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This article explores the connection between genocide, language and language consciousness by tracing the strange biography of one Yiddish neologism: shabreven. During the Holocaust, the word came to mean both ›looting‹ and ›taking ownerless property‹. It stoked moral and etymological debate among Yiddish speakers in the Warsaw ghetto, while also occupying a prominent position in postwar Polish and Zionist discourses. The term shifted between different semantic, ethical and cultural fields, navigating a delicate balance between various meanings and norms. The discussions around this term help to shed light on key questions: What were the motivations for the study of Holocaust Yiddish neologisms? How did this early postwar Yiddish philological discourse differ from its parallel in German? Shabreven became both a symbol of the genocidal collapse of language and a tool for regaining victim agency in speech.
It would be easy to presume that the Universal Declaration of Human Rights had always been a symbol of opposition and dissent in the German Democratic Republic. Passed by the United Nations General Assembly on December 10, 1948, the UDHR contained a number of provisions that contradicted the political and social order of the GDR as run by the Socialist Unity Party (SED). It demanded an independent judiciary, prohibited arbitrary arrest and invasion of privacy, and guaranteed the right to leave one’s own country. In East Germany, where the judiciary was firmly an ideological organ, the Stasi regularly conducted mass surveillance and arbitrary detention and those seeking to leave the country illegally were shot at the border, this would seem to be a document seen to be inherently hostile to SED rule. Even the social rights contained in the UDHR, in particular the right to strike, were contrary to the legal realities of East Germany where citizens could not demand rights from the state that would obstruct the will of the party.
Yet over the course of East Germany’s existence, the Universal Declaration was more likely to be invoked by the SED than by its domestic opponents. The SED came to view the Universal Declaration and the UN human rights system as a whole as an ally to the Socialist Bloc and the contents of the UDHR reflected in the achievements of socialism within the borders of the GDR. For decades this was not challenged by East Germans on a mass scale, until very suddenly in the late 1980s, human rights and the UDHR became symbols of the democratic opposition. This article will trace the trajectory of the UDHR in East German public discourse from its passage in 1948 and the reaction by the SED in the Soviet Occupied Zone, through the commemorations of the UDHR on its many anniversaries before the ultimate collapse of SED in 1989.
Historians have analyzed films, novels, records, theater plays etc. primarily in reference to their meaning and reception. This article makes a case for moving the focus to the actors, structures and processes that shape symbolic objects before these are consumed. To this end, we present a framework established in US sociology to study the fabrication, distribution and evaluation of symbolic content. We discuss the production of culture perspective as an approach that appears to be particularly useful for historical research and, by reviewing selected works from the sociological literature, demonstrate how this perspective can be applied to phenomena like popular music and literary fiction. We focus on genres as bundles of conventions as one lens through which historians may analyze the creation, reproduction, evaluation and consumption of culture.
How have Jewish intellectuals reflected on the German language both in relation to and in the aftermath of the ›catastrophe‹? This essay explores one perspective, that of H.G. Adler (Prague, 1910 – London, 1988), a scholar, author, and survivor of the Shoah. Adler’s relationship to and reflections on the German language offer insights into the experience of persecution and survival as well as into the memory and representation of the Holocaust. His vast body of work testifies to both the possibility and the necessity of writing ›after Auschwitz‹, and indeed to the necessity of writing in German after the Holocaust. A survivor of Theresienstadt, Auschwitz, and two satellite camps of Buchenwald (Niederorschel and Langenstein-Zwieberge), Adler went on to write in various forms, from the analytic to the poetic, about National Socialism, antisemitism, and life and death in the concentration and extermination camp system. His scholarly work made an important contribution to establishing the international and interdisciplinary field of Holocaust Studies, and his poetry and novels bear witness to his own personal experiences in the camps, albeit not in a directly autobiographical form.
The Language of Eichmann in Jerusalem. Nazi German and Other Forms of German in the 1961 Trial
(2024)
The Eichmann trial granted the German language a degree of audibility unprecedented in the short history of the State of Israel, with the defendant, the judges, prosecutors, and witnesses frequently resorting to speaking in German. Drawing on archival materials, protocols, footage, and press reports, this article shows how the Eichmann trial brought to the surface several historical tensions around the postwar status of the German language. The various forms of German heard in the courtroom challenged notions of German as a Nazi language and contributed to a gradual mitigation of its status as a tainted language. The article concludes by reassessing Hannah Arendt’s 1963 Eichmann in Jerusalem and specifically her postulate that Eichmann’s language faithfully reflected his mindset. It is argued that Arendt’s understanding of Eichmann’s language echoed prewar ideas on German’s distinctive power.
Among Soviet historians it has become a kind of truism that the Soviet Union was in a permanent state of contradictions and that Soviet society adopted to these contradictions with a variety of survival mechanisms that ranged from ignoring contradictions to circumventing their challenges. One of the most significant contradictions was the tension between the Soviet Union’s self-declared anti-imperialism and anti-colonialism and the fact that it asserted its own imperial and colonial structures, especially in the post-WW II period. Many more qualified people have written on this and debated which of the two elements should be considered primary or how one should characterize the resulting entity. I shall try to address a different question here: What does and did empire mean to Russians, especially vis-à-vis Ukraine?
How will Russia’s war of aggression in Ukraine end? What kinds of political scenarios could stop the suffering and bring stability to the region? Of all the different future scenarios none is particularly encouraging. In particular, the prospect of a ›Finlandized‹ Ukraine has met with near universal rejection. Yet, ever since Russia’s illegal annexation of the Crimea, ›Finlandization‹ of Ukraine has been discussed as a potential solution.
The fiftieth issue
(2021)
At first glance, the seventeenth year of this journal’s publication would not appear to mark any particular anniversary. And yet the present edition is quite special for the editors and the editorial team: it is the 50th issue overall. (There was a double issue in 2007, otherwise there have always been three issues each year.) This milestone is the occasion for a brief review of the original objectives and of developments thus far, as well as a (self-)critical look at what the future may bring. Scholars in the nascent field of the cultural study of periodicals have rightly observed: ›The production of periodicals is often accompanied by reflections on the value, conditions, and promise of producing periodicals.‹
At the beginning of the twenty-first century the problem of European frontiers ceased to exist. This is because they are no longer determined by a sense of European identity, but rather by a consensus reached in Brussels. The European borderlands disappeared generations ago and were substituted by peripheries of the capitalist world-economy. It may be said that both concepts are of only academic interest. However, I am not convinced.
The first thesis the paper argues is that a certain collective identity emerged at the shop floor („we“, the workers as opposed to „them“, party leaders, intelligentsia, peasants, the self-employed) that was built - and declared - increasingly in opposition to the official ideology and the communist party.5 Important factors in this process were the growing economic difficulties, the party’s apparent inability to solve them and the increasing materialism people experienced in the everyday life - including party member- and leadership. From the mid-70s onwards, the workers could perceive the worsening economic situation of the country by the decrease of the real wages and the need to do overwork or take extra jobs (first in the agriculture and then in the so-called vgmk-s) to keep the former standards of living. The continuously increasing prices made the impact of the „global market“ real regardless of the stance of the Central Committee. The sharpening criticism of the system is formulated, however, not from the viewpoint of the individual but that of the worker, which suggests the existence of a collective identity. One may call it a paradox of the Communist ideology that the system, after all, was successful to develop working-class collective identities but these were built in opposition to the Communist regime and not for it. The paper will attempt to show how these „oppositionist“ identities were formulated and in what ways they are indicative of the alienation of the workers from the workers’ state.
Milton Friedman hung up the phone in disgruntlement. The most influential economist of the postwar era had just called three different banks, one in Chicago and then two in New York, in order to initiate a financial transaction. He wanted to sell short $300,000 in pound sterling. Short selling is a technique for speculating on falling prices. Initially, speculators can only speculate on rising prices: they buy something and hope that it gains value, so that they can sell it at a profit. If the price for this asset goes down instead, the speculator incurs a loss when he resells it. So in order to profit from falling prices, speculators need to sell first and buy later – which is indeed possible if what is sold now is in fact only to be delivered a few weeks later. If the speculator is right and prices fall in the interim, he can buy cheap just before delivery is due and thus profit from having already sold what, at the time, he had not yet owned.
Picture agencies are mediators between photographers and editorial staffs; they play a crucial role in producing mass media visibility. However, their part in the system of the visual propaganda of the Nazi state is largely unexplored. This article features a controversial case, the American Associated Press and its German subsidiary. By submitting to the Schriftleitergesetz (Editorial Control Law) in 1935, the German AP GmbH (LLC) followed its German counterparts in the process of Gleichschaltung (forcible coordination). Until the United States entered the war in December 1941, AP supplied the Nazi press with American pictures. This service proved to be of particular relevance for propaganda. AP was also allowed to continue its photographic reporting in the Reich. AP pictures taken under the aegis of the Propaganda Ministry, the Wehrmacht and the SS were ubiquitous in the Nazi press. Moreover, the New York headquarters supplied the North American press with these same pictures, where they were published either as news photos or as propaganda images.
During the first five-year plan, the Soviet state turned to an unusual source to cope with the challenge of factory-induced deafness and disability: the deaf community. From 1930 to 1937, deaf activists, alongside specialist doctors, organised a yearly, three-day event known as Beregi slukh! (Take Care of Your Hearing!) to propagandise the prevention of deafness. During these years, more than 46,600 lectures were held in venues across the Soviet Union and 7,900,000 brochures, leaflets and posters printed. While the event reflected the Soviet belief that disability was a relic of the ›backward‹ past that would be eliminated as communism approached, the deaf activists involved in these events used them to make the alternative case for their own identity as a legitimate part of the Soviet body politic. By foregrounding their labour capacities and demonstrating aspects of deaf cultural practices (including sign language) to a hearing audience, Beregi slukh! became a powerful means to advocate for the centrality of the deaf community to Soviet visions of self and society.
It is difficult to state conclusively whether the German revolution of 1848 was a success or a failure. I take a more sceptical view of the positive consequences of this revolution view than many recenbt historians of the period, at least in Germany. In order to explain and substantiate this position, I will begin by outlining a few theses taking a closer look at the character of the German revolution of 1848 and its social and political base. Then I shall discuss the question of the 'success or failure of the revolution' and the long-term effects of the events and developments of the year 1848. In the following I shall concentrate primarily on Prussia as the centre of the later German
Empire, and I shall focus particularly on the situation in the cities.
How are people made into subjects, and how do they make themselves into subjects? - asks Wiebke Wiede and presents in the article the most important theoretical approaches to the functioning of "subjectification" in the 20th century. Subjects constitute themselves in historical space and are subject to institutional structures and subject definitions that are historically contingent. Accordingly, the cultural orientation needs of our present are also reflected in subject theories.
Queuing as a quintessential experience of Soviet everyday life: hardly any other motif has shaped our images of the late Soviet Union as much as the long lines of people persevering in front of shops and grocery stores. Besides hopes of purchasing essential and rare goods, the social aspect of this practice was also important, as exemplified by Vladimir Sorokin’s 1983 novel “The Queue” surrealistically exploring interactions of people queuing for an unknown commodity, or Olga Grushin’s 2010 book “The Line”, which unfolds a Soviet family’s everyday longings, hopes and obsessions based on rumours about a concert by a famous exiled composer, and a street kiosk that may or may not have tickets on sale.
As a striking phenomenon of Soviet consumption, Beriozka stores appeared in the late 1950s and existed until the end of the 1980s. This chain of stores was a state trade organization selling goods that were otherwise in short supply (cars, fashionable clothes, household appliances, etc.) for special ‘checks’ used as equivalents of foreign currency by special groups of Soviet citizens. Similar stores existed in other socialist countries. The article shows that these stores on the one hand became an element of the existing system of state-granted entitlements. The customers were Soviet citizens who earned money abroad as well as people who did not go abroad but received remittances from foreign sources. On the other hand, the development of the black market (barely persecuted by the state) made it possible to purchase Beriozka checks for roubles; so it granted access to sought-after goods (among them even goods from the West) to a wide range of consumers. Paradoxically, Beriozka was criticized and much frequented at the same time.
This year marks the 500th anniversary of the Reformation, specifically of Martin Luther nailing his 95 theses to the door of the church in Wittenberg. There can be no doubt that the Reformation had a profound and long-term impact on European civilization. Will there be agreement 400 years from now that Lenin’s April Theses precipitated an event of world-historical significance?
Narratives of Indian responses to the British Empire are usually structured around the ‘national movement’. This essay attempts instead to understand some of the psycho-social and psycho-political dynamics of a colonised society in the first half of the twentieth century. It takes a strategically subjectivist view of the British Indian empire in attempting to approach the subject not from the perspective of retrospective scholarly work, but from perspectives that can be seen to have been relevant to those who experienced that empire. In doing so, it also decentres the national paradigm, which merely reifies the category ‘Indian’, without enabling us to get any closer to non-elite figures, or indeed to relatively elite figures who did not belong adequately in the ‘national movement’. This narrative, therefore, tries to address some of the perspectives of marginal figures and groups, to the extent this is possible, while acknowledging that an Alltagsgeschichte of the British Indian Empire remains to be written.