correct”, “prescient” and “very prescient”, without any qualification referring to the antisemitism within it.”

The Jewish Labour Movement has submitted an official complaint to the party over this week’s revelation and asked the EHRC to include Corbyn’s endorsement of Hobson’s book in any investigation of the party for institutional antisemitism. “A fish rots from the head”, it said in a strongly-worded statement, adding that any other Labour member would have been suspended and calling on Corbyn to consider his position.

Conclusion – More Tropes & Conspiracy Theories:

Corbyn’s ‘foreword’, written well before he became Labour leader was not a critical appraisal of Hobson’s work, which would have been scholarly and circumspect, but an uncritical and ahistorical whitewashing of a text which not only criticises the ‘Liberal’ imperialism of the time, but also contains anti-Semitic tropes and conspiracy theories which dominated the thinking of many Left-wing theorists within the Labour Party in the early part of the twentieth century. It helped to create a popular intellectual climate which led directly to the persecution of Jews throughout Europe in the years that followed. In this context, Corbyn should explain himself and/or apologise for his slipshod and shoddy writing, which has caused considerable offence to the Jewish Community.

Amritsar, April 1919: Mass Murder in an Indian Garden – the Primary Sources.   Leave a comment

Background – The Rowlatt Act, ‘Satyagraha’ & ‘Hartal’:

13-14 April 1919 marks the centenary of the Massacre at Amritsar, India, a tragic event, the aftermath of which led to the growth and development of the Indian independence movement. Early in 1919, The Rowlatt Act was passed providing special powers to the Government to suppress movements aimed against the State. It authorised arrest and detention without trial of persons suspected of anti-government activities. Gandhi was recovering from a long illness which began with an acute attack of dysentery when he read in the papers the Rowlatt Committee’s report which had just been published. Its recommendations startled him. He went to Ahmedabad and mentioned his apprehensions to Vallabhbhai, who came to see him almost daily:

‘Something must be done,’ said I to him. ‘But what can we do in the circumstances?’ he asked in reply. I answered, ‘If even a handful of men can be found to sign the pledge of resistance, and the proposed measure is passed into law in defiance of it, we ought to offer Satyagraha at once. If I was not laid up like this, I should give battle against it all alone, and expect others to follow suit. But in my present condition I feel myself to be altogether unequal to the task.

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A small meeting of ‘satyagrahi’ was called. ‘Satyagraha’ meant ‘clinging to truth or spiritual force as against physical force’ or ‘non-violent resistance.’ Gandhi wrote in his ‘Experiments with Truth’ that:

A Satyagrahi obeys the laws of society intelligently and of his own free will because he considers it to be his sacred duty to do so. It is only when a person has thus obeyed the laws … that he is in a position to judge as to which particular rules are good and just, and which are unjust and iniquitous. … My error lay in my failure to to observe this necessary limitation. I had called on the people to launch upon civil disobedience before they had thus qualified themselves for it, and this mistake seemed to me of Himalayan magnitude. … I realised that before a people could be fit for for offering civil disobedience they should thoroughly understand its deeper implications. That being so, before re-starting civil disobedience on a mass scale, it would be necessary to create a band of well-tried, pure-hearted volunteers who thoroughly understood the strict conditions of Satyagraha. They could explain these to the people, and by sleepless vigilance, keep them on the right path. … Whilst this movement for the preservation of non-violence was making steady through slow progress on the one hand, the Government’s policy of lawless repression was in full career on the other. …

As all hope of any of the existing institutions adopting a novel weapon like Satyagraha seemed to Gandhi to be vain, a separate body called the ‘Satyagraha Sabha’ was established. However, it soon became apparent to him that some of its members were sceptical about his emphasis on ‘ahimsa’ (non-violence), but in its early stages, the movement quickly gained momentum. The Bill had not yet been enacted when, still in a very weak condition, Gandhi received an invitation to go to Madras, and he decided to take this risk of the long journey. Once there, he met daily with lawyers there to discuss plans for fighting back, but he could think of no other tactics than holding public meetings. He felt at a loss to discover how to offer civil disobedience against the Rowlatt Bill if it was finally passed into law. It could only be disobeyed if the government made room for disobedience. Failing that, could they disobey other laws and, if so, where was the line to be drawn? These and a host of other questions formed the basis of their discussions. While these went on, news reached them that the Rowlatt Bill had been published as an Act:

That night I fell asleep while thinking over the question. Towards the small hours of the morning I woke up somewhat earlier than usual. I was still in that twilight condition between sleep and consciousness when suddenly the idea broke upon me – it was as if in a dream. Early in the morning I related the whole story … “The idea came to me last night that we should call upon the country to observe a general ‘hartal’. Satyagraha is a process of self-purification, and ours is a sacred fight, and it seems to me to be in the fitness of things that it should be commenced with an act of self-purification. Let all the people of India, therefore, suspend their business on that day and observe the day as one of fasting and prayer. The Musalmans may not fast for more than one day; so the duration of the fast should be twenty-four hours. It is very difficult to say whether all the provinces would respond to this appeal of ours or not, but I feel fairly sure of Bombay, Madras, Bihar and Sindh. I think we should have every reason to feel satisfied even if all these places observe the ‘hartal’ fittingly.”

His colleagues were immediately taken up with his suggestion, and he drafted a brief appeal. The date of the ‘hartal’ was originally fixed for 30th March, but then subsequently moved to 6th April. This was still short notice, but as careful preparations had to begin at once, it was hardly possible to give a longer period of notice:

But who knows how it all came about? The whole of India from one end to the other, towns as well as villages, observed a complete ‘hartal’ that day. It was a most wonderful spectacle.

After a short tour in South India, ‘Gandhiji’ reached Bombay, where the ‘hartal’ was a complete success. It was decided that civil obedience might be ‘offered’ only in respect of those laws which easily lent themselves to being destroyed by the masses. The ‘Salt Tax’ was extremely unpopular and a powerful movement had been going on for some time to secure its repeal. Gandhi suggested that people might make salt from sea-water in their own houses in disregard of the salt laws. He carried on his campaign against the tax as it was the only product with which the poor could afford to make their rice gruel or bread palatable. Later, in 1930, when he started his Civil Disobedience campaign for Independence, he chose the salt laws for a violation on a nation-wide scale.

On the night of 7 April, he began his journey to Delhi and Amritsar. However, he was prevented from reaching his destinations. Before the train had reached Palwal station, he was served with a written order to the effect that he was prohibited from entering the boundary of the Punjab, as his presence there was likely to result in a disturbance of the peace. Asked by the police to get down from the train, he refused to do so, saying that he wanted to go to the Punjab “in response to a pressing invitation, not to foment arrest, but to allay it.” He was taken off the train and put under police custody before being returned to Mathura, where he was put into police barracks. At four o’clock the next morning he was woken up and put on a goods train that was going towards Bombay. There he was met by a vast, cheering crowd of people who had heard of his arrest. It was confronted by a body of mounted police, whose objective was to stop the procession from proceeding further in the direction of the Fort. The crowd was densely packed, and had almost broken through the police cordon:

There was hardly any chance of my voice being heard in that vast concourse. Just then the officer in charge of the mounted police gave the order to disperse the crowd, and at once (they) charged upon the crowd brandishing their lances as they went. For a moment I felt that I would be hurt. … the lances just grazed the car as the lancers swiftly passed by. The ranks of the people were soon broken, and they were thrown into utter confusion, which was soon converted into a rout. Some got trampled under foot, others were badly mauled and crushed. In that seething mass of humanity there was hardly any room for the horses to pass, nor was there any exit by which the people could disperse. So the lancers blindly cut their way through the crowd. I hardly imagine they could see what they were doing. The whole thing presented a most dreadful spectacle. The horsemen and the people were mixed together in mad confusion.

The crowd was therefore dispersed and its progress was prevented. When the car was allowed to proceed, Gandhi had it stopped outside the Commissioner’s office, where he went in to complain about the conduct of the police. He went on to address a meeting on the Chowpati sands, a popular beach in Bombay. He spoke at length about the duty of non-violence and on the limitations of ‘Satyagraha’:

Satyagraha is essentially a weapon of the truthful. A Satyagrahi is pledged to non-violence and, unless people observe it in thought, word and deed, I cannot offer mass Satyagraha.

12-13 April – Ahmedabad & Amritsar:

Having heard of disturbances in Ahmedabad, in which a sergeant had been ‘done to death’, Gandhi went there and learnt that a Government officer had been murdered in Viramgam and that Ahmedabad was under martial law. He wrote that ‘the people were terror-stricken: They had indulged in acts of violence and were being made to pay for them with interest.’ A police officer met him at the station and escorted him to meet the commissioner, who was ‘in a state of rage’. Gandhi told him that he thought that martial law was unnecessary, declaring his readiness to co-operate in all efforts to restore peace, including holding a public meeting. This was held on 13 April, and martial law was withdrawn on the same day or the day after. Addressing the meeting, Gandhi sought to bring home to the people the sense of their wrong by declaring a three-day penitential fast for himself, encouraging them to join him for a day during which those who were guilty of acts of violence would confess.

Meanwhile, in Amritsar, a city of 150,000 in the Punjab, the two ‘hartals’ were successful, stopping the business of the city without collision with the police and with no resort to violence. Five days after they began, Brigadier-General Reginald Edward Dyer of the British Army arrived in the city. He immediately issued a proclamation, on 12 April, prohibiting processions and meetings. The following day about twenty thousand people gathered for an already planned public meeting in a small garden square surrounded by houses in the middle of the city. General Dyer entered the square with his troops and ordered the people to disperse.

The Hunter Committee Inquiry Report:

The Hunter Committee, an official board of inquiry into what happened later stated,

From an examination of the map showing the different places where the proclamation was read, it is evident that in many parts of the city the proclamation was not read.

The Hunter Report then tells the story of what followed on 13 April:

About one o’clock, General Dyer heard that the people intended to hold a big meeting about four-thirty p.m. On being asked why he did not take measures to prevent its being held, he replied: ‘I went there as soon as I could. I had to think the matter out.’

The meeting took place at Jallianwala Bagh (a ‘bagh’ is a garden):

It is a rectangular piece of unused ground … almost entirely surrounded by walls of buildings. The entrances and exits to it are few and imperfect … At the end at which General Dyer entered there is a raised ground on each side of the entrance. A large crowd had gathered at the opposite end … and were being addressed by a man on a raised platform about one hundred and fifty yards from where General Dyer stationed his troops.

His troops consisted of twenty-five Gurkhas from Nepal; twenty-five Baluchis from Baluchistan armed with rifles; forty Gurkhas armed only with knives. In addition, he had two armoured cars. The Report contradicts the statement made above, claiming that:

Without giving the crowd any warning to disperse … he ordered his troops to fire and the firing continued for about ten minutes. … As soon the firing commenced the crowd began to disperse. … The firing was individual and not volley firing.

The earlier eye-witness report says that within two or three minutes of ordering the crowd to disperse, Dyer ordered his men to fire. As a result, about four hundred died and one or two thousand were wounded, it claims. The official report estimated that there were three times as many wounded as dead. This added up to 379 dead, plus 1,137 wounded, or 1,516 casualties with the 1,650 rounds fired. The crowd, penned in the low-lying garden, was quite literally a sitting (or kneeling) target. In his dispatch to his superior officer, quoted in the Hunter Report, General Dyer stated (with his emphasis):

It was no longer a question of merely dispersing the crowd, but one of producing a sufficient moral effect from a military point of view, not only on those who were present, but more especially throughout the Punjab. There could be no question of undue severity.

Testifying himself before the Hunter Committee, Gandhi was asked to elaborate his principle and practice of Passive Resistance, or ‘Satyagraha’. He had already explained that the method was the clearest and safest because if the cause was not true, it was the resisters, and they alone, who suffer:

Q. (Sir Chimanlal Setalvad): Who … is to determine the truth? A. (Gandhi): The individual himself would determine that. Q. Different individuals would have different views as to Truth. Would that not lead to confusion? A. I do not think so. Q. Honest striving after Truth is different in every case. A. That is why the non-violence … was … necessary. … Without that there would be confusion and worse.

 

Reflections on the Massacre:

Reflecting on the Amritsar events in a later edition of  ‘Young India’ (shown above) in December 1924, Gandhi wrote:

All terrorism is bad whether put up in a good cause or bad. Every cause is good in the estimation of its champion. General Dyer (and he had thousands of Englishmen and women who honestly thought with him) enacted Jallianwala Bagh for a cause which he undoubtedly believed to be good. He thought that by that one act he had saved English lives and the Empire. That it was all a figment of his imagination cannot affect the valuation of the intensity of his conviction. … In other words, pure motives can never justify impure or violent action.

The repressive side of British policy had reasserted itself in the Rowlatt Acts, which severely attenuated judicial procedures in suspected conspiracy cases; in the Amritsar massacre; and even more, perhaps, in the reaction to that massacre in Britain, where its perpetrator was mildly censured by the army, then virulently defended by his superiors, by the House of Lords, by much of the press, by most Conservative MPs, and by a large number of ordinary people who subscribed twenty-six thousand pounds in a month to a fund set up on his behalf by the ‘Morning Post’. For the more senior members of the British population, memories of the 1857 Indian ‘Mutiny’ were still powerful. Terrorism and rioting were apparent in other parts of India, even if the Punjab had been relatively calm. For many of those back home, if not the British in India, Dyer had ‘nipped in the bud’ these dangers, and they regarded the government’s treatment of him as ‘shabby’. In addition to the intense feeling that the massacre itself had created, the effect of all this on Indian nationalist opinion was disastrous. Gandhi made it the occasion for his first non-cooperation campaign. In India, as in Ireland, British repression only undid the gains made by the policy of concession and ‘dyarchy’.

LSF QPS I object to violence Gandhi LR

Dyer’s unnecessary massacre was the child of the British mentality then dominating India. Jallianwala Bagh quickened India’s political life and drew Gandhi more overtly into it. He became involved in Congress proceedings at Amritsar which convinced him that there were ‘one or two things for which perhaps I had some aptitude and which could be useful to the Congress.’ One of these was the memorial for the Jallianwala Bagh Massacre. The Congress had passed a resolution for it amid great enthusiasm. A fund of about five ‘lakhs’ had to be collected for it. Gandhi was appointed as one of the trustees.

Sources:

Louis Fischer (1962), The Essential Gandhi: An Anthology – His Life, Work and Ideas. New York: Vintage Books.

Bharatan Kumarappa (ed.)(1952), Gandhiji’s Autobiography (Abridged). Ahmedabad: Navajivan Publishing House.

Bernard Porter (1984), The Lion’s Share: A Short History of British Imperialism, 1850-1983. London: Longman.

Paul of Tarsus: Jew, Roman & Christian Missionary to the Gentiles – Part Three   Leave a comment

Part Three: The Third Missionary Journey, Jerusalem & Rome.

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Chronology:

The chronology of Paul’s career cannot be fixed precisely, but fortunately, we have one precise date to start from. The proconsul before whom Paul was cited at Corinth on his first visit there was Junius Annaeus Gallio, who was known to have held the appointment from July AD 51 to June AD 52. Based on the reports of this visit in Acts, Paul was in Corinth from early in 50 to late 51. From this fixed point, we can then calculate backwards and forwards, using the indications of time supplied in Paul’s own letters or in Acts. If Paul reached Corinth early in 50, then his ‘Second Missionary Journey’ must have begun in 49, and the visit to Jerusalem which preceded it, when he came to an agreement with the leaders of the church there, would presumably have taken place in AD 48. Paul dates his earlier visit to Jerusalem fourteen years before, pointing to AD 35, three years after his conversion, which has therefore been tentatively dated to AD 33. When exactly Paul arrived at Ephesus is a matter of conjecture, but we know that he established himself there for a full three years. His stay there seems to fall between 54 and 57 AD, rather than any earlier, and it was between these years that he undertook his ‘Third Missionary Journey’.

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Ephesus & Corinth:

The ‘Third Missionary Journey’, through the interior of Asia Minor, is given the most cursory treatment in Luke’s diary which constitutes much of the Acts of the Apostles. He seems to be in a hurry, as Paul himself probably was, to reach Ephesus (Acts 18: 23; 19: 1). It is evident that he had formed definitive ideas about the most effective way of conducting his mission. He decided not to cover ground by moving rapidly from place to place, but to settle, as he had done at Corinth, in a suitable centre from which he could reach a whole province. Ephesus was to prove to be such a centre as one of the principal cities of the province of Asia, with excellent communications by land and sea. Settled by Greeks in antiquity, but always with something oriental about it, it had been a meeting place of East and West long before the conquests of Alexander had inaugurated the Hellenistic age. Its world-famous temple was dedicated to the native Anatolian fertility-goddess, Artemis, or Diana to the Romans (Acts 19: 27; 34 f.), though she had little in common with the virgin huntress of the classical pantheon. From ancient times a seat of Greek philosophical thought, Ephesus was also hospitable to all manners of superstitions, and in Paul’s time it was notorious as a centre of the ‘black arts’ of magic (Acts 19: 18 f.). This was the place which for the next three years or so was to be Paul’s headquarters (Acts 20: 31). There are evident signs that this was a planned strategy on his part. Ephesus was another meeting point of trade routes and cultures, and therefore an excellent place from which to disseminate the gospel.

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Paul arrived in Ephesus and began as always in the synagogue, this time for three months. Opposition grew, however, as the disturbing implications of Paul’s way of reading the familiar stories dawned upon the puzzled hearers. Resistance hardened, and this may have been one of the occasions when submitting to synagogue discipline, Paul received the official Jewish beating of forty lashes. He tells us that he had received this five times, which in itself indicates his steady commitment to working with the synagogue congregations as long as he could since he could easily have avoided the punishment by simply not turning up. Some of the Jewish community in Ephesus had begun to spread rumours about what this “Messiah cult” was doing. From later writings, we can guess at the sneering comments about what these ‘Jesus-worshippers’ were up to behind closed doors, with men and women meeting together and talking about a new kind of “love,” not to mention the disturbing gossip about eating someone’s body and drinking their blood. So Paul realised, as he had done in Corinth, that he could no longer treat the synagogue as his base. It was time to move elsewhere. He formally ‘withdrew his converts’ and established himself on neutral territory in a lecture hall in the city, which he rented. For the next two years, he divided his time between his tent-making business and the public exposition of the faith. He held daily conferences at the hall, open to all comers, which attracted numbers of residents to the city (Acts 19: 8-10). People came from far and wide, spent time in the city, and then went on their way. They chatted about anything strange or new that they had come across in their travels. The group of early Christians who met in the lecture hall was one of these.

By this time, Paul had built up an efficient ‘staff’, whose names keep recurring in his letters – Timothy (Rom. 16: 21; 1 Cor. 4: 17; 16: 10; Phil. 2: 19-23 etc.), Luke, Tychicus (Eph. 6: 21; Col. 4: 7; II Tim. 4: 12; Titus 3: 12) and several others, though Silas had, by this time, faded out of the narrative. They were available either to work by his side at the headquarters or to be sent where they could be useful in keeping in touch with churches already founded, or in breaking new ground. It was in this way that Paul’s mission in the province spread. We happen to learn from his letters the names of the three up-country towns where churches were founded without any visit from the apostle himself – Colossae, Laodicea and Hierapolis (Col. 1: 7; 2: 1; 4: 13-16) – and there were certainly others. The author of Acts says, perhaps with some exaggeration, that…

…the whole population of the province of Asia, both Jews and pagans, heard the word of the Lord.

(Acts 19: 10)

Meanwhile, however, trouble was brewing. There was furious opposition from the Jews (Acts 20:19), and some from pagan quarters (Acts 19: 23-27), though we hear also of some of the dignitaries of the province who were friendly towards him (Acts 19: 31). We have some record both in Acts and in the letters (I Cor. 15: 32; II Cor 1: 8). From the letters to the Corinthians we also learn something that the author of Acts does not tell us, that Paul was, at this time, driven almost to distraction by disorder in the church in Corinth. In a climactic passage of his letter to the Galatians, he had pointed out that the Messiah’s people had ‘died’; they had left behind their old identities as Jews or Gentiles and had come into a new identity (Galatians 2: 19-21). That was, in part, why the gospel was “a scandal to Jews,” but, at the same time, only makes sense within a deeply Jewish, messianic view of the world. Charged with his specific responsibility, Paul was able, without compromising that messianic identity, to live alongside people of all sorts, sharing their customs while he was with them. When he had dinner with Jewish friends, they would have eaten ‘kosher’ food together, and when he went to dinner with non-Jewish friends, he would have eaten whatever they put in front of him (I Cor. 10: 27). What would then have made the difference was ‘conscience’, not Paul’s, but that of anyone else who might have been offended or who might be led back into idolatry.

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This must have been a much harder path to tread than that sketched in the apostolic letter issued after the Jerusalem Conference in which simple abstinence from all relevant foods was enjoined. Paul not only thought that this was unnecessary, but that it violated the fundamental principles of Jewish belief itself. His own pragmatic solution must have seemed not just paradoxical, but also perverse to some. For instance, a Jewish family who had shared a meal with Paul and watched him keep all the Jewish customs must have found it strange that the same week he had dined with a Gentile family and eaten what they were eating, though a Gentile family would have seen little harm in it. But, once again, Paul is teaching in his letter to the Corinthians that they should think like the people of the Messiah, building on the foundation of Israel’s scriptures, interpreting them afresh in the light of the crucified and risen Messiah himself. So in Chapter eleven of his epistle, he deals with the problems of the family meal, the Lord’s Supper or ‘Eucharist’. Then in Chapter twelve, he addresses the question of unity in the fellowship and the way in which the Spirit gives to each member of ‘the Messiah’s body’ different gifts to be used for the benefit of all. In Chapter fourteen, Paul applies this to the corporate worship of the church, following his exquisite poem about divine love, agape, in chapter thirteen. In this, Paul is not just teaching them ‘ethics’, but also to think eschatologically:

We know, you see, in part;

We prophesy in part; but, with perfection,

The partial is abolished. As a child

I spoke, and thought, and reasoned like a child;

When I grew up, I threw off childish ways.

For at the moment all that we can see

Are puzzling reflections in a mirror;

But then I’ll know completely, through and through,

Even as I’m completely known. So, now,

Faith, hope and love remain, these three; and, of them

Love is the greatest.

(I Cor. 13: 9-13).

Love is not just a duty. Paul’s point is that love is the believer’s destiny. It is the reality that belongs to God’s future, glimpsed in the present like a puzzling reflection, but waiting there in full reality for the face-to-face future. And the point is that this future has come forward to the present time in the events involving Jesus and in the power of the spirit. That is why love matters for Paul even more than faith, which many have seen as his central theme. Love is the present virtue in which believers anticipate and practice the life of the ultimate life to come. That’s why the final theological chapter, fifteen, dealing with the resurrection of the body, is the centre of the gospel. It is also the beginning of a study I have made elsewhere on this website in a series of articles examining the role of eschatology in Christian thought from Paul onwards. Paul’s main point in relation to the fulfilment of Israel’s hope is about messianic eschatology. He is not saying, “We Jesus-followers have found a better sort of religion than the old Jewish one.” But if Israel’s Messiah has come and has been raised from the dead, then those who follow him are the true people of God. This is blunt but consistent and precisely what the followers of the other first-century Jewish leaders would have said. It was not disloyalty to Israel’s God, but the contested messianic loyalty that characterised Paul’s missionary thought and journeys throughout.

Jesus had described himself at his trial by the Sanhedrin as the ‘Son of Man’, which was the Hebrew and Aramaic way of saying ‘man’ and could even be used to describe the Jewish people themselves who believed themselves to be ‘God’s People’. Jesus used the words not just to describe his own ministry, but about himself and his friends, the new ‘People of God’. The word ‘Christ, the Greek translation of ‘Messiah’, meaning ‘the one who is anointed’, was a word Jesus seemed not to like and was more wary of using, including of himself. When Peter had used the word of him, he rebuked him for doing so. It was a word with a long history. Kings had been ‘anointed’ and prophets had been spoken of as ‘anointed’. The word was even used of a foreign emperor, Cyrus. In the years before Jesus began his ministry, the word had come to represent God’s ‘Chosen Leader’ whom the Jewish people expected God to send as their deliverer. But this ‘Chosen Leader’ was thought of in many different ways – sometimes as a supernatural figure, sometimes as a soldier. Yet although he did not like the word and did not use it of himself, Pilate had had him executed as a ‘messiah’, a claimant to the leadership of the Jewish people – ‘the Jewish King’, as he had put it on the official death-notice on the cross.

It seemed to Jewish Christians that no word described him better – he was ‘God’s Chosen Leader’. They began to talk about him as ‘Jesus the Messiah’, where ‘Messiah’ is a simple descriptive name. When ‘Messiah’, however, was translated into Greek as ‘Christ’, it began to change its meaning. Greek-speaking ‘foreigners’ didn’t understand it and simply used it as Jesus’ second name. Paul, of course, knew the Jewish world from the inside and used the word ‘Christ’ in his letters to describe the whole influence of Jesus – his life in Palestine and the new experience of God which he made possible, so that he could use the words ‘Spirit’, ‘Spirit of God’ and ‘Spirit of Christ’, as we have seen, to describe this new experience. Paul was struggling with an almost impossible task, and he was aware of how difficult it was. But to talk about Jesus as though he was not just a good man who had died was to be false to what he felt in his heart the new divine experience to be. His meeting with the Messiah on the Damascus Road fulfilled everything and thereby changed everything, as the following statement made clear:

Whatever I had written in on the profit side, I calculated it instead as a loss – because of the Messiah. Yes, I know that’s weird, but there’s more: I calculate everything as a loss, because knowing King Jesus as my Lord is worth far more than everything else put together! In fact, because of the Messiah I’ve suffered the loss of everything, and I now calculate it as trash, so that my profit may be the Messiah, and that I may be discovered in him, not having my own covenant status defined by the Torah, but the status which comes through the Messiah’s faithfulness: the covenant status from God which is given to faith. This means knowing him, knowing the power of his resurrection, and knowing the partnership of his sufferings. It means sharing the form and pattern of his death, so that somehow I may arrive at the final resurrection from the dead.

(Phil. 3: 7-11).

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The Messiah regarded his status, “equality with God”, not as something to exploit, but as committing him instead to the life of the ‘servant’ and the shameful death of the ‘slave’. That is why he was now exalted as Lord over all. ‘Lord’ was another word the early Christians used as a common way of identifying Jesus; he was ‘the Lord Jesus Christ’. The word ‘Lord’ had been used for God in the Old Testament; God was ‘Lord’. It was also used to describe the Roman Emperors and some of the pagan gods. As Paul once wrote, There are many gods and many lords. So it came to be used of Jesus; to say that “Jesus is Lord” became the simplest way for believers to proclaim their Christian faith. It carried a sense of his presence, his love and his forgiveness, of the power to live in his way, which He gave to all who accepted his love. This is what lay at the back of the struggle to find words that really described what Jesus meant to his followers. The passage above is focused not just on a belief or theory about the Messiah, but on personal knowledge. Paul wrote of knowing King Jesus as my Lord, of knowing him, knowing the power of his resurrection, and knowing the partnership of his sufferings. Paul knew the theory thoroughly, but it meant nothing without the awareness of the person and presence of Jesus himself. His personal ‘knowledge’ of the Messiah found intimate expression in suffering. He speaks of this as a ‘partnership’, which is a translation of the Greek word koinonia, giving us synonyms such as ‘fellowship’ or ‘sharing’. It expressed a mutual belonging for which modern English does not provide exact words.

Paul had come to the point where he was content to share the Messiah’s death in order that he might arrive with him at the ultimate hope of Israel, ‘the resurrection from the dead’.  The ancient story of Israel had been fulfilled in the Messiah, and all Paul’s previous zeal for God and the Torah had to be counted as “trash” by contrast. That’s why he ‘forgot’ about his past and, like an athlete with his eye on the finishing line, aims to strain every nerve to go after what’s ahead. Then comes the point of all this for the Philippians: they must learn to imitate him, as he is imitating the Messiah (Phil. 3: 13-19). But how could the Gentile Christians do this? They had not been zealous Jews, eager for the Torah, but they all had their own status, personal and civic pride. Even if they lacked status, because they were poor, or slaves, or women (though some women, like Lydia, were independent and free), they all had the standing temptation to lapse back into pagan lifestyles. So whether they were Romans reverting to proud colonial ways or simply people who found themselves lured back into sensual indulgence, they must instead resist and find instead the way of holiness and wholeness shaped by the Messiah himself, by his choice of the way of the cross, by his status as the truly human one, the true embodiment of the One God (Tom Wright).

Colossae & Corinth (again):

Paul’s later letters to both the Ephesians and Colossians are both deeply Jewish in their orientation, only making sense within that worldview. Nineteenth-century Protestantism didn’t favour Jewish thought, and didn’t want Paul to be too Jewish and, more recently, some scholars have tended to demote the two epistles as anathema to the more ‘liberal’ agenda they find in Galatians and Corinthians. Tom Wright claims that this is a mistake, resulting from contemporary ideology and moralising which seeks to ‘pigeon-hole’ Paul. Colossians was written, it appears, to a young church. Paul had been informed of its existence by Epaphus, himself from Colossae, who seems to have been converted by Paul in Ephesus and to have returned home to spread the word. Paul’s epistle to the Colossians was written at Rome, when he was in prison in Rome, shortly before his martyrdom, in about AD 63. Colossae had been a great city, but had very much declined, and was now the smallest of the three neighbouring cities in the valley of the Lycus. Laodicea and Hierapolis were still prosperous by comparison. Its church was the most insignificant of the churches which received a letter from Paul, and it was scarcely mentioned in later times. Neither in this epistle nor in the Acts is there any evidence that the apostle ever visited the Colossians. But he had “heard of their faith” (I: 4, 9) and states that they “had not seen his face in the flesh (2: 1). Nevertheless, Paul was praying for the church to grow in faith, wisdom, and understanding and to be able to draw on the “power” of Jesus in living and working to his glory (Col. 1: 9-11). In particular, Paul longed for them to develop and enrich the practice of giving thanks. To that end he supplies them with a poem, like that written to the Philippians (chapter two, above), celebrating the universal lordship of Jesus over all the powers of the world. Part of the meaning of this poem was that it was written by someone in prison. According to Tom Wright, it invites…

… those who read it or pray it to imagine a different world from the one they see around them – a world with a different ‘Lord’ in which the One God rules and rescues, a world in which a new sort of wisdom is unveiled, a world in which there is a different way to be human.   

‘Wisdom’ was the key theme of much of Colossians. As always, Paul wanted people to think, not simply to imbibe rules and principles to learn by heart, but to be able to grow up to full maturity as human beings, experiencing that “Christ is all and in all,” and coming to “the knowledge of God’s mystery.” (Col. 2: 2). All this will happen when they realise that it is Jesus himself who reveals that ‘mystery’ and the means of finding all the hidden treasures of wisdom and knowledge. Paul is here drawing deeply upon two important strands of Jewish thought. First, he knows very well the traditions of prayerful meditation through which devout Jews hoped for a vision of the heavenly realm. These traditions seemed to have been developed at a time when with pagans still ruling Palestine even after the end of the Babylonian exile had ended, there was a sense that the greatest prophetic promises, particularly those concerning the visible and powerful return of Israel’s God to the Temple of Zion had not been realised. Second, there was the belief that the whole creation was made by the One God through his wisdom (Proverbs 8). To speak of “Lady Wisdom” as God’s handmaid in creation was a poetic way of saying that when God made the world, his work was neither random nor muddled, but wise – coherent and well-ordered; it made sense. To reflect God’s image, mankind needed to be wise as well.

The “mystery” tradition and the “wisdom” tradition were both focused by some writers of the period on the Temple. That was where the One God had promised to dwell. If there was to be a display of the ultimate mystery, the writers expected that it would be in the Temple. This expectation got bound together in yet another strand of Jewish thinking: David’s son Solomon, the ultimate ‘wise man’ in the Bible, was also the king who built the Temple. When Solomon consecrated the newly built shrine, the divine glory came to fill the house in such blazing brilliance that the priests could not stand there to do their work (I Kings 8). For us, living in a radically different culture, all this feels like an odd combination of disparate ideas. In Paul’s world, and especially for a well-educated Jew, all these apparently separate notions belonged like a single well-oiled machine. Here is the secret of creation, of wisdom, of mystery, of the Temple. This is how it all fits together. N T Wright challenges us to imagine all the complex but coherent Jewish thought…

… pondered and prayed by Paul as he travels, as he works in his hot little shop, as he stays in a wayside inn, as he teaches young Timothy the vast world of scripture, which is his natural habitat. Imagine him praying all that in the Temple itself as he visits Jerusalem after watching the gospel at work in Turkey and Greece. Imagine, particularly, Paul finding here fresh insight into the way in which, as the focal point of creation, of wisdom and mystery, and of the deep meaning of humanness itself, Jesus is now enthroned as Lord over all possible powers. And now imagine Paul in his moment of crisis, of despair, feeling that the “powers” had overcome him after all, reaching down into the depths of this fathomless well of truth to find, in a fresh way, what it might mean to trust in the God who raises the dead. This is what he comes up with:

“He  is the image of God, the invisible one;

The firstborn of  all creation.

For in him all things were created,

In the heavens and the earth.

Things we can see and things we cannot –

Thrones and lordships and rulers and powers –

All things were created both through him and for him.

And he is ahead, prior to all else

And in him all things hold together;

And he himself is supreme, the head

Over the body, the church.

 

He is the start of it all,

Firstborn from realms of the dead;

So in all things he might be the chief,

For in him all the Fullness was glad to dwell

And through him to reconcile all to himself,

Making peace through the blood of his cross,

Through him – yes, things on the earth,

And also the things in the heavens.

(Col. 1: 15-20.).

If this poem were less elegant, one might suggest that Paul was shaking his fist at the powers on earth and in the dark realms beyond the earth, the powers which had put him in prison in Rome and crushed his spirit to the breaking point. But he was not doing so, but rather invoking and celebrating a world in which Jesus, the one through whom all things were made, is now the one through whom, by means of his crucifixion, all things are reconciled. This is not the world that he and his friends can see with the naked eye since that is one in which allegiance is given to Caesar and there are bullying magistrates and threatening officers, with prisons and torture in their weaponry of oppression. But they are invited to see the world with the eye of faith, the eye that has learned to look through the lens of scripture and see Jesus. The Messiah is living with the Colossians, just as Paul had written to the Galatians. The ancient Jewish hope that the glory of the One God would return and fill the world is thus starting to come true.  It may not look like it in Colossae, as ten or twenty oddly assorted people crowd int Philemon’s house to pray, to invoke Jesus as they worship the One God, to break bread together, and to intercede for one another and the world; but actually, the Messiah, there in their midst, is “the hope of glory.” (Col. 1:27).

From his base in Ephesus, Paul sent different members of his staff to deal with the quarrelling Corinthians (II Cor. 12: 17 f.), but he then found it necessary to interrupt his work and cross the Aegean himself (II Cor. 12: 14). There are two letters to the Corinthians in the New Testament, but these contain clear indications that the correspondence they represent was more extensive. They illustrate vividly the problems that arose when people of widely different ethnic origins, religious backgrounds, levels of education and positions in the social hierarchy were being welded into a community by the power of a common faith, while at the same time they had come to terms with the secular society to which they also owed allegiance. These problems were threatening to split the church into fragments. It may have been about the same time that the very serious trouble broke out which provoked Paul to write his fiercely controversial letter to the Galatians. If the Second Letter to the Corinthians was written at about this time, this would explain Paul’s cri de cour in it: There is the responsibility that weighs on me every day, my anxious concern for all our congregations (II Cor. 11: 28). The difficulties at Corinth were eventually resolved, and Paul, having wound up his work at Ephesus, was able to visit a church now fully reconciled.

Rome & Jerusalem:

It was at this point that he wrote his the longest and most weighty of all his surviving letters, that addressed to the Romans. In this letter, he looked back briefly on the work that lay behind him and sketched a plan for the future. He had covered the eastern provinces of the empire, from Jerusalem as far round as Illyricum. He added that he had no further scope in these parts and that it was now his ambition to bring the gospel places where the very name of Christ has not been heard. Accordingly, he was planning to open up work in the west, with Spain as his objective. On the way, he would visit Rome, and hoped to find support there for his enterprise (Rom. 15: 19-29). Paul had not yet visited Rome, but from the greetings, at the end of his letter he obviously had several friends there, and he knew quite a lot about the what was going on in both the church and the wider society. His intention to round off his work in the eastern end of the Mediterranean world and to move on to the West was a more focused ambition than simply finding more people to preach to, more “souls” to “save”. He wanted to plant the flag of the messianic gospel in key points where the “gospel” of Caesar and the ‘Pax Romana’ was being flaunted. Rome itself was, therefore, the obvious target; but beyond that, Spain, the western edge of the known world, was also a major centre of Roman culture and influence. Paul’s great contemporary Seneca had come from there. Galba, soon to be emperor, had been governor there, based in the port of Tarragona, which would presumably be Paul’s initial target. It boasted a large temple to Caesar. As in Ephesus and Corinth, Paul would have longed to announce that Jesus was the true Kyrios right under Caesar’s nose.

He knew he would have to tread somewhat warily in Rome, as the church there was not of his founding, nor was it within his ‘sphere of influence’ originally laid down by the church in Antioch. He also knew that there was some prejudice against him among the Roman Christians, who had all sorts of rumours about him. Some might distrust him, either because he was too Jewish or because he was not Jewish enough and had treated elements of Jewish practice too loosely. Some kind of outline of his teaching was a basic necessity. Before presenting himself there he sent his letter, a considered and comprehensive statement of his theological position, designed to establish his standing as a Christian teacher. There was also a more pressing need. Something had happened in the recent past in Rome that had put the Roman Christians in a new and complex position. Claudius, who had become emperor in AD 41, had banished the Jews from Rome after riots in the community sometime in the late forties. Despite the decimation of the community, not all the Jews had actually left, and those that remained had ‘gone to ground’ to hide their identity. Paul’s friends Priscilla and Aquila were among those who had left, which was why they were in Corinth when Paul first arrived there, probably in AD 49. But with Claudius’ death in 54 and Nero’s accession to the throne, Claudius’ edict was revoked. Jews could once again be permitted back in the imperial city, though they were not exactly welcomed back with open arms.

At this time, there was more than a streak of anti-Jewish sentiment in Rome. The term “anti-Jewish” is more appropriate than “anti-Semitic,” because the latter implies some kind of racial theory unknown until the second half of the nineteenth century. Also, in the first century, all Jews were identified by their Judaistic religious practises. There was no such thing as a ‘secular Jew’, as is evidenced by the fact that Jews were exempted from making sacrifices to Caesar and the Roman gods. The danger posed by Paul and Silas in Philippi was that, as Jews, they were teaching non-Jews things that it was illegal for Roman citizens and subjects to practice. In the amphitheatre at Ephesus, when Alexander, a Jew, stood up to preach, there were angry whispers. The same antagonism can be sensed on the edge of remarks by poets like Juvenal or sneering historians like Tacitus. Underneath the ethnic and cultural prejudice there was always a ‘theological’ belief that since the Jews did not worship the gods, they could, therefore, be blamed for disastrous events. This blame was subsequently transferred to the Christians in subsequent decades and centuries. Even in Corinth, Gallio’s refusal to make a judgment about Paul caused the mob to beat up the synagogue president, getting away with it. Going after the Jews was a default mode for many, right across the Roman Empire. Besides their exemption from religious observances that would compromise their beliefs, the Jews were allowed freedom of worship and the right to collect taxes for the Temple in Jerusalem, but that didn’t mean that they were integrated into wider society. For the most part, they were ostracised.

Paul’s message ran completely contrary to this social reality. Among the churches he had founded in Asia Minor and Greece this had not been so clear-cut, since he had always started in the synagogue first and made it clear that the gospel was “to the Jew first, but also, equally, to the Greek.” (Rom. 1: 16). He had given no opportunity for the creation of a Gentile-only Christian community. In most of the cities where he had preached, with the possible exception of the large metropolis of Ephesus, the probability is that the followers of Jesus were never large in number, perhaps only ever a few dozen, or in Corinth, conceivably, a few hundred. It would have been difficult for significantly different theological positions to have emerged once these communities had been established, at least not in the early decades of their communal life.

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But in Rome things were different. The message of Jesus had evidently arrived there sometime in the forties, perhaps with the apostle Peter, though this is only a tradition. This places Peter as having arrived in Rome in the year AD 44, whereas Paul did not arrive there until after AD 56, a date given by St. Jerome. There were followers of ‘The Way’ present in Rome perhaps even before Peter’s visit (if it took place), but the scriptural references to ‘the Church’ should not be taken too literally, as referring to a material institution. If it existed in any united form, it was a spiritual body in Christ. The more likely case is that the followers of Jesus at Rome were unorganised, treading in fear, meeting secretly in small groups at the homes of various converts in order to worship, often quite literally ‘underground’.

The imperial capital was, in any case, a city where different cultural and ethnic groups from all over the empire would cluster together for protection in their own districts. It is therefore highly likely that there were many scattered and disparate ‘house-churches’, as is shown by the greetings given in Romans 16, all worshipping Jesus but not really in direct contact with one another, and almost certainly with differing customs and practices based on their cultures of origin. The bands of converts met in grottoes, but mostly in the catacombs among the dead. The Roman law had recognised these underground cemeteries with the decree of sanctuary. However, when the persecution of the Jesus-followers was at its worst, the Roman soldiery would waylay the worshippers on entering or leaving the catacombs. To avoid capture they would make secret entrances and outlets, often through the houses of believers. The Tiberian and Claudian ban that promised to inflict death on all who openly professed the new faith was still in place when Paul was planning his sojourn in the Imperial City. When writing to the followers in Rome, he was aware that one of the ‘churches’ met at the home of Aquila and Priscilla (Rom. 16: 5) and that as well as this Jewish ‘church of circumcision’ there were also Gentile Christian meetings elsewhere in the city. Paul’s visit to Rome, however, was not pending immediately, and probably didn’t take place until AD 58 at the earliest. First, he had to go to Jerusalem, and he implored the Roman Christians to pray for him,

… that I may be served from unbelievers in Judaea and that my errand to Jerusalem may find acceptance with God’s people.

(Rom. 15: 31)

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Paul not only apprehended danger from Jewish opposition but also felt some doubt how far he would be welcome to his fellow Christians at Jerusalem. To understand this we need to look at the situation which had developed as a result of his startling success in the building, all over the eastern empire, of a close-knit network of Christian communities which was supra-national, multi-racial, and ‘egalitarian’. As he was to write to the Colossians, that there was to be no distinction between…

Greek and Jew, circumcised and uncircumcised, barbarian, Scythian, slave and free man.

(Col. 3: 11).

This inevitably antagonised those who adhered to a stiff, nationally orientated type of Judaism – those, in fact, who stood where Paul himself had stood before his conversion. He had ‘ratted’ on them, and that could not be forgiven or forgotten. In his letter to the Romans, Paul argued, as he had done in Galatians, that the church could not be allowed to become a ‘purely’ Jewish institution with Gentile Christians tolerated as second-class citizens. “There is no distinction,” he repeated (Rom. 3: 22; 10: 12). If he had been finally defeated over this, the Christian church might have had as little impact on the great world as any other of the of the numerous Jewish sects. Although he was not defeated, neither could he be said to have gained a decisive victory in his lifetime. Advocates of the narrower view dogged his steps to the end and sought to win over his converts. No doubt they were honest and conscientious men, who stood obstinately by their principles, as did he. Quite simply, as far as he was concerned, they were in the wrong, and in his letter to the Galatians, he had written of these opponents in harsh terms and with passionate indignation. His tone in Romans was softer than that of Galatians, as he also set out his mission to Jerusalem as one of reconciliation. Nevertheless, the opening passages of his letter read like a ‘manifesto’ for a religious revolution, demonstrating how vital the issue was for him:

God has shown us clearly what he is like in a new way – how he stands for what is right, overthrows what is wrong and helps men to live in his Way.

This is not altogether a new Way, as we have seen – the Men of God of the Jewish people had begun to see how God puts wrongs right. But Jesus has made it quite plain. If we are to live in God’s Way, we must trust God; this means trusting in Jesus who has made God real to us.

This is true for everybody everywhere; for God … has no favourites. We have all done wrong; none of us has lived as splendidly as God intended him to live, though we were all created to live in his Way and be like him. But God treats us as if we had learned to live splendidly; his love is given to us freely. And it is Jesus who has won this freedom for us. 

There is nothing in all this to make us proud of ourselves. Keeping all the rules wouldn’t have stopped us being proud of ourselves. We have simply taken him at his word, and that leaves no room for boasting.

I am sure of this: everybody can really live as God wants him to live simply by trusting him, not by trying to keep all the rules. I mean everybody. Is God only the God of the Jewish people? Isn’t he God of all people everywhere? Of course he is, for there is only one God. So he puts Jewish people right – if they trust him; and he puts the people of other countries right if they trust him. 

When the original Jerusalem concordat was made, the leaders of the church had stipulated that the ‘Gentile’ churches should take some responsibility for the support of the poverty-stricken Jewish Christians of Jerusalem. But for Paul, it was an opportunity to demonstrate the true fraternal unity of Christians, bridging any divisions that arose among them. He set up a large-scale relief fund, to be raised by voluntary subscription from members of the churches he had founded; he recommended a system of regular weekly contributions (Rom. 15: 25-28; 1 Cor. 16: 1-4; II Cor. 8: 1-9, 15). The raising of the fund had gone on for some considerable time and there was now a substantial sum in hand to be conveyed to Jerusalem. He was to be accompanied by a deputation carefully composed, it appears, so as to represent the several provinces (I Cor. 16: 3 f.; Acts 20: 4).  The handing over of the relief fund was to be both an act of true Christian charity and also a formal embassy from the ‘Diaspora’ churches affirming their fellowship with the Judaean Christians in the one church. However, the goodwill mission miscarried. Paul’s reception by the leaders of the church at Jerusalem, if not unfriendly, was certainly not entirely welcoming. James was genuinely frightened of the effect of Paul’s presence in the city on both Christian and non-Christian Jews, in view of his reputation as a critic of Jewish ‘legalism’. James urged Paul to prove his personal loyalty to the Torah by carrying out certain ceremonies in the Temple (Acts 21: 20-24). Paul was quite willing to accept James’ guidance. As he had already written to the Corinthians,

To Jews, I became like a Jew, to win Jews; as they are subject to the law of Moses, I put myself under that law… 

(I Cor. 9:20).

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Unfortunately, however, he was recognised in the Temple by some of his arch-enemies, the Jews of Asia, who raised a cry that he was introducing Gentiles into the Holy Precincts  (Acts 21: 27-29). There ran across the temple court a barrier with an inscription threatening with death any ‘foreigner’ who trespassed beyond it. There was no truth in the charge against Paul, but it was enough to rouse the rabble, and Paul was in danger of being lynched. He was rescued by the Roman security forces and put under arrest. Having identified himself as a Roman citizen, he came under the protection of the imperial authorities (Acts 21: 30-39) and was ultimately transferred for safekeeping to the headquarters at Caesarea (Acts 23: 23-33). After wearisome wrangles between the Sanhedrin and two successive Roman governors, and fearing that he might be sent back into the hands of his accusers in Jerusalem, Paul decided to exercise his right of appeal to the emperor (Acts 25: 1-12). Accordingly, he was put on board a ship bound for Rome, leading to the famous ship-wreck off Malta (Acts 27: 1 – 28: 15).

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Paul in Rome:

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So Paul fulfilled his cherished plan of a visit to Rome in person but as a prisoner. He was placed under something like house-arrest, occupying his own private lodging, with liberty to receive visitors, but with a soldier constantly on guard (Acts 28: 16). He was awaiting trial there, a trial which was continually delayed.  It is probable, though not certain, that the Letters to the Ephesians, Philippians, and Colossians, as well as to Philemon, all of which refer to their author(s) being in prison at the time of writing, belong to this period of confinement. This period of house-arrest lasted, we are informed, for two years (Acts 28: 30). Scholars presume that the case eventually came up before the imperial tribunal, but whether it resulted in acquittal and a further period of freedom to travel, or ended in condemnation and execution, we have no means of knowing. The Letters to Timothy and Titus have been thought to refer to a further period of imprisonment in Rome, but the evidence is at best ambiguous, and it is unlikely that these letters, in the form in which we have them, come from Paul’s own hand. We know that Paul’s original plan before he went to Jerusalem, was to travel on to Spain, but we have no evidence that this goal was fulfilled. He was associated with Rome for ten years in all, and some have suggested that in addition to visiting Spain, he also travelled to Gaul and Britain. However, there is little if any hard contemporary evidence to support these assertions, which are based mainly on tradition and fanciful conjecture.

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That he ultimately suffered martyrdom may be taken as certain, and there is no good reason to doubt the Roman tradition that he was beheaded at a spot on the road to Ostia known as ‘the Three Fountains’, and buried on the site now occupied by the noble church of St Paul-without-the-Walls. According to the chronology given at the beginning of this article, Paul could hardly have arrived in Jerusalem before AD 59. His period in prison in Caesarea could not, therefore, have ended until AD 61, therefore. At that point the governor Antonius Felix was succeeded by Porcius Festus, based on evidence from non-Biblical sources. Accordingly, Paul would have sailed to Rome in the autumn of 61, arriving there in early 62. His period of house arrest would have continued until AD 64 and Tom Wright dates Paul’s death to this year or later. Beyond that, we cannot go, but it may be significant that it was in the winter of 64/ 65 that the emperor Nero made his savage attack on the Christians of Rome, following the Fire which was blamed on them. The Roman-Jewish War followed in AD 66-70, during which Nero died in AD 68, and the War ended with the Fall of Jerusalem…

… (to be continued).

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Winston Churchill and Tonypandy, 1910: The Tradesmens’ Historian’s View from Seventy Years Later.   Leave a comment

First published as a note on my Facebook page:

In recent days, we have been ‘treated’ to the view of Winston Churchill held by the Shadow Chancellor of the Exchequer in Britain, John McDonnell. He apparently challenged the affectionate national memory of the war-time leader held by many in Britain, suggesting that Churchill was more of a “villain” than a “hero”, especially given his belligerent attitude towards the trades unions in general, referring specifically to the popular myth of the British left and modern Welsh legend that ‘he sent the troops into Tonypandy’. In fact, he was given a ‘binary’ choice by an interviewer and had to answer in one word. In fact, he uttered two: “Tonypandy – Villain.” This uproar which his response created in the press and media intrigued me, as I had once interviewed an elderly Welsh lady, born in 1901, in the early 1980s in Coventry who remembered, as a child, watching the ‘riots’ from her bedroom window overlooking the main street in the town. Although she clearly remembered scuffles between striking miners and police, she could not recall seeing any ‘hussars’, mounted or otherwise, on the streets below.

Above: Budget Day, 1910. David Lloyd George (centre left) and Winston Churchill (right) head for parliament.

At Christmas 1980, my (then) PhD tutor, David Smith, of University College Cardiff, gave me a copy of his article from ‘Past and Present’ (A Journal of Historical Studies), published in May 1980. Dai was born in Tonypandy, and he signed it, appropriately, ‘The Tonypandy Tradesmens’ Historian’, Dai. It was entitled, ‘Tonypandy 1910: Definitions of a Community’ and contained the following comments from a contemporary, recalling the events of 1910 in 1951, the year of Churchill’s election as a peace-time Prime Minister:

 

The rougher section of the Rhondda Valley crowd had got quite out of hand. Shops were being looted and property destroyed. The Chief Constable of Glamorgan sent a request to the Home Office for troops to protect the lieges … But Churchill was so horrified at the possibility of the troops coming face to face with a crowd of rioters that and having to fire on them, that he stopped the movement of the troops and sent instead a body of plain, solid Metropolitan Police, armed with with nothing but their rolled-up mackintoshes. The troops were kept in reserve, and all contact was made by the unarmed London police. The only bloodshed in the whole affair was a bloody nose or two … That was Tonypandy. That was the shooting-down by troops that Wales will never forget.

(Josephine Tey, ‘The Daughters of Time’ (London, 1976), originally published in 1951.)

In his article, ‘Dai’ Smith pointed out that this account too contained various ‘inaccuracies’ which by 1951 could be used to dismiss the events as a minor scuffle as opposed to the ‘proletarian uprising’ of the latest Welsh legend. ‘The very name’, Smith wrote, ‘had come to symbolise the subsequent militancy in the south Wales coalfield, … to stand as a dramatic focus for epic novels, which he had written about elsewhere (David Smith, “Myth and Meaning in the Literature of the South Wales Coalfield: The 1930s” in The Anglo-Welsh Review, xxv (1976).

 

The events of 1910 in Tonypandy indicated to David Smith that Churchill’s liberalism, as the then Home Secretary could be seen as ‘a smoke-screen for the domestic bellicosity’ he subsequently demonstrated in the General Strike of 1926. It also ‘heralded the great wave of industrial unrest in pre-1914 Britain; the ten-month strike, though ending in defeat, paved the way for an airing of the issues which led to the national strike of 1912 with its minimum-wage provisions. But what attracted attention at the time was the violent outburst which happened on Tuesday 8 November, when the town’s commercial high street was wrecked. This was the event which, at a time of high industrial tension elsewhere in the coalfield, marked Tonypandy out and brought the troops in.

Dai Smith then addressed the issue of Churchill’s role in respect of the decision to deploy troops:

 

Miners waiting to go into a mass meeting at the Empire Theatre, Tonypandy, November 1910, during the Cambrian Combine Strike.

Note 7: ‘Colliery Strike Disturbances in South Wales: Correspondence and Report, November 1910’, Parliamentary Papers, 1911; K. O. Fox, ‘The Tonypandy Riots’, Army Quart. & Defence Jl., civ (1973); J. M. McEwen, ‘Tonypandy: Churchill’s Albatross’, Queens Quart. ixxviii (1971).

 

Thus, while Churchill’s stationing of the troops, including the hussars, in the vicinity, had a significant effect on the outcome of the strike, they were not involved in quelling the initial outbreaks of rioting and disorder in the town on 8th-9th November. The death of the one miner showed that the Glamorganshire police were at least armed with truncheons on the first day of the violence and that the Metropolitan police were able to use their greater experience in dealing with mass demonstrations to good effect. From the point of view of the Home secretary’s role, this was a much more guarded intervention than those made, under Churchill, by the Black and Tans in Ireland, and General Dyer’s trigger-happy troops in Amritsar in 1919, the latter being the responsibility of the Colonial Secretary. It should also be remembered that there were significant clashes between the Metropolitan force in the Suffragette demonstrations in London in the 1910-14 period, in which far more force was used. That doesn’t excuse any of those uses of violence against men or women, of course, but it does help to place these events in the context of the times and the need for holding troops in reserve to support ‘stretched’ police forces, especially the mounted police.

Dunraven Street, Tonypandy, circa 1914

Both Josephine Tey and Churchill himself were right about the manner in which other events had been conflated into the ‘cruel lie’ about Tonypandy. Nobody was shot in the mid-Rhondda though this was constantly alleged, in both fact and fiction, in the 1930s. Two men were shot by troops in Llanelli in 1911 towards the end of the Rail Strike of that year (and several others were blown up by an ammunition truck), sparking off a riot there. In 1911, a fourteen-year-old butcher’s boy, Aneurin Bevan, witnessed an affray in Tredegar which had anti-Semitic overtones, also involving shop-smashing. Tonypandy did not stand alone. Even in strictly industrial terms, its unofficial strike had been preceded by unrest in the adjacent Cynon Valley when eleven thousand miners came out on strike in a dispute over wages and customary concessions, lasting from October 1910 to January 1911. Riots and attacks on blacklegs, communal involvement and troop mobilisation were all direct parallels with Tonypandy. Yet it was this Rhondda town that became synonymous of the coalfield society in crisis and a world turning upside down.

 

Why did Tonypandy become so important? Partly because Churchill and Grant were wrong to claim that there was no bloodshed. Samuel Rays died of his head-wounds, and the jury was advised that ‘if they found that his injuries were caused by a policeman’s truncheon’, they would also have to decide if ‘the police were justified in the action they had taken in using force to repel force for the purpose of preventing disorder’. Not surprisingly, they decided that it was ‘not sufficiently clear’ how the injuries had been caused. In his death, this forty-year-old unknown bachelor became a martyr. Above all, it was the sheer scale of the conflict, both in the economic and political terms of Capital, Government and Labour, and in terms of the huge numbers of the whole community out on the narrow streets from the pits and the terraces, which on the night of 8-9 November ‘wrote the name Tonypandy into the commonplace book of twentieth-century British history’ in the words of Dai Smith.

In his 1984 book, ‘Wales! Wales?’, Smith describes Churchill as the ‘villain’ of the piece, like an opera star ‘protesting his innocence before the howling rage of the mob-like chorus’. It is as though, he suggests, ‘through this person the constellation of events continued to radiate around Tonypandy’. Did he send the troops in to crush the strikers or not? The question not only boomed out from the same miners and their sons in the 1926 General Strike but was raised more privately by Attlee in 1940, who wondered if the Labour Party could support Churchill as Prime Minister because of the identification of him with Tonypandy. In 1978, when this author settled in South Wales and began researching Tonypandy and other coalfield towns and villages, James Callaghan, during a routine question in the House of Commons over miners’ pay, informed Churchill’s namesake and grandson that South Wales would never forget the ‘vendetta’ his grandfather had waged against the miners of Tonypandy. For those who collect small facts about great men, this has always been the issue we keep coming back to. Although those facts are readily ascertainable, it has been a surprisingly contentious and enduring issue.

 

Besides this, the troops were, on the whole, used circumspectly and as Home Secretary, he had not only the right but the duty to deploy them if he considered life and property to be endangered. Nevertheless, it was not true, as he himself tried to maintain, that ‘the troops were kept in the background’. They were clearly visible on the streets of the town and throughout ‘mid-Glamorgan’, even if mainly deployed in support of the mounted police. Their presence and the threat of their more active front-line use ensured that all mass demonstrations against blackleg labour would be controlled and therefore rendered ineffective. And on occasions they were more than simply a presence and a threat, combing into contact with strikers at the points of their bayonets and by so doing preventing the mass picketing which was the strikers only weapon and their only hope of victory. The defeat of the miners of the Cambrian Combine was, in the eyes of the local community, the result of the state’s intervention in the dispute, authorised by Churchill.

 

On the other hand, Churchill was reluctant to accede to the somewhat intemperate demands of the local magistracy and judiciary who had been sending out ‘distress signals’ a week before the riots began. They were anxious for a military presence to overawe the miners on strike both in the Rhondda and the Cynon Valleys. He was concerned to avoid any unseemly provocation. To this end, early on 8th, he halted the movement of infantry to south Wales by countermanding the War Office’s agreement with the Chief Constable of Glamorgan. Instead, he sent in the Metropolitan police. He did allow the cavalry to proceed to Cardiff, however, and when disturbances occurred on that night, he instructed General Macready to proceed to both the Rhondda and Cynon with troops. The large numbers of Metropolitan police combined with the armed forces to form an effective army of occupation, and a substantial ‘foreign’ police and military presence was maintained well into 1911.

The other aspects of how we ‘reflect’ on, re-mythologise, research and re-interpret past events as both politicians and historians have been well dealt with by Simon Jenkins in ‘The Guardian’ (click on the link below) and elsewhere. Churchill’s legacy is certainly not straightforward, as one might expect of someone who was in parliament or government for more than half a century. As Dai suggested, however, his attitude to trade unions was perhaps more belligerent in the 1926 General Strike, when his experience in the war cabinet was put to use as if he were still planning military campaigns at the various fronts, including the home front. As a war-time leader, the people of Coventry had, and still have, good reason to question if he could have at least given earlier warning of ‘Moonlight Sonata’ as soon as it was detected by the enigma machine. Did he deliberately choose not to do so in order not to give away to the Luftwaffe that their codes had been cracked? If so, we might choose to charge him with sacrificing scores of Coventrian civilians in a ghastly war-crime. Did this give him the guilty conscience which led to the later, largely pointless, blanket bombing of Dresden an other German cities?

 

The point is that powerful figures like Churchill have both their successes and failures magnified in popular imagination and mythology, and even in historical narrative, however well-researched. History should not be used to ‘absolve’ them of the sins they committed, and certainly not their ‘crimes’, but the fact that they appear larger than life should caution us against judging them too harshly. In power, they are still flawed individual human beings and don’t deserve to be classed either as ‘heroes’ or ‘villains’. Dai’s close colleague, Professor Gwyn Williams, often repeated the phrase ‘heroes are for pimply adolescents’. In his past, both John McDonnell and his close ‘comrade’ Jeremy Corbyn have been known, rather foolishly, to list Marx, Lenin, Trotsky and Mao among their heroes. Dissenters and Nonconformists of religious or humanistic persuasions who possess a modicum of maturity do not have ‘saints’, except in the sense that we are all sinners who can be sanctified. Even then, we go on sinning and need forgiveness. When making judgements about the people of that’foreign country’ we call the past, we must be aware of both our own prejudices as well as the different cultures in which they lived, especially a century or more ago. We are not judging them by our own moral standards, but interpreting their behaviour according to the mores of their own time. That’s how we learn from the past, rather than re-enacting it. After all, when it comes to our current politicians, stones and glass shop frontages spring to mind!

Sources:
David Smith (1980), ‘Tonypandy 1910: Definitions of Community’ in Past & Present: A Journal of Historical Studies, May 1980. Oxford: Corpus Christi College.
Dai Smith (1984), Wales! Wales? London: George Allen & Unwin.
Bill Jones (1993), Teyrnas y Glo: Coal’s Domain – Historical Glimpses of Life in the Welsh Coalfields. Cardiff: National Museum of Wales.
Simon Schama (2002), A History of Britain (3), 1776-2000: The Fate of Empire. London: BBC Worldwide.

Paul of Tarsus: Jew, Roman & Christian Missionary to the Gentiles.   Leave a comment

Part One – From Tarsus to Antioch & Galatia:

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Introduction:

For Christmas 2018, my eldest son gave me a copy of Tom Wright’s Biography of the Apostle Paul, ‘hot off the press’. It reminded me of the time, as a child, when I found a picture book of Paul’s life on my Coventry grandmother’s bookstand and read it in one sitting, cover to cover. It also reminded me of watching the television film shown above (from which I have included stills throughout the text). Both as Saul of Tarsus and Paul the Apostle, his was an eventful and exciting life story, as he himself recognised in his later letter to the church at Corinth:

Let me tell you what I’ve had to face. I know it’s silly for me to talk like this, but here’s the list. I know what it is to work hard and live dangerously.

I’ve been beaten up more times than I can remember, been in more than one prison, and faced death more than once. Five times I’ve been thrashed by a Jewish court to within an inch of my life; three times I’ve been beaten with (Roman) rods by city magistrates; and once I was nearly stoned to death. 

I’ve been shipwrecked three times; and once, I was adrift, out of sight of land, for twenty-four hours.

I don’t know how many roads I’ve tramped. I’ve faced bandits; I’ve been attacked by fellow-countrymen and by foreigners. I’ve met danger in city streets and on lonely country roads and out in the open sea.

(II Cor. 11: 23-33, New World.)

The writings of Paul have had an incalculable influence on Western culture and beyond, and his words continue to guide the lives of two billion Christians throughout the world today. In his biography, Tom Wright traces Paul’s career from the Sanhedrin’s zealous persecutor of the fledgling Church, through his journeys as the world’s greatest missionary and theologian, to his likely death as a Christian martyr under Nero in the mid-sixties of the first century.

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To understand Paul, Wright insists, we must understand the Jewish world in which the young Saul grew up, a world itself firmly earthed in the soil of wider Graeco-Roman culture. This is what I want to concentrate on here, especially in the context in which Wright is writing, a twenty-first century which seems just as filled with religious and ethnic hatred and in which anti-Jewish thought, feelings and actions are once more on the rise, despite the atrocities of the previous century. The ‘Breaking News’ as I write is that incidents of anti-Semitism in Britain have risen for the third year running: 1,652 incidents were recorded by Community Security Trust (CST) in 2018, including more than 100 Assaults. Growing up in a Baptist manse in Birmingham in the 1960s and ’70s, I became conscious of anti-Semitism at the age of eleven when I asked one of the older boys I regularly walked to school with if he was a ‘Jewboy’. I had heard my father use the term, but didn’t think, at that time, that it meant anything other than a ‘Jewish’ boy and didn’t realise that it was used as a term of abuse. After they were called to the school, my parents informed me of this, I apologised to the boy and never used the term again. Later, I understood that my father’s view of the Jews was based on ‘replacement’ theology, the idea that the Christian Church had been chosen to replace the people of Judea and Israel, who had proved themselves unworthy by their rejection of Jesus and their ‘role’ in his crucifixion. One of my seventh-generation Baptist grandmother’s books, George F Jowett’s The Drama of the Lost Disciples (1961) expressed this (then) popular view:

Jesus Himself… denounces the Sadducean Jews, telling them that the glory shall be taken away from them and given to another (Matt. 21: 43). Again, when He says He came not to the Jews, but to the lost sheep of the House of Israel (Matt. 15: 24). He knew He would not convert the Sanhedrin and its following, so it had to be others – the lost sheep. Who were they? The answer lies in his answer to Paul, the converted Saul, whom he commands to go the Gentiles.

C. H. Dodd wrote (1970) that Paul was the pioneer leader in the Christian approach to the Graeco-Roman public. The fortunate preservation of a number of his letters has put us in a position to know him better than we know most individuals of the ancient world. The information they give can be supplemented from the account of his career given in the Acts of the Apostles. Whilst there are points where it is not easy to bring the two sources of our knowledge into complete harmony, there is a good reason to believe that the author of ‘Acts’, thought to be Luke (the gospel-writer and Greek doctor), was well-informed, and may have travelled with Paul himself. This made him an eye-witness, and his account may be used as a historical frame in which to set Paul’s own accounts, contained in his letters.

Saul of Tarsus:

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According to Acts 21: 39, Paul was born at Tarsus in Cilicia, an ancient Greek city, and then a strong centre of Hellenistic culture, his parents belonging to the Jewish colony there. Tarsus was ten miles inland on the river Cydnus in the south-east corner of what is Turkey today, in ‘Asia Minor’, on the major east-west routes. It was a ‘noble city’ which could trace its history back two thousand years. Generals like Alexander the Great and Julius Caesar had recognised its strategic importance; the emperor Augustus had given it extra privileges. It was a city of culture and politics, of philosophy and industry. It had a thriving textile business, producing materials from goats’ hair, used to make shelters, which may well have been the basis of the family business of tent-making, in which Saul had been apprenticed and which he continued to practice.

The cosmopolitan world of the eastern Mediterranean flowed through the city, which rivalled Athens as a centre of philosophy, not least because half the philosophers of Athens had gone there a century earlier when Athens had incurred the wrath of Rome in a struggle for power. The Jews had struck a deal with Augustus Caesar by which he accepted that they were exempted from adopting the ‘divinity’ cult of his father, Julius Caesar. In return, they agreed to pray to their One God for Rome and its emperor.

We don’t know how long his family had lived in Tarsus. Later legends suggest various options, one of which is that his father or grandfather had lived in Palestine but had moved during one of the periodic social and political upheavals which always carried ‘religious’ overtones as well. They were orthodox Jews and brought their son up in the Pharisaic tradition (23:6; 26:5). The word ‘Pharisee’ has had a bad press over the centuries since. Modern research, operating at the academic rather than the popular level, has done little to dispel that impression, partly because the research in question has made things far more complicated, as research in question in question has made things far more complicated, as research often does. Most of the sources for understanding the Pharisees of Saul’s day come from a much later period. The rabbis of the third and fourth centuries AD looked back to the Pharisees as their spiritual ancestors and so tended to project onto them their own questions and ways of seeing things. But besides Paul’s writings, the other first-century source on the Pharisees, the Jewish historian Josephus, also requires caution. Having been a general at the start of the Roman-Jewish war of AD 66-70, he had gone over to the Romans and claimed that Israel’s One God had done the same thing, an alarmingly clear case of remaking the Almighty in one’s own image.

In Tarsus, as throughout the ‘Diaspora’, there were all sorts of cultural pressures which would draw devout Jews into compromise. Families and individuals faced questions such as what to eat, whom to eat with, whom to do business with, whom to marry, what attitude to take toward local officials, taxes, customs and rituals. The decisions individuals made on all of these questions would mark them out in the eyes of some as too compromised and in the eyes of others as too strict. There was seldom if ever in the ancient world a simple divide, with Jews on one side and gentiles on the other. We should envisage, rather, a complex subculture in which Jews as a whole saw themselves as broadly different from their gentile neighbours. Within that, the entire subgroups of Jews saw themselves as different from other subgroups. The parties and sects we know from Palestinian Jewish life of the time – Sadducees, Pharisees, Essenes, and a nascent militantly ‘zealous’ faction – may not have existed exactly as we describe them, not least because the Sadducees were a small Jerusalem-based aristocracy, but intra-Jewish political and social divisions would have persisted.

We can’t be sure how many Jews lived in Tarsus in Saul’s day. There were, quite possibly, a few thousand at least in a city of roughly a hundred thousand. But we can get a clear sense of how things were for the young Saul. In the ancient world, there was no such thing as ‘private life’ for individuals and families. A tiny number of the aristocracy or the very rich were able to afford a measure of privacy but for the great majority, life was lived publicly and visibly. The streets were mostly narrow, the houses and tenements were mostly cramped, there were noises and smells everywhere, and everyone knew everybody else’s business. We can assume that this was true for the Jews of Tarsus who would have lived close to each other partly for their own safety and partly for the ease of obtaining ‘kosher’ food. The questions of where one stood on the spectrum between strict adherence to the ancestral code, the Torah, and ‘compromise’ were not theoretical. They were about what one did and what one didn’t do in full view of neighbours, and about how those neighbours might react.

The Torah loomed all the larger if one lived, as did the young Saul, outside the promised land and hence away from the Temple. The Torah, in fact, functioned as a movable Temple for the many Jews who were scattered around the wider world. Wherever they were, in Rome or in Babylon, Greece or Egypt, if they prayerfully studied it, then it might be as if they were in the Temple itself. They would be in the divine presence, not in its most dramatic form, but there nonetheless. But the Temple in Jerusalem remained central, geographically and symbolically. It was the place where heaven and earth met, thus forming the signpost to the ultimate promise, the renewal and unity of heaven and earth, the new creation in which the One God would be personally present forever. We don’t know how often Saul travelled with his parents to the homeland with his parents for the great festivals. It is quite probable that, at an early age, the young Saul acquired the sense that all roads, spiritually as well as geographically, to Jerusalem. The Temple was like a cultural and theological magnet, drawing together not only heaven and earth but also the great scriptural stories and promises. In addition, therefore, it was the focal point of Israel’s hope, The One God, so the prophets had said, abandoned his house in Jerusalem because of the people’s idolatry and sin. Tom Wright argues that we will never understand how the young Saul of Tarsus thought and prayed until we grasp…

… the strange fact that, though the Temple still held powerful memories of divine presence … there was a strong sense that the promise of ultimate divine return had not yet been fulfilled. …

… The God of Israel had said he would return, but had not yet done so.

Saul of Tarsus was brought up to believe that it would happen, perhaps very soon. Israel’s God would indeed return in glory to establish his kingdom in visible global power. He was also taught that there were things Jews could be doing to keep this promise and hope on track. It was vital for Jews to keep the Torah with rigorous attention to detail and to defend the Torah, and the Temple itself, against possible attacks and threats. … That is why Saul of Tarsus persecuted Jesus’s early followers.

The young Saul was not ‘learning religion’ in the accepted modern sense of general religious education, and the mature apostle was not a teacher of it. Today, ‘religion’ for most people in the West designates a detached area of life or even a private hobby, separated by definition from politics and public life, and especially from science and technology. In Paul’s day, ‘religion’ meant almost the exact opposite. The Latin word religio has to do with binding things together. Worship, prayer, sacrifice, and other public rituals were designed to hold the unseen inhabitants (gods and ancestors) together with the visible ones, the living humans, thus providing a vital framework for ordinary life, for business, marriage, travel, home life and work. The public nature of individual life was apparent in the workplace. We know from Paul’s later letters that he engaged in manual work, both as a young apprentice and later to support himself as a missionary. ‘Tent-making’ probably included the crafting of other goods made of leather or animal hair in addition to the core product of tents themselves. Many people migrated from place to place for work, those who worked outside needed awnings and pilgrims required ‘tabernacles’ for their sojourns.

The market for tents and similar products was widespread. We might guess those likely purchasers would include regiments of soldiers, but travel was a way of life for many others in the Roman Empire. It seems unlikely that a Jewish tent-maker would be selling only to fellow Jews. We can assume, therefore, that Saul grew up in a cheerfully and strictly observant Jewish home, on the one hand, and in a polyglot, multicultural, multi-ethnic working environment on the other. Strict adherence to the ancestral tradition did not preclude know-how of the wider world of work, and how it spoke, behaved and thought. The tent-maker was unlikely to have had a ‘sheltered’ upbringing. The place where the invisible world (‘heaven’) and the visible world (‘earth’) were joined together was the Temple in Jerusalem. If, as in his case, you couldn’t get to the Temple, you could and should study and practice the Torah, and it would have the same effect. Temple and Torah, the two great symbols of Jewish life, pointed to the story in which devout Jews like Saul and his family believed themselves to be living:

… the great story of Israel and the world, which, they hoped, was at last to set up his kingdom, to make the whole world one vast glory-filled Temple, and to enable all people – or at least his chosen people – to keep the Torah perfectly. Any who prayed or sang the Psalms regularly would find themselves thinking this, hoping this, praying this, day after day, month after month.

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As an apprentice in the bustling pagan city of Tarsus, the young Saul knew perfectly well what it meant to be a loyal Jew. It meant keeping oneself pure from idolatry and immorality. There were pagan temples and shrines on every corner, and Saul would have had a fair idea of what went on there. Loyalty meant keeping the Jewish community pure from all those things as well. Saul’s family seem to have lived with a fierce, joyful strictness in obedience to the ancient traditions and did their best to urge other Jews to do the same. At the same time, his father possessed the coveted status of a Roman citizen, which meant that the family had a superior standing in the local community and his son also had Roman citizenship as his birthright (Acts 22: 25-29). He grew up bilingual (fluent in both in Aramaic and Greek) and bi-cultural: at home, he was Saul, named after the first king of Israel; outside he was Paulus, a citizen of Tarsus and of Rome. He was also literate in Hebrew, able to read the scriptures in the original. His mind had the freedom of two worlds of thought: He had more than the average educated man’s understanding of Greek literature and philosophy. His language quite often carries echoes of ‘Stoicism’.

A Zealous Student in Jerusalem:

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On the other hand, Saul’s formal education seems to have been entirely within the native Jewish tradition, and he was sent to Jerusalem as a young man to study under Gamaliel (Acts 22: 3), the most distinguished rabbi of his time. Paul was not only, evidently, well versed in the Scriptures, but also in the Rabbinic methods of interpreting them, which sometimes present difficulties for modern readers.

He was therefore well-equipped for his later mission to take the message of a religion rooted in Judaism to a generally non-Jewish Hellenistic public.

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At every stage of Israel’s history, the people of the One God had been tempted to compromise with the wider world and forget the covenant. Resisting this pressure for Saul meant becoming zealous. In his letter to the Galatians (1: 14), Paul wrote I was extremely zealous for my ancestral traditions. Nevertheless, Saul the Pharisee and Paul the Roman, it seems, did not live in complete harmony within the same skin. There are signs of psychological tension; in early life, the Pharisee was uppermost. He recites with pride the privileges of the chosen people:

They are Israelites; they were made God’s sons; theirs is the splendour of the divine presence, theirs the covenants, the law, the temple worship, and the promises. (Rom. 9: 4, NEB)

Not only was he proud of the Hebrew people, but he was also proud beyond measure of his own standing as a Jew:

Israelite by race, of the tribe of Benjamin, a Hebrew born and bred: in my attitude to the law a Pharisee, in pious zeal a persecutor of the church, in legal rectitude faultless (Phil. 3: 5-6).

In another retrospect on his early life he added a significant claim:

In the practice of our national religion I was outstripping many of my Jewish contemporaries in my boundless devotion to the traditions of my ancestors (Gal. 1: 14).

That tells us something powerful about the man; from a young age, he had possessed an irresistible drive to excel, to be distinguished. It was necessary to his self-respect that he should himself as the perfect Pharisee: in legal rectitude faultless. This has led to some Judaistic readers to suggest that there was something extravagant or abnormal in Paul’s account of his pre-Damascene phase. The time came when he himself was forced to confess to himself that this was fantasy, not reality. He was not faultless, and his efforts in pursuit of perfection had been self-defeating:

When I want to do the right, only the wrong is within my reach. In my inmost self I delight in the law of God, but I perceive that there is in my bodily members a different law, fighting against the law that my reason approves. (Rom. 7: 21 f.).

Yet by the time Paul was studying in Jerusalem, it was clear that the Abrahamic ‘project’, Israel’s ancestral vocation, was at the point where it needed rescuing. Some Jews had returned to Palestine from Babylon, while others were scattered all over the known world. But the cry went up from one generation to the next over the four centuries to the time of the Roman occupation: We are still in exile! Exile was not just a geographical reality; it was a state of mind and heart, of politics and practicalities, of spirit and flesh. As long as pagans were ruling over Jews, and demanding taxes from them, and profaning their Holy Place, the Jews were again in exile. Since the exile was the result of Israel’s idolatry, according to the prophets, what they needed was not just a new Passover, a new rescue from slavery to pagan tyrants: they needed forgiveness. As Tom Wright has put it, …

That was the good news the prophets had spoken of, the word of comfort at every level from the spiritual to the physical. … When the One God finally puts away the idolatry and wickedness that caused his people to be exiled in the first place, then his people will be ‘free at last’, Passover people with a difference.

That was the ancient hope which Saul of Tarsus cherished along with thousands of his fellow Jews, by no means all of whom were as ‘zealous’ as he was. Few had his intellectual gifts, but they were, like him, very well aware, through scripture and liturgy, of the tensions between those promises and their present predicament. Theirs was a religious culture suffused with hope, albeit long deferred. That was the great narrative in which they lived out their daily lives in their heads and their hearts, giving shape and energy to their aspirations and motivations. Paul sought a means of working out his inner conflict in action, and it was this that made him, at first, a persecutor. His first contact with the new sect of the ‘Nazarenes’, it appears, was one of the most radical and aggressive representatives, a Hellenistic Jew (like Paul himself) named Stephen, who was reported to be…

… forever saying things against the holy place and the law … saying that Jesus of Nazareth will destroy this place (the Temple) and alter the customs handed down to us by Moses (Acts 6: 13 f.)

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This was an act which impugned the most sacred pledges of Israel’s status as God’s chosen people. And when it appeared that these sectaries hailed Jesus of Nazareth as God’s Messiah, this was sheer blasphemy. Did not the Law say, cursed is everyone who is hanged on a gibbet (Gal. 3: 13)? These people were dragging the glory of Israel into the mire: they were enemies of the Temple and the Torah, enemies of Israel, enemies of Israel’s God. Jerusalem’s Temple, like the wilderness Tabernacle before it, was designed as a small working model of the entire cosmos. This was where the One God of creation would live, dwelling in the midst of his people. When the Temple was destroyed, this vision was shattered, but the prophets had declared that God would one day return and that the people should prepare for that day. Yet the Jews of Saul’s day found themselves in the long, puzzling interval between the time when the One God had abandoned the Temple and the time when he would return in glory, bringing heaven and earth together at last. Seers, mystics and poets wrote of dreams and visions whose subject matter was the rescue of Israel and the final saving ‘revelation’ (apokalypsis in Greek) of the One God. This was the world in which Saul of Tarsus, heir to these traditions, practised his fierce and loyal devotion to Israel’s God. This was how he could keep hope alive and perhaps even to glimpse its fulfilment in advance.

Locating him within this world is not a matter of psychoanalysis, but of history. We are trying to think our way into the mind of a zealous young Jew determined to do God’s will whatever its cost, eager to purge Israel from idolatry and sin, keen to hasten the time when God would come back to rule his world with justice and righteousness. All the fear and hatred that Saul felt for that in himself which was ‘fighting against the Law’ could now be directed upon overt enemies. Stephen was stoned to death, with Saul as an accessory. This was only a beginning. With characteristic determination to outstrip everyone else in his zeal for the Law, Saul obtained from the high priest a commission to hunt the heretics down wherever they might be found (Acts 9: 1 f.).

The Followers of ‘The Way’ & The Road to Damascus:

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According to Acts, the Sanhedrin’s persecution of the first followers of ‘The Way’ (not yet calling themselves Christians) collapsed when Saul had his dramatic encounter with the risen Christ on the way to Damascus, and became Paul, on a permanent basis. The incredible happened, apparently. Paul was struck blind and heard the voice of Christ speaking to him and was suddenly converted to the faith of ‘The Way’. Going into hiding with those he had planned to persecute, he had his sight restored. Wright suggests that this ‘apocalyptic’ event needs to be set in the context of Saul’s seeking, through prayer and meditation, to inhabit for himself the strange old traditions of heaven-and-earth commerce, to become in mind, soul and body, a visionary whose inner eye, and perhaps whose outer eye, might glimpse the ultimate mystery. The practice of this kind of meditation was something one might well do on the long, hot journey from Jerusalem to Damascus.

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When this news got back to Jerusalem, it stunned the Sanhedrin, infuriating them beyond measure. They ordered an all-out drive to seize him and kill him on sight. In a complete reversal of circumstances, the hunter became the hunted. Paul went into hiding himself, appealing for aid from Christ’s disciples. Not unnaturally, they feared this might be a ploy by a man they knew to be clever, cruel and unscrupulous to uncover their secret network of survivors of his own terror, but they finally complied, lowering him over the wall of the city with a rope (Acts 9: 25). The effects of his conversion experience on both his career and the passage of history in which he played his part are open to observation. It is evident that it brought a resolution to his personal predicament. His attempt to resolve it by externalising his inner conflict had proved to be no solution at all. He now found real reconciliation of the contending forces in his soul through his reconciliation with the ‘enemies’ he had been pursuing with such pious hatred. He threw in his lot with them and with ‘Jesus whom he was persecuting’. But to do so meant standing with one who was under the curse of the ‘Law’: it was to become an ‘outlaw’. He wrote that he had been crucified with Christ (Gal. 2: 20).

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It was the most complete break possible with his past self. It took all meaning out of the desperate struggle to see himself in legal rectitude faultless. He could now accept himself as he was, aware of his weaknesses yet willing to stand at the disposal of his new Master. He wrote of how we make it our ambition to be acceptable to him (II Cor. 5: 9). This was a different type of ‘ambition’ from that which had spurred him on to outstrip his Jewish contemporaries. It was the displacement of self from the centre, which proved to be the removal of a heavy burden. But above all it was a liberating experience: ‘Christ set us free, to be free men’ (Gal. 5: 1). It shows itself in an expansion of the range of his interests and energies, no longer restricted by Jewish nationalism and orthodoxy. For an Orthodox Jew who lived the life of a great Greek city, relations with Gentiles were always problematic. Paul was repressing his natural instincts in maintaining the degree of separation from his Gentile fellow-citizens which ‘legal rectitude’ seemed to require. Now he could give those instincts free rein. From the moment of his encounter with Jesus on the road to Damascus, he knew that the ‘dividing wall’ was broken down and that he must ‘go to the Gentiles’. Thus the main direction of his new mission was decided from the outset, though it may have been some years before the required strategy was worked out. The rest of what happened to him after this escape with the disciples, as St. Paul, the Apostle to the Gentiles, is well-known, not just from the narratives in Acts, but also from his own letters. But we are scantily informed about his early years as a Christian, and the skeleton outline of the Acts tells us little. All that we have from the man himself are his recollections and reflections on the situations into which his missionary career had brought him.

Similarly, the drama of Saul’s Damascene conversion fits too neatly with the need for an early Christian account of a new departure, schism or breakaway in what, in reality, was a gradual evolution of Christianity from Judaism. At first, Christians were regarded as a Jewish sect by both Jews and Gentiles. This led to opposition and persecution of the church by the Jewish authorities, who objected to its doctrines and the admission of Gentiles without their accepting the Law. Yet since Jews were also already scattered in communities throughout the Empire and beyond, they provided Christian missionaries with an entry into the Gentile world. It was not until three years after his conversion that Paul returned to Jerusalem (Gal. 1: 17-19). At that time he stayed for a fortnight with Peter (or ‘Cephas’, as he calls him, using the Aramaic name given to him by Jesus) and also met James, ‘the Lord’s brother’. These would be able to tell him much at first-hand about Jesus. His stay in Jerusalem seems to have been cut short. however, and he then spent a period of about a dozen years in ‘the regions of Cilicia and Syria’ (Gal. 1: 21). Perhaps some of the adventures he recalls later in life belong to that period, but Acts records only his return to Tarsus, in Cilicia (9: 30) and his removal to Antioch, in Syria (Acts 11: 25 f.). It was with his arrival in the Syrian capital, where Jesus’ followers were first given the nickname ‘Christian’, that the story of his missionary journeys really begins.

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The Synagogues; The Judaeo-Palestinian Converts & The Antiochene Church:

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Above: Paul regularly used the local synagogue as his starting-point when bringing the gospel to a new place. Later, the bridges between Jews and Christians were broken. This reconstructed second-century synagogue is at Sardis, in modern-day Turkey.

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Since these first missionaries, such as Paul and other apostles were Jews, they used the synagogues, both inside and outside Judea and Palestine as ready-made centres for evangelism. Paul regularly used the local synagogue as the starting point for bringing the gospel to a new place. Recent archaeological evidence at Capernaum and elsewhere in Palestine supports the view that early Christians were allowed to use the synagogues for their own meetings for worship. Although most of their fellow Jews remained unconverted, many God-fearing Gentiles, who were attracted to Judaism but had not gone through the ritual of total integration into the Jewish community, became Christian converts. In fact, in spite of the growing divergence between the church and the synagogue, the Christian communities worshipped and operated essentially as Jewish synagogues for more than a generation. Apart from the period of the Jewish wars, the Roman Empire enjoyed three hundred years of peace and general prosperity. This was known as the Pax Romana, the Roman peace. It allowed both Christians and Jews great freedom to travel throughout the Mediterranean world along superbly engineered roads and under the protection of the Roman government. Paul was able to do this until the final years of his life, but he was only the first of many missionaries. Equally, pilgrims to Jerusalem were able to travel in the opposite direction. This was part of the reason why Paul emphasised the importance of good government.

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The ‘Christian’ community at Antioch included a substantial proportion of non-Jewish converts from paganism. The division between Jew and Gentile, from the Jewish point of view, was greater than any other social or cultural division, more important even than the other two distinctions that run through the whole ancient world, those between slave and free, on the one hand, and male and female on the other. Different Jewish community leaders would draw the lines between Jew and non-Jew at different places. Business dealings might be fine, but business partnerships might be frowned upon. Friendships were tolerated, but not intermarriage. The lines might be blurred, broken or redrawn, but they were still there. Underneath it all, there was still a sense of difference, of “them and us.” Social and cultural indicators would provide visible markers. What you ate, and who you ate with were the most obvious of these, but there were others too. From a Gentile perspective, non-Jewish writers of the day sneered at the Jews for their ‘Sabbath’, claiming that they just wanted a “lazy day” once a week. The fact that Jews didn’t eat pork, the meat most ordinarily available, looked like a ploy to appear socially superior. Jewish males were circumcised, so if they participated in the gymnasium, which normally meant going naked, they might expect taunts.

Beneath these social indicators was the more deeply seated non-Jewish suspicion that the Jews were, in reality, atheists. They didn’t worship the gods, didn’t turn out for the great festivals, didn’t go to parties at the pagan temples and didn’t offer animal sacrifices at local shrines. They claimed that there was only one true Temple, the one in Jerusalem, but rumours abounded, going back to the time when the Roman general Pompey had marched into the Holy of Holies, that the Jews had no image, no statue of their god. Hence the charge of atheism, which was not so much one of theological belief (since the authorities tolerated a whole range of beliefs) but a practical one. The gods mattered for the life and health of the community as a whole. If bad things happened, it was because the gods were angry, probably because people hadn’t been taking them seriously and offering the required worship. People who didn’t believe in the gods were, therefore, placing the entire city, the whole culture or the whole known world at risk. The Jews had their answers for all this, and Saul would have grown up knowing these debates well. After his move to Antioch, he must have heard them repeated with wearying familiarity. “Our God,” the Jews would have said, …

“… is the One God who made the whole world. He cannot be represented by a human-made image. We will demonstrate who he is by the way we live. If we join the world around in worshipping the local divinities – let alone in worshipping the Roman emperor (as people were starting to do when Saul was growing up) – we will be making the mistake our ancestors made.”

In fact, a significant minority of Gentiles admired the Jews for their integrity in this respect, preferring their clear lines of belief and behaviour to the dark muddles of paganism. Many of them attached themselves to the synagogue communities as “God-fearers.” Some went all the way to full conversion as “proselytes.” But the Jews were clear about the fact that, if they compromised with the pagan world around them, however ‘compromise’ might have been defined in any particular city or household, they would be giving up their heritage, and with it their hope for a new world, for the One God to become king at last. So what would the diaspora Jewish communities in Tarsus or Antioch think of the suggestion that the One God had already done what he had promised by sending a Messiah to be crucified? What would this mean for Jewish identity? Was this ‘good news’ simply for the Jewish people, or might it be for everyone?

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Syrian Antioch, even more than Tarsus, was exactly the kind of place where these questions would rise quickly to the surface. It boasted a busy, bustling mixture of cultures, ethnic groups and religious traditions, including a substantial Jewish population. The Roman General Pompey had made it the capital of the new province of Syria, and Julius Caesar had raised it to the level of an autonomous city. With a population of around a quarter of a million, it was widely regarded in antiquity as the third or fourth city of the East, after Alexandria, Seleucia and later Constantinople. It was a classic ‘melting-pot’ in which every kind of social and cultural group was represented.

It isn’t difficult to imagine the crowded streets, the markets selling exotic fruit as well as local produce, the traders and travellers, foreigners in strange costumes and the temples on every street corner. It wasn’t surprising that some of the early followers of Jesus had found their way there, considering that everyone else had. Nor was it surprising that they were eager to share the ‘good news’ of Jesus with non-Jews as well as Jews. If the Jewish scriptures had seen the coming king as Lord of the whole world, how could membership in this kingdom be for Jews only?

Some of the believers who had come to Antioch from Cyprus and Cyrene saw no reason for any such limitation. They went about telling the non-Jews about Jesus as well. A large number of such people believed the message, abandoned their pagan ways and switched their allegiance to the Christ as Lord. Many Jews would have naturally supposed that these Gentiles would then have to become full Jews. If they were sharing in the ancient promises, ought they not to share in its ancient customs as well? What sort of common life ought this new community to develop? The introduction of this Gentile element in Antioch had no doubt acted as a stimulant, and it is not surprising that they soon found themselves impelled to reach out to a still wider public in the Graeco-Roman world. For this task, they selected a Cypriot Jew of the tribe of Levi, Joseph, known as Barnabas (Acts 4:36 f.; 11: 22-24; 13: 2.), a nickname given to him by the church in Jerusalem which means “son of encouragement.” He was one of those early followers of Jesus who had the gift of enabling others to flourish. The Jerusalem church had sent him to Antioch to see what was going on there.

002 (4)Good-hearted Barnabas (pictured in a recent film portrayal by Franco Nero, right) was not the sort to jump instinctively to a negative response, to reach for familiar prejudices just because something was new. He could see the transformed lives and transparent faith of the Gentile believers which were the work of divine grace, reaching out in generous love to people of every background and origin.

Barnabas shared Paul’s belief that the death and resurrection of Jesus Christ had broken down the barriers to Gentile inclusion in God’s kingdom. The evidence of a new dynamic in worship and of the love which meant shared obligations of mutual support told its own story to Barnabas. Others from Jerusalem, faced with the same evidence, might have reached a different conclusion. They would have urged the believers in Antioch to restrict themselves to their own ethnic groups, at least for mealtimes and perhaps even for the Lord’s meal, the “breaking of bread.” Many Jews would have assumed that Gentiles still carried contagious pollution from their culture of idolatry and immorality. But as far as Barnabas was concerned, what mattered was the depth of their belief and allegiance to the Lord. This new community was not defined by genealogy, but by the Lord himself, and what counted as a sure sign of their belonging to Him was loyalty and ‘faithfulness’.

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Paul was an obvious choice to join him as a companion since Barnabas had first introduced him to the Antiochene church (Acts 11: 25 f.). They were therefore at the centre of the controversies there and became firm friends. The vibrant and excited group of Jesus-followers in Antioch was doing something radically counter-cultural, experimenting with a whole new way of being human, and Barnabas and Paul would have to help them think through what that really meant. In this way, the friendship between the two ‘brothers in Christ’ helped to shape Paul’s mind and teaching, leading to what, with long hindsight, we might call Christian theology. It had been a decade since Saul had gone to Tarsus, after his brief time in Damascus and Jerusalem. We don’t know whether anyone in either Jerusalem had seen or heard of him during that time, but Barnabas had a strong sense that he was the right man for the job. This was the beginning of a partnership that would launch the first recorded official ‘mission’ of the new movement. He worked with Barnabas and the local leaders in Antioch for a whole year, teaching and guiding the growing community.

002 (6)The pair was then sent to Jerusalem with a gift of money for the Jerusalem believers, who were suffering from their decade-long persecution by the authorities and struggling to stay alive at a time of widespread famine in AD 46-47. Paul’s own retrospective account of the visit (Gal. 2: 1-10) ends with the Jerusalem leaders admonishing him to go on “remembering the poor.”

While there, Paul argued his case for inclusion of the Gentiles in the koinonia (international fellowship). The three central ‘pillars’ of the Jerusalem church; James (brother of Jesus), Peter and John, all agreed that they would continue to restrict their mission to the Jewish people in ancient Israel, while Paul, Barnabas and their friends in Antioch could continue their work among the Gentiles of the Mediterranean world.

Into Asia Minor – The First Missionary Journey:

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The junior colleague soon slipped into the leading role for which his vigour and discernment marked him out. Thus began what is commonly referred to as his ‘First Missionary Journey’ which first took the two to Cyprus (Acts 13: 4-12) and then on as far as the interior of Asia Minor, and in particular to a group of towns in the southern corner of the province of Galatia (Acts 13: 14,51; 14: 6 f.). We can date this journey roughly to AD 47-48.

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Above: It was through country such as this (in modern Turkey) that Paul and his companions, Barnabas and John Mark, travelled into central Asia Minor on their first arduous mission. They founded a number of churches in Galatia.

In the first of these towns, Antioch-towards-Pisidia (Acts 13: 15-50) the apostles began with an address in the synagogue to a congregation which included both Jews and ‘Gentile worshippers’. The latter was a group of people, now fairly numerous in many Hellenistic cities, as in Antioch, who were attracted to by Judaism to attend the synagogue services, without becoming regular ‘proselytes’ and members of the ‘commonwealth of Israel’. They showed a lively interest which spread to circles without previous association with the synagogue. From his letters, we can gather that Paul suggested that these people could become full members of the people of God without submitting to the Jewish Law, by joining the Christian church. This provoked a violent reaction from stricter Jews, however, who could only see this new preaching as a threat to their way of life. They denounced Paul and Barnabas as false teachers leading Israel astray.

002 (5)Paul’s response was to quote Isaiah 49: I have set you for a light to the nations so that you can be salvation-bringers to the end of the earth. This delighted the non-Jews who had heard his message: they were free to belong to God’s ancient people. But this, in turn, strengthened Jewish reaction, producing an altogether more serious turn of events.

Both the leading Jews and the leading citizens of the town saw the threat of real civic disorder. When opposition turned to violence, this was sufficient to cause the missionaries to leave the town in a hurry, symbolically shaking the dust off their feet as they did so, but also leaving behind them the beginnings of a new community filled with joy and with the Holy Spirit. After that experience, however, the missionaries put out a statement of policy, making it clear to the Jewish communities in the cities they were to visit that:

It was necessary that the word of God should be declared to you first, but since you reject it … we now turn to the Gentiles (Acts 13: 46).

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002 (2)This principle, to the Jew first, and also to the Greek (Rom. 1: 16; 2: 9 f.) was the principle that guided Paul’s ministry and expressed many times in his letters. In his letter to the Romans, he provided a theological justification for it (Rom. 11: 1-27). The outcome of this tour was the foundation of several communities, largely Gentile in membership, and the unleashing of Jewish hostility to Paul’s mission which was to follow him wherever he went, and to finally bring his active career to an end. When Paul and Barnabas found themselves facing people in remote highlands of ancient Anatolia with a strange language and religion, they became overnight heroes when Paul healed a man who had been crippled since birth (depicted above). As the pagan crowd began to worship them, they remonstrated with it that this was not the purpose of their mission. At that point, Jews from the towns where they had already been who had followed them there, told the pagan crowd in the town of Lystra what they thought about the missionaries:

That turned the crowd against them, and they started to throw stones at Paul. They thought they had killed him, and dragged him outside the town. Paul’s friends stood round him; they, too, thought he was dead. But he got up and went back into the town. (Acts 14: 8-20)

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Illustration by Trevor Stubley of the stoning of Paul at Lystra,

for Alan T Dale’s Portrait of Jesus (OUP, 1979).

Paul explained to his friends that this kind of suffering was precisely the sign of the two world’s colliding; they are on the cusp of a new world, and if this is what it costs, so be it. Despite these trials and tribulations, what they had witnessed before in Syrian Antioch – the creation of a new community in which Jews and Gentiles were able to live together because all that previously separated them had been dealt with on the cross – had come true in city after city. At the heart of Paul’s message was radical messianic eschatology. ‘Eschatology’ because God’s long-awaited new day had dawned; ‘Messianic’, since Jesus was the true son of David, announced as such in his resurrection and bringing to completion the purposes announced to Abraham and extended by the psalmists and the prophets to embrace the whole world; ‘Radical’ in the sense that nothing in the backgrounds of either Paul or Barnabas had prepared them for the new state of affairs they were facing. The fact that they believed it was what the One God had always planned did not reduce their own sense of awe and astonishment.

What they could not have foreseen, as they travelled back through the southern part of the province of Galatia and then sailed home to Syria, was that the new reality they had witnessed would become the focus of sharp controversy even among Jesus’s followers and that the two of them would find themselves on opposite sides of that controversy as it boiled over. The missionaries returned to the church which had commissioned them at Antioch-on-the-Orontes (Acts 14: 25-28). Barnabas chose to return to Cyprus (Acts 15: 39). Paul took on Silas as his new travelling companion and colleague. He was a member of the church at Jerusalem (Acts 15: 22 f.), but a Hellenistic Jew and possibly, like Paul himself, a Roman citizen.

(to be continued…)

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A Century Ago – Britain & the World in 1919 – ‘The Year of Victory’: Part Two.   Leave a comment

Part Two; June – December:

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The British Delegation to the Paris Peace Conference, including (in the centre),

Arthur J Balfour & David Lloyd George, Foreign Secretary & Prime Minister.

This is not a peace. It is an armistice for twenty years.

(Marshal Foch at Versailles)

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Victory Celebrations in London & Paris:

In the victory celebration parade that took place in London in July 1919 units of every ‘race and creed’ from Britain’s worldwide empire marched in symbolic unity. Men in their millions, latterly conscripted, had responded to the call to uphold the glorious traditions of the British race. 

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Below: British sailors march through Whitehall in July 1919 to celebrate ‘Victory’.

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Two weeks after witnessing the humiliating scenes in the Galerie des Glaces, Harold Nicolson watched the Allied victory procession make its way through the Arc de Triomphe. Perched high on the roof of the Hotel Astoria, he was overcome by a wave of patriotic fervour as he applauded the British Grenadiers and behind them hundreds and hundreds of British regimental flags – stiff, imperial, heavy with gold lettering, “Busaco”, “Inkerman”, “Waterloo” – while the crowd roared with enthusiasm. Cries of “Good Old Blighty” were heard. Harold wept at the spectacle of the most glorious, the most democratic and the most final of Britain’s victories. For Nicolson, these three months in Paris, despite his private agony and professional frustration, ended on an emotional high. But this sense of relief and elation at the coming of peace did not last long, either in Paris or London. The Treaty of Versailles did not deal, except incidentally, with the problems arising out of the liquidation of the Austro-Hungarian empire, nor with the two other ‘enemy’ powers, Turkey and Bulgaria. Four further treaties were required to deal with these: St. Germain, concluded with Austria in September 1919; Neuilly, with Bulgaria in November 1919; Trianon, with Hungary in June 1920, and Sévres, with Turkey in August 1920, though later replaced by the Treaty of Lausanne in 1923.

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Above: At the Peace Conference at the Quai d’Orsay, by Sir William Orpen.

Unfinished Business – Break-up of the Austrian Empire:

The most spectacular change in the post-war map of Europe was the disappearance of the Hapsburg Empire, which for seventy years had been saved from collapse by its dynastic rulers. There was no unity between the different nationalities. Czechs, Slovaks, Ruthenians, Poles, Croats, and Slovenes were dominated by German and Magyar masters; yet because one dynasty had linked together in its chain of bondage a huge territory in Central Europe, centring on the Danube Basin, certain economic advantages accrued to its million inhabitants. There was free trade within the vast empire; a unified railway and river transport system and an outlet to the Adriatic Sea assisted the national trade and commerce. But the empire had already collapsed and its former territories were already split into seven territories before the conference started. Austria and Hungary were both reduced to the status of minor states before the treaties of St. Germain and Trianon were signed and sealed. The fragments of the Austro-Hungarian Dual Monarchy were in a dire condition. Austria was reduced to one great city and a narrow arc of productive land around it which could never form an economic unit by itself, and Hungary, recovering from Bolshevik Revolution was also bankrupt, confused and impotent. The map below illustrates the areas, races, population, and economic resources of the partitioned empire. A comparative study of the four sketch-maps reveals the different characteristics of these divisions:

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From the ruins of the old Hapsburg Empire there emerged the small republic of Austria, mostly a mountainous territory in the Alps, with its huge capital, Vienna, retaining all that was left of its former greatness. Reduced by disease and starvation, its very existence threatened, Austria was one of the first states whose difficulties engaged the attention of the European statesmen. As a result of the Peace Settlement, there were many more small states than there had been in 1914. The League of Nations gave them their opportunity to co-operate and thus influence the decisions of the Great Powers. The frontiers of the countries in the Danube Basin were settled upon national lines. As a result, a group of aggressively national states was brought into being intent on securing economic as well as political independence, a situation dangerous alike to the prosperity and peace of Europe. Jealous of their neighbours and fearful of their former ruling peoples, the Germans of Austria and the Magyars of Hungary, they immediately began strengthening their military resources. At first, the ‘Peace’ appeared to be a decisive victory for democracy, as the autocratic empires of the Hohenzollerns, Hapsburgs and Romanovs were replaced by democratic republics. But the rival doctrines of Communism and Fascism began to undermine their stability almost as soon as they were created, and in these ideological positions, there was little room for representative institutions.

The Economic Consequences of the Peace:

While the Austrian and Turkish Empires were broken up, the German Empire was not drastically partitioned, as we saw in the first part of this article. This was chiefly because except at its eastern edges there were fewer national minorities under its sovereignty. However, it did lose all its overseas colonies and many thousands of German-speakers were placed under the rule of the new neighbouring states. These territorial losses alone were enough to create a sense of injustice in the minds of many Germans, but the effect of the economic provisions of the Treaty of Versailles was to convince them that the Allies were bent on their total ruin. The prosperity of Germany depended on her industrial and commercial development. The territorial annexations had taken away from her valuable mineral resources as well as fully grown industrial enterprises, e.g. textile-mills in Alsace. Not content with this, the Allies proceeded to imperil what remained by demanding reparations in the form of coal, the cession of railway stock, and its mercantile shipping; they interfered with her control over her navigable rivers and took away the special rights it had obtained in Morocco, Egypt and China. The reparations were to be paid in recompense for damage done to civilians in the Allied countries where the fighting had taken place.

The overall effect of these arrangements was to ruin Germany economically, and since all nations were, to some extent, mutually dependent on trade with each other, they caused economic distress throughout Europe. Germany had been at her last gasp before she surrendered, but surrender did not break the fortitude of its people. They crushed a communist attempt to follow the Soviet Russian model and produced, even while starving and bewildered, some semblance of a national Government. They received the harsh conditions of Versailles with protests but with dignity, and then they set themselves against desperate odds to rebuild their economy and society. The Allied blockade was continued well into the second half of 1919, and it was only the protests of the British soldiers on the Rhine that forced the Allies to attend to their duty of provisioning a starving population. A huge proportion of this, children especially, were suffering from malnutrition. There was an extreme shortage of raw materials, and there was no money to purchase these abroad, nor were there ships to import them. The highly developed agricultural system was in ruins and yet the country was saddled with a huge but yet undetermined debt. The new republic had to quickly improvise a new social order and governmental system, threatened by anarchy at home and Bolshevism from both within and without.

For a moment, but only for a moment, after the signing of the treaties, there was a sense of peace and stability. Then everywhere came unsettlement and confusion, economic or political, or both, except in the United States. Britain, desperately busy with setting her own house in order, was compelled to lend a hand in straightening out the world’s tangle which, of course, it had been party to creating. On the peace and prosperity of the globe depended its export trade, vast system of overseas lending and its position as a financial centre, as well as its hope of building up a new and better society and thereby winning something  from the sacrifice of war; and the interests of its Empire was vitally engaged in this ‘project’. The background to any picture of inter-war Britain must, therefore, be, as John Buchan put it in 1935, the vast shifting kaleidoscope of the world. By then, J M Keynes’ damning contemporary indictment of the French attitude at the Paris Conference had helped to develop the policy of ‘appeasement’, often confused with the ‘policy of fear’ of 1937-39. Appeasement had a coherent intellectual foundation with a high moral tone, as in Keynes’ famous book, The Economic Consequences of the Peace, which he published soon after the signing of the Treaty of Versailles:

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In this forecast, he found support from Lloyd George and Winston Churchill among other leading politicians and thinkers in the early twenties. Although particularly critical of the French attitude at Paris, Keynes understood clearly enough its economic motives for this:

In spite … of France’s victorious issue from the present struggle … her future position remained precarious in the eyes of one (Clemenceau) who took the view that European civil war is to be regarded as a normal, or at least a recurrent, state of affairs for the future. … Hence the necessity of ‘guarantees’; and each guarantee that was taken, by increasing irritation and thus the probability of a subsequent ‘Revanche’ by Germany, made necessary yet further provisions to crush. Thus … a demand for a Carthaginian peace is inevitable. … By loss of territory and other measures (Germany’s) population was to be curtailed; but chiefly the economic system … the vast fabric built upon iron, coal, and transport, must be destroyed. … 

It is evident that Germany’s pre-war capacity to pay annual foreign tribute has not been unaffected by the almost total loss of her colonies, her overseas connections, her mercantile marine, and her foreign properties, by the cession of ten per cent of her territory and population, of one-third of her coal, and three-quarters of her iron ore, by two million casualties amongst men in the prime of life, by the starvation of her people for four years, by the burden of a vast war debt, by the depreciation of her currency to less than one-seventh of its former value, by the disruption of her allies and their territories, by Revolution at home and Bolshevism on her borders, and by all the unmeasured ruin in strength and hope of four years of all-swallowing war and final defeat.

Al this, one would have supposed, is evident. Yet most estimates of a great indemnity from Germany depend on the assumption that she is in a position to conduct in the future a vastly greater trade than ever she has had in the past. …

We cannot expect to legislate for a generation or more. … We cannot as reasonable men do better than base our policy on the evidence we have and adapt it to the five or ten years over which we may suppose ourselves to have some measure of prevision. … The fact that we have no adequate knowledge of Germany’s capacity to pay over a long period of years is no justification … for the statement that she can pay ten thousand million pounds.

If we aim deliberately at the impoverishment of Central Europe, vengeance, I dare predict, will not limp. Nothing can then delay for very long that final civil war between the forces of Reaction and the despairing convulsions of Revolution, before which the horrors of the late German war will fade into nothing, and which will destroy, whoever is victor, the civilisation and the progress of our generation.

(1924 edn.)

According to Gilbert, writing in the mid-1970s, Keynes destroyed British faith in Versailles by opening the ‘floodgates of criticism’. For the following twenty years, the Treaty was ‘assailed by means of his arguments’. But he may have underestimated the difficulties of peacemaking in 1919. The task of the Allied statesmen was indeed difficult, because they had to take into account the views of the peoples of Europe, not just their leaders, in re-drawing the map of Europe. In the former treaties in Vienna in 1815, for instance, they only had the claims of the rulers to consider.

Lines on the Map of Central Europe:

In the main, Poles, Czechs, Slovaks, Romanians, Serbs and Greeks had every reason to be satisfied with the treatment they received. Though divided for a century, the Poles had never ceased to resist their conquerors, and they speedily asserted their independence on the collapse of their oppressors. They were generously supported at the conference. Clemenceau welcomed the renaissance of Poland as a bulwark against Germany and Russia, and Wilson had proclaimed at the outset that it was the duty of European statesmen to assist the Poles. The Czechs were a cultured people long oppressed who had resisted their Austrian masters in the nineteenth century. France realised that the position of their land gave the northern Slavs a strategic position in Central Europe, forming a barrier against potential Austrian and Hungarian aggression. President Wilson was impressed by the Czech leaders, who welcomed the setting-up of the League of Nations enthusiastically.

Czechoslovakia was, both industrially and politically, the most important of the new states which emerged out of the ruins of the Austrian empire. It consisted of Bohemia, a rich industrial and manufacturing region, with a fertile and intensively cultivated soil, densely populated with a literate people, the Czechs; Moravia, another important area, with a strategic position between the plains of the Vistula and the Danube, and the mountainous area in the Carpathians, Slovakia, where the cultivable areas were few and the minerals unimportant. The population there was sparsely distributed and illiterate; communications were difficult. Czechoslovakia, therefore, inherited from the Austrian Empire industrial wealth and fertile land which enabled it to be self-supporting. However, it still had large numbers of minorities along its frontiers, including Germans, Magyars and Ruthenians, which created internal difficulties in administration and led to unfriendly relations with Germany, Austria and Hungary, which surrounded it. These negated the advantages of its position in central Europe.

Romania had taken advantage of the weakness of Hungary to seize Transylvania, and the preoccupation of Russia with its civil war to take possession of Bessarabia; at the Peace Conference, it successfully asserted its claims to these on the grounds that Romanian people were in the majority. In many parts of these new territories, the ethnicities were very mixed, and the problem of achieving a fair division of the territories proved insoluble. In Southern Dobruja, however, there was unquestionably a Bulgarian majority, but this territory was left in Romanian hands. As a result of the Treaty of Neuilly in November 1919, Bulgaria was also forced to cede Western Thrace to Greece. The northern boundaries of Serbia and the Southern Slavs, what became the new state of ‘Yugoslavia’, were finalised under the Treaty of Trianon with Hungary in June 1920, but before that, Wilson supported the claims of the Southern Slavs against Italy, to whom the Allies had promised the lands along the Dalmatian coast, which was peopled by Slavs. Clemenceau agreed with Wilson, not because he was interested in the idea of satisfying the national aspirations of the Slavs, but because it afforded a practical method of detaching the provinces from Austria without the dangerous necessity of transferring them to Italy.

For the first time in modern history, Europe was divided along national lines, yet there were many injuries and injustices to minorities, especially to those who lived in the defeated countries. People of different nationalities, especially in the south-east of Europe, were inextricably intermingled; a great number of different solutions to the problems, apparently equally just, was possible. Frontiers which would enable nations to have a chance of economic existence had to be devised. To ensure this alongside satisfying national demands, the Allied statesmen were faced by an almost impossible task. Harold Nicholson’s views on the ‘mistakes’ and ‘misfortunes’ of the treaties scarcely changed over the years. He would argue that Britain’s freedom of action had been severely limited by its war-time treaties with Italy, France and Romania, and with the Arabs, in the short run beneficial but in the long run positively harmful. He would further argue that democratic diplomacy, being captive to narrow, partisan, democratic pressures, was ‘irresponsible’, and that the fundamental error of Versailles was the ‘spirit not the letter’ of the treaty. He blamed the peacemakers. They had not combined to elaborate a ‘formal procedure’, nor had they settled upon an ‘established programme’, the upshot being that their deliberations were ‘uncertain, intermittent and confused’.

The Allied Powers were in every case deliberately antagonistic to the claims of the defeated and it became obvious that decisions reached were frequently the result of other considerations than that of satisfying nationalities. Lands were transferred on the grounds that they were strategically important for the security of the new states, e.g. the Southern Tyrol, peopled by Austrians, was handed to Italy, while the German minorities of Bohemia, once in the Austrian Empire, were still included in the new northern Slav state of Czechoslovakia. Attempts were made to solve some of these difficult problems of satisfying nationalities by the use of ‘plebiscites’ where there was a doubt about to which state territory should be transferred. With the creation of the League of Nations, some states pledged to treat alien populations fairly and to respect their rights. The League undertook the responsibility of supervising the care of such governments towards their minority subjects. The map below illustrates the boundaries which were adjusted on the decision of the Allied statesmen as well as the principal areas where plebiscites were arranged:

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The new Austria comprised a large area of the Eastern Alps, of little economic importance except for its forests, alpine pastures and scenic attractions, and a small plain along the Danube surrounding Vienna and along the Hungarian border (Burgenland). A third of the country’s population lived in the old capital, previously one of the most important cities in Europe. It had thus attracted in pre-war days large numbers of officials engaged in government, banking, insurance, transport and administration. These professionals were no longer required in such large numbers by 1919, as Vienna no longer supplied the needs of so large an empire; neither were its newspapers, clothes and furniture required in great quantities any more. The luxury-manufacturers of the city were excluded from the new countries which surrounded it by their imposition of high tariffs, and Austria could not easily export goods to buy the food that its people could not grow for themselves. The satisfaction of the national aspirations of the various peoples included in the old Austrian Empire created economic problems which affected the prosperity of all the states. Each tried to be self-supporting and erected tariff barriers against the others. Though they came to realize the folly of these restrictions on trade, attempts to form a Danubian Trade Federation proved unsuccessful.

Germans in Austria were forbidden to unite with Germany under article eighty of the Treaty, despite being entirely German in language and culture. This was confirmed in the Treaty of St. Germain, by which Austrians in the Tyrol, Galicia and Bohemia were also left under alien rule. Control of Galicia, a wealthy area across the Carpathians, passed to Poland. Its soil was fertile and productive, with coal, iron, zinc, salt and petroleum resources also contained beneath its earth. The western part of the region was inhabited by Poles, but in the eastern part, the people were Ruthenians, creating a difficult minorities problem. Attempts made by these people to unite with their fellows in sub-Carpathian Ukraine (then part of the USSR) were frustrated by the Polish Government, and an insurrection was ruthlessly crushed by Pilsudski (see below) in 1919. South Tyrol and Trentino were both Alpine territories. In the latter the majority of the population was Italian, but in South Tyrol, the Germans were in the majority, and the union of both provinces to Italy created grave dissatisfaction.

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The Peace Settlement also disappointed Italy, however. The Allied offers made in the Secret Treaty of London by which Italy entered the war in 1915 were not fulfilled. Having acquired Trieste under this treaty, Italy now wished to consolidate its control over the northern Adriatic, including the entire Dalmatian coast down to, and including Albania. Meanwhile, the break-up of the Austrian empire had left the lands to be claimed by the Italians in the hands of the Serbians with the creation of Yugoslavia out of the south-western provinces of Croatia, Slovenia and Bosnia. They were largely mountainous areas of little economic importance. Their people were largely Slav in identity and so united with the Serbs to form the new Kingdom of the Serbs, Croats and Slovenes, which soon became known as Yugoslavia. Although a large country, its economic resources were limited and undeveloped. Its population also included large Magyar, German and Albanian Muslim minorities, within a country already combining Roman Catholic and Eastern Orthodox Christians. From the beginning, the Croats resented the greater influence of the Serbs and therefore grew closer to their coreligionist Germans.

Italy failed to secure what it had been promised in 1915, the Dalmatian Coast, including Istria, and a Protectorate over Albania (see the map above). It did not even secure the port of Fiume, ‘the jewel of the Adriatic’, which had a large Italian population and had become a symbol of Italian nationalism and at the centre of Italy’s demands. In August 1919, Harold Nicolson attended an Allied meeting in Paris convened to sort out these problems. Italy put forward a series of transparent formulas designed to mask its true aims. The Italian delegate, M. Scialoga, suggested that Fiume and its hinterland should be recognised as a ‘free state’, but the island of Cherso, which dominated and effectively blocked the Gulf of Fiume, should be annexed to Italy, as should the high ground surrounding the port. The railway system, extending from Fiume island, should also be under Italian control. Abandoning all claims to Dalmatia, Scialoga nevertheless insisted that the Dalmatian coast must be neutralised, and called for Italian sovereignty over certain key areas; the zone of Zara, for example. Lastly, he put in a claim for a mandate over Albania.

By these means, Italy hoped to achieve mastery of the Adriatic, but their strategies failed to gain support from the British and the Americans, though the French were prepared for a deal ‘on any terms’. Nicholson backed the American delegate, Major Johnson, in repudiating Italian claims to Fiume and Istria. Eventually, it was agreed to set up Fiume as ‘a free city’, an arrangement ultimately accepted by both Italy and Yugoslavia. Bitterly disappointed, however, the Italians turned on their government, and there was great discontent throughout the country. This manifested itself in September 1919, a month after the Paris talks, when a group of soldiers, led by D’Annunzio, an admired national poet, attacked and seized Fiume. Nicholson considered him a fine poet, but a political dimwit, barnstorming out of ‘sheer swank’. D’Annunzio’s posturing proved him right. The Allies forced the Italian Government to expel them, and they returned to Italy indignant and disgusted at the weakness of their government.

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Polish leaders realised that the War provided them with an opportunity to gain their freedom, though at first they did not anticipate complete independence and struggled only for self-government. Though the mass of the Poles fought in the Russian armies, an influential group, led by Pilsudski, supported Austria. In 1918 a group of Poles organised a National Committee in Paris and raised an army which fought on the Western Front. The Allies in return promised the Poles to complete independence. The independent Polish state was proclaimed at Warsaw and in Galicia immediately after the collapse of the Central Powers. The new state was represented at the Peace Conference, and its independence was recognised. The western frontier was agreed upon, with the provinces of Posen, West Prussia and Galicia to be included in the new Poland. The eastern frontier was settled provisionally, with the disturbed state of the Soviet state giving the Poles an opportunity to secure a more favourable frontier than they had had to begin with.

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President Wilson had promised that Poland should have access to the sea. This involved adding to the indisputably Polish territory an area along the coast west of the Vistula delta in which there was a mixed population of Germans and Slavs. Germany strongly objected because East Prussia would be cut off from the rest of Germany; when the German President wished to visit his family estates in East Prussia he would have to cross a foreign state. In spite of the fact that its population was overwhelmingly German, the Poles claimed that the city of Danzig was the ‘natural outlet’ of the Vistula basin (see map above left). A compromise resulted in the creation of the tiny independent state of the ‘Free City of Danzig’, under the supervision of the League of Nations. Neither Germany nor Poland was satisfied with this arrangement, however. The fate of Upper Silesia was eventually settled by plebiscite (see map above right).

The division of the former Austrian territory of Teschen, an area with valuable coal-mines and the centre of a major railway network, on the Polish-Czechoslovak border, was arranged by the Allied Statesmen. How many members ever heard of Teschen? Lloyd George asked the House of Commons, disarmingly admitting that until recently he had not. Teschen presented the peacemakers with an intriguing problem: whether to honour the sacrosanct principle of national self-determination; or whether to secure the prosperity of a model, democratic state emerging in central Europe. Edvard Benes, then Foreign Minister of Czechoslovakia, told Nicolson, who had been charged with producing a report, that the fate of Teschen depended on the attitude adopted by the British Delegation. The territory was ethnically Polish by a ratio of two to one, but it was considered essential to Czechoslovakia’s economic well-being. In early 1919 fighting had broken out between the rival parties, a ceasefire being imposed by the Allies with some difficulty. Nicolson set out the options for the delegation: either appeasing Polish nationalism or, more precisely chauvinism, as he saw it, or allowing Czechoslovakia some economic breathing space. There was considerable friction between Poland and Czechoslovakia over this; the final settlement, reached after strong French pressure, effectively partitioned the region: the Czechs acquired the coal mines and most of the industrial basin of approximately 1,300 square kilometres; the City of Teschen was divided into Polish and Czechoslovak quarters, with the latter containing the invaluable railway station.

Policies of Punishment & Appeasement – Britain & France:

For the following ten years, Gilbert claimed, appeasement was the guiding philosophy of British foreign policy. British official opinion doubted whether a secure Europe could be based upon the treaties of 1919, and had strong hopes of obtaining serious revisions to those aspects of the treaties that seemed to contain the seeds of future conflict. With the disintegration in 1918 of the Russian, Turkish, German and Austro-Hungarian Empires, the final stage had been reached in a process that had begun in Europe during the Napoleonic wars – the evolution of strictly national as opposed to dynastic or strategic frontiers. Post-1918 diplomacy was geared towards securing the final rectifications of frontiers still not conforming to this principle. Most of these frontiers were the result of the Versailles boundaries which had been drawn to the disadvantage of Germany. Thus there were German-speaking people outside, but contiguous to the German frontier with Poland and Czechoslovakia. Many Germans lived in the frontier provinces of Alsace-Lorraine and Holstein, which were also lost to Germany. Germans in Danzig and Memel were detached from their mother country. The claims of Poland were preferred to those of Germany in the creation of the Polish Corridor to the sea and the in the division of the Silesian industrial area.

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There were other national ‘inequalities’ which were also part of the Versailles Treaty, and which were equally prone to the ‘egalitarian touch of appeasement’. The German Government could only maintain itself against communist and nationalist opponents by a continuing protest against the impossible severity of the reparations clauses of the Treaty. They docilely submitted to the disarmament provisions at first. The problem of the next few years was how to square what France regarded as her rights and necessities with the hard facts of the difficult and dangerous situation Europe was in. For France, the War had ended in anxiety and disappointment. Germany had been defeated, but that defeat had not been the victory of France alone; without the help of Britain and America, the French leaders knew that they would have been beaten to the ground. The glory which was due of their soldiers’ heroism was revealed as tarnished and insubstantial. With a population of forty million, France had to live side-by-side with a population of sixty or seventy million who were not likely to forget Versailles. As John Buchan put it, …

She was in the position of a householder who has surprisingly knocked out a far more powerful burglar, and it was her aim to see that her assailant was not allowed to recover freedom of action. Therefore her policy … must be to keep Germany crippled and weak, and to surround her with hostile alliances. The terms of the Treaty, both as to reparations and disarmament, must be interpreted according to the strict letter. No one can deny that her fears were natural. It is easy for those who live high above a river to deprecate the nervousness of one whose house is on the flood level.

To Britain, it seemed that, with every sympathy for French anxiety, it was impossible to keep a great Power in perpetual tutelage, and that the only hope for France, as for the world, lay in establishing a new international system which would give political security to all its parts. Lloyd George, while he remained in power, strove honourably for this end. The disarmament of Germany, while France rearmed, was a German grievance which could either be met by disarming France or allowing Germany to rearm. Both alternatives were considered by British policy-makers, and when the first proved impossible to secure, the second became logically difficult to resist. A further ‘inequality’ was the exclusion of Germany from the League of Nations. British policy worked for German inclusion and looked forward to a time when the differences between the ‘Allied’ and ‘Enemy’ Powers, as embodied in the Treaty would disappear. The policy of appeasement, as practised from 1919, was wholly in Britain’s interest, of course. Britain’s policy-makers reasoned that the basis of European peace was a flourishing economic situation. Only by success in this policy could Britain avoid becoming involved, once again, in a war arising out of European national rivalries and ambitions.

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At Paris, the British diplomats had vacillated between the Americans, who contended that under the League of Nations all international disputes would be settled by ‘sweet reasonableness’ and the French, who, obsessed with their own security, suffered from no such illusion. Harold Nicholson took his reasoning a step further by suggesting that if only the British had wholeheartedly supported either the American or the French perception of peace, a golden age of worldwide tranquillity and harmony might have been inaugurated for a century. Nicholson also remained consistent in his view that war-torn Paris was clearly the wrong venue for a peace conference. Geneva, he wrote, would have been a more judicious choice. In addition, given the circumstances, with passions running high among both public and politicians, he would have preferred to see an initial treaty followed by a final one, after a suitable cooling-off period. With the Congress of Vienna still in mind, he argued that it was a grave mistake to have treated Germany as a ‘pariah state’: the stability of Europe would have been better served by inviting it to participate in the conference, particularly as Bolshevism threatened to despoil the defeated country further. He damned the reparations clauses as patently absurd. As a result of the infamous ‘war guilt’ clause, the peace which emerged was unjust enough to cause resentment, but not forcible enough to render such resentment impotent. Summarising his overall disillusionment, Nicholson wrote (in 1933):

We came to Paris confident that the new order was about to be established; we left it convinced that the new order had merely fouled the old. We arrived as fervent apprentices in the school of Woodrow Wilson; we left as renegades.

If he had had to choose a hero at Paris, he would surely have chosen Lloyd George, fighting valiantly for a moderate peace, with Venizelos, the Greek Prime Minister, and Smuts running a close second and third. Until the end of 1919, Nicolson was based mainly in Paris, working for Sir Eric Drummond, a senior Foreign Office mandarin and designate Secretary-General of the League of Nations. He was supremely confident that the League was a body which was certain to become of vital importance. … a great experiment. He was also putting the finishing touches to the treaties with Austria, Hungary, Bulgaria and Turkey. Lloyd George and Balfour had left Paris to immerse themselves in Westminster politics. Much committee work was delegated to him, particularly on those bodies dealing with the Czechoslovak and Greek questions. He scored a minor success regarding the vexed question of Teschen, and continued his involvement with the Austrian and Bulgarian treaties and delineating Albania’s frontiers in the face of Yugoslavia’s demands. He clashed with Lloyd George over the Italian policy, arguing for a tougher line in view of Italy’s recent mischievous behaviour. Lloyd George responded angrily: The Foreign Office always blocks me in whatever I wish to do. But as the year drew to a close, the most pressing issue was how to meet British commitments to Greece, an undertaking that was slowly but relentlessly unravelling.

Independence Struggles & Imperial Designs:

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Above: (Unofficial) President Eamon de Valera inspects an IRA unit of ‘levies’

Refusing to sit in the British Parliament, the Sinn Féiners continued to meet in the Dublin Dáil (parliament), where they had declared the Republic of Ireland earlier in the year (see part one of this article). Eamon de Valera was elected President of the Republic and the MPs also elected their own ministers, set up their own law-courts and disregarded the authority of the Crown and the British Parliament altogether. Although severe measures were taken against them and the Dáil was suppressed, British law and order could not be restored. After the failure of the appeal to the Peace Conference in Paris, and amid the growing repression of Republicans, a more coherent campaign began for independence began, leading to the outbreak of a brutal war between the levies of the Irish Republican Army (IRA) on the one side and the police on the other, enlarged by the “Black and Tan” auxiliaries, a part of the British army. James Craig, the Ulster Unionist MP and founder of the protestant paramilitary Ulster Volunteer Force, who became the first Prime Minister of Northern Ireland in 1921, was already preparing for ‘partition’ in 1919:

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From 1919 to 1921 the IRA killed hundreds of policemen and soldiers, and the police and ‘black and tans’ killed hundreds of IRA men in retaliation. In Dublin, there were IRA men and women everywhere, but it was hard for the British to find them. Michael Collins, the IRA leader, was known to the British authorities as a prisoner after the 1916 Uprising, but they didn’t even have a photo of him.

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Meanwhile, another imperial dream came true in 1919 when Cecil Rhodes’ ‘Cape to Cairo’ scheme came into fruition when Britain took Tanganyika (now Tanzania) from Germany, completing that chain too. The Union of South Africa took over the administration of South-West Africa from Germany, and the spoils in the south Pacific were divided between Australia and New Zealand. With Britain’s existing Dominions and colonies, this all meant that the British Empire in 1919 was more extensive than it had ever been. But in fact, while the war had added new colonies to Britain’s ‘collection’, it had also weakened her grasp in her old ones. In the self-governing dominions, the co-operation with Britain which imperialists gloried in was misleading. That they had co-operated in wartime did not necessarily signify that they wished to be shackled in peace. The Great War was a European war which Britain only just won, with their support and at great cost in lives, especially for the ANZACs. Gallipoli had been just one of many defeats along the way; in itself, this had damaged the prestige and authority of the ‘mother country’. She had had to issue ‘promissory notes’ of ‘self-determination’ to the Egyptians, the Palestinian Arabs and the Indians, which they expected her to honour. The war had therefore provided an opportunity for a more vigorous assertion of nationalism with a harder edge than before.

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The overthrow of the Turkish armies in 1918 was complete; all the provinces from the Mediterranean to the Persian Gulf were overrun, and the great cities of Baghdad, Jerusalem, Damascus and Aleppo were captured. The Turks were forced to acknowledge defeat and signed an armistice at Mudros in October 1918. Allied troops occupied Constantinople. However, it soon became apparent that settling the conflicting claims of the victorious powers would prove very difficult. By secret treaties made during the war, promises of Turkish territories had been made to Russia, Italy, France, Greece and to the Arabs. The Allied statesmen postponed the settlement of the difficult issues until they had settled the more urgent needs of Europe. They permitted the Greeks, however, to occupy the port of Smyrna in 1919 and supported the occupation with an Allied fleet. This action aroused indignation among the Turks.

The ‘Greek question’ had begun on a high note, with a virtual agreement between the British and American delegations in meeting most of the Greek Prime Minister Venizelos’s territorial goals. These included Smyrna and its hinterland, roughly corresponding with the Ottoman vilayet of Aydin, some form of international régime over Constantinople, and the whole of western and eastern Thrace up to the vicinity of the Turkish capital, claims that, if realised, would have given the Greeks control over the Straits. Harold Nicolson was, initially, among the many who fell for Venizelos’s charm, but he soon recognised, as did the Americans, that the Greek PM’s extravagant empire-building heralded disaster. Harold was instructed to inform Venizelos that there would have to be a compromise regarding the future of Thrace. Then the Smyrna landings were besmirched by Greek atrocities against the local Turkish populace, which sparked off the Turkish national revival under the leadership of Mustafa Kemal (Ataturk).

Map of the Sykes–Picot agreement, which was signed by Mark Sykes and François Georges-Picot on May 8, 1916.

In the British Empire, the support and the opportunity for colonial aggrandisement were both there; consequently, the main result of the war for Britain was a considerable augmentation of its empire. The middle east was divided up in accordance with the secret war-time Sykes-Picot agreement (see map above, showing the division into ‘A’, for France, and ‘B’ for Britain). The Arabs were given the Arabian desert, Britain took for herself Palestine, Transjordan, the Persian Gulf states and Iraq: which together with its existing protectorates in Egypt, Cyprus and Aden made up a tidy little middle-eastern empire. Of course, Palestine and the other middle-eastern territories were not ‘annexations’ or even ‘colonies’. They were called ‘mandated’ territories (see the map below), which meant that they were entrusted to Britain and France by the League of Nations to administer in the interests of their inhabitants with a view to their eventual independence. Nevertheless, this award almost fulfilled Curzon’s old dream of a continuous belt of influence or control between the Mediterranean and India, which was completed in August 1919 when the final link in the chain, Persia, was secured by means of a one-sided, widely resented treaty.

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In India, General Dyer’s violent massacre of the crowds at Amritsar considerably increased the natives’ resentment and united Hindus, Muslims and Sikhs against the British ‘Raj’. ‘Mahatma’ Gandhi continued to mount his campaign of ‘passive resistance’, encouraging his mainly Hindu followers to refuse to co-operate with the British Government. Dyer’s unnecessary action was the child of the British mentality then dominating India. Jallianwalla Bagh quickened India’s political life and drew Gandhi into politics. In his evidence to the Hunter Committee Appointed by the Government of India to Investigate the Disturbances in the Punjab, given in November, he re-articulated his commitment to passive resistance and non-violence, Ahimsa, without which he said that there would be confusion and worse. He stated:

All terrorism is bad, whether put up in a good cause or bad. Every cause is good in the estimation of its champion. General Dyer (and he had thousands of Englishmen and women who honestly thought with him) enacted Jallianwalla Bagh for a cause which he undoubtedly believed to be good. He thought that by one act he had saved English lives and the Empire. That it was all a figment of his imagination cannot affect the valuation of the intensity of his conviction. … In other words, pure motives can never justify impure or violent action. …

Gandhi had always resisted political involvement. After his return to India, he had attended annual sessions of the Congress, but his public activity at these assemblies was usually limited to moving a resolution in support of the Indians in South Africa. But on the other hand, he was not simply interested in building a mass movement. In his November testimony, he commented:

I do not regard the force of numbers as necessary in a just cause, and in such a just cause every man, be he high or low, can have his remedy.

In Gandhi’s non-cooperation campaign, his followers boycotted British goods, refused to teach in British schools and ignored the British courts. They were imprisoned but offered no resistance. Gandhi’s programme included a number of ‘self-improvement’ elements:

  • the development of hand-weaving in the villages;

  • the prohibition of drugs and spirits;

  • the granting of increased freedom to Hindu women;

  • the co-operation of Hindus and Muslims;

  • the breaking down of the ‘caste system’ as it affected the ‘Untouchables’, the lowest class of Hindus, who had been debarred from the communal life of India (they were banned from the temples and were not allowed to use the drinking-wells in the villages.

These points were also the key elements in his Satyagraha, his struggles with truth or the ‘spiritual force’ of non-violent resistance to British rule which dominated the next the next three decades in the campaign for Swaraj, the ‘self-rule’ or Independence of India.

Race Riots and Reconstruction in Britain in 1919:

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As 1919 progressed, civil strife in Britain continued, principally among the miners, shipbuilders, railwaymen and farm workers, that is, in the declining sections of the economy. The standard of living had improved dramatically during the war, and the working-classes were determined to resist any diminution in their wages when it came to an end. There were also mutinies among those awaiting demobilization in the armed forces which reminded the upper classes uncomfortably of the Russian Revolution; they were followed by a series of strikes which led The Times to proclaim that this war, like the war with Germany, must be a fight to a finish (27 September 1919). The railwaymen, miners and transport-workers formed themselves into a ‘triple alliance’ in which they agreed to support each other in disputes.

The ‘showdown’ did not begin in earnest until 1921 and came to an end five years later, but in 1919 comparisons were drawn with the unforgiving bitterness of class war on the continent. The social divisions within Britain, however, were always mitigated by a number of factors: a common heritage of what it meant to be British; reverence for the monarchy; a residual common religion and national churches; the instinctive ‘communion’ of sport and a saving, self-deprecating humour.

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This popular myth of social integration in Britain was exposed as somewhat fraudulent when it came to matters of ‘race’, ‘colour’ and ethnicity, however. The Cardiff ‘Race Riots’ of 1919 were an attack on the black and coloured community of Cardiff living in districts adjoining ‘the Docks’ when certain boarding-houses occupied by them were attacked. At 10.15 p.m. on the night of Wednesday 11 June, disturbances broke out in Butetown, as a result of an earlier incident involving black men and their families returning from a picnic. Some white women accompanied by coloured men had been passing in carriages through one of the main streets of Cardiff (possibly St Mary’s Street, see map above). When uncomplimentary remarks were made by people in the street, the coloured men left the carriages and an affray took place in which a number of white men and Police were injured. Some five minutes later, a white man named Harold Smart was killed. This escalated events as crowds were formed and began a more serious assault on Butetown, where the black population lived. The next day a prolonged storm restricted the disturbances until it cleared in the evening. About eighty soldiers were held in readiness, but the police and stipendiary magistrate deemed it unnecessary to use them. The Chief Constable’s report of the disturbances provides a clear statement of the distribution of ethnic settlements in 1919 and the effect of this on policing:

The coloured men comprised principally West Indians, West Africans, Somalis, Arabs and a few Indians. They live in boarding houses kept by coloured masters in an area bounded in the north by Bridge Street, the east by the Taff Vale Railway not very far distant, on the West by the Glamorganshire Canal, and on the South by Patrick Street. Some of the Arabs and Somalis live in the northernmost portion of this area but the majority, particularly the West Indian negroes, live in the southern portion. The area is divided by a junction of the Glamorganshire Canal which has two bridges, one in Bute Street and one at East Wharf.

docks

The riots ripped through Cardiff’s Docklands. Credit: British Pathe

At first, the violence centred on the multi-ethnic neighbourhood of Tiger Bay. But it quickly spilt over to other parts of Cardiff. The police concentrated their attention on the southern portion of the area and, having secured this, they proceeded to clear the northern area, although they failed to prevent damage being done there. That evening many of the attacks were concentrated in that zone, while the police continued to defend the southern area, which had long been seen as the proper place for black minorities, known as early as 1907 as ‘Nigger Town’. The police decision to defend that area may have owed something to their view of what the proper social geography of the city was. The Northern district became a ‘no go’ area for blacks during the riots, and some black families had to move out of their homes, though they returned afterwards. Physical boundaries between, for example, the blacks and the Irish, were very important, and the policing of 1919 played its part in strengthening them. The Police claimed that they had done their best to cope with the Riots. After the turbulence had subsided, the Chief Constable observed:

The coloured races, the majority of whom were practically segregated in their own quarter in Bute town, are showing a tendency to move more freely in that portion of the city where the disturbances took place. … The police made strenuous efforts and succeeded in keeping the white population from the Southern portion by guarding the bridges as otherwise if they had penetrated into that area the black population would have probably fought with great desperation and inflicted grave loss of life.

Below – A newspaper report from June 1919:

riots newspaper

Credit: ITV/Glamorgan Archives

What were the causes of the riots? They were sparked by racial tensions during a period of acute unemployment. In Cardiff’s docklands, servicemen who had returned from the war found themselves competing for jobs with a local workforce of largely black and Asian men, who were also desperate to make ends meet. The Chief Constable summarised the grievances of the black population as follows:

The coloured men resent their inability to secure employment on ships since the Armistice as they are being displaced by white crews; 

They are dissatisfied with the actions of the Government;

They regard themselves as British subjects;

They claim equal treatment with whites and contend that they fought for the British Empire during the war and manned their food ships during the submarine campaign.

newspaper 'negroland'

By June, unemployment was a serious problem among the black community. According to the Chief Constable, the number and ‘nativity’ of the coloured seamen who were unemployed and living in the port were as follows:

Arabs – who claim to belong to Aden:  400

Somalis:  200

Egyptians:  50

Portuguese; Indians, Cingalese and Malays:  60

West Africans – Sierra Leone: 100

West Indians:  400

Roughly a half of these were seamen of different grades and the other half consisted of different men who had no experience as seamen until the war made it necessary to recruit them to man British Merchant shipping. Four of the principal Arab and Somali boarding masters met the Chief Constable in the middle of June to ask him to make representations to the Government on their behalf, as they had a large number of men ‘on their hands’ who were in debt to them and wholly dependent on them for subsistence. Some of these men had been unable to get a place on a ship for the past six months. This was, in part, due to the imposition of a ‘colour line’ on the engagement of crews.

newspaper 'wild scenes at Cardiff'

The race riots of 1919 brought bloodshed to Cardiff. Three men died and hundreds more were injured. That same summer, the South Wales docklands of Newport and Barry also experienced brutal outbreaks of racial violence. The effects of the riots rippled throughout the Empire. From the start, the police felt that the answer lay in repatriation and this suggestion was made to the Home Office in a telephone conversation after the first two nights of the riots. However, the scheme which was introduced offering financial inducements failed to have an impact, unable to tempt people out of their established homes and relationships. Some were married to white women and so could not be repatriated; for other married men, the terms were simply impracticable. The funds available covered only a fraction of the costs involved and proved impossible to administer fairly. By August of 1919, some six hundred men had been repatriated. The voyages did not prove to be plain sailing either. The SS Orca which sailed from Cardiff on 31 August with 225 black mercantile ratings on board experienced what its owner described as a mutiny, exacerbated by the fact that the seamen went on board with arms, including revolvers, in their possession. The mutiny was instigated by a group of eighty prisoners who were boarded at Le Havre, but the mercantile ratings joined in what became a ‘general uprising’.

Nor did discontent end when they arrived in the West Indies. One group of repatriated men sent a complaint about their treatment to the Acting Governor of Jamaica. This took the form of a petition, dated 1 October 1919, in which they claimed that there had been an undercurrent of hostility towards blacks in Britain for some time before the riots began:

… there was a premeditation  on the part of the whites which savoured of criminality that before the mob started the race riot it was published in a newspaper in England that the Government must deport all the coloured people in England. … it was also further published that if the Government did not deport the coloured they the whites would take the law in their hands and see to it that they be got rid of;

… as we heard the cry of riot in the streets knowing that we were and are still loyal British subjects we kept in our houses but this did not deter the whites from their wanton and illegal attack for on the following day our houses were attacked… and we were compelled to hide ourselves in our houses as the rioters (whites) outnumbered us in the ratio of 100 to 1… and as we had no intention of rioting we had to lock ourselves in all the time and at one o’clock in the night we were taken out of our houses by the Government Black Maria and there locked up for days before we let out. … while the Government was taking out some of us the rioters… were setting fire to some of the coloured lodging houses; 

… on the following day a detective was detailed and sent round to all the houses taking statements of our entire debts and after receiving same he told us that the Government would give us the amount of money to pay same and when we arrived at our native home (British) we would receive ample compensation for our ill-treatment as we were bound to leave on the first ship; if we didn’t worst trouble would come on us.

… the riot by the whites on us was going on for fully eight days before the Authorities there could cope with it and attempted to take any proceedings to stop it.

… we have no monies; we are in a state of almost want and destitution having to move away so quickly all our belongings goods and chattels were left behind all we have to subsist on is the 25/- which was given to us by this Jamaica Government and this is a mere trifle as the high prices of food stuffs and the high cost of living, food, clothing etc. make it hard to live on.

In response to the allegations made in the petition, the police claimed that they were not aware that racial feeling was incited by the publication of articles in the press. Welsh Labour historian Neil Evans has suggested that this more general atmosphere of hostility was partly in response to racial clashes elsewhere in Britain and stemmed from the general mood of chauvinism engendered by the war. The authorities in Cardiff denied that any houses were fired during the riots, but reported that some furniture had been burned. They also denied the claim that ‘refugees’ were taken from their houses by night and conveyed in a “Black Maria”. The repatriation scheme was in place before the riots under the administration of the Board of Trade. Apparently, the Treasury arranged for payment of a re-settlement gratuity of six pounds per man on his arrival in his colony of origin. The Town Clerk of Cardiff claimed that the Riots only lasted for two days and were intermittent rather than continuous.

The Corporation had agreed on compensation claims to two of the boarding-house keepers and twelve other claimants, who had left Cardiff without leaving a forwarding address. But when some of the repatriated men arrived in Trinidad, the stories of their mistreatment in Cardiff played a part in the upheavals on the island in December 1919. One particularly gruesome story circulated there that a crowd in Cardiff had stopped the funeral of a black man, decapitated him and played football with the head. There is no documentary evidence of this, but references exist, apparently, in Colonial Office Papers. Eye-witnesses asserted later that the press had not told the full story of the riots, and that many violent incidents associated with the outbreak had not been reported to the police. Some of this testimony has only recently come to light. Leslie Clarke’s family found themselves caught up in the conflict. Leslie’s mother and grandparents were living in a quiet terraced street in the Grangetown area of the city, near where this author used to live as a student in the early eighties.

somerset street
                           Above: Somerset Street in Grangetown. Credit: ITV Cymru Wales

Leslie’s grandmother was white; her grandfather was from Barbados: “A thousand people came rioting down the street looking for black people,” Leslie explained in a 2018 interview for HTV Wales.

Leslie's grandmother
                         Above: Leslie’s grandmother, Agnes Headley. Credit: Leslie Clarke 

“So my grandmother persuaded my grandfather to go out the back way and to climb over the wall and go and hide. She reckoned that nobody would hurt her.

“But they did. They beat her up. They beat her really badly.

“My mother was only nine at the time and she was terrified. She hid behind my grandmother’s skirts.”

Leslie's mother

Above: Leslie’s mother, Beatrice Headley. Credit: Leslie Clarke

 

The family home was looted. Rioters doused the downstairs rooms with paraffin, planning to set the building on fire. All that stopped them lighting the fuse was the discovery that the house was rented, owned by a white man. Leslie’s grandmother never recovered from the incident:

“She changed from then onwards. From being a bright, confident woman she became very withdrawn and quiet. She suffered a lot.”

Quite clearly, much of this oral testimony of the victims of the riots was not shared at the time because of fear of further reprisals. Even in recent years, white supremacists and extremists have continued to publish propagandised versions of the Riots. Despite the claims and counter-claims, the black ratings’ petition provides further evidence of such incidents and is a rare example of black victims’ viewpoint of racial violence, which would otherwise be hidden from history. In modern-day Cardiff, you won’t find any reminders of those riots. No memorial, no marker. They’ve become a forgotten chapter in the city’s history.

The promised post-war economic ‘Reconstruction’ of Britain was, however, not quite the ‘myth’ that some historians have made it out to be. In the economics of heavy industry, ‘war socialism’ disappeared as Lloyd George always meant it to, and with it went the sense, in the Labour movement at least, that an activist government would do something to moderate the inequities of the old industrial system. The coalition government, largely Conservative and Unionist in composition, was determined to dismantle as quickly as possible the state control of raw materials, manufacturing, communications, wages and rents. Demands by the trade unions for the nationalisation of the coal industry, the docks and the railways were swiftly swept aside. The termination of ‘war socialism’ and the restoration of monetary orthodoxy became synonymous with post-war ‘reconstruction’ in Britain. Tory traditionalism trumped any idea of the development of social democracy along continental lines. But there was still room for a continuation and perhaps completion of the ‘new Liberal’ reforms which had led to a nascent ‘welfare state’ before the crises of 1910-1914 and the impact of the World War.

The liberal historian and president of the Board of Education, H. A. L. Fisher raised the school-leaving age to fourteen, a small act, but one of immense significance, and wages and salaries were standardised throughout the country. Old-age pensions were doubled, and unemployment insurance extended to cover virtually the entire working population of Britain. Through the extended Unemployment Insurance scheme, which began to operate at the beginning of 1920, the state became involved in the ‘problem’ of unemployment in a way it had never been before the First World War. This was to lead, through all the stumblings of a stubborn mule, into unparalleled intervention in the social conditions of working-class communities throughout the nations and regions of Britain. Mass unemployment was to become a new phenomenon in the inter-war years, and one which had not been properly quantified before the War. The pre-war trade union figures had revealed an annual rate of under five per cent between 1883 and 1913, never getting above eight per cent. Between 1912 and 1914 London had the highest level of unemployment with an average of eight per cent, whereas south Wales had the lowest level at under three per cent. In the decade following the end of the war, these positions were entirely reversed, and average unemployment increased by as much as tenfold in certain regions and ‘black spots’.

Party Politics, ‘Pacifism’ & Foreign Policy:

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During the war, party politics had been discarded, and the Coalition Government was set to continue under Lloyd George. In 1918-19 the Liberal Party was in a grave condition due to its internal divisions and the Labour Party had taken its place as the main party of opposition. It appeared that the party structure might change profoundly. In one way or another, it can be argued that the ‘challenge of Labour’ after the war confronted all the politicians who had come to prominence before 1914. Their uncertainty moving forward was to be compounded by the major extension of the franchise, among all adult males and partially among females in 1918. Lloyd George was convinced that he could govern through a combination of sheer charisma and tough political muscle. The coalition faced little opposition in parliament, where there were only fifty-nine Labour MPs and a withered ‘rump’ of ‘pure’ Liberals led by Asquith, who had never got over Lloyd George’s ‘coup’ against him in 1916. The prime minister rarely put in an appearance, preferring to preside instead from Downing Street, which became headquarters for a circle of cronies. Honours were up for sale and insider commercial favours were expected in return. Under the leadership of J. Ramsay MacDonald (pictured below), the Labour Party had adopted a Socialist programme in 1918; so for the first time, the party system had to adapt to the two opposition parties, Labour and the Asquithian Liberals, holding fundamentally opposite views. It failed to do so.

002

As early as 1919, it was evident that the relationship between the new democracy, based on universal suffrage, and foreign policy, might have to be worked out afresh in an international environment which was still far from stable. During the war, a group of intellectuals, publicists and politicians, both Liberal and Labour, had formed the Union of Democratic Control. In the view of this group, the outbreak of war had shown the futility and inappropriateness of existing diplomatic procedures and assumptions. Secret diplomacy belonged to a bygone era and it was time to involve ‘the people’ in policy-making, or at least to ensure that there was democratic control over decision-making. However, when it came to details, there was little unanimity about how either ‘democratic control’ or the League of Nations was to work. For some, the former concept went beyond parliamentary control and there was talk of plebiscites and referenda. Others concentrated on trying to devise mechanisms whereby the executive would be subject to scrutiny and restraint by various foreign policy committees of the House of Commons.

There was another popular post-war myth, that ‘the British people’ were inherently pacific and had only been involved in wars by the machinations of élites who initiated conflicts for their own ends. These views enjoyed some support and bore some influence on policy-makers. They blended with the contempt for secret treaties displayed both by Vladimir Lenin on the one hand and Woodrow Wilson on the other. They also related, albeit awkwardly, to the enthusiasm for the League of Nations on the centre-left of British politics. The more these matters were considered, however, the more difficult it became to locate both ‘foreign policy’ and ‘public opinion’. A similar range of views surrounded the League of Nations. Some supporters saw it as an embryonic world government, with ‘effective’ military sanctions at its disposal, whereas others believed that its essential purpose was to provide a forum for international debate and discussion. Enthusiasts supposed that its creation would render obsolete the notion of a specific British foreign policy. But, at the end of 1919, supporters of these new concepts and structures were still four years away from truly coming to power.

Sources:

John Buchan (1935), The King’s Grace, 1910-1935. London: Hodder & Stoughton.

Irene Richards, et. al. (1938), A Sketch-Map History of the Great War and After. London: Harrap.

Norman Rose (2006), Harold Nicolson. London: Pimlico.

J. M. Keynes (1919, 1924), The Economic Consequences of the Peace. Basingstoke: Macmillan.

Neil Evans (1983), The South Wales Race Riots of 1919: a documentary postscript. Llafur (The Journal for the Study of Welsh Labour History), III. 4.

ITV REPORT, 3 November 2018 at 9:00am, https://www.itv.com/news/wales/2018-11-03/one-thousand-people-came-rioting-down-the-street-reliving-a-notorious-chapter-in-cardiffs-past/

A Pictorial Appendix – These Tremendous Years:

003

Below: Piccadilly in 1919. Note that it is not a roundabout, and there was still room to move at walking pace across Piccadilly Circus. Note also: The “Old Bill” type bus, on what is now the wrong side of the street; as many men in uniform as not; “As You Were,” on at the London Pavilion; the ageless violet seller installed on the steps of Eros.

004 (2)004 (3)

Above: The Summer of 1919 was very hot. The grass was burnt yellow, and the cricket ball dropped like a cannonball on the cracked earth. Victory weather, just right for a summer of Peace parades and celebrations. And just right for those who had to sleep out: the returning warrior found London short of houses.

007

 

008

Lady Astor, the first woman M.P., went to the House of Commons dressed as above. She was elected member for Plymouth in a by-election. Her speech after the declaration of the poll began: “Although I cannot say that the best man has won…” This first woman M.P. took the oath in the House sponsored by Lloyd George and Balfour. “I wish to be regarded as a regular working member,” she said, “not as a curiosity.”

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