Category Archives: South Asia

Mawdudi and “Theodemocracy”

From: Forces of Fortune: The Rise of the New Muslim Middle Class and What It Will Mean for Our World, by Vali Nasr (Free Press, 2009), Kindle Loc. 2645-76:

The fundamentalist founders argued that the decline of Islam began not, as popular wisdom held, with the decline of the Ottoman Empire, but much earlier, in 661 C.E., when the Umayyad dynasty rose to power and turned the caliphate into a monarchy. Muawiyah who founded the Umayyad caliphate was not a companion of the Prophet or respected for his religious standing. He was a general who strong-armed his way to the top to rule an empire that he then passed on to his son. From that time on, went the argument, clerics had betrayed the faith by submitting to the will of religiously unqualified rulers who in turn sustained them through patronage. They had allowed for religion to be separated from politics, which fundamentalists thought ran counter to the religion’s intent. “The chief characteristic of Islam,” wrote Pakistan’s Mawdudi, “is that it makes no distinction between spiritual and secular life.”

Mawdudi was particularly effective in articulating this vision of history and politics. He taught that Islamic history after the seventh century was therefore “un-Islamic”—a shocking assertion, rejecting as it did centuries of impressive achievements of Islamic society in the sciences and arts, culture, and the building of powerful empires. Those achievements did not impress him, and he found fault with the manner in which, throughout history, as Islam spread to new regions of the world, it had found expression through local cultures. Such compromises he thought had altered the true meaning of Islam. He also dismissed the moral efforts and spiritual accomplishments of the countless Muslims who had lived by and handed down their faith’s teachings across all those centuries.

Mawdudi did not preach violence; on the contrary he argued that the goal of an Islamic state would be achieved by a steadfast process of proselytizing. To Mawdudi fundamentalism was all about a practice of educating; he would write and give speeches, argue and persuade, and his followers would do the same. The process would be slow and tedious, but by this means, more and more believers would be converted, until everyone was in the fold. The Islamic state would then follow naturally. He told his followers in 1941, “we desire no demonstrations or agitations, no flag waving, slogans, or the like … [for us] such display of uncontrolled emotions will prove deadly. … You do not need to capture your audience through impassioned speeches. … but you must kindle the light of Islam in your hearts, and change those around you.” There was more than a pinch of elitism here. Mawdudi wished first to convert the educated—professionals, bureaucrats, and intellectuals; the same class upon which Ataturk and Reza Shah had pinned their hopes. If the best and brightest converted to Mawdudi’s cause, then an Islamic state could not help but follow, he argued, as the educated elite would be running the state.

His teaching was also not expressly antidemocratic. The Islamic state was not conceived of as a true democracy, but through tautological reasoning, Mawdudi and his followers did claim that their Islamic state would be democratic. If democracy is a cherished quality in a state, then the Islamic state must by definition have it too, so Mawdudi described his imaginary republic as a “theodemocracy” or a “democratic caliphate.” The state’s duty was not however to enact the will of its citizens but to make sure that its citizens followed religious dictates in their daily lives. Mawdudi assumed that this in itself would win the state popular support. After all, he argued, in a gemlike example of the closed-circuit rhetoric at which fundamentalists excel, if a state truly reflects God’s will and its citizens are good Muslims, then how could they possibly want otherwise or disagree with their rulers? If you offered sovereignty to the people, they would give it right back, assuming they had been properly educated in what is expected of them. Fundamentalism is therefore not, in its own mind, antidemocratic; it merely thinks democracy is irrelevant.

Mawdudi doesn’t sound all that different from a million other revolutionaries—religious or secular—who have no use for democracy until everyone is properly (re)educated and therefore can be expected to vote the approved way.

Leave a comment

Filed under democracy, Pakistan, religion, science

Dutch Burghers Left Behind in Colombo, 1796

From: Being “Dutch” in the Indies: A History of Creolisation and Empire, 1500–1920, by Ulbe Bosma and Remco Raben, tr. by Wendie Shaffer (National U. Singapore Press, 2008), pp. 81-82:

The British and Dutch Burgher communities lived — quite literally — separate lives. The British settled inside the walled fortress of Colombo, while the Burghers lived in the city. An eyewitness describes an atmosphere of cool friendliness: “They meet seldom, unless on public occasions, when they are mutually friendly and agreeable to one another. Intercourse of this nature does not occur sufficiently often to breed intimate acquaintance, or lasting attachments.” Yet as early as 27 August 1796, a short six months after the British occupation of the city, the first marriage was celebrated between a young woman from a Burgher family and an Englishman. And more were to follow. In addition, little by little the British fluttered forth from their entrenched position and started to rent houses in the city and surrounding districts from the impoverished Burghers.

Although we have little information about the material circumstances of Burghers in the 18th century, it is evident that after the British occupation many fell upon hard times. Before February 1796, most of the Europeans had been working for the Dutch East India Company; now they had to make ends meet in some other way. Anyone who owned land would try to manage by selling coconuts, areca nuts and palm wine, and by renting out houses to the English. Burghers gradually gained modest positions in the government, since they were very useful to the British, providing a cheap source of labour and being well acquainted with the island. The Burghers, who lived mainly in the colonial centres and traditionally worked for the government, continued to be a community of civil servants. Several prominent clergymen and lawyers emerged from their midst, but on the whole they held posts in the lower ranks of the law courts and various administrative government departments.

With the arrival of the new authority in Ceylon, the social position of the Burghers changed. Just as, 150 years earlier, high-ranking officials in the Dutch East India Company had looked down upon the Portuguese, so after 1796 the “Dutch Burghers” were dismissed by the British as a “mixed-race breed” with extraordinary habits. Only very gradually did a mixed British-Ceylonese community develop; hence, for a long time the local Mestizo community remained synonymous with the term “Burgher”. Their sense of unity was strengthened by their loss of status and the arrogant attitude of their new masters. Already under the Dutch East India Company the Burghers had regularly approached the government as a group, demanding certain rights and privileges. They continued to do so under the British. They were concerned about the erosion of their social standing, as exemplified by their (privileged) custom of keeping slaves, their educational privileges, and their job opportunities, which were being threatened by the emerging class of well-educated Sinhalese and Tamils. However, they seem to have lacked a strong sense of Dutch identity. When in the mid-19th century the Burghers began to voice their own political and cultural agenda in the press, it was not to Dutch examples that they turned, but rather to British models, and they found inspiration in antiquity and the rise of nationalism in Europe. It was chiefly Burghers who supported the founding of the newspaper Young Ceylon in 1850. Inspired by Giuseppe Mazzini’s Young Italy movement for the unification of Italy, Young Ceylon voiced the thoughts of a rising elite of Burghers and cautiously promulgated the sentiments of Ceylonese patriotism. It was an expression of the intellectual ambitions of a young generation imbued with Western culture yet maintaining a markedly Ceylonese perspective. Like the newspaper’s founders, Charles Ambrose Lorenz and the brothers Frederick and Louis Nell, most of those working on the newspaper were descended from Dutch East India Company employees, although there were also a few Sinhalese involved.

Leave a comment

Filed under Britain, language, migration, nationalism, Netherlands, Portugal, Sri Lanka

Slavery in the Dutch East Indies, 1600-1800

From: Being “Dutch” in the Indies: A History of Creolisation and Empire, 1500–1920, by Ulbe Bosma and Remco Raben, tr. by Wendie Shaffer (National U. Singapore Press, 2008), pp. 46-47:

While Mestizo communities were growing rapidly in the colonies in South Asia, Java and the Moluccas, things were looking very different in Batavia. Here the social spectrum was, in a manner of speaking, weighed down under the burden of two opposing immigrant streams. On the one hand were the large numbers of newcomers from Europe. They continued to occupy the upper ranks in the Dutch East India Company, fashioning their world with their conventions and status norms. Among the newcomers were thousands of soldiers living in the garrisons who were not permitted to marry. On the other hand, the city swarmed with slaves who had been brought there from neighbouring regions and who, after manumission, filled the ranks of the urban proletariat. During the 17th and 18th centuries between 200,000 and 300,000 slaves were transported to Batavia. Indeed, the majority of those living in Batavia had a background of slavery. Inside the city walls, where about 20,000 people lived, at least half the population were slaves and 10 per cent were Mardijkers [interesting etymology!—J.]. Most of the extramural communities also consisted of former slaves and their children. The demographic effects of the slave trade were enormous: when slavery was abolished in 1813, population growth ceased for a long time.

The Europeans were the largest group of slave owners. There are no statistics recording how many slaves there were per household in Batavia, but figures from other comparable cities can offer some idea. In Colombo in 1694, 70 per cent of the slaves were owned by Europeans, with an average of almost 11 slaves per household; on Ambon these figures were respectively 59 per cent and almost five. In Batavia the Mardijker community fluctuated with the number of Europeans in the city, which suggests a close correlation between the number of Europeans and the emancipation of Christian slaves. There appears to have been an almost insatiable demand for slaves. The whole of Batavia — from the company’s dockyards to household personnel, from orchestras to agriculture — depended on slave labour. The ubiquitous slaves also provided easy sexual contacts for their owner. Presumably, sexual relations between masters and their slaves were so common, and so much a matter of course, that they were seldom given special mention.

Slavery left other traces on the pattern of urban life. It was customary for Europeans to baptise their slaves. This practice took off after 1648, when baptised slaves were admitted to the religious celebration of the Lord’s Supper in the Dutch Reformed Church. In Protestant churches it was not the sacrament of baptism but that of the Lord’s Supper (Eucharist or Holy Communion) that admitted a person into the community of Christian believers. Furthermore, many Batavian Europeans took pride in emancipating their baptised slaves. They would usually do this in their wills. Some of the emancipated slaves would, not surprisingly, be the natural children of slave women and European fathers. Once they had been baptised and emancipated, these former slaves merged into the Mardijker community. The Mardijkers were a flock of varied plumage. Initially, most of the slaves in Batavia came from India and Bali. This changed between 1660 and 1670, when the VOC halted its slave trade from India and Pegu (southern Burma) and, after the capture of the southern Sulawesi kingdom of Goa, channelled the extensive slave-trade network from Makassar to Batavia. The slaves of Indian origin living in Batavia quickly became a minority group. After some decades, this shift in slave supply areas resulted in the establishment of a Malay-speaking church in Batavia. The slaves from India tended to speak Portuguese, and the lingua franca in most households with slaves would probably also have been Portuguese. Thus, after their emancipation, slaves from India as well as the East Indies joined the Portuguese-speaking community. Between October 1688 and February 1708 there were 4,426 people accepted into the Portuguese-speaking church, while in the Malay-speaking church the number is no more than 306. With time, the Portuguese language began to fade out of use, and so during the 18th century the balance shifted. In the 1780s each year saw about 30 people joining the Portuguese congregation, while 31 were accepted into the Malay church.

Leave a comment

Filed under India, Indonesia, language, Malaysia, migration, Netherlands, Portugal, religion, slavery, Sri Lanka

Extraterritoriality for Everyone

From: Being “Dutch” in the Indies: A History of Creolisation and Empire, 1500–1920, by Ulbe Bosma and Remco Raben, tr. by Wendie Shaffer (National U. Singapore Press, 2008), pp. 4-5:

Segregation and extra-territoriality — the principle that foreign merchants were subject to their own laws — had many advantages. The local ruler had to negotiate with only a few representatives rather than each individual trader. Maintaining law and order — especially when it had to do with family and inheritance law — could be left to the internal authority of the immigrant community. And the advantages were all too clear for the foreign merchants: they were able to continue living under their own laws. “Legal pluralism” — that is, different groups falling under different legal systems and authorities — was characteristic of the fragmented power relations in the cities and states of South and Southeast Asia. The highest authority was the king, but he was not all-powerful. He had to deal with courtiers, regional governors, religious leaders and the representatives of foreign merchants. Each one of these had their own followers, their own servants and their own slaves who remained outsidethe reach of the central ruler.

The distribution of political power was reflected in urban space. In Ayutthaya large communities of foreign merchants lived in ban (villages or districts) situated just outside the city walls. At the close of the 17th century we find mention of communities from Gujarat (Hindustanis), Coromandel (Moors), Pegu, Malacca (Malays), Makassar, Cochin-China (Vietnamese), China, Japan, Portugal, France and the Netherlands. Each of these communities had its own headman; the large Chinese community even had two. However, although in theory the ethnic groups seemed juridically and spatially segregated, daily reality was somewhat more complicated than the above might suggest. Foreigners and their descendants were not prevented from gaining access to the Siamese community. The extensive “Portuguese” settlement — outside the city walls and facing the Dutch trading post — was peopled by “a Portuguese race descended from black women”; in other words, Mestizos, children with a Portuguese father and a Siamese mother. In other communities, too, there was considerable mixing between travellers from abroad and local women, again resulting in children of mixed parentage.

The mixing went beyond family relations; some foreigners even attained high-ranking posts at court. At the end of the 17th century, for instance, the royal guard of Ayutthaya was composed of a couple of hundred Persians, while for three successive generations the chief minister (chaopraya) came from a Persian family, only to be followed by a Greek. Other first ministers were of Indian, Chinese and Mon descent. The king of Siam also employed Englishmen — for instance, as harbour master. Evidently, the king preferred to employ foreigners in key positions, since they did not command a large band of followers who might pose a threat to the throne. But their difference stopped there. Nowhere do we find the suggestion that these families behaved as foreigners. On the contrary, it seems that they adapted themselves to the culture and customs of the Ayutthaya court. They married into Siamese families and ultimately became totally assimilated.

Along the coast of the Malay peninsula and in the Indonesian archipelago, the pattern of segregation and mediation was essentially no different from that in Siam. The city of Malacca, which during the 15th century thrived on the expanding international trade and attracted many foreigners, appointed four syahbandar (harbour masters) to maintain contacts between the local government and various trading communities, and also to administer justice and act as military commanders in times of war. The syahbandar appointed from the Gujaratis of northwest India was described by the Portuguese traveller Tome Pires as “the most important of them all”. Then there was a syahbandar for the merchants from Coromandel, Bengal, Pegu and Pasai (in north Sumatra); one for the foreigners from Java, the Moluccas, Banda, Palembang, Borneo and Luzon; and, finally, one for the Chinese and other traders from the East.

In the 16th and 17th centuries, Ayutthaya and Malacca were among the largest cities in Southeast Asia. Travellers from Europe estimated the population of these places to be as large as 200,000 — although in reality the number would have been closer to 10,000. But whatever the actual figure, there is no doubt that these were bustling emporiums, where a foreigner was not an uncommon sight. There was a prevailing pattern of segregation, but we cannot say with any accuracy how strictly this was applied.

Leave a comment

Filed under economics, Indonesia, Malaysia, Netherlands, Portugal, South Asia, Southeast Asia, Thailand

Borrowed Gender Distinctions in Malay

There was an interesting discussion a couple of weeks ago on the An-lang (Austronesian languages) listserv about how those languages distinguish gender. Here’s my heavily copyedited rendition of the posting by Waruno Mahdi, whose breadth and depth of knowledge about Malay is hard to match.

The situation in Malay is similar to that described by Paz Naylor for Tagalog/Cebuano/Hiligaynon in the Philippines. The language did not originally have gender-specific terms, other than for ‘man’, ‘woman’, ‘mother’, ‘father’, ‘aunt’, ‘uncle’, ‘elder brother’, perhaps also ‘elder sister’. There are also gender-specific honorific titles in Malay folklore, where hang appears before a man’s name and dang before a woman’s name.

Terms for animals can be made gender-specific by adding the attribute jantan ‘male’ or betina ‘female’ behind the gender-neutral noun. That usage is already widespread in the earliest (16th-century) manuscripts, and does not appear to reflect late external influence.

The corresponding pattern for distinguishing male and female human terms is to add lelaki ‘man’ or perempuan ‘woman’ after the head noun. This usage is likewise attested in early manuscripts, but not as frequently as the usage for animals. The most frequent headword with those attributes was anak ‘child’, and the resulting construction distinguished ‘boy/son’ and ‘girl/daughter’.

Another such headword in earliest sources was raja ‘king’, a loanword from Sanskrit. In the Sejarah Melayu (Malay Annals) one can find raja perempuan used to mean ‘female king, reigning queen’ (not simply ‘king’s wife’).

Malay borrowings from Sanskrit go back to the first millennium A.D., but the rise of word pairs marked specifically for gender in Malay did not occur until fairly recently. The term for ‘madam, milady’ in the earliest Malay manuscripts was tuan putri (‘master, sir, milord’ + Sanskrit loanword for ‘daughter’). The male equivalent of putri in Sanskrit is putra ‘son’, but the two words were used differently in Malay. Putra ‘son’ was fully incorporated into the language, giving rise to derived forms such as berputrakan ‘to have as son’, whereas the usage of putri was restricted almost exclusively to the expression tuan putri attached to the proper names of noble women. In a quick search of Ian Proudfoot’s MCP, I only came across a single deviant example in Hikayat Bayan Budiman, in which putri is used in both singular and plural to mean ‘princess’.

The rise of morphologically distinguished gender pairs dates to the 1930s in Indonesian Malay, where saudara ‘sibling’ had come to be used as term of address between indigenous Indonesians (somewhat like the word citoyen during the French Revolution). Political gender-correctness then demanded a term for female compatriots (equivalent to citoyenne), so the Sanskrit pattern of putra ‘son, prince’ vs. putri ‘daughter, princess’ (in their modern meanings) was extended to create saudari as the female counterpart to saudara. This pattern was later extended to create many more gender pairs, such as mahasiswa vs. mahasiswi for male vs. female students.

In response, David Gil notes Malay usage of mister (< English) to mean ‘white person’, whether male, female, singular, or plural. Whereupon Mahdi observes that similar antecedents, sinyor (< Portuguese senhor) and menir (from Dutch mijnheer), applied only to white males. A funny example he cites is a brand of Javanese herbal medicine (jamu) from the early 20th century known as jamu cap Nyonya-Meneer (lit. ‘missus-&-mister brand herbal-medicine’), with a picture of a Dutch couple on the package.

Leave a comment

Filed under India, Indonesia, language, Malaysia, Netherlands, Portugal

Disasters for Ottoman “Soft Power” in 1579

From the luridly titled “Global Politics in the 1580s: One Canal, Twenty Thousand Cannibals, and an Ottoman Plot to Rule the World” by Giancarlo Casale in Journal of World History 18(2007):277-281 (on Project MUSE):

During the lengthy grand vizierate of Sokollu Mehmed Pasha in the 1560s and 1570s—the Ottomans had pursued what we might define today as a policy of “soft empire” in the Indian Ocean. Under Sokollu Mehmed’s direction, this involved a strategy to expand Ottoman influence not through direct military intervention, but rather through the development of ideological, commercial, and diplomatic ties with the various Muslim communities of the region. Only in a few instances (most notably in the case of the Muslim principality of Aceh in western Indonesia) did Istanbul provide direct military assistance in exchange for a formal recognition of Ottoman suzerainty. Elsewhere, a much more informal relationship was the rule, even in places like Gujarat and Calicut where elites enjoyed extremely close commercial, professional, and sometimes familial relations with Istanbul. Despite this high level of contact, tributary relationships or other direct political ties between local states and the Ottoman empire were not normally encouraged.

In the absence of a formal imperial infrastructure, however, Sokollu Mehmed took steps to align the interests of these disparate Muslim communities with those of the Ottoman state in other ways. Evidence suggests, for example, that he established a network of imperial commercial factors throughout the region who bought and sold merchandise for the sultan’s treasury. And at the same time, the grand vizier also began financing pro-Ottoman religious organizations overseas, especially those in predominantly non-Muslim states with influential Muslim trading elites, such as Calicut and Ceylon. In exchange for annual shipments of gold currency from the Ottoman treasury, local preachers in such overseas mosques agreed to read the Friday call to prayer in the name of the Ottoman sultan, and in so doing acknowledged him, if not as their immediate overlord, as a kind of religiously sanctioned “meta-sovereign” over the entire Indian Ocean trading sphere. As “Caliph” and “Protector of the Holy Cities,” the Ottoman sultan thus acted as guarantor of the safety and security of the maritime trade and pilgrimage routes to and from Mecca and Medina, and in exchange could demand a certain measure of allegiance from Muslims throughout the region.

As long as it lasted, this strategy of “soft empire” seems to have worked remarkably well. During Sokollu Mehmed’s term in office (1565–1579), trade through the Red Sea and Persian Gulf flourished as never before, until by the 1570s the Portuguese gave up their efforts to maintain a naval blockade between the Indian Ocean and the markets of the Ottoman Empire. Additionally, the concept of the Ottoman sultan as “universal sovereign” became ever more widely recognized, such that the Sultan’s name was read in the Friday call to prayer of mosques from the Maldives to Ceylon, and from Calicut to Sumatra. Even in the powerful and rapidly expanding Mughal empire, whose Sunni Muslim dynasty was the only one that could legitimately compete with the Ottomans in terms of imperial grandeur, a certain amount of deference toward Istanbul appears to have been the rule.

But then, in 1579—perhaps the single most pivotal year in the political history of the early modern world—a series of cataclysmic and nearly simultaneous international events conspired to undermine this carefully constructed system from almost every conceivable direction. Most obviously, Sokollu Mehmed Pasha, the grand architect of the Ottomans’ “soft empire,” was unexpectedly struck down by an assassin’s blade while receiving petitions at his private court in Istanbul. At almost exactly the same time, in distant Sumatra, the Acehnese sultan ‘Ala ad-Din Ri’ayat Syah also died, ushering in an extended period of political and social turmoil that would deprive the Ottomans of their closest ally in Southeast Asia. Meanwhile, in Iberia, the Ottoman sultan’s archrival King Philip II of Spain was preparing to annex Portugal and all of her overseas possessions, following the sudden death of the heirless Dom Sebastião on the Moroccan battlefield of al-Kasr al-Kabir. And in the highlands of Abyssinia, again at almost exactly the same time, Christian forces handed the Ottomans a crushing and unexpected defeat at the battle of Addi Qarro, after which they captured the strategic port of Arkiko, re-established direct contact with the Portuguese, and threatened Ottoman control of the Red Sea for the first time in more than two decades.

All of these events, despite the vast physical distances that separated them, impinged directly on the Ottomans’ ability to maintain “soft power” in the Indian Ocean. Even more ominously, they all took place alongside yet another emerging menace from Mughal India, where the young and ambitious Emperor Akbar had begun to openly challenge the very basis of Ottoman “soft power” by advancing his own rival claim to universal sovereignty over the Islamic world.

Of all these newly emerging threats, the Mughal challenge was in many ways the most potentially disturbing. Unlike the others, it was also a challenge mounted incrementally, and as a result became gradually apparent only over the course of several years. In fact, it may have begun as early as 1573, the year Akbar seized the Gujarati port of Surat and thus gained control of a major outlet onto the Indian Ocean for the first time. Less than two years later, he sent several ladies of his court, including his wife and his paternal aunt, on an extended pilgrimage to Mecca, where they settled and began to distribute alms regularly in the emperor’s name. Concurrently, Akbar became involved in organizing and financing the hajj for Muslim travelers of more modest means as well: appointing an imperial official in charge of the pilgrimage, setting aside funds to pay the travel expenses of all pilgrims from India wishing to make the trip, and arranging for a special royal ship to sail to Jiddah every year for their passage. Moreover, by means of this ship Akbar began sending enormous quantities of gold to be distributed in alms for the poor of Mecca and Medina, along with sumptuous gifts and honorary vestments for the important dignitaries of the holy cities. In the first year alone, these gifts and donations amounted to more than 600,000 rupees and 12,000 robes of honor; in the next year, they included an additional 100,000 rupees as a personal gift for the Sharif of Mecca. Similar shipments continued annually until the early 1580s.

To be sure, none of this ostensibly pious activity was threatening to the Ottomans in and of itself. Under different circumstances, the Ottoman authorities may even have viewed largesse of this kind as a sign of loyalty, or as a normal and innocuous component of the public religious obligations of a ruler of Akbar’s stature. But in 1579, in the midst of the complex interplay of other world events already described above, it acquired a dangerous and overtly political significance—particularly because it coincided with Akbar’s promulgation of the so-called “infallibility decree” in September of that year. In the months that followed, Akbar’s courtiers began, at his urging, to experiment with an increasingly syncretic, messianic, and Akbar-centric interpretation of Islam known as the din-i ilahi. And Akbar himself, buttressed by this new theology of his own creation, soon began to openly mimic the Ottoman sultans’ posturing as universal sovereigns, by assuming titles such as Bādishāh-i Islām and Imām-i ‘Ādil that paralleled almost exactly the Ottomans’ own dynastic claims.

Against this incendiary backdrop, Akbar’s endowments in Mecca and his generous support for the hajj thus became potent ideological weapons rather than simple markers of piety—weapons that threatened to destabilize Ottoman leadership of the Islamic world by allowing Akbar to usurp the sultan’s prestigious role as “Protector of the Holy Cities.” Justifiably alarmed, the Porte responded by forbidding the distribution of alms in Akbar’s name in Mecca (it was nevertheless continued in secret for several more years), and by ordering the entourage of ladies from Akbar’s court to return to India with the next sailing season. These, however, were stopgap measures at best. In the longer term, it was clear that a more serious reorientation of Ottoman policy was in order if the empire was to effectively respond to Akbar’s gambit.

Thus, by the end of 1579, a perfect storm of political events in Istanbul, the Western Mediterranean, Ethiopia, Southeast Asia, and Mughal India had all conspired to bring an end to the existing Ottoman system of “soft empire” in the Indian Ocean. As a result, the Ottoman leadership was faced with a stark choice: to do nothing, and allow its prestige and influence in the region to fade into irrelevance; or instead, through aggressive military expansion, to attempt to convert this soft empire into a more concrete system of direct imperial rule. Because of an ongoing war with Iran, and because the 1580s were in general a period of political retrenchment and economic crisis in the Empire, many in Istanbul seem to have resigned themselves to the former option as the only feasible alternative.

Exactly 400 years later, Saudi “soft power” in the Islamic world would be similarly undermined by the Islamic Revolution in Iran and the Soviet invasion of Afghanistan, and it would respond similarly by sponsoring “hard” (violent) countermeasures.

1 Comment

Filed under Africa, Islam, Mediterranean, Middle East, Portugal, South Asia, Southeast Asia, Spain, Turkey

A Costly Victory in Sri Lanka

Writing in The Atlantic, Robert Kaplan offers an awfully grim retrospective on how Sri Lanka won its 26-year war against the Tamil Tigers.

Though it was only a one-day news story in the United States, a momentous event occurred last spring, with worldwide military significance. After 26 years of heavy fighting, the Sri Lankan government decisively defeated an ethnic insurgency, killing all of its top leadership, whose bodies were displayed on national television. Massive victory parades followed.

The Tamil Tigers were no ordinary insurgency. Built on the ethnic hatred of the minority Hindu Tamils against the majority Sinhalese Buddhists, the movement was among the best organized and most ruthless to have emerged anywhere since the Second World War. The Tigers boasted their own air force and navy to go along with their unconventional ground troops. They helped pioneer the use of suicide bombers. (Recall that it was a female Tiger suicide bomber who killed Indian Prime Minister Rajiv Gandhi in 1991.) They regularly embedded their fighters among noncombatants, using them as human shields. In other words, they were as organized and heartless as any insurgent group in Iraq or Afghanistan.

The Tamil Tigers, moreover, had a brilliant, charismatic leader by the name of Vellupilai Prabakharan, who was venerated by many ethnic Hindu Tamils to the same extent that radical Muslims have venerated Osama bin Laden. His following was cult-like and was largely responsible for the war that killed 70,000 people since 1983, in an island of only 22 million people. Compare that to the deaths of 3,000 in the World Trade Center out of a population of 300 million in the United States. So when the Sri Lankan government displayed Prabakharan’s body on television last May, it represented the culmination of a counterinsurgency campaign that the U.S. could only dream about….

The war was won using techniques like the following, which the United States could and should never employ.

The insurgents are using human shields? No problem. Just keep killing the innocent bystanders until you get to the fighters themselves.… The Sri Lankan military indiscriminately killed large numbers of civilians—as many as 20,000 in the final months of fighting, according to the United Nations.

Bad media coverage is hurting morale and giving succor to the enemy? Just kill the journalists.… No journalist I met in Colombo was willing to cross the line and publicly attack the government.

The international community disapproves of your methods and cuts off military aid because of the human rights violations you’ve committed? Again, no problem. Get aid from China, whose assistance comes without moral lectures. That’s just what the Sri Lankan Government did. In return, the Chinese got the right to help construct a deep water port in Sri Lanka, close to world shipping lanes….

via RealClearPolitics

Kaplan adds a few other harsh observations in an interview with Michael J. Totten.

The Sri Lankan government was elected in 2005 to win the war. And it has done that. Extremely brutally. It’s a government that’s very nationalist Sinhalese Buddhist. These are not the Richard Gere’s “peace and love” Buddhists. These are the real blood and soil Buddhists, where Buddhism is like any other religion when it’s threatened and it’s defending a piece of territory. It can be very brutal….

In Sri Lanka you have a majority Sinhalese Buddhist population that thinks like a minority. They have a minority sense of oppression. Although they have 75 percent of the population while the Tamils have only about 18 percent, there are 60 million more Tamils nearby in southern India. So they’re kind of like the Iraqi Shias and the Serbs, other majorities who feel like minorities, and can be twice as brutal because of it.

Leave a comment

Filed under India, nationalism, religion, Sri Lanka, war

Begam Samrū: A Most Unusual Ruler

My historian brother has been doing a lot of research on Mercenaries and Military Manpower in world history. He’s started a blog on the topic, but has been too busy with other projects (and too fond of footnotes) to post much yet. When I stumble across new sources that might interest him (like my previous two blogposts), I let him know. Here’s one I came across in an unlikely source, the venerable Archives of Asian Art, which has finally made its debut in JSTOR. Of course, he had already heard of the central figure, but the Wikipedia entry for her is so long-winded, poorly written, and poorly documented that I thought I would post her biography as presented by UC Berkeley art historian Alka Hingorani, in her article entitled “Artful Agency: Imagining and Imaging Begam Samrū” in Archives of Asian Art LIII(2002-2003):54-70.

Begam Samrū was born Farzānā, in 1750/51 C.E., to an impoverished Arab nobleman who died when she was still very young. Events and circumstances led her and her mother to Delhi, battle-weary in the mid-eighteenth century. They arrived about 1760 C.E., and from all accounts her early years in Delhi were spent at a courtesan’s home, where she reputedly grew into an exceptionally beautiful and talented woman. The second half of the eighteenth century in Delhi has been referred to as “gardi ka waqt,” or the “time of troubles.” Nādir Shāh of Persia and Ahmad Shah Abdālī of Afghanistan had mauled the Mughal Empire and the Maratha Confederacy, and by the 1760s Delhi was licking its wounds. A substantial indigenous resurgence seemed unlikely. The Jats were baiting the Marathas, and the British were trying to keep both in check. Several smaller powers were beginning to elbow for space as the larger ones lost control of the north Indian region. Increasingly, the Mughals, Marathas, and British were finding it necessary to share power with chiefdoms. In this widening field the smaller contestants whose military means were inadequate to their ambitions often had to resort to foreign military adventurers.

General Walter Reinhardt, Austrian mercenary and free lance, was one such adventurer. Having variously served the British, the French, and the Jats, he was desperately seeking employment in the Mughal court, since his last service to the French had left the British hot in his pursuit. With four battalions and a few cannons at his disposal, he was offering his services to the nearest employer of ample purse and sufficient political clout to afford protection against the British: a fairly typical scenario for the time. While in Delhi he apparently took a fancy to Farzānā, who became his concubine, or begam, as she chose to style herself. Their association appears to have been intense, both personally and politically, and lasted until his death in 1778. By this time “Le Sombre,” the sobriquet conferred upon the saturnine Reinhardt by earlier associates, had become Indianized to “Samrū.” Upon his death Samrū ki begam, “the wife of Samrū,” took his sobriquet as her name and began to be called Begam Samrū. This slippage of identity, made possible by her intimate association with Reinhardt, was facilitated by their obvious close military and political partnership. At the court of the Mughal emperor, Shāh Ālam, she had taken active part—directly and indirectly—in the maneuvering for power, in order to benefit her “husband.” They had shared years in camp as he led his forces against the Marathas and other powers, and she was his ally—a brave soldier and a crafty strategist—as much as his mate. Begam Samrū also enjoyed enormous favor at Shāh Ālam’s court for another critical reason: on several occasions in the 1780s she had acted to save his life, often at some risk to her own. On one occasion she secured his release from Ghulām Qādir, the Rohilla chief, who had gained control of the palace and had imprisoned and tortured the old emperor. Another rescue took place when the blind and enfeebled emperor, who had joined the battlefield himself to bring a rebellious vassal to heel, was almost defeated due to indiscipline amongst his own forces. General laxity and indiscipline in the imperial army had endangered the emperor’s life more than once, and Begam Samrū had repeatedly brought her troops and artillery to his rescue. Considering these heroic benefactions, even though Walter Reinhardt had left a grown son—Zafaryāb Khan—by another Muslim woman, Begam Samrū’s position as heir to his authority was never in serious jeopardy.

Her ascendancy was aided by Zafaryāb Khan s own reputation as a man of weak intellect. He was so little regard ed that his father s troops did not recognize him even as a nominal chief, pledging their allegiance to Begam Samrū instead. The Begam came into her own at this point. She swore continued allegiance to the Mughal emperor, who conferred upon her in return the principality of Sardhanā, slightly northeast of Delhi. This was a jāgīr (“principality”) of small villages, which yielded substantial revenue. It was, from all accounts, very tightly controlled by the Begam, whose presence enhanced its political importance. William Francklin (1763–1839) paid handsome tribute to the Begam’s administrative acumen in his writings in the 1790s, when she had held her jāgīr for about fifteen years:

An unremitting attention to the cultivation of the lands, a mild and upright administration, and care for the welfare of the inhabitants, has enabled this small tract to yield a revenue of ten lakhs of rupees per annum (up from six)…. A fort near the town contains a good arsenal and foundry for cannon. Five battalions of disciplined sepoys, commanded by Europeans of different countries…and about 40 pieces of cannon of various calibres, constitute the force kept up by the Begam Samrū. With these and about 200 Europeans, principally employed in the service of artillery, she is enabled to maintain a respectable position among the neighbouring powers.

As John Lall also asserts, “It was a remarkable achievement for a single woman, more than ten years after Najāf Khān’s (her protector’s) death when Shāh Ālam was being blown like a weathercock with every change in the precarious balance of factional power. To be useful to him, she had to be capable not just of maintaining herself in power but also of intervening effectively in the affairs of the time.” In her long career she overcame many adversities, including a near-revolt among her troops brought about by her second, secret marriage to a Frenchman, an insurrection provoked by her stepson, imprisonment from which she was rescued by an old lover, and the vicissitudes of endlessly shifting political alliances with their attendant suspicion and deceits. Along the way she converted to Roman Catholicism, joined hands with the Marathas, then with the French, and finally in 1805 forged an alliance with the British, a little after it became clear that the Sikhs under Ranjīt Singh would not prevail against English might. Her reliance on the Sikhs for longer than politically warranted was one of her few miscalculations, but even from that she recovered quickly enough. Fortuitous and timely changes in power hierarchies often worked to her advantage, but largely it was her personal charisma, military prowess, administrative and political acumen, her generosity and her loyalty no less than her reputed ruthlessness, her guile and cunning, that allowed Begam Samrū to rule more or less absolutely and “brilliantly” (a word that all her biographers have used) over her small principality.Yet her life was altogether more interesting, I think, than even the events of history that made it possible. She died in 1836, at the age of eighty-five. She left behind no personal chronicles: neither auto biography nor personal correspondence to augment and correct a history told by others. But a few paintings remain, as windows into a life lived fully by any account.

They certainly don’t make them like that anymore, male or female.

Leave a comment

Filed under biography, Britain, India, military, Pakistan, religion

Rushdie on Slumdog Tourism

In a dyspeptic disquisition on screen adaptations from books in last Saturday’s Guardian, Salman Rushdie coughs up some colorful bile in the general direction of the recent Oscar favorite.

It used to be the case that western movies about India were about blonde women arriving there to find, almost at once, a maharajah to fall in love with, the supply of such maharajahs being apparently endless and specially provided for English or American blondes; or they were about European women accusing non-maharajah Indians of rape, perhaps because they were so indignant at having being approached by a non-maharajah; or they were about dashing white men galloping about the colonies firing pistols and unsheathing sabres, to varying effect. Now that sort of exoticism has lost its appeal; people want, instead, enough grit and violence to convince themselves that what they are seeing is authentic; but it’s still tourism. If the earlier films were raj tourism, maharajah-tourism, then we, today, have slum tourism instead. In an interview conducted at the Telluride film festival last autumn, Boyle, when asked why he had chosen a project so different from his usual material, answered that he had never been to India and knew nothing about it, so he thought this project was a great opportunity. Listening to him, I imagined an Indian film director making a movie about New York low-life and saying that he had done so because he knew nothing about New York and had indeed never been there. He would have been torn limb from limb by critical opinion. But for a first world director to say that about the third world is considered praiseworthy, an indication of his artistic daring. The double standards of post-colonial attitudes have not yet wholly faded away.

via LaurenceJarvikOnline

Like most Oscar winners, Slumdog had not yet enticed the Outliers to make an effort to go see it in a movie theater. Nor is it likely now to find a place in our never-very-long Netflix queue. We’ve already seen, courtesy of Netflix, Thom Fitzgerald’s award-winning, disgusting, poverty-porn movie, The Wild Dogs (2002), which views Romanians as nothing but beggars, con-men, sex workers, or dog catchers—and compares them with heavy-handed symbolism to the wild dogs of Bucharest, which the government is determined to euthanize. All foreigners there (or at least all Canadians!), on the other hand, are either corrupt exploiters or naive do-gooders. And the path from exploiter to do-gooder requires finding your own personal beggar to support: the Canadian ambassador’s wife takes on a legless beggar boy, who follows her around like a puppy; the Canadian pornographer tries to redeem himself by repeatedly giving stuff to a reverse-kneed, hand-walking beggar, whose companions promptly steal it from him; and the Romanian dog-catcher tries to redeem himself by creating a refuge for dogs he was supposed to have euthanized, only to be arrested and have his dogs taken away. I fully agree with the reviewer on Rotten Tomatoes, whose review (no longer available online) includes the quote, “No one in this sterile film is redeemed, condemned or even particularly humanized…. Ultimately, Fitzgerald’s gutless film is a muddled, grotesque travelogue.”

Sorry. Next time I’ll tell you how I really feel.

Leave a comment

Filed under anglosphere, Canada, cinema, economics, India, Romania, travel, U.S.

Where Gandhi Learned His Methods

From Indian Summer: The Secret History of the End of an Emperor, by Alex von Tunzelmann (Picador, 2008), pp. 24-26:

ON 2 OCTOBER 1869, A SON WAS BORN INTO A MIDDLE-CLASS family in Gujarat, a collection of princely states under British authority on the western coast of India. Mohandas Karamchand Gandhi had an ordinary childhood, culminating, as ordinary childhoods often do, in a teenage rebellion. This revealed a boy whose desire to experiment was usually halted by an immobilizing timidity in the actual act of defiance. He tried smoking and stole gold from his family to finance it; but this upset him morally, and so he stopped. Though from a strictly vegetarian family, he tried eating meat; but this upset him physically, and then morally as well, and then he dreamed of a live goat trapped in his stomach, bleating, so he stopped that too. Once he was egged on to visit a prostitute, but stood in the brothel having a crisis of confidence until the woman shouted at him to go away. On another occasion, he and a cousin ventured into the jungle to kill themselves by overdosing on datura, the narcotic seeds of the thorn apple; but, once they found the plant, they lost their nerve.

This boy’s family was reasonably well-off and of a middling but respectable caste. Hindu society had been divided for over seventeen hundred years into four main castes, reflecting second-century social groups: Brahmins (priests), Kshatriyas (warriors), Vaishyas (merchants) and Sudras (farmers). Within each of these were hundreds of minute subdivisions, and below them a mass of outcastes, or “Untouchables”—those unfortunates who, condemned by the bad karma of previous incarnations, were destined to spend their lives sweeping, begging, scrubbing latrines and cleaning up corpses. The Gandhi family were Vaishyas, and within that were of the Bania subdivision. Banias were notorious for being hard-bargaining salesmen, a trait which young Mohan evidently inherited and would one day apply to spiritual and political ends with unprecedented effect.

Mohan’s rebellion was perhaps more unusual because the supposed cure for youthful misbehavior had already been administered. Karamchand and Putliba Gandhi had already married their thirteen-year-old son to a girl from a staunchly religious family. The girl who had been chosen, Kasturbai Makanji (known according to local tradition as Kasturba later in life, when she became matriarch of the household), was also just thirteen.

During daylight hours, etiquette decreed that Mohan and Kasturbai should ignore each other completely. Even an affectionate word between husband and wife was considered taboo. As darkness fell, they were left to their own devices, though neither had much idea what those should be. Mohan went to the bazaar to buy pamphlets, hoping to learn about his conjugal rights and duties. He was taken with the concept of fidelity and decided it should be his task to extract this from Kasturbai. He told her that she could no longer leave the house without his consent.

But, despite her youth, Kasturbai had already mastered the most effective technique available to women who live in extremely restrictive societies: that of passive resistance. She was a devout Hindu from a very traditional background and would not openly disobey her husband. Instead, she found a loophole.

Mohan’s mother asked Kasturbai to accompany her to the temple every day. Because this request was made in the daytime, when the young spouses were not supposed to communicate, Kasturbai was unable to ask Mohan’s permission. To disobey the command of the matriarch, on the other hand, would have been a terrible sin. So Kasturbai went with Putliba to the temple and returned to have her first fight with her husband, which she won by the sheer power of logic. Mohan was forced to remove the restrictions he had placed on Kasturbai.

This small incident would hardly be worthy of note, except for the fact that it formed the basis for Gandhi’s entire political method. In later years, when he found that he was at a disadvantage being an Indian in a white world, he would remember and develop the tactic of a woman in a man’s world. All Gandhi’s most famous tactics—passive resistance, civil disobedience, logical argument, nonviolence in the face of violence, emotional blackmail—had come from Kasturbai’s influence. He freely admitted this: “I learned the lesson of nonviolence from my wife.”

This, I regret to say, is my last excerpt from one of the best books I’ve read in quite a while. Von Tunzelmann is both a wonderful storyteller and a diligent researcher. (In that she is the equal, in my estimation, of Barbara Tuchman, one of my all-time favorite narrators of history; and I hope she already has another manuscript in the works.) In my many excerpts, I have excised all the endnote references, leaving no indication that supporting notes, maps, and glossaries consume almost 20% of a book nearly 500 pages long.

My historian brother has done a lot of research on Gandhi and is very critical of him, as are many revisionist historians. Von Tunzelmann also dishes plenty of dirt on Gandhi (and the other principal actors), while crediting him with two outstanding achievements: launching an effective campaign of nonviolence with the Salt March in 1930 and dampening communal violence in Bengal during the partition in 1947, a partition that he fervently opposed but unwittingly abetted. Between those two events, many of his efforts were irrelevant, at best, and counterproductive, at worst.

Leave a comment

Filed under biography, democracy, India, nationalism, religion