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        <rdf:li rdf:resource="http://hdl.handle.net/10023/3449" />
        <rdf:li rdf:resource="http://hdl.handle.net/10023/3165" />
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        <rdf:li rdf:resource="http://hdl.handle.net/10023/3111" />
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    <dc:date>2013-05-22T12:22:09Z</dc:date>
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  <item rdf:about="http://hdl.handle.net/10023/3449">
    <title>The English provincial book trade : bookseller stock-lists, c.1520-1640</title>
    <link>http://hdl.handle.net/10023/3449</link>
    <description>Abstract: The book world of sixteenth-century England was heavily focused on London.  London’s publishers wholly dominated the production of books, and with Oxford and Cambridge the booksellers of the capital also played the largest role in the supplying and distribution of books imported from Continental Europe.  Nevertheless, by the end of the sixteenth century a considerable network of booksellers had been established in England’s provincial towns.  This dissertation uses scattered surviving evidence from book lists and inventories to investigate the development and character of provincial bookselling in the period between 1520 and 1640.  It draws on information from most of England’s larger cities, including York, Norwich and Exeter, as well as much smaller places, such as Kirkby Lonsdale and Ormskirk.  It demonstrates that, despite the competition from the metropolis, local booksellers played an important role in supplying customers with a considerable range and variety of books, and that these bookshops became larger and more ambitious in their services to customers through this period.  The result should be a significant contribution to understanding the book world of early modern England.  The dissertation is accompanied by an appendix, listing and identifying the books documented in nine separate lists, each of which, where possible, has been matched to surviving editions.</description>
    <dc:date>2012-11-30T00:00:00Z</dc:date>
    <dc:creator>Winters, Jennifer</dc:creator>
    <dc:description>The book world of sixteenth-century England was heavily focused on London.  London’s publishers wholly dominated the production of books, and with Oxford and Cambridge the booksellers of the capital also played the largest role in the supplying and distribution of books imported from Continental Europe.  Nevertheless, by the end of the sixteenth century a considerable network of booksellers had been established in England’s provincial towns.  This dissertation uses scattered surviving evidence from book lists and inventories to investigate the development and character of provincial bookselling in the period between 1520 and 1640.  It draws on information from most of England’s larger cities, including York, Norwich and Exeter, as well as much smaller places, such as Kirkby Lonsdale and Ormskirk.  It demonstrates that, despite the competition from the metropolis, local booksellers played an important role in supplying customers with a considerable range and variety of books, and that these bookshops became larger and more ambitious in their services to customers through this period.  The result should be a significant contribution to understanding the book world of early modern England.  The dissertation is accompanied by an appendix, listing and identifying the books documented in nine separate lists, each of which, where possible, has been matched to surviving editions.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/3165">
    <title>Shaping popular culture : radio broadcasting, mass entertainment and the work of the BBC Variety Department, 1933-1967</title>
    <link>http://hdl.handle.net/10023/3165</link>
    <description>Abstract: This thesis examines the extent to which the BBC was able to shape the output of popular culture on radio in Britain, according to its own system of beliefs, between the years 1933 and 1967. This research will show that from the outset, the BBC was an institution with a mission to inform, educate and entertain the nation. While it was not opposed to entertainment, its focus was didactic and supported a mission to improve its audience both culturally and intellectually. This policy was not always welcomed by the audience but, with the exception of the war years, persisted into mid 1950s. The Variety Department was formed in 1933 to produce all forms of light entertainment and this research will examine how its policies shaped the production of popular culture over the period concerned.  This study looks not only at the workings of the Variety Department but also the topics of Americanisation and vulgarity, the two areas in which the BBC had particular sensitivities. It analyses the BBC’s strategies to counteract the American effect on popular music and spoken-word programmes and how it provided its own particularly British form of entertainment in order to produce programmes it considered suitable for British audiences. It also investigates programme censorship imposed by the BBC to mitigate vulgarity in programmes, so as to produce those it considered suitable for its audiences. This thesis will contend that for over 40 years the BBC Variety Department produced popular entertainment programmes on radio which became an integral part of people’s daily lives until, within a few years radio was superseded by television as the nation’s principal provider of domestic entertainment. There has been no discrete study of the BBC Variety Department and it is intended that this research will add to the existing scholarship in BBC history and contribute to the analysis of radio’s place in domestic popular culture in the period examined.</description>
    <dc:date>2012-11-30T00:00:00Z</dc:date>
    <dc:creator>Dibbs, Martin G. R.</dc:creator>
    <dc:description>This thesis examines the extent to which the BBC was able to shape the output of popular culture on radio in Britain, according to its own system of beliefs, between the years 1933 and 1967. This research will show that from the outset, the BBC was an institution with a mission to inform, educate and entertain the nation. While it was not opposed to entertainment, its focus was didactic and supported a mission to improve its audience both culturally and intellectually. This policy was not always welcomed by the audience but, with the exception of the war years, persisted into mid 1950s. The Variety Department was formed in 1933 to produce all forms of light entertainment and this research will examine how its policies shaped the production of popular culture over the period concerned.  This study looks not only at the workings of the Variety Department but also the topics of Americanisation and vulgarity, the two areas in which the BBC had particular sensitivities. It analyses the BBC’s strategies to counteract the American effect on popular music and spoken-word programmes and how it provided its own particularly British form of entertainment in order to produce programmes it considered suitable for British audiences. It also investigates programme censorship imposed by the BBC to mitigate vulgarity in programmes, so as to produce those it considered suitable for its audiences. This thesis will contend that for over 40 years the BBC Variety Department produced popular entertainment programmes on radio which became an integral part of people’s daily lives until, within a few years radio was superseded by television as the nation’s principal provider of domestic entertainment. There has been no discrete study of the BBC Variety Department and it is intended that this research will add to the existing scholarship in BBC history and contribute to the analysis of radio’s place in domestic popular culture in the period examined.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/3135">
    <title>'Take me up on my proposal' : the 'Open Skies' initiative and Dwight D. Eisenhower's efforts to curb the military-industrial complex</title>
    <link>http://hdl.handle.net/10023/3135</link>
    <description>Abstract: This dissertation examines president Eisenhower’s ‘Open Skies’ policy and its links&#xD;
with American defence strategy of the 1950s. Based principally on archival sources,&#xD;
especially the records of the Eisenhower Presidential Library, it will assess the foreign&#xD;
policy issues and domestic pressures that influenced Eisenhower’s desire to&#xD;
implement a system of mutual aerial inspection with the Soviet Union from July 1955.&#xD;
The first chapter will focus on the background to the rise of the military&#xD;
establishment in America after 1945, which Eisenhower later referred to as a military-&#xD;
industrial complex. Chapter Two examines the president’s defence strategy, which&#xD;
became known as the New Look, and the ways in which this strategy embraced not&#xD;
only a military response towards the perceived threat of Soviet communism but also&#xD;
included non-military measures. Chapter Three focuses on the background to the&#xD;
Geneva summit, at which Open Skies was proposed to the Russians. In particular, it&#xD;
will assess Eisenhower’s efforts to strengthen Western allied unity so that&#xD;
constructive negotiations with the Russians could be undertaken.&#xD;
Chapter Four will focus on Nelson Rockefeller and the Quantico Panel. Think&#xD;
tanks played an influential role in shaping foreign policy during the early Cold War&#xD;
period. Chapters Five and Six examine Eisenhower’s attempts to implement Open&#xD;
Skies with the Soviets after July 1955. In order to confront the growing challenges to&#xD;
the New Look and cuts in defence budgets, Eisenhower needed reliable intelligence&#xD;
on the Soviet Union that would quell exaggerated estimates about Russian military&#xD;
capabilities. The dissertation concludes that Open Skies was neither a transient&#xD;
measure nor an attempt by Eisenhower to achieve a propaganda advantage over the&#xD;
Soviet Union. It is argued instead that his desire to implement this initiative was&#xD;
linked to his determination to control the military-industrial complex in America, an&#xD;
interpretation that has not been addressed by historians.</description>
    <dc:date>2011-01-01T00:00:00Z</dc:date>
    <dc:creator>Bury, Helen</dc:creator>
    <dc:description>This dissertation examines president Eisenhower’s ‘Open Skies’ policy and its links&#xD;
with American defence strategy of the 1950s. Based principally on archival sources,&#xD;
especially the records of the Eisenhower Presidential Library, it will assess the foreign&#xD;
policy issues and domestic pressures that influenced Eisenhower’s desire to&#xD;
implement a system of mutual aerial inspection with the Soviet Union from July 1955.&#xD;
The first chapter will focus on the background to the rise of the military&#xD;
establishment in America after 1945, which Eisenhower later referred to as a military-&#xD;
industrial complex. Chapter Two examines the president’s defence strategy, which&#xD;
became known as the New Look, and the ways in which this strategy embraced not&#xD;
only a military response towards the perceived threat of Soviet communism but also&#xD;
included non-military measures. Chapter Three focuses on the background to the&#xD;
Geneva summit, at which Open Skies was proposed to the Russians. In particular, it&#xD;
will assess Eisenhower’s efforts to strengthen Western allied unity so that&#xD;
constructive negotiations with the Russians could be undertaken.&#xD;
Chapter Four will focus on Nelson Rockefeller and the Quantico Panel. Think&#xD;
tanks played an influential role in shaping foreign policy during the early Cold War&#xD;
period. Chapters Five and Six examine Eisenhower’s attempts to implement Open&#xD;
Skies with the Soviets after July 1955. In order to confront the growing challenges to&#xD;
the New Look and cuts in defence budgets, Eisenhower needed reliable intelligence&#xD;
on the Soviet Union that would quell exaggerated estimates about Russian military&#xD;
capabilities. The dissertation concludes that Open Skies was neither a transient&#xD;
measure nor an attempt by Eisenhower to achieve a propaganda advantage over the&#xD;
Soviet Union. It is argued instead that his desire to implement this initiative was&#xD;
linked to his determination to control the military-industrial complex in America, an&#xD;
interpretation that has not been addressed by historians.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/3111">
    <title>Against the tide : resistances to Annales in England, France, Germany, Italy and the United States, 1900-1970</title>
    <link>http://hdl.handle.net/10023/3111</link>
    <description>Abstract: Against the Tide investigates systematically for the first time how resistances to methodologies advanced by historians associated with the Annales School, one of the most influential twentieth-century schools of historical thought, came to exist in England, France, Germany, Italy and the United States between 1900 and 1970. It defines ‘methodology’ in broad terms as the practice of history and poses a series of questions about resistances: who or what created them? What constituted them? Did they centre on a particular methodology,&#xD;
Annales historian or the Annales School as a whole? And what did opposition to&#xD;
methodologies incorporate: technical debates in isolation or wider issues associated with politics, religion and philosophy? The dissertation uses an interdisciplinary conceptual framework,drawing together ideas advanced in the history of science, sociology of education and knowledge, and comparative history, in order to answer these questions. The responses offered refer to and draw on a selection of sources: one hundred and nine scholars’ private archives, the articles, books, critical reviews and published letters of a variety of historians&#xD;
and segments of the growing literature both about the Annales School and about the&#xD;
institutions within which the historical discipline operated during the twentieth century. They suggest that resistances played an important part in the international dissemination of Annales&#xD;
historians’ methodologies, that resistors held different ideas about the Annales School from those of its creators and divergent methodological commitments, but that they like Annales historians often sought to enhance historical research and sometimes worked on the same subjects but in different and occasionally equally inventive ways. Overall, the findings illustrate a limited but important part of Annales’ own history and thereby help to cast the School in new light on terms other than its own by placing it in the transnational context of&#xD;
twentieth-century transatlantic historiography.</description>
    <dc:date>2011-11-30T00:00:00Z</dc:date>
    <dc:creator>Tendler, Joseph</dc:creator>
    <dc:description>Against the Tide investigates systematically for the first time how resistances to methodologies advanced by historians associated with the Annales School, one of the most influential twentieth-century schools of historical thought, came to exist in England, France, Germany, Italy and the United States between 1900 and 1970. It defines ‘methodology’ in broad terms as the practice of history and poses a series of questions about resistances: who or what created them? What constituted them? Did they centre on a particular methodology,&#xD;
Annales historian or the Annales School as a whole? And what did opposition to&#xD;
methodologies incorporate: technical debates in isolation or wider issues associated with politics, religion and philosophy? The dissertation uses an interdisciplinary conceptual framework,drawing together ideas advanced in the history of science, sociology of education and knowledge, and comparative history, in order to answer these questions. The responses offered refer to and draw on a selection of sources: one hundred and nine scholars’ private archives, the articles, books, critical reviews and published letters of a variety of historians&#xD;
and segments of the growing literature both about the Annales School and about the&#xD;
institutions within which the historical discipline operated during the twentieth century. They suggest that resistances played an important part in the international dissemination of Annales&#xD;
historians’ methodologies, that resistors held different ideas about the Annales School from those of its creators and divergent methodological commitments, but that they like Annales historians often sought to enhance historical research and sometimes worked on the same subjects but in different and occasionally equally inventive ways. Overall, the findings illustrate a limited but important part of Annales’ own history and thereby help to cast the School in new light on terms other than its own by placing it in the transnational context of&#xD;
twentieth-century transatlantic historiography.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2962">
    <title>Hatred in print : aspects of anti-Protestant polemic in the French Wars of Religion</title>
    <link>http://hdl.handle.net/10023/2962</link>
    <description>Abstract: The medium of printing has been persistently associated with Protestantism. As a&#xD;
result, a large body of French Catholic anti-Protestant material was to a large extent&#xD;
ignored. In contrast with Germany, there is evidence to suggest that French authors&#xD;
used printing effectively and aggressively to promote the Catholic cause. During the&#xD;
French Wars of Religion, French Catholics were far more innovative than they were&#xD;
given credit for: the German paradigm of a leaden-footed Catholic response to the&#xD;
Reformation was inappropriately applied to France. This is ironic given that it was&#xD;
the Catholic cause which ultimately prevailed. In seeking to explain why France&#xD;
remained a Catholic country, the French Catholic response must be taken into&#xD;
account. Catholic polemical works, and their portrayal of Protestants in print in&#xD;
particular, is the central focus of this work.&#xD;
The first chapter is devoted to a historiographical discussion of the problem of&#xD;
violence in the French Wars of Religion. The next two chapters are concerned with&#xD;
the comparison between Protestantism and medieval heresies, and particularly the&#xD;
recourse in polemic to the topos of the Albigensian Crusade. The next chapter&#xD;
addresses the use of cultural archetypes such as 'the world turned upside down' and&#xD;
the reversal of gender roles to deride the impact of the Reformation. The last two&#xD;
chapters are an attempt to assess the impact of the Catholic polemic on the Protestant&#xD;
culture and identity and on the emerging public opinion.&#xD;
Rather than confront the Reformation on its own terms, the Catholic reaction&#xD;
concentrated on discrediting the Protestant cause in the eyes of the Catholic majority.&#xD;
They had a considerable impact on their readership and on an illiterate audience&#xD;
(through the interaction between written and oral), and on the French Protestants'&#xD;
own self-perception and identity. This thesis aims to contribute to the ongoing debate&#xD;
over the nature of the French Wars of Religion, to explain why they were so violent&#xD;
and why they engaged the loyalties of such a large portion of the population. This&#xD;
study also provides an example of the successful defence of Catholicism developed&#xD;
independently and in advance of Tridentine reform which is of wider significance for&#xD;
the history of the Reformation in Europe.</description>
    <dc:date>1999-01-01T00:00:00Z</dc:date>
    <dc:creator>Racaut, Luc</dc:creator>
    <dc:description>The medium of printing has been persistently associated with Protestantism. As a&#xD;
result, a large body of French Catholic anti-Protestant material was to a large extent&#xD;
ignored. In contrast with Germany, there is evidence to suggest that French authors&#xD;
used printing effectively and aggressively to promote the Catholic cause. During the&#xD;
French Wars of Religion, French Catholics were far more innovative than they were&#xD;
given credit for: the German paradigm of a leaden-footed Catholic response to the&#xD;
Reformation was inappropriately applied to France. This is ironic given that it was&#xD;
the Catholic cause which ultimately prevailed. In seeking to explain why France&#xD;
remained a Catholic country, the French Catholic response must be taken into&#xD;
account. Catholic polemical works, and their portrayal of Protestants in print in&#xD;
particular, is the central focus of this work.&#xD;
The first chapter is devoted to a historiographical discussion of the problem of&#xD;
violence in the French Wars of Religion. The next two chapters are concerned with&#xD;
the comparison between Protestantism and medieval heresies, and particularly the&#xD;
recourse in polemic to the topos of the Albigensian Crusade. The next chapter&#xD;
addresses the use of cultural archetypes such as 'the world turned upside down' and&#xD;
the reversal of gender roles to deride the impact of the Reformation. The last two&#xD;
chapters are an attempt to assess the impact of the Catholic polemic on the Protestant&#xD;
culture and identity and on the emerging public opinion.&#xD;
Rather than confront the Reformation on its own terms, the Catholic reaction&#xD;
concentrated on discrediting the Protestant cause in the eyes of the Catholic majority.&#xD;
They had a considerable impact on their readership and on an illiterate audience&#xD;
(through the interaction between written and oral), and on the French Protestants'&#xD;
own self-perception and identity. This thesis aims to contribute to the ongoing debate&#xD;
over the nature of the French Wars of Religion, to explain why they were so violent&#xD;
and why they engaged the loyalties of such a large portion of the population. This&#xD;
study also provides an example of the successful defence of Catholicism developed&#xD;
independently and in advance of Tridentine reform which is of wider significance for&#xD;
the history of the Reformation in Europe.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2958">
    <title>Peru and the British naval station (1808-1839)</title>
    <link>http://hdl.handle.net/10023/2958</link>
    <description>Abstract: The&#xD;
protection of&#xD;
British interests in the Pacific&#xD;
was the basic&#xD;
reason to&#xD;
detach&#xD;
a number of&#xD;
Royal Navy's&#xD;
vessels to that Ocean during the Nineteenth&#xD;
Century. There&#xD;
were several British interests in the area, and an assorted number of&#xD;
Britons&#xD;
established&#xD;
in Spanish America&#xD;
since the beginning&#xD;
of the struggle&#xD;
for&#xD;
Independence. Amongst them, merchants was perhaps the most&#xD;
important&#xD;
and&#xD;
influential&#xD;
group, pressing on their government&#xD;
for&#xD;
protection to their trade. As&#xD;
soon as&#xD;
independence&#xD;
reached the western coast of&#xD;
America,&#xD;
a new space was&#xD;
created&#xD;
for British&#xD;
presence.&#xD;
First Valparaiso&#xD;
and afterwards&#xD;
Callao, British&#xD;
merchants were soon&#xD;
firmly&#xD;
established&#xD;
in that part of&#xD;
South America. As had&#xD;
happened in the Atlantic&#xD;
coast, their claims&#xD;
for&#xD;
protection were attended&#xD;
by&#xD;
the&#xD;
British&#xD;
government through the Pacific Squadron,&#xD;
under the flag&#xD;
of the&#xD;
Commander-in-Chief&#xD;
of the South American Station,&#xD;
until&#xD;
1837,&#xD;
when&#xD;
it&#xD;
was&#xD;
raised to a separate Station.&#xD;
During the period covered&#xD;
by this research&#xD;
(1808-1839), Peru&#xD;
came&#xD;
through three crucial moments: the Wars&#xD;
of&#xD;
Independence, the initial&#xD;
years as a&#xD;
republic, and&#xD;
its&#xD;
confederation with&#xD;
Bolivia&#xD;
under the rule of&#xD;
Santa Cruz.&#xD;
Accordingly, the country shifted&#xD;
from being&#xD;
ruled&#xD;
by&#xD;
a strong authority, as the&#xD;
viceroy; to became&#xD;
a&#xD;
highly&#xD;
unstable republic,&#xD;
first because the War&#xD;
of&#xD;
Independence itself,&#xD;
and afterwards&#xD;
by&#xD;
reason of&#xD;
internal disputes&#xD;
amongst the&#xD;
military.&#xD;
British&#xD;
merchants already established in Rio de Janeiro, Buenos Aires&#xD;
and&#xD;
Valparaiso,&#xD;
considered&#xD;
Peruvian&#xD;
as a very profitable market, and consequently&#xD;
tried by&#xD;
every possible way to open&#xD;
it to foreign trade. Following the&#xD;
independence, in 1821, this market was officially opened,&#xD;
but it did&#xD;
not matched&#xD;
what&#xD;
British&#xD;
merchants expected.&#xD;
Potential buyers&#xD;
were too small&#xD;
in&#xD;
number and a&#xD;
reaction&#xD;
from local&#xD;
merchants proved efficient enough to maintain a&#xD;
high taxation&#xD;
on&#xD;
foreign&#xD;
goods.&#xD;
Even&#xD;
when&#xD;
British&#xD;
merchants reacted against these official&#xD;
policy, namely&#xD;
Protectionism, they were unable to obtain a more aggressive&#xD;
support&#xD;
from their government.&#xD;
Other British interests in Peru&#xD;
were&#xD;
built&#xD;
around a&#xD;
loan&#xD;
granted&#xD;
by&#xD;
a number of&#xD;
British investors in 1822,&#xD;
and some&#xD;
further&#xD;
investments&#xD;
on mining.&#xD;
Even&#xD;
when this time was a period&#xD;
in&#xD;
which&#xD;
Great Britain&#xD;
had&#xD;
achieved a paramount position&#xD;
in industry,&#xD;
commerce, naval and several other&#xD;
fields, its&#xD;
government maintained&#xD;
its&#xD;
policy of&#xD;
"free hands" towards the new&#xD;
republics&#xD;
in America. Consequently, British&#xD;
consular agents, as well as&#xD;
British&#xD;
Captains, devoted their mains efforts to&#xD;
kept British trade as safe as possible, and&#xD;
to protect their national&#xD;
from&#xD;
abuses committed&#xD;
by local&#xD;
authorities.&#xD;
This thesis aims to study&#xD;
how&#xD;
well the Royal Navy, through the Pacific&#xD;
Squadron&#xD;
and afterwards the Pacific Station,&#xD;
protected&#xD;
British&#xD;
subjects and&#xD;
interests in Peru, between 1808&#xD;
and&#xD;
1839. The&#xD;
research&#xD;
focused in the&#xD;
effectiveness of that naval presence,&#xD;
discussing how it&#xD;
was affected&#xD;
by local&#xD;
circumstances, the number of vessels available, the urgencies of transport of&#xD;
treasure and the limitations&#xD;
associated to operate without a shore&#xD;
base.</description>
    <dc:date>1998-01-01T00:00:00Z</dc:date>
    <dc:creator>Ortiz-Sotelo, Jorge</dc:creator>
    <dc:description>The&#xD;
protection of&#xD;
British interests in the Pacific&#xD;
was the basic&#xD;
reason to&#xD;
detach&#xD;
a number of&#xD;
Royal Navy's&#xD;
vessels to that Ocean during the Nineteenth&#xD;
Century. There&#xD;
were several British interests in the area, and an assorted number of&#xD;
Britons&#xD;
established&#xD;
in Spanish America&#xD;
since the beginning&#xD;
of the struggle&#xD;
for&#xD;
Independence. Amongst them, merchants was perhaps the most&#xD;
important&#xD;
and&#xD;
influential&#xD;
group, pressing on their government&#xD;
for&#xD;
protection to their trade. As&#xD;
soon as&#xD;
independence&#xD;
reached the western coast of&#xD;
America,&#xD;
a new space was&#xD;
created&#xD;
for British&#xD;
presence.&#xD;
First Valparaiso&#xD;
and afterwards&#xD;
Callao, British&#xD;
merchants were soon&#xD;
firmly&#xD;
established&#xD;
in that part of&#xD;
South America. As had&#xD;
happened in the Atlantic&#xD;
coast, their claims&#xD;
for&#xD;
protection were attended&#xD;
by&#xD;
the&#xD;
British&#xD;
government through the Pacific Squadron,&#xD;
under the flag&#xD;
of the&#xD;
Commander-in-Chief&#xD;
of the South American Station,&#xD;
until&#xD;
1837,&#xD;
when&#xD;
it&#xD;
was&#xD;
raised to a separate Station.&#xD;
During the period covered&#xD;
by this research&#xD;
(1808-1839), Peru&#xD;
came&#xD;
through three crucial moments: the Wars&#xD;
of&#xD;
Independence, the initial&#xD;
years as a&#xD;
republic, and&#xD;
its&#xD;
confederation with&#xD;
Bolivia&#xD;
under the rule of&#xD;
Santa Cruz.&#xD;
Accordingly, the country shifted&#xD;
from being&#xD;
ruled&#xD;
by&#xD;
a strong authority, as the&#xD;
viceroy; to became&#xD;
a&#xD;
highly&#xD;
unstable republic,&#xD;
first because the War&#xD;
of&#xD;
Independence itself,&#xD;
and afterwards&#xD;
by&#xD;
reason of&#xD;
internal disputes&#xD;
amongst the&#xD;
military.&#xD;
British&#xD;
merchants already established in Rio de Janeiro, Buenos Aires&#xD;
and&#xD;
Valparaiso,&#xD;
considered&#xD;
Peruvian&#xD;
as a very profitable market, and consequently&#xD;
tried by&#xD;
every possible way to open&#xD;
it to foreign trade. Following the&#xD;
independence, in 1821, this market was officially opened,&#xD;
but it did&#xD;
not matched&#xD;
what&#xD;
British&#xD;
merchants expected.&#xD;
Potential buyers&#xD;
were too small&#xD;
in&#xD;
number and a&#xD;
reaction&#xD;
from local&#xD;
merchants proved efficient enough to maintain a&#xD;
high taxation&#xD;
on&#xD;
foreign&#xD;
goods.&#xD;
Even&#xD;
when&#xD;
British&#xD;
merchants reacted against these official&#xD;
policy, namely&#xD;
Protectionism, they were unable to obtain a more aggressive&#xD;
support&#xD;
from their government.&#xD;
Other British interests in Peru&#xD;
were&#xD;
built&#xD;
around a&#xD;
loan&#xD;
granted&#xD;
by&#xD;
a number of&#xD;
British investors in 1822,&#xD;
and some&#xD;
further&#xD;
investments&#xD;
on mining.&#xD;
Even&#xD;
when this time was a period&#xD;
in&#xD;
which&#xD;
Great Britain&#xD;
had&#xD;
achieved a paramount position&#xD;
in industry,&#xD;
commerce, naval and several other&#xD;
fields, its&#xD;
government maintained&#xD;
its&#xD;
policy of&#xD;
"free hands" towards the new&#xD;
republics&#xD;
in America. Consequently, British&#xD;
consular agents, as well as&#xD;
British&#xD;
Captains, devoted their mains efforts to&#xD;
kept British trade as safe as possible, and&#xD;
to protect their national&#xD;
from&#xD;
abuses committed&#xD;
by local&#xD;
authorities.&#xD;
This thesis aims to study&#xD;
how&#xD;
well the Royal Navy, through the Pacific&#xD;
Squadron&#xD;
and afterwards the Pacific Station,&#xD;
protected&#xD;
British&#xD;
subjects and&#xD;
interests in Peru, between 1808&#xD;
and&#xD;
1839. The&#xD;
research&#xD;
focused in the&#xD;
effectiveness of that naval presence,&#xD;
discussing how it&#xD;
was affected&#xD;
by local&#xD;
circumstances, the number of vessels available, the urgencies of transport of&#xD;
treasure and the limitations&#xD;
associated to operate without a shore&#xD;
base.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2948">
    <title>Obligation and choice : aspects of family and kinship in seventeenth century County Durham</title>
    <link>http://hdl.handle.net/10023/2948</link>
    <description>Abstract: The thesis seeks to explore alleged differences in kinship and family relations&#xD;
within County Durham, an area of wide geographical, social and economic&#xD;
diversity. A study of recognition that reveals that kinship ties were narrow&#xD;
and fell into a distinctly English pattern, a pattern which appears independent&#xD;
of considerations of wealth. Only the life cycle appears to have influenced&#xD;
patterns of recognition. Wider kin also appear to have been of limited importance&#xD;
as a source of support, with individuals preferring to rely upon the aid of&#xD;
neighbours and members of the nuclear family. This relatively narrow 9attern&#xD;
of recognition and support stands in sharp contrast to the strong ties formed&#xD;
within and through the nuclear family. The detailed study of inheritance,&#xD;
marriage and conflict not only reinforces the earlier findings concerning&#xD;
the limited importance of wider kin but also suggests that strong and specific&#xD;
ties of obligation and expectation governed relationships formed within the&#xD;
nuclear family. Such findings suggest the need to revise the assumption&#xD;
which regard English society as being highly 'individualistic'.</description>
    <dc:date>1988-01-01T00:00:00Z</dc:date>
    <dc:creator>Issa, Christine</dc:creator>
    <dc:description>The thesis seeks to explore alleged differences in kinship and family relations&#xD;
within County Durham, an area of wide geographical, social and economic&#xD;
diversity. A study of recognition that reveals that kinship ties were narrow&#xD;
and fell into a distinctly English pattern, a pattern which appears independent&#xD;
of considerations of wealth. Only the life cycle appears to have influenced&#xD;
patterns of recognition. Wider kin also appear to have been of limited importance&#xD;
as a source of support, with individuals preferring to rely upon the aid of&#xD;
neighbours and members of the nuclear family. This relatively narrow 9attern&#xD;
of recognition and support stands in sharp contrast to the strong ties formed&#xD;
within and through the nuclear family. The detailed study of inheritance,&#xD;
marriage and conflict not only reinforces the earlier findings concerning&#xD;
the limited importance of wider kin but also suggests that strong and specific&#xD;
ties of obligation and expectation governed relationships formed within the&#xD;
nuclear family. Such findings suggest the need to revise the assumption&#xD;
which regard English society as being highly 'individualistic'.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2891">
    <title>Phantoms of Anglo-Confederate commerce : an historical and archaeological investigation of American civil war blockade running</title>
    <link>http://hdl.handle.net/10023/2891</link>
    <description>Abstract: During the American Civil War Wilmington, North Carolina and the&#xD;
Bermudian ports of St. Georges and Hamilton served as vital links in a&#xD;
complex trading network that developed to facilitate the exchange of southern&#xD;
agricultural products for war materials and civilian merchandise through a&#xD;
Union blockade of the Confederacy. Although that material contributed&#xD;
significantly to the Confederate war effort, Anglo-Confederate blockade&#xD;
running has received limited scholarly attention. Much of the associated&#xD;
literature is based on memoirs rather than scholarship and does not accurately,&#xD;
reflect that necessarily clandestine trade. The primary goal of this thesis is to&#xD;
produce a more comprehensive and detailed picture of blockade running, the&#xD;
cargoes carried through the Union blockade and the powerful steam vessels&#xD;
that made Anglo-Confederate commerce possible. Unlike previous treatments,&#xD;
this thesis combines the results of both archival and archaeological research.&#xD;
The results illustrate the evolution of strategies involved in both establishing&#xD;
and maintaining the blockade and those developed for running the blockade.&#xD;
Assessment of the vessel remains and historical data associated with the&#xD;
construction and procurement of steamers identifies the vessel types and&#xD;
confirms that blockade runners adapted extant technology. Contrary to the&#xD;
popularly held impression, no technological innovations were specifically&#xD;
developed to address the demands of the trade. The spatial distribution of&#xD;
wrecks and the minimal amount of cultural material surviving in association&#xD;
with them, provides strong evidence that cargoes were more valuable than the&#xD;
vessels. That premise influenced the strategy adopted by blockade runners.&#xD;
While Confederate salvors left little evidence of cargo, historical research&#xD;
revealed a wealth of new insight into the specific nature of that material. This&#xD;
new evidence provides a more accurate and detailed picture of Anglo-&#xD;
Confederate blockade running and the strategies, ships and cargoes that made&#xD;
blockade running between Wilmington and Bermuda a success.</description>
    <dc:date>1997-01-01T00:00:00Z</dc:date>
    <dc:creator>Watts, Gordon P.</dc:creator>
    <dc:description>During the American Civil War Wilmington, North Carolina and the&#xD;
Bermudian ports of St. Georges and Hamilton served as vital links in a&#xD;
complex trading network that developed to facilitate the exchange of southern&#xD;
agricultural products for war materials and civilian merchandise through a&#xD;
Union blockade of the Confederacy. Although that material contributed&#xD;
significantly to the Confederate war effort, Anglo-Confederate blockade&#xD;
running has received limited scholarly attention. Much of the associated&#xD;
literature is based on memoirs rather than scholarship and does not accurately,&#xD;
reflect that necessarily clandestine trade. The primary goal of this thesis is to&#xD;
produce a more comprehensive and detailed picture of blockade running, the&#xD;
cargoes carried through the Union blockade and the powerful steam vessels&#xD;
that made Anglo-Confederate commerce possible. Unlike previous treatments,&#xD;
this thesis combines the results of both archival and archaeological research.&#xD;
The results illustrate the evolution of strategies involved in both establishing&#xD;
and maintaining the blockade and those developed for running the blockade.&#xD;
Assessment of the vessel remains and historical data associated with the&#xD;
construction and procurement of steamers identifies the vessel types and&#xD;
confirms that blockade runners adapted extant technology. Contrary to the&#xD;
popularly held impression, no technological innovations were specifically&#xD;
developed to address the demands of the trade. The spatial distribution of&#xD;
wrecks and the minimal amount of cultural material surviving in association&#xD;
with them, provides strong evidence that cargoes were more valuable than the&#xD;
vessels. That premise influenced the strategy adopted by blockade runners.&#xD;
While Confederate salvors left little evidence of cargo, historical research&#xD;
revealed a wealth of new insight into the specific nature of that material. This&#xD;
new evidence provides a more accurate and detailed picture of Anglo-&#xD;
Confederate blockade running and the strategies, ships and cargoes that made&#xD;
blockade running between Wilmington and Bermuda a success.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2820">
    <title>Imperialist women in Edwardian Britain : the Victoria League, 1899-1914</title>
    <link>http://hdl.handle.net/10023/2820</link>
    <description>Abstract: This thesis, based on private papers, society records, autobiographies and&#xD;
memoirs, newspapers and periodicals, examines one mainly female imperialist&#xD;
organisation - the Victoria League - and the women who ran it. It considers two related&#xD;
questions - what made Edwardian women imperialist, and how, within the limits of&#xD;
Edwardian society, could they express their imperialism? The thesis shows that several of&#xD;
the League's founders and executive had visited South Africa during or shortly before&#xD;
the Boer War, and that this experience, particularly for those who came into close contact&#xD;
with Milner, was pivotal in stimulating them to active imperialism. The Victoria League,&#xD;
founded April 1901, aimed to promote imperial unity and a British South Africa in a&#xD;
variety of suitably 'womanly' ways: Boer War charities, imperial education, exporting&#xD;
literature and art to the white dominions (particularly the Transvaal), welcoming colonial&#xD;
visitors to Britain, arranging for the welcome of British settlers in the colonies, and&#xD;
promoting social reform as an imperial issue. It worked overseas through a number of&#xD;
independent Victoria Leagues in Australasia, the Imperial Order, Daughters of the Empire&#xD;
in Canada, and the Guild of Loyal Women in South Africa; and at home with a number&#xD;
of similar (though largely male) imperial propaganda societies. The thesis also considers&#xD;
the Victoria League's attitude to race, particularly through its debate over entertaining&#xD;
Indian students. It ends with a discussion of the options available to imperialist women;&#xD;
and of the obstacles they faced in questions of authority (how far and in what ways a woman&#xD;
could pronounce on imperial subjects) and of ideology (as expressed through the anti-suffrage&#xD;
campaign). It concludes that the Victoria League, by transferring areas of&#xD;
activity long acknowledged as 'feminine' to the imperial stage, redefined areas of female&#xD;
competence and enlarged woman's 'separate sphere' to include the active propagation of&#xD;
imperialism.</description>
    <dc:date>1998-01-01T00:00:00Z</dc:date>
    <dc:creator>Riedi, Elizabeth L.</dc:creator>
    <dc:description>This thesis, based on private papers, society records, autobiographies and&#xD;
memoirs, newspapers and periodicals, examines one mainly female imperialist&#xD;
organisation - the Victoria League - and the women who ran it. It considers two related&#xD;
questions - what made Edwardian women imperialist, and how, within the limits of&#xD;
Edwardian society, could they express their imperialism? The thesis shows that several of&#xD;
the League's founders and executive had visited South Africa during or shortly before&#xD;
the Boer War, and that this experience, particularly for those who came into close contact&#xD;
with Milner, was pivotal in stimulating them to active imperialism. The Victoria League,&#xD;
founded April 1901, aimed to promote imperial unity and a British South Africa in a&#xD;
variety of suitably 'womanly' ways: Boer War charities, imperial education, exporting&#xD;
literature and art to the white dominions (particularly the Transvaal), welcoming colonial&#xD;
visitors to Britain, arranging for the welcome of British settlers in the colonies, and&#xD;
promoting social reform as an imperial issue. It worked overseas through a number of&#xD;
independent Victoria Leagues in Australasia, the Imperial Order, Daughters of the Empire&#xD;
in Canada, and the Guild of Loyal Women in South Africa; and at home with a number&#xD;
of similar (though largely male) imperial propaganda societies. The thesis also considers&#xD;
the Victoria League's attitude to race, particularly through its debate over entertaining&#xD;
Indian students. It ends with a discussion of the options available to imperialist women;&#xD;
and of the obstacles they faced in questions of authority (how far and in what ways a woman&#xD;
could pronounce on imperial subjects) and of ideology (as expressed through the anti-suffrage&#xD;
campaign). It concludes that the Victoria League, by transferring areas of&#xD;
activity long acknowledged as 'feminine' to the imperial stage, redefined areas of female&#xD;
competence and enlarged woman's 'separate sphere' to include the active propagation of&#xD;
imperialism.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2817">
    <title>The debate on Austrian national identity in the First Republic (1918-1938)</title>
    <link>http://hdl.handle.net/10023/2817</link>
    <description>Abstract: This thesis examines the debate over Austrian national&#xD;
identity in the interwar period (1918-1938), and deconstructs&#xD;
key components of national identity. These components include&#xD;
economic, historical, linguistic and certain cultural factors,&#xD;
the concept of a nation's mission, and the "national&#xD;
individual". The final area examined is tourism. It is&#xD;
postulated that tourism permits exploration of the bonds&#xD;
between humans and the environment which they inhabit, and has&#xD;
significant implications for national cohesion.&#xD;
Sources include contemporary and historical texts on the&#xD;
concept of nationhood and related areas; political, social and&#xD;
cultural histories pertaining to the First Republic; and&#xD;
primary source materials including parliamentary and cabinet&#xD;
minutes; the League of Nations' economic reports on Austria;&#xD;
newspapers, particularly those of pressure groups; individual&#xD;
monographs (of economists, teachers, politicians, theorists);&#xD;
as well as cultural output (literature, poetry, cinema, art,&#xD;
and satire).&#xD;
The two sides of the debate can be grouped into arguments&#xD;
pertaining to Austria's relationship to Germany, and arguments&#xD;
placing Austria into a wider European context. The roles of&#xD;
internal cohesion and the influence of the outside world on&#xD;
national identity are addressed. It is shown that the&#xD;
contribution of this period to the development of Austrian&#xD;
national identity has been underestimated: that the&#xD;
foundations for an independent Austria were laid in these&#xD;
years. The concept of national identity is explored and&#xD;
elucidated.</description>
    <dc:date>1997-01-01T00:00:00Z</dc:date>
    <dc:creator>Peniston-Bird, C. M.</dc:creator>
    <dc:description>This thesis examines the debate over Austrian national&#xD;
identity in the interwar period (1918-1938), and deconstructs&#xD;
key components of national identity. These components include&#xD;
economic, historical, linguistic and certain cultural factors,&#xD;
the concept of a nation's mission, and the "national&#xD;
individual". The final area examined is tourism. It is&#xD;
postulated that tourism permits exploration of the bonds&#xD;
between humans and the environment which they inhabit, and has&#xD;
significant implications for national cohesion.&#xD;
Sources include contemporary and historical texts on the&#xD;
concept of nationhood and related areas; political, social and&#xD;
cultural histories pertaining to the First Republic; and&#xD;
primary source materials including parliamentary and cabinet&#xD;
minutes; the League of Nations' economic reports on Austria;&#xD;
newspapers, particularly those of pressure groups; individual&#xD;
monographs (of economists, teachers, politicians, theorists);&#xD;
as well as cultural output (literature, poetry, cinema, art,&#xD;
and satire).&#xD;
The two sides of the debate can be grouped into arguments&#xD;
pertaining to Austria's relationship to Germany, and arguments&#xD;
placing Austria into a wider European context. The roles of&#xD;
internal cohesion and the influence of the outside world on&#xD;
national identity are addressed. It is shown that the&#xD;
contribution of this period to the development of Austrian&#xD;
national identity has been underestimated: that the&#xD;
foundations for an independent Austria were laid in these&#xD;
years. The concept of national identity is explored and&#xD;
elucidated.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2798">
    <title>From forest to fairway : hull analysis of 'La belle', a late seventeenth-century French ship</title>
    <link>http://hdl.handle.net/10023/2798</link>
    <description>Abstract: This thesis is&#xD;
a comprehensive analysis of the hull&#xD;
remains of&#xD;
La Belle,&#xD;
a ship&#xD;
wrecked off the coast of&#xD;
Texas in 1684 during the failed&#xD;
attempt&#xD;
by Robert Cavelier Sieur&#xD;
de La Salle to establish a colony at the&#xD;
mouth of the Mississippi River.&#xD;
The&#xD;
analysis of&#xD;
La Belle's hull focused&#xD;
on&#xD;
five&#xD;
research goals.&#xD;
The first&#xD;
was to&#xD;
reconstruct the conception and&#xD;
design&#xD;
of the hull. Because La Belle&#xD;
was&#xD;
built&#xD;
on&#xD;
France's&#xD;
Atlantic&#xD;
coast,&#xD;
it&#xD;
was expected that the ship would&#xD;
fit into Atlantic traditions of&#xD;
shipbuilding.&#xD;
Instead, it&#xD;
exhibits an ancient&#xD;
Mediterranean&#xD;
method&#xD;
known&#xD;
only&#xD;
from&#xD;
Renaissance manuscripts.&#xD;
Until La Belle's discovery&#xD;
no archaeological example&#xD;
associated with this method&#xD;
had been identified. Reconstruction&#xD;
of the lines&#xD;
also revealed&#xD;
the unexpected use of surmarks that reflect a transition from&#xD;
a&#xD;
largely&#xD;
empirical approach&#xD;
to the architecturally-based ship plan.&#xD;
The&#xD;
second goal was the documentation&#xD;
of a previously unstudied ship type, the&#xD;
barque longue, through an analysis and&#xD;
description&#xD;
of the hull's&#xD;
assembly and&#xD;
its&#xD;
comparison&#xD;
to contemporary shipbuilding practices.&#xD;
The third goal was an analysis of&#xD;
newly&#xD;
discovered&#xD;
registries,&#xD;
letters,&#xD;
and&#xD;
documents&#xD;
specific to La Belle that raised&#xD;
fundamental&#xD;
questions regarding the ship's genesis and typological identification.&#xD;
The fourth&#xD;
goal was species identification&#xD;
of the timbers to provide a more&#xD;
detailed&#xD;
picture of&#xD;
forest&#xD;
exploitation and to identify&#xD;
whether&#xD;
Old&#xD;
or&#xD;
New World timbers&#xD;
were used&#xD;
in the repairs noted&#xD;
in the hull. The fifth&#xD;
goal was to obtain&#xD;
information&#xD;
on the&#xD;
origin of the wood through dendrochronological&#xD;
analysis.&#xD;
That&#xD;
analysis raised&#xD;
unexpected questions regarding&#xD;
dating&#xD;
and the possibility of re-use of whole&#xD;
frame&#xD;
sets.&#xD;
Because there are no other&#xD;
investigated late 17th-century shipwreck sites&#xD;
from the&#xD;
Rochefort&#xD;
region with species and&#xD;
dendrochronology data, La Belle has&#xD;
provided a&#xD;
benchmark for these two analyses.&#xD;
These five&#xD;
research foci&#xD;
provide a unique picture of&#xD;
late 17th-century&#xD;
shipbuilding&#xD;
in French Atlantic&#xD;
shipyards and contribute to the study of&#xD;
hull design,&#xD;
ship typology,&#xD;
construction and assembly, wood species use and origin,&#xD;
dendrochronological dating,&#xD;
and&#xD;
timber reuse.</description>
    <dc:date>2003-01-01T00:00:00Z</dc:date>
    <dc:creator>Carrell, Toni L.</dc:creator>
    <dc:description>This thesis is&#xD;
a comprehensive analysis of the hull&#xD;
remains of&#xD;
La Belle,&#xD;
a ship&#xD;
wrecked off the coast of&#xD;
Texas in 1684 during the failed&#xD;
attempt&#xD;
by Robert Cavelier Sieur&#xD;
de La Salle to establish a colony at the&#xD;
mouth of the Mississippi River.&#xD;
The&#xD;
analysis of&#xD;
La Belle's hull focused&#xD;
on&#xD;
five&#xD;
research goals.&#xD;
The first&#xD;
was to&#xD;
reconstruct the conception and&#xD;
design&#xD;
of the hull. Because La Belle&#xD;
was&#xD;
built&#xD;
on&#xD;
France's&#xD;
Atlantic&#xD;
coast,&#xD;
it&#xD;
was expected that the ship would&#xD;
fit into Atlantic traditions of&#xD;
shipbuilding.&#xD;
Instead, it&#xD;
exhibits an ancient&#xD;
Mediterranean&#xD;
method&#xD;
known&#xD;
only&#xD;
from&#xD;
Renaissance manuscripts.&#xD;
Until La Belle's discovery&#xD;
no archaeological example&#xD;
associated with this method&#xD;
had been identified. Reconstruction&#xD;
of the lines&#xD;
also revealed&#xD;
the unexpected use of surmarks that reflect a transition from&#xD;
a&#xD;
largely&#xD;
empirical approach&#xD;
to the architecturally-based ship plan.&#xD;
The&#xD;
second goal was the documentation&#xD;
of a previously unstudied ship type, the&#xD;
barque longue, through an analysis and&#xD;
description&#xD;
of the hull's&#xD;
assembly and&#xD;
its&#xD;
comparison&#xD;
to contemporary shipbuilding practices.&#xD;
The third goal was an analysis of&#xD;
newly&#xD;
discovered&#xD;
registries,&#xD;
letters,&#xD;
and&#xD;
documents&#xD;
specific to La Belle that raised&#xD;
fundamental&#xD;
questions regarding the ship's genesis and typological identification.&#xD;
The fourth&#xD;
goal was species identification&#xD;
of the timbers to provide a more&#xD;
detailed&#xD;
picture of&#xD;
forest&#xD;
exploitation and to identify&#xD;
whether&#xD;
Old&#xD;
or&#xD;
New World timbers&#xD;
were used&#xD;
in the repairs noted&#xD;
in the hull. The fifth&#xD;
goal was to obtain&#xD;
information&#xD;
on the&#xD;
origin of the wood through dendrochronological&#xD;
analysis.&#xD;
That&#xD;
analysis raised&#xD;
unexpected questions regarding&#xD;
dating&#xD;
and the possibility of re-use of whole&#xD;
frame&#xD;
sets.&#xD;
Because there are no other&#xD;
investigated late 17th-century shipwreck sites&#xD;
from the&#xD;
Rochefort&#xD;
region with species and&#xD;
dendrochronology data, La Belle has&#xD;
provided a&#xD;
benchmark for these two analyses.&#xD;
These five&#xD;
research foci&#xD;
provide a unique picture of&#xD;
late 17th-century&#xD;
shipbuilding&#xD;
in French Atlantic&#xD;
shipyards and contribute to the study of&#xD;
hull design,&#xD;
ship typology,&#xD;
construction and assembly, wood species use and origin,&#xD;
dendrochronological dating,&#xD;
and&#xD;
timber reuse.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2792">
    <title>English impressions of Venice up to the early seventeenth century: a documentary study</title>
    <link>http://hdl.handle.net/10023/2792</link>
    <description>Abstract: The first Englishmen to write about the city-state&#xD;
of Venice were the pilgrims passing through on their way to&#xD;
the Holy Land. Their impressions are recorded in the travel diaries&#xD;
and collections of advice for prospective fellow pilgrims&#xD;
between the early fourteenth and early sixteenth&#xD;
centuries, the most substantial being those of William Wey,&#xD;
Sir Richard Guylforde and Sir Richard Torkington, who visited&#xD;
Venice in 1458 and '62, 1506, and 1517 respectively. In the&#xD;
1540s arrived the men who saw Venice as part of the new Europe--Andrew Borde and William Thomas. Thomas's study of the&#xD;
Venetian state emphasized the efficiency of its&#xD;
administration, seeing it as an example of constructive&#xD;
government, where effective organisation for the common good&#xD;
led directly to national stability and prosperity. The mid-sixteenth&#xD;
century saw the beginnings of Venice as a tourist&#xD;
centre; the visitors who came between 1550 and the end of the&#xD;
century described the sights and the people, the traditions&#xD;
and way of life. Fynes Moryson's extensive account details&#xD;
what could be seen and learned in the city by an observant and&#xD;
enquiring visitor.&#xD;
In addition to information available in first-hand&#xD;
accounts of Venice, much could be learned from the work of the&#xD;
late sixteenth-century English translators. Linguistic,&#xD;
cultural, geographical, historical and literary translations&#xD;
yielded further knowledge and, more importantly, new&#xD;
perspectives, Venice being seen through the eyes of Italians&#xD;
and, through Lewkenor's comprehensive work, The Commonwealth&#xD;
and Government of Venice, of Venetians themselves.&#xD;
Finally, to assess the general impressions of&#xD;
Venice and the Venetians, we consider the literature of the&#xD;
turn of the sixteenth-seventeenth century; what, and how&#xD;
much, of the three-hundred year accumulation of knowledge of&#xD;
the city and people of Venice had most caught the attention&#xD;
and imagination of the English mind, and how close was the&#xD;
relationship between the popular impression and the&#xD;
documentary information from which it had largely developed.</description>
    <dc:date>1987-01-01T00:00:00Z</dc:date>
    <dc:creator>Hammerton, Rachel Joan</dc:creator>
    <dc:description>The first Englishmen to write about the city-state&#xD;
of Venice were the pilgrims passing through on their way to&#xD;
the Holy Land. Their impressions are recorded in the travel diaries&#xD;
and collections of advice for prospective fellow pilgrims&#xD;
between the early fourteenth and early sixteenth&#xD;
centuries, the most substantial being those of William Wey,&#xD;
Sir Richard Guylforde and Sir Richard Torkington, who visited&#xD;
Venice in 1458 and '62, 1506, and 1517 respectively. In the&#xD;
1540s arrived the men who saw Venice as part of the new Europe--Andrew Borde and William Thomas. Thomas's study of the&#xD;
Venetian state emphasized the efficiency of its&#xD;
administration, seeing it as an example of constructive&#xD;
government, where effective organisation for the common good&#xD;
led directly to national stability and prosperity. The mid-sixteenth&#xD;
century saw the beginnings of Venice as a tourist&#xD;
centre; the visitors who came between 1550 and the end of the&#xD;
century described the sights and the people, the traditions&#xD;
and way of life. Fynes Moryson's extensive account details&#xD;
what could be seen and learned in the city by an observant and&#xD;
enquiring visitor.&#xD;
In addition to information available in first-hand&#xD;
accounts of Venice, much could be learned from the work of the&#xD;
late sixteenth-century English translators. Linguistic,&#xD;
cultural, geographical, historical and literary translations&#xD;
yielded further knowledge and, more importantly, new&#xD;
perspectives, Venice being seen through the eyes of Italians&#xD;
and, through Lewkenor's comprehensive work, The Commonwealth&#xD;
and Government of Venice, of Venetians themselves.&#xD;
Finally, to assess the general impressions of&#xD;
Venice and the Venetians, we consider the literature of the&#xD;
turn of the sixteenth-seventeenth century; what, and how&#xD;
much, of the three-hundred year accumulation of knowledge of&#xD;
the city and people of Venice had most caught the attention&#xD;
and imagination of the English mind, and how close was the&#xD;
relationship between the popular impression and the&#xD;
documentary information from which it had largely developed.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2762">
    <title>William Paget and the late-Henrican polity, 1543-1547</title>
    <link>http://hdl.handle.net/10023/2762</link>
    <description>Abstract: This thesis explores the late-Henrican polity through the archive and perspective of William&#xD;
Paget, Henry VIII's secretary at the end of his reign. Paget's papers as secretary (1543-1547), that&#xD;
form the basis of the thesis, are an extensive, unique and relatively under-used source. From this&#xD;
starting-point Paget's role as secretary is explored and he is revealed as the personal servant of&#xD;
the king, whose natural environment was the court. As such he was an influential source of&#xD;
counsel and perhaps the key patronage-broker at court. In this context Paget also had a significant&#xD;
influence over the operation of the dry stamp at the end of the reign. Equally, Paget's role in&#xD;
shaping the function of the secretary and his relations with the recently formed privy council was&#xD;
of considerable importance, providing the template for later Tudor secretaries.&#xD;
Diplomacy in the uncertain world of the 1540s was one of Paget's primary concerns and his&#xD;
priorities can be seen as trying to provide security and stability for the realm. This is revealed not&#xD;
only in his 'Consultation' of August 1546 but also in his diplomacy with the French, the&#xD;
Schmalkaldic League and the Papacy. In this he sometimes found himself at odds with the king&#xD;
and leading a privy council united in a desire for peace.&#xD;
Politically Paget has traditionally been cast as an ambitious politique, the 'master of practices'&#xD;
and part of the earl of Hertford's reform party. Whilst acknowledging Paget's close relations with&#xD;
Hertford this thesis questions the factional interpretation of the last years of the reign and argues&#xD;
that the predominant concern of Paget and his fellow privy councillors was a peaceful succession&#xD;
in which unanimity rather than conflict was the key-note.</description>
    <dc:date>2004-01-01T00:00:00Z</dc:date>
    <dc:creator>Johnston, Andrews</dc:creator>
    <dc:description>This thesis explores the late-Henrican polity through the archive and perspective of William&#xD;
Paget, Henry VIII's secretary at the end of his reign. Paget's papers as secretary (1543-1547), that&#xD;
form the basis of the thesis, are an extensive, unique and relatively under-used source. From this&#xD;
starting-point Paget's role as secretary is explored and he is revealed as the personal servant of&#xD;
the king, whose natural environment was the court. As such he was an influential source of&#xD;
counsel and perhaps the key patronage-broker at court. In this context Paget also had a significant&#xD;
influence over the operation of the dry stamp at the end of the reign. Equally, Paget's role in&#xD;
shaping the function of the secretary and his relations with the recently formed privy council was&#xD;
of considerable importance, providing the template for later Tudor secretaries.&#xD;
Diplomacy in the uncertain world of the 1540s was one of Paget's primary concerns and his&#xD;
priorities can be seen as trying to provide security and stability for the realm. This is revealed not&#xD;
only in his 'Consultation' of August 1546 but also in his diplomacy with the French, the&#xD;
Schmalkaldic League and the Papacy. In this he sometimes found himself at odds with the king&#xD;
and leading a privy council united in a desire for peace.&#xD;
Politically Paget has traditionally been cast as an ambitious politique, the 'master of practices'&#xD;
and part of the earl of Hertford's reform party. Whilst acknowledging Paget's close relations with&#xD;
Hertford this thesis questions the factional interpretation of the last years of the reign and argues&#xD;
that the predominant concern of Paget and his fellow privy councillors was a peaceful succession&#xD;
in which unanimity rather than conflict was the key-note.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2737">
    <title>Mary Queen of Scots in the polemical literature of the French Wars of Religion</title>
    <link>http://hdl.handle.net/10023/2737</link>
    <description>Abstract: The French Wars of Religion were more than a battle for outright military victory.&#xD;
They were also a battle for the hearts and minds of the population of France. In this struggle&#xD;
to win over public opinion, often apparently peripheral or collateral issues could be engaged&#xD;
to make partisan points. Such was the case with the polemical literature surrounding Mary&#xD;
Queen of Scots. Mary was a very French figure. But Mary's complex career- her brief&#xD;
marriage to the dauphin Francois, her adoption of a tolerant religious policy in Scotland, her&#xD;
implication in the murder of her husband, and her imprisonment and execution at the hands of&#xD;
a Protestant monarch - inevitably made her an ambiguous subject for polemicists, Catholic&#xD;
and Huguenot alike. Based on a bibliographic survey of over four hundred and twenty&#xD;
sixteenth century editions in French relative to the Queen, and extensive reading of these&#xD;
works, this study explores both the general contours and finer detail of French public interest&#xD;
in the Queen of Scots. Chapter one discusses the shifting historical relationship between&#xD;
Mary and France, while chapters two and three deal with the steady stream of Catholic and&#xD;
Huguenot publications relating to Mary that appeared in the public domain between 1548 and&#xD;
1586. The heart of this study, however, can be found in its final two chapters, which deal&#xD;
with the polemical literature that poured off the presses in response to the execution or&#xD;
martyrdom of Mary. These chapters investigate the interface between the printed word and&#xD;
other media in the Catholic response to the 'tragedy' of Fotheringhay, and examine the many&#xD;
facets of the image of the martyred Queen. The martyrdom of the Queen of Scots and&#xD;
dowager Queen of France became one of the most prominent themes in the propaganda of the&#xD;
Catholic League. Over one fifth of Catholic polemic in the period 1587-1588 touched on the&#xD;
event, contributing to the radicalisation of popular opinion against the king of France, Henri&#xD;
III.</description>
    <dc:date>2001-01-01T00:00:00Z</dc:date>
    <dc:creator>Wilkinson, Alexander S.</dc:creator>
    <dc:description>The French Wars of Religion were more than a battle for outright military victory.&#xD;
They were also a battle for the hearts and minds of the population of France. In this struggle&#xD;
to win over public opinion, often apparently peripheral or collateral issues could be engaged&#xD;
to make partisan points. Such was the case with the polemical literature surrounding Mary&#xD;
Queen of Scots. Mary was a very French figure. But Mary's complex career- her brief&#xD;
marriage to the dauphin Francois, her adoption of a tolerant religious policy in Scotland, her&#xD;
implication in the murder of her husband, and her imprisonment and execution at the hands of&#xD;
a Protestant monarch - inevitably made her an ambiguous subject for polemicists, Catholic&#xD;
and Huguenot alike. Based on a bibliographic survey of over four hundred and twenty&#xD;
sixteenth century editions in French relative to the Queen, and extensive reading of these&#xD;
works, this study explores both the general contours and finer detail of French public interest&#xD;
in the Queen of Scots. Chapter one discusses the shifting historical relationship between&#xD;
Mary and France, while chapters two and three deal with the steady stream of Catholic and&#xD;
Huguenot publications relating to Mary that appeared in the public domain between 1548 and&#xD;
1586. The heart of this study, however, can be found in its final two chapters, which deal&#xD;
with the polemical literature that poured off the presses in response to the execution or&#xD;
martyrdom of Mary. These chapters investigate the interface between the printed word and&#xD;
other media in the Catholic response to the 'tragedy' of Fotheringhay, and examine the many&#xD;
facets of the image of the martyred Queen. The martyrdom of the Queen of Scots and&#xD;
dowager Queen of France became one of the most prominent themes in the propaganda of the&#xD;
Catholic League. Over one fifth of Catholic polemic in the period 1587-1588 touched on the&#xD;
event, contributing to the radicalisation of popular opinion against the king of France, Henri&#xD;
III.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2718">
    <title>The Layburnes and their world, circa 1620-1720: the English Catholic community and the House of Stuart</title>
    <link>http://hdl.handle.net/10023/2718</link>
    <description>Abstract: This thesis concerns Catholics in north-western England in the late&#xD;
seventeenth and early eighteenth centuries, in particular the Layburne family&#xD;
of Cunswick, Cumbria. It examines their role in local society and at the courts&#xD;
of the Stuart queens in London and St Germains. It traces their growing&#xD;
commitment to the Jacobite cause and their hopes of thereby regaining&#xD;
positions of influence at court and in the country.&#xD;
The north-western Tory gentry's sympathy with their Catholic counterparts is&#xD;
contrasted with the treatment given to the Quakers in the same area. The latter&#xD;
were regarded as a danger to the fabric of society, representing an economic&#xD;
and political threat to the government. As an example of how integrated the&#xD;
Catholics were, the services in Kendal parish church were more Papist than&#xD;
non-conformist, even under the Protectorate. At the Restoration the Catholics&#xD;
continued to contribute to the upkeep of the church and were well-regarded in&#xD;
the area.&#xD;
The Layburnes occupied positions during the reign of James II, both in the&#xD;
north-west and at court. Bishop John Laybume acted as James II's Catholic&#xD;
bishop, and had also been involved in the Secret Treaty of Dover in 1670,&#xD;
under Charles II. during James II's reign bishop Layburne had organised the&#xD;
funding of Catholic chapels, clergy and education. This activity was&#xD;
discovered and used in the prosecution of Catholic gentry in the trials&#xD;
following the Lancashire Plot (1694). On acquittal, the Jacobites vigorously&#xD;
renewed their plotting in Lancashire. Planning for a Jacobite invasion reached&#xD;
its culmination in the 1715 Rising, only to end with the siege of Preston.&#xD;
Despite some executions and the forfeiture of estates, many Catholic Jacobite&#xD;
families survived the 1715 rising. Few rose in 1745 and many Catholic&#xD;
families, with the exception of the Layburnes, prospered and continue to this&#xD;
day.</description>
    <dc:date>2002-01-01T00:00:00Z</dc:date>
    <dc:creator>Wright, F. Alison</dc:creator>
    <dc:description>This thesis concerns Catholics in north-western England in the late&#xD;
seventeenth and early eighteenth centuries, in particular the Layburne family&#xD;
of Cunswick, Cumbria. It examines their role in local society and at the courts&#xD;
of the Stuart queens in London and St Germains. It traces their growing&#xD;
commitment to the Jacobite cause and their hopes of thereby regaining&#xD;
positions of influence at court and in the country.&#xD;
The north-western Tory gentry's sympathy with their Catholic counterparts is&#xD;
contrasted with the treatment given to the Quakers in the same area. The latter&#xD;
were regarded as a danger to the fabric of society, representing an economic&#xD;
and political threat to the government. As an example of how integrated the&#xD;
Catholics were, the services in Kendal parish church were more Papist than&#xD;
non-conformist, even under the Protectorate. At the Restoration the Catholics&#xD;
continued to contribute to the upkeep of the church and were well-regarded in&#xD;
the area.&#xD;
The Layburnes occupied positions during the reign of James II, both in the&#xD;
north-west and at court. Bishop John Laybume acted as James II's Catholic&#xD;
bishop, and had also been involved in the Secret Treaty of Dover in 1670,&#xD;
under Charles II. during James II's reign bishop Layburne had organised the&#xD;
funding of Catholic chapels, clergy and education. This activity was&#xD;
discovered and used in the prosecution of Catholic gentry in the trials&#xD;
following the Lancashire Plot (1694). On acquittal, the Jacobites vigorously&#xD;
renewed their plotting in Lancashire. Planning for a Jacobite invasion reached&#xD;
its culmination in the 1715 Rising, only to end with the siege of Preston.&#xD;
Despite some executions and the forfeiture of estates, many Catholic Jacobite&#xD;
families survived the 1715 rising. Few rose in 1745 and many Catholic&#xD;
families, with the exception of the Layburnes, prospered and continue to this&#xD;
day.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2706">
    <title>Richard Cosin and the rehabilitation of the clerical estate in late Elizabethan England</title>
    <link>http://hdl.handle.net/10023/2706</link>
    <description>Abstract: The royal supremacy established by Henry VIII was never fully defined or resolved. Was it&#xD;
an imperial kingship or a mixed polity - the king-in-parliament? Professor G.R Elton's theory&#xD;
of parliamentary supremacy has been accepted for many years, but more recently this theory has&#xD;
come under attack from Professors Peter Lake, John Guy, and Patrick Collinson. They have&#xD;
shown that it was not strictly the case that either the royal supremacy or the ecclesiastical polity&#xD;
of the Tudors was a settled issue; there was a tension and an uncertainty that underlay both the&#xD;
Henrician break with Rome in 1534 and the Elizabethan Settlement of 1559, yet this tension&#xD;
was not brought to surface of Tudor political debate until the latter part of Elizabeth I's reign.&#xD;
What brought the issue to the fore was the controversy between the puritans who opposed&#xD;
Archbishop John Whitgift's subscription campaign and the 'conformists' who sided with&#xD;
Whitgift's demand for order and congruity in the young Church of England.&#xD;
Part of this controversy was carried out in a literary battle between one of Whitgift's&#xD;
proteges, civil lawyer and high commissioner Richard Cosin, and puritan common lawyer James&#xD;
Morice. The debate focused on the legality of the High Commission's use of the ex officio oath&#xD;
and eventually came to hinge on the question of Elizabeth's authority to empower that&#xD;
commission to exact the oath by virtue of her letters patent. If the ex officio oath was strictly&#xD;
against the statutes and common laws of the realm, was the queen authorised to direct the&#xD;
commission to exact the oath anyway - over and above the law? To answer yes, as Cosin did,&#xD;
was to declare that the queen's royal supremacy was imperial and that her ecclesiastical polity was&#xD;
essentially theocratic. To answer no, as did Morice, was to assert that there were certain things&#xD;
that the queen could not do - namely that she was not empowered to direct the High&#xD;
Commission to contravene statute law, even in the name of ordering and reforming the church.&#xD;
Cosin's legal arguments for the imperial supremacy of the monarch were powerful, but his&#xD;
writings were steeped in a form of political rhetoric that was quickly coming into fashion in the&#xD;
late sixteenth century: the 'language of state'. The language of state was essentially an&#xD;
abandonment of the classical-humanist vocabulary of 'counseling the prince' for the sake of&#xD;
'virtuous government' in pursuit of a 'happy republic'. This new political language used by Cosin&#xD;
and other conformists justified itself on the premise that the state was so thoroughly endangered&#xD;
by sedition and instability that an urgent corrective was needed: not wise or virtuous counsel but&#xD;
strict obedience to the laws that preserved civil and religious authority.&#xD;
With the threat of presbyterianism at the doorstep of the English Church, Cosin -&#xD;
protected and encouraged by the powerful Whitgift - was free to employ both his legal and his&#xD;
rhetorical skills in an effort to reinvigorate the English clergy by enhancing their jurisdictional&#xD;
status over the laity. By the time James VI and I began his systematic revitalisation of the clerical&#xD;
estate in 1604, the vocabulary that would justify it had already been created. The influence of&#xD;
Cosin demonstrably permeated the early years of the Stuart Church suggesting that Cosin might&#xD;
provide a link between the vague uncertainties of the Elizabethan Settlement and the stark&#xD;
realities of the Caroline Church.</description>
    <dc:date>1997-01-01T00:00:00Z</dc:date>
    <dc:creator>Hampson, James E.</dc:creator>
    <dc:description>The royal supremacy established by Henry VIII was never fully defined or resolved. Was it&#xD;
an imperial kingship or a mixed polity - the king-in-parliament? Professor G.R Elton's theory&#xD;
of parliamentary supremacy has been accepted for many years, but more recently this theory has&#xD;
come under attack from Professors Peter Lake, John Guy, and Patrick Collinson. They have&#xD;
shown that it was not strictly the case that either the royal supremacy or the ecclesiastical polity&#xD;
of the Tudors was a settled issue; there was a tension and an uncertainty that underlay both the&#xD;
Henrician break with Rome in 1534 and the Elizabethan Settlement of 1559, yet this tension&#xD;
was not brought to surface of Tudor political debate until the latter part of Elizabeth I's reign.&#xD;
What brought the issue to the fore was the controversy between the puritans who opposed&#xD;
Archbishop John Whitgift's subscription campaign and the 'conformists' who sided with&#xD;
Whitgift's demand for order and congruity in the young Church of England.&#xD;
Part of this controversy was carried out in a literary battle between one of Whitgift's&#xD;
proteges, civil lawyer and high commissioner Richard Cosin, and puritan common lawyer James&#xD;
Morice. The debate focused on the legality of the High Commission's use of the ex officio oath&#xD;
and eventually came to hinge on the question of Elizabeth's authority to empower that&#xD;
commission to exact the oath by virtue of her letters patent. If the ex officio oath was strictly&#xD;
against the statutes and common laws of the realm, was the queen authorised to direct the&#xD;
commission to exact the oath anyway - over and above the law? To answer yes, as Cosin did,&#xD;
was to declare that the queen's royal supremacy was imperial and that her ecclesiastical polity was&#xD;
essentially theocratic. To answer no, as did Morice, was to assert that there were certain things&#xD;
that the queen could not do - namely that she was not empowered to direct the High&#xD;
Commission to contravene statute law, even in the name of ordering and reforming the church.&#xD;
Cosin's legal arguments for the imperial supremacy of the monarch were powerful, but his&#xD;
writings were steeped in a form of political rhetoric that was quickly coming into fashion in the&#xD;
late sixteenth century: the 'language of state'. The language of state was essentially an&#xD;
abandonment of the classical-humanist vocabulary of 'counseling the prince' for the sake of&#xD;
'virtuous government' in pursuit of a 'happy republic'. This new political language used by Cosin&#xD;
and other conformists justified itself on the premise that the state was so thoroughly endangered&#xD;
by sedition and instability that an urgent corrective was needed: not wise or virtuous counsel but&#xD;
strict obedience to the laws that preserved civil and religious authority.&#xD;
With the threat of presbyterianism at the doorstep of the English Church, Cosin -&#xD;
protected and encouraged by the powerful Whitgift - was free to employ both his legal and his&#xD;
rhetorical skills in an effort to reinvigorate the English clergy by enhancing their jurisdictional&#xD;
status over the laity. By the time James VI and I began his systematic revitalisation of the clerical&#xD;
estate in 1604, the vocabulary that would justify it had already been created. The influence of&#xD;
Cosin demonstrably permeated the early years of the Stuart Church suggesting that Cosin might&#xD;
provide a link between the vague uncertainties of the Elizabethan Settlement and the stark&#xD;
realities of the Caroline Church.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2695">
    <title>The Somers mutiny of 1842</title>
    <link>http://hdl.handle.net/10023/2695</link>
    <description>Abstract: This dissertation presents an analysis of the Somers mutiny of 1842&#xD;
that goes beyond the simple narratives offered by previous studies of the&#xD;
cruise. The mutiny is examined within the context of contemporary&#xD;
American politics and social reform, particularly as they related to naval&#xD;
affairs. These emphases clarify the rationale behind the cruise of the&#xD;
Somers, and shed light upon the nature of her crew.&#xD;
The immediate physical environment of the brig is described in&#xD;
order to reveal the difficulties in its operation, and the destabilising effect&#xD;
that this had on both the functional and social worlds of the vessel. The&#xD;
social environment on board is further defined by examining the daily&#xD;
progress of the cruise with reference to antebellum naval life and practice.&#xD;
When so combined, these factors clarify the officers' perception of the&#xD;
mutiny threat, and go far to explain their actions throughout the crisis.&#xD;
Finally, the dissertation examines the controversy that arose after&#xD;
the Somers returned to the United States. In particular, the military&#xD;
courts convened to investigate the mutiny are subjected to critical analysis&#xD;
since they are fully part of the events that they purported to explain, and&#xD;
because their proceedings remain the primary source material for&#xD;
reconstructing the cruise it is necessary to identify their biases. To&#xD;
conclude, the societal lessons of the Somers mutiny are explored, and an&#xD;
alternative reading of the event is posed.</description>
    <dc:date>2000-01-01T00:00:00Z</dc:date>
    <dc:creator>Goldberg, Angus Ephraim</dc:creator>
    <dc:description>This dissertation presents an analysis of the Somers mutiny of 1842&#xD;
that goes beyond the simple narratives offered by previous studies of the&#xD;
cruise. The mutiny is examined within the context of contemporary&#xD;
American politics and social reform, particularly as they related to naval&#xD;
affairs. These emphases clarify the rationale behind the cruise of the&#xD;
Somers, and shed light upon the nature of her crew.&#xD;
The immediate physical environment of the brig is described in&#xD;
order to reveal the difficulties in its operation, and the destabilising effect&#xD;
that this had on both the functional and social worlds of the vessel. The&#xD;
social environment on board is further defined by examining the daily&#xD;
progress of the cruise with reference to antebellum naval life and practice.&#xD;
When so combined, these factors clarify the officers' perception of the&#xD;
mutiny threat, and go far to explain their actions throughout the crisis.&#xD;
Finally, the dissertation examines the controversy that arose after&#xD;
the Somers returned to the United States. In particular, the military&#xD;
courts convened to investigate the mutiny are subjected to critical analysis&#xD;
since they are fully part of the events that they purported to explain, and&#xD;
because their proceedings remain the primary source material for&#xD;
reconstructing the cruise it is necessary to identify their biases. To&#xD;
conclude, the societal lessons of the Somers mutiny are explored, and an&#xD;
alternative reading of the event is posed.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2694">
    <title>Women in revolutionary organisations</title>
    <link>http://hdl.handle.net/10023/2694</link>
    <description>Abstract: The main aim of this thesis is to demonstrate that the female revolutionary is no&#xD;
different from her male compatriot. She enters the organisation in the same manner;&#xD;
she shares the same ideology; she participates equally within the revolutionary&#xD;
organisation; and, if she leaves the struggle, she does so in much the same way as her&#xD;
peers. The thesis uses a framework based upon New Social Movement theory to&#xD;
establish the social and historical context of the women by comparing the following five&#xD;
aspects of a new social movement: historical context, leadership, membership, collective&#xD;
action and group ideology and the revolutionary dimension. Before the three historical&#xD;
narratives on the American Movement, the West German student movement and the&#xD;
Palestinian Resistance Movement are undertaken, a literature review covers Social&#xD;
Movement theory, New Social Movement theory, theories on Violence and Terrorism&#xD;
Studies. The thesis also looks at how women have been gendered in criminology and&#xD;
war and how this gendering has influenced some of the leading research on the female&#xD;
terrorist. In order to show that the female revolutionary is very similar to the male, this&#xD;
thesis examines the three historical narratives mentioned above. After reviewing the&#xD;
social and historical context, the respective new social movement, the role of women in&#xD;
the revolutionary organisations (the Weather Underground, the Red Army Faction and&#xD;
Fateh and the Popular Front for the Liberation of Palestine) are reviewed in depth by&#xD;
studying their entry, ideology, group dynamics and exit.</description>
    <dc:date>2003-01-01T00:00:00Z</dc:date>
    <dc:creator>Gentry, Caron E.</dc:creator>
    <dc:description>The main aim of this thesis is to demonstrate that the female revolutionary is no&#xD;
different from her male compatriot. She enters the organisation in the same manner;&#xD;
she shares the same ideology; she participates equally within the revolutionary&#xD;
organisation; and, if she leaves the struggle, she does so in much the same way as her&#xD;
peers. The thesis uses a framework based upon New Social Movement theory to&#xD;
establish the social and historical context of the women by comparing the following five&#xD;
aspects of a new social movement: historical context, leadership, membership, collective&#xD;
action and group ideology and the revolutionary dimension. Before the three historical&#xD;
narratives on the American Movement, the West German student movement and the&#xD;
Palestinian Resistance Movement are undertaken, a literature review covers Social&#xD;
Movement theory, New Social Movement theory, theories on Violence and Terrorism&#xD;
Studies. The thesis also looks at how women have been gendered in criminology and&#xD;
war and how this gendering has influenced some of the leading research on the female&#xD;
terrorist. In order to show that the female revolutionary is very similar to the male, this&#xD;
thesis examines the three historical narratives mentioned above. After reviewing the&#xD;
social and historical context, the respective new social movement, the role of women in&#xD;
the revolutionary organisations (the Weather Underground, the Red Army Faction and&#xD;
Fateh and the Popular Front for the Liberation of Palestine) are reviewed in depth by&#xD;
studying their entry, ideology, group dynamics and exit.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2667">
    <title>Crown colony government in Jamaica, 1865-1885</title>
    <link>http://hdl.handle.net/10023/2667</link>
    <dc:date>1954-01-01T00:00:00Z</dc:date>
    <dc:creator>Augier, Fitzroy Richard</dc:creator>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2662">
    <title>The social and administrative reforms of Lord William Bentinck</title>
    <link>http://hdl.handle.net/10023/2662</link>
    <dc:date>1949-01-01T00:00:00Z</dc:date>
    <dc:creator>Seed, Geoffrey</dc:creator>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2645">
    <title>"The speciall men in every shere": the Edwardian regime, 1547-1553</title>
    <link>http://hdl.handle.net/10023/2645</link>
    <description>Abstract: This thesis examines clienteles during the reign of Edward VI, particularly those of the dukes of&#xD;
Somerset and Northumberland, and the role of the county elite in political society in order to&#xD;
reassess politics from the perspective of clientage. Edward's reign has not been extensively&#xD;
studied from this perspective but work by Dr Adams, Professor Guy and others on other periods&#xD;
provided the necessary context to reassess Edwardian politics. The aim was to investigate whether&#xD;
the regime continued to rely on the same core within the county elite employed in the 1520s and&#xD;
1530s and again in Elizabeth's reign. This has involved extensive archival research since 1996 (in&#xD;
St Andrews, London and the Midlands). I have found that the privy council tried to foster a closer&#xD;
working relationship with the county elite in order to maintain stability and prevent faction during&#xD;
this period of minority government. The regime depended on the same core of gentlemen in the&#xD;
shires to act as commissioners of the peace and to fill the other vital local offices. Even within this&#xD;
group there was an inner-ring. This relationship was a two-way process and the clientage that&#xD;
underpinned early modem society was central to it.&#xD;
This study has also explored the extent to which Somerset's and Northumberland's clienteles were&#xD;
involved in central and local government to reassess how much the dukes operated as courtcentred&#xD;
or county-centred politicians. Both men dominated government in turn and their clienteles&#xD;
were vitally important. These were made up of their servants, family, friends and clients and were&#xD;
mutual self-support groups that reinforced their political and social status. Although principally&#xD;
intended as a political study, this research has come to incorporate military and local history. It&#xD;
has looked at how clienteles operated during periods of stability and crisis (the activities of Lord&#xD;
Seymour of Sudeley, the 1549 rebellions, the October coup, the second fall of Somerset and the&#xD;
succession crisis in 1553) in order to demonstrate how they really functioned.</description>
    <dc:date>2001-01-01T00:00:00Z</dc:date>
    <dc:creator>Bryson, Alan</dc:creator>
    <dc:description>This thesis examines clienteles during the reign of Edward VI, particularly those of the dukes of&#xD;
Somerset and Northumberland, and the role of the county elite in political society in order to&#xD;
reassess politics from the perspective of clientage. Edward's reign has not been extensively&#xD;
studied from this perspective but work by Dr Adams, Professor Guy and others on other periods&#xD;
provided the necessary context to reassess Edwardian politics. The aim was to investigate whether&#xD;
the regime continued to rely on the same core within the county elite employed in the 1520s and&#xD;
1530s and again in Elizabeth's reign. This has involved extensive archival research since 1996 (in&#xD;
St Andrews, London and the Midlands). I have found that the privy council tried to foster a closer&#xD;
working relationship with the county elite in order to maintain stability and prevent faction during&#xD;
this period of minority government. The regime depended on the same core of gentlemen in the&#xD;
shires to act as commissioners of the peace and to fill the other vital local offices. Even within this&#xD;
group there was an inner-ring. This relationship was a two-way process and the clientage that&#xD;
underpinned early modem society was central to it.&#xD;
This study has also explored the extent to which Somerset's and Northumberland's clienteles were&#xD;
involved in central and local government to reassess how much the dukes operated as courtcentred&#xD;
or county-centred politicians. Both men dominated government in turn and their clienteles&#xD;
were vitally important. These were made up of their servants, family, friends and clients and were&#xD;
mutual self-support groups that reinforced their political and social status. Although principally&#xD;
intended as a political study, this research has come to incorporate military and local history. It&#xD;
has looked at how clienteles operated during periods of stability and crisis (the activities of Lord&#xD;
Seymour of Sudeley, the 1549 rebellions, the October coup, the second fall of Somerset and the&#xD;
succession crisis in 1553) in order to demonstrate how they really functioned.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2634">
    <title>Alexander Dalrymple (1737-1808), hydrographer to the East India Company and the Admiralty, as publisher: a catalogue of books and charts</title>
    <link>http://hdl.handle.net/10023/2634</link>
    <description>Abstract: This is a study of the publications and publishing practices of&#xD;
Alexander Dalrymple (1737-1808). Dalrymple was cumulatively a private&#xD;
publisher of nautical charts and plans (from 1767), the ''examiner of&#xD;
ships' journals'' and chart publisher for the East India Company (from&#xD;
1779), and Hydrographer to the Admiralty (from 1795).&#xD;
The core of the study is a catalogue of the known publications of&#xD;
Alexander Dalrymple, defining and establishing his oeuvre. The&#xD;
catalogue is in two parts, Catalogue A for the letterpress publications,&#xD;
numbering 257, and Catalogue B for the engraved charts, plans of ports,&#xD;
views of land, and other Illustrations, numbering 1116. The entries in&#xD;
each part of the catalogue are arranged chronologically by date of&#xD;
publication, with full bibliographical and technical descriptions, and&#xD;
notes of attribution, dating and inter-relationships. &#xD;
The introduction gives a short account of Dalrymple's life, focussing on&#xD;
his publishing activity, and introducing his geographical and political&#xD;
pamphlet publishing. Four phases of activity in his nautical publication&#xD;
are identified: the decision to publish charts and memoirs from his own&#xD;
voyages in the Eastern Archipelago (1769-1772); the private publication&#xD;
of charts and plans with grants or subscriptions from the East India&#xD;
Company (1772-1779); the annual series of charts, plans, views and&#xD;
memoirs issued from 1779 onwards for the East India Company; and the&#xD;
organisation and output of the Admiralty Hydrographic Office which he&#xD;
ran in parallel with his East India Company work after 1795. This is&#xD;
supplemented by a discussion of the continuing use made of Dalrymple's&#xD;
charts after his death in 1808.&#xD;
An investigation of Dalrymple's engraving and publishing practices&#xD;
follows, with a brief survey of his technical leaflets and manuals on&#xD;
nautical surveying and chronometer use, and an account of Oriental&#xD;
Repertory, his chief non-nautical publication. The study emphasises the&#xD;
close personal control Dalrymple exercised over his publications, and&#xD;
the consequent problems in the Admiralty and East India Company in&#xD;
developing arrangements to continue publishing charts after his death.</description>
    <dc:date>1993-01-01T00:00:00Z</dc:date>
    <dc:creator>Cook, Andrew Stanley</dc:creator>
    <dc:description>This is a study of the publications and publishing practices of&#xD;
Alexander Dalrymple (1737-1808). Dalrymple was cumulatively a private&#xD;
publisher of nautical charts and plans (from 1767), the ''examiner of&#xD;
ships' journals'' and chart publisher for the East India Company (from&#xD;
1779), and Hydrographer to the Admiralty (from 1795).&#xD;
The core of the study is a catalogue of the known publications of&#xD;
Alexander Dalrymple, defining and establishing his oeuvre. The&#xD;
catalogue is in two parts, Catalogue A for the letterpress publications,&#xD;
numbering 257, and Catalogue B for the engraved charts, plans of ports,&#xD;
views of land, and other Illustrations, numbering 1116. The entries in&#xD;
each part of the catalogue are arranged chronologically by date of&#xD;
publication, with full bibliographical and technical descriptions, and&#xD;
notes of attribution, dating and inter-relationships. &#xD;
The introduction gives a short account of Dalrymple's life, focussing on&#xD;
his publishing activity, and introducing his geographical and political&#xD;
pamphlet publishing. Four phases of activity in his nautical publication&#xD;
are identified: the decision to publish charts and memoirs from his own&#xD;
voyages in the Eastern Archipelago (1769-1772); the private publication&#xD;
of charts and plans with grants or subscriptions from the East India&#xD;
Company (1772-1779); the annual series of charts, plans, views and&#xD;
memoirs issued from 1779 onwards for the East India Company; and the&#xD;
organisation and output of the Admiralty Hydrographic Office which he&#xD;
ran in parallel with his East India Company work after 1795. This is&#xD;
supplemented by a discussion of the continuing use made of Dalrymple's&#xD;
charts after his death in 1808.&#xD;
An investigation of Dalrymple's engraving and publishing practices&#xD;
follows, with a brief survey of his technical leaflets and manuals on&#xD;
nautical surveying and chronometer use, and an account of Oriental&#xD;
Repertory, his chief non-nautical publication. The study emphasises the&#xD;
close personal control Dalrymple exercised over his publications, and&#xD;
the consequent problems in the Admiralty and East India Company in&#xD;
developing arrangements to continue publishing charts after his death.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2579">
    <title>The Gondi family : strategy and survival in late sixteenth-century France</title>
    <link>http://hdl.handle.net/10023/2579</link>
    <description>Abstract: This thesis details the rise to power of one of the great families of late sixteenth-century France, the Gondi. Antoine de Gondi, the last of fifteen children, left his native Florence to settle permanently in France in the first decade of the sixteenth century. Like many other Italian immigrants of his time, he established himself in Lyon as a merchant and banker. He later bought the Seigneurie du Perron, and married a woman of Piedmontese origin, Marie-Catherine de Pierrevive. Catherine de’ Medici met the couple and soon after invited them to court, giving them positions in the royal households. Antoine’s children, most notably Albert and Pierre, distinguished themselves at court, and not long afterwards were awarded the highest offices of state and church. Albert became Marshal of France in 1573, and Pierre became Bishop of Paris in 1570. At the same time, they proved themselves indispensable servants to the monarchy, and served the crown diplomatically, politically and financially, both in France and on foreign missions. Both brothers had large Parisian real estate holdings, both inside and outside the city centre. The essential role of the Gondi women in family strategy is also analysed. Albert and Pierre’s sister, Jeanne, became Prioress at the royal Priory of Saint-Louis de Poissy. The cousins of Albert and Pierre, Jean-Baptiste and Jérôme Gondi, stayed closely connected to the world of international banking and, together with other bankers, facilitated loans to the increasingly insolvent crown. &#xD;
The Gondi were often targets of anti-Italian hostility from various segments of French society, and contemporary perceptions of the Gondi family are examined. This study shows the family’s deployment of and reliance on close kin to expand their web of influence throughout France and abroad. This dissertation details the many mechanisms employed by the Gondi family to consolidate and expand their influence during the tumultuous French wars of religion.</description>
    <dc:date>2011-11-30T00:00:00Z</dc:date>
    <dc:creator>Milstein, Joanna M.</dc:creator>
    <dc:description>This thesis details the rise to power of one of the great families of late sixteenth-century France, the Gondi. Antoine de Gondi, the last of fifteen children, left his native Florence to settle permanently in France in the first decade of the sixteenth century. Like many other Italian immigrants of his time, he established himself in Lyon as a merchant and banker. He later bought the Seigneurie du Perron, and married a woman of Piedmontese origin, Marie-Catherine de Pierrevive. Catherine de’ Medici met the couple and soon after invited them to court, giving them positions in the royal households. Antoine’s children, most notably Albert and Pierre, distinguished themselves at court, and not long afterwards were awarded the highest offices of state and church. Albert became Marshal of France in 1573, and Pierre became Bishop of Paris in 1570. At the same time, they proved themselves indispensable servants to the monarchy, and served the crown diplomatically, politically and financially, both in France and on foreign missions. Both brothers had large Parisian real estate holdings, both inside and outside the city centre. The essential role of the Gondi women in family strategy is also analysed. Albert and Pierre’s sister, Jeanne, became Prioress at the royal Priory of Saint-Louis de Poissy. The cousins of Albert and Pierre, Jean-Baptiste and Jérôme Gondi, stayed closely connected to the world of international banking and, together with other bankers, facilitated loans to the increasingly insolvent crown. &#xD;
The Gondi were often targets of anti-Italian hostility from various segments of French society, and contemporary perceptions of the Gondi family are examined. This study shows the family’s deployment of and reliance on close kin to expand their web of influence throughout France and abroad. This dissertation details the many mechanisms employed by the Gondi family to consolidate and expand their influence during the tumultuous French wars of religion.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2545">
    <title>The Times and the women's suffrage movement, 1900-1918</title>
    <link>http://hdl.handle.net/10023/2545</link>
    <description>Abstract: The thesis, "The Times and the Women's Suffrage Movement 1900-1918", is aimed at clarifying the paper's treatment of a contentious subject and amplifying the historical data about the movement itself. In order to accomplish this, the daily issues of the newspaper and its background were examined, along with the available sources on women's suffrage.&#xD;
&#xD;
After first reviewing the past and status of The Times, and the history and achievements of the suffragists, the study takes the shape of a chronological account of&#xD;
the paper's response to the movement in the first 19 years&#xD;
of the&#xD;
twentieth century.&#xD;
Until&#xD;
1905,&#xD;
the response was negligible, as indeed&#xD;
was the energy of the suffragists. With the advent of&#xD;
militant tactics, inspired by the Pankhurst-headed Women's&#xD;
Social and Political Union, the public image of women's&#xD;
suffrage began to change and, with it, press coverage.&#xD;
Until&#xD;
1908,&#xD;
these new tactics were largely symbolic, though&#xD;
often leading to the arrest and imprisonment of the new&#xD;
style "suffragettes". Besides opposing female enfranchisement&#xD;
in leading articles, there is some evidence that The Times&#xD;
allowed its opinions to spill over into its news columns -&#xD;
an occurrence which was to become increasingly obvious&#xD;
when militant tactics took on the violent aspect of stone throwing from 1908-1911. During this later period, The&#xD;
Times' editorial opposition hardened; when the suffragettes&#xD;
began employing arson and other property damage, in what&#xD;
was openly&#xD;
claimed to be "guerrilla warfare" in the years preceding the First World War, The Times used its respectable journalistic leadership to condemn the militants and&#xD;
urge active public and parliamentary opposition to the&#xD;
enfranchisement of women.&#xD;
When Britain entered the war, concern with the militant&#xD;
women disappeared from The Times' columns, as did other&#xD;
news unrelated to the conflict. By 1916, however, the&#xD;
participation of women in wartime activities began to&#xD;
command publicity, and a groundswell of support for&#xD;
enfranchisement finally overtook The Times in 1917.&#xD;
Subsequent leading articles were favorable, as were the&#xD;
majority of its wartime news accounts of women.&#xD;
Besides serving as a record of The Times' sensitivity&#xD;
to a popularly discussed topic, the study uncovers a thread&#xD;
of consistency running from the first perfunctory opposition&#xD;
to women's suffrage through active condemnation of militancy&#xD;
and final support of female enfranchisement. The Times&#xD;
always emphasized its adherence to educated public opinion;&#xD;
and even when its editorial shift did come, it seemed only&#xD;
to emphasize continuing reflection of this opinion and&#xD;
recognition of the trends acting upon it. The Times can&#xD;
then be seen as a newspaper possessing not only strength&#xD;
but flexibility towards political and social change.</description>
    <dc:date>1975-01-01T00:00:00Z</dc:date>
    <dc:creator>Sama, Anita</dc:creator>
    <dc:description>The thesis, "The Times and the Women's Suffrage Movement 1900-1918", is aimed at clarifying the paper's treatment of a contentious subject and amplifying the historical data about the movement itself. In order to accomplish this, the daily issues of the newspaper and its background were examined, along with the available sources on women's suffrage.&#xD;
&#xD;
After first reviewing the past and status of The Times, and the history and achievements of the suffragists, the study takes the shape of a chronological account of&#xD;
the paper's response to the movement in the first 19 years&#xD;
of the&#xD;
twentieth century.&#xD;
Until&#xD;
1905,&#xD;
the response was negligible, as indeed&#xD;
was the energy of the suffragists. With the advent of&#xD;
militant tactics, inspired by the Pankhurst-headed Women's&#xD;
Social and Political Union, the public image of women's&#xD;
suffrage began to change and, with it, press coverage.&#xD;
Until&#xD;
1908,&#xD;
these new tactics were largely symbolic, though&#xD;
often leading to the arrest and imprisonment of the new&#xD;
style "suffragettes". Besides opposing female enfranchisement&#xD;
in leading articles, there is some evidence that The Times&#xD;
allowed its opinions to spill over into its news columns -&#xD;
an occurrence which was to become increasingly obvious&#xD;
when militant tactics took on the violent aspect of stone throwing from 1908-1911. During this later period, The&#xD;
Times' editorial opposition hardened; when the suffragettes&#xD;
began employing arson and other property damage, in what&#xD;
was openly&#xD;
claimed to be "guerrilla warfare" in the years preceding the First World War, The Times used its respectable journalistic leadership to condemn the militants and&#xD;
urge active public and parliamentary opposition to the&#xD;
enfranchisement of women.&#xD;
When Britain entered the war, concern with the militant&#xD;
women disappeared from The Times' columns, as did other&#xD;
news unrelated to the conflict. By 1916, however, the&#xD;
participation of women in wartime activities began to&#xD;
command publicity, and a groundswell of support for&#xD;
enfranchisement finally overtook The Times in 1917.&#xD;
Subsequent leading articles were favorable, as were the&#xD;
majority of its wartime news accounts of women.&#xD;
Besides serving as a record of The Times' sensitivity&#xD;
to a popularly discussed topic, the study uncovers a thread&#xD;
of consistency running from the first perfunctory opposition&#xD;
to women's suffrage through active condemnation of militancy&#xD;
and final support of female enfranchisement. The Times&#xD;
always emphasized its adherence to educated public opinion;&#xD;
and even when its editorial shift did come, it seemed only&#xD;
to emphasize continuing reflection of this opinion and&#xD;
recognition of the trends acting upon it. The Times can&#xD;
then be seen as a newspaper possessing not only strength&#xD;
but flexibility towards political and social change.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/2082">
    <title>Martin Broszat, Saul Friedländer and the historicisation of the Third Reich</title>
    <link>http://hdl.handle.net/10023/2082</link>
    <description>Abstract: In 1987, Martin Broszat (1926-1989) and Saul Friedländer (born 1932) debated the concept of “historicisation” in an exchange of letters. These letters were first published in the German premier journal Vierteljahrshefte für Zeitgeschichte (Quarterly for Contemporary History) and were eventually reproduced in other publications and translated into English. Today, the exchange between Broszat and Friedländer is viewed as one of the classic controversies in the historiography of the Third Reich and the Holocaust and is occasionally referred to as the “historicisation debate.” &#xD;
This thesis offers a historiographical analysis of the works of both Martin Broszat and Saul Friedländer. The central aim of this thesis is to identify, contextualise and examine the major themes of the historicisation debate. The first chapter provides an introduction to, and a close reading of, the letter exchange and further identifies the three major themes that structure the following three chapters: identity; history, memory and narrative construction; and the centrality of the Holocaust in the Nazi past. Each of these three chapters is divided into two sections: the first half is devoted to Broszat, the second half to Friedländer. The conclusion offers a comparison between their historiographical positions.</description>
    <dc:date>2011-11-30T00:00:00Z</dc:date>
    <dc:creator>Rondags, Daniël</dc:creator>
    <dc:description>In 1987, Martin Broszat (1926-1989) and Saul Friedländer (born 1932) debated the concept of “historicisation” in an exchange of letters. These letters were first published in the German premier journal Vierteljahrshefte für Zeitgeschichte (Quarterly for Contemporary History) and were eventually reproduced in other publications and translated into English. Today, the exchange between Broszat and Friedländer is viewed as one of the classic controversies in the historiography of the Third Reich and the Holocaust and is occasionally referred to as the “historicisation debate.” &#xD;
This thesis offers a historiographical analysis of the works of both Martin Broszat and Saul Friedländer. The central aim of this thesis is to identify, contextualise and examine the major themes of the historicisation debate. The first chapter provides an introduction to, and a close reading of, the letter exchange and further identifies the three major themes that structure the following three chapters: identity; history, memory and narrative construction; and the centrality of the Holocaust in the Nazi past. Each of these three chapters is divided into two sections: the first half is devoted to Broszat, the second half to Friedländer. The conclusion offers a comparison between their historiographical positions.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/1971">
    <title>Publishing in Paris, 1570-1590 : a bibliometric analysis</title>
    <link>http://hdl.handle.net/10023/1971</link>
    <description>Abstract: This thesis is an examination of the printing industry in Paris between 1570 and 1590.  These years represent a relatively under-researched period in the history of Parisian print.  This period is of importance because of an event in 1572 – the St Bartholomew’s Day Massacre, and an event in 1588 – the Day of the Barricades and the subsequent exit from Paris of Henry III.  This thesis concerns itself with the two years prior to 1572 and two years after 1588 in order to provide context, but the two supporting frames of this investigation are those important events.  This thesis attempts to assess what effect those events had upon the printing industry in the foremost print centre of both France and Western Europe.  With the religious situation in Paris quietened was there any concrete change in the 1570s and 1580s regarding the types of books printed in Paris?  Was there any attempt to exploit this religious stability by pursuing the ‘retreating’ Protestant confession, or did the majority of printers turn away from confessional arguments and polemical literature?  What were the markets for Paris books: were they predominantly local or international?  The method by which these questions have been addressed is with a bibliometric analysis of the output of the Paris print shops.  This statistical approach allows one to address the entire corpus of a city’s output and allows both broad surveys of the data in terms of categorisation of print, but also narrower studies of individual printers and their output.  As such this approach allows the printing industry of Paris to be surveyed and analysed in a way that would otherwise be impossible.  This statistical approach also allows the books to be seen as an economic item of industrial production instead of purely a culture item of artistic creation.  This approach enhances rather than reduces the significance of a book’s cultural importance as it allows the researcher to fully appreciate the achievement and investment of both finance and time that was necessary for the completion of a well printed book.</description>
    <dc:date>2011-06-23T00:00:00Z</dc:date>
    <dc:creator>John, Philip Owen</dc:creator>
    <dc:description>This thesis is an examination of the printing industry in Paris between 1570 and 1590.  These years represent a relatively under-researched period in the history of Parisian print.  This period is of importance because of an event in 1572 – the St Bartholomew’s Day Massacre, and an event in 1588 – the Day of the Barricades and the subsequent exit from Paris of Henry III.  This thesis concerns itself with the two years prior to 1572 and two years after 1588 in order to provide context, but the two supporting frames of this investigation are those important events.  This thesis attempts to assess what effect those events had upon the printing industry in the foremost print centre of both France and Western Europe.  With the religious situation in Paris quietened was there any concrete change in the 1570s and 1580s regarding the types of books printed in Paris?  Was there any attempt to exploit this religious stability by pursuing the ‘retreating’ Protestant confession, or did the majority of printers turn away from confessional arguments and polemical literature?  What were the markets for Paris books: were they predominantly local or international?  The method by which these questions have been addressed is with a bibliometric analysis of the output of the Paris print shops.  This statistical approach allows one to address the entire corpus of a city’s output and allows both broad surveys of the data in terms of categorisation of print, but also narrower studies of individual printers and their output.  As such this approach allows the printing industry of Paris to be surveyed and analysed in a way that would otherwise be impossible.  This statistical approach also allows the books to be seen as an economic item of industrial production instead of purely a culture item of artistic creation.  This approach enhances rather than reduces the significance of a book’s cultural importance as it allows the researcher to fully appreciate the achievement and investment of both finance and time that was necessary for the completion of a well printed book.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/1914">
    <title>Family, ambition and service : the French nobility and the emergence of the standing army, c. 1598-1635</title>
    <link>http://hdl.handle.net/10023/1914</link>
    <description>Abstract: This thesis will contend that a permanent body of military force under royal command, a ‘standing army’, arose during the first three decades of the seventeenth century in France. Such a development constituted a transformation in the nature of the monarchy’s armed forces. It was achieved by encouraging elements of the French nobility to become long-term office-holders within royal military institutions. Those members of the nobility who joined the standing army were not coerced into doing so by the crown, but joined the new body of force because it provided them with a means of achieving one of the fundamental ambitions of the French nobility: social advancement for their family.The first four chapters of this thesis thus look at how the standing army emerged via the entrenchment of a system of permanent infantry regiments within France. They look at how certain families, particularly from the lower and middling nobility, attempted to monopolise offices within the regiments due to the social benefits they conferred. Some of the consequences that arose from the army becoming an institution in which ‘careers’ could be pursued, such as promotion and venality, will be examined, as will how elements of the the nobility were vital to the expansion of the standing army beyond its initial core of units. Chapters Five and Six will investigate how the emergence of this new type of force affected the most powerful noblemen of the realm, the grands. In particular, it will focus on those grands who held the prestigious supra-regimental military offices of Constable and Colonel General of the Infantry. The thesis concludes that the emergence of the standing army helped to alter considerably the relationship between the monarchy and the nobility by the end of the period in question. A more monarchy-centred army and state had begun to emerge in France by the late 1620s; a polity which might be dubbed the early ‘absolute monarchy’. However, such a state of affairs had only arisen due to the considerable concessions that the monarchy had made to the ambitions of certain elements of the nobility.</description>
    <dc:date>2011-06-01T00:00:00Z</dc:date>
    <dc:creator>Thomas, Daniel</dc:creator>
    <dc:description>This thesis will contend that a permanent body of military force under royal command, a ‘standing army’, arose during the first three decades of the seventeenth century in France. Such a development constituted a transformation in the nature of the monarchy’s armed forces. It was achieved by encouraging elements of the French nobility to become long-term office-holders within royal military institutions. Those members of the nobility who joined the standing army were not coerced into doing so by the crown, but joined the new body of force because it provided them with a means of achieving one of the fundamental ambitions of the French nobility: social advancement for their family.The first four chapters of this thesis thus look at how the standing army emerged via the entrenchment of a system of permanent infantry regiments within France. They look at how certain families, particularly from the lower and middling nobility, attempted to monopolise offices within the regiments due to the social benefits they conferred. Some of the consequences that arose from the army becoming an institution in which ‘careers’ could be pursued, such as promotion and venality, will be examined, as will how elements of the the nobility were vital to the expansion of the standing army beyond its initial core of units. Chapters Five and Six will investigate how the emergence of this new type of force affected the most powerful noblemen of the realm, the grands. In particular, it will focus on those grands who held the prestigious supra-regimental military offices of Constable and Colonel General of the Infantry. The thesis concludes that the emergence of the standing army helped to alter considerably the relationship between the monarchy and the nobility by the end of the period in question. A more monarchy-centred army and state had begun to emerge in France by the late 1620s; a polity which might be dubbed the early ‘absolute monarchy’. However, such a state of affairs had only arisen due to the considerable concessions that the monarchy had made to the ambitions of certain elements of the nobility.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/1884">
    <title>Culture from the midnight hour : a critical reassessment of the black power movement in twentieth century America</title>
    <link>http://hdl.handle.net/10023/1884</link>
    <description>Abstract: The thesis seeks to develop a more sophisticated view of the black power movement in&#xD;
twentieth century America by analysing the movement’s cultural legacy. The rise, maturation&#xD;
and decline of black power as a political force had a significant impact on American culture,&#xD;
black and white, yet to be substantively analysed.&#xD;
The thesis argues that while the black power movement was not exclusively cultural it&#xD;
was essentially cultural. It was a revolt in and of culture that was manifested in a variety of&#xD;
forms, with black and white culture providing an index to the black and white world view. This&#xD;
independent black culture base provided cohesion to a movement otherwise severely lacking&#xD;
focus and structural support for the movement’s political and economic endeavours. Each&#xD;
chapter in the PhD acts as a step toward understanding black power as an adaptive cultural term&#xD;
which served to connect and illuminate the differing ideological orientations of movement&#xD;
supporters and explores the implications of this. In this manner, it becomes possible to&#xD;
conceptualise the black power movement as something beyond a cacophony of voices which&#xD;
achieved few tangible gains for African-Americans and to move the discussion beyond&#xD;
traditional historiographical perspectives which focus upon the politics and violence of the&#xD;
movement.&#xD;
Viewing the movement from a cultural perspective places language, folk culture, film,&#xD;
sport, religion and the literary and performing arts in a central historical context which served to&#xD;
spread black power philosophy further than political invective. By demonstrating how culture&#xD;
served to broaden the appeal and facilitate the acceptance of black power tenets it is possible to&#xD;
argue that the use of cultural forms of advocation to advance black power ideologies contributed&#xD;
significantly to making the movement a lasting influence in American culture – one whose&#xD;
impact could be discerned long after its exclusively political agenda had disintegrated.</description>
    <dc:date>2011-06-23T00:00:00Z</dc:date>
    <dc:creator>Torrubia, Rafael</dc:creator>
    <dc:description>The thesis seeks to develop a more sophisticated view of the black power movement in&#xD;
twentieth century America by analysing the movement’s cultural legacy. The rise, maturation&#xD;
and decline of black power as a political force had a significant impact on American culture,&#xD;
black and white, yet to be substantively analysed.&#xD;
The thesis argues that while the black power movement was not exclusively cultural it&#xD;
was essentially cultural. It was a revolt in and of culture that was manifested in a variety of&#xD;
forms, with black and white culture providing an index to the black and white world view. This&#xD;
independent black culture base provided cohesion to a movement otherwise severely lacking&#xD;
focus and structural support for the movement’s political and economic endeavours. Each&#xD;
chapter in the PhD acts as a step toward understanding black power as an adaptive cultural term&#xD;
which served to connect and illuminate the differing ideological orientations of movement&#xD;
supporters and explores the implications of this. In this manner, it becomes possible to&#xD;
conceptualise the black power movement as something beyond a cacophony of voices which&#xD;
achieved few tangible gains for African-Americans and to move the discussion beyond&#xD;
traditional historiographical perspectives which focus upon the politics and violence of the&#xD;
movement.&#xD;
Viewing the movement from a cultural perspective places language, folk culture, film,&#xD;
sport, religion and the literary and performing arts in a central historical context which served to&#xD;
spread black power philosophy further than political invective. By demonstrating how culture&#xD;
served to broaden the appeal and facilitate the acceptance of black power tenets it is possible to&#xD;
argue that the use of cultural forms of advocation to advance black power ideologies contributed&#xD;
significantly to making the movement a lasting influence in American culture – one whose&#xD;
impact could be discerned long after its exclusively political agenda had disintegrated.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/903">
    <title>The mobilisation and transmission of memories within the Pied-Noir and Harki communities, 1962-2007</title>
    <link>http://hdl.handle.net/10023/903</link>
    <description>Abstract: Focusing on the legacies of the Algerian War of Independence (1954-62), this thesis challenges the perception that this was the ‘war without a name’ by exploring the ways in which memories have been preserved, mobilised, and transmitted by those who experienced the conflict, but who have generally operated under the radar of public consciousness. In particular, it examines the pieds-noirs, the former European settlers of Algeria, and the harkis, Algerians who fought for the French as auxiliaries during the war. Finding their lives in Algeria untenable upon independence, both populations migrated en masse to France where they have organised collectively as diaspora communities to challenge the hegemony of official narratives in order to legitimate their own interpretations of this contentious past. The purpose of such an investigation is to re-evaluate the conventional historical periodisation of a ‘forgotten’ war that made a dramatic return to public attention during the 1990s by revealing a continual presence of memory and commemorative activity within these communities. Through consultation of a wide range of sources, including extensive use of previously neglected audiovisual material, the historical recollections of these two communities are reconstructed in detail and examined from a comparative perspective. This thesis also seeks to analyse and historicize the present guerres de mémoire phenomenon whereby as the public profile of the war has risen in recent years, the different historical interpretations held by groups such as the pieds-noirs and harkis have increasingly come into open conflict, particularly over the issue of commemoration with each seeking to see their version of the past enshrined in official rituals and monuments. Finally, the thesis offers new historical context intended to contribute to enhancing understanding of the ongoing process by which France continues to ‘face up’ to its colonial past and deal with the complex contemporary legacies of this era.</description>
    <dc:date>2010-06-01T00:00:00Z</dc:date>
    <dc:creator>Eldridge, Claire</dc:creator>
    <dc:description>Focusing on the legacies of the Algerian War of Independence (1954-62), this thesis challenges the perception that this was the ‘war without a name’ by exploring the ways in which memories have been preserved, mobilised, and transmitted by those who experienced the conflict, but who have generally operated under the radar of public consciousness. In particular, it examines the pieds-noirs, the former European settlers of Algeria, and the harkis, Algerians who fought for the French as auxiliaries during the war. Finding their lives in Algeria untenable upon independence, both populations migrated en masse to France where they have organised collectively as diaspora communities to challenge the hegemony of official narratives in order to legitimate their own interpretations of this contentious past. The purpose of such an investigation is to re-evaluate the conventional historical periodisation of a ‘forgotten’ war that made a dramatic return to public attention during the 1990s by revealing a continual presence of memory and commemorative activity within these communities. Through consultation of a wide range of sources, including extensive use of previously neglected audiovisual material, the historical recollections of these two communities are reconstructed in detail and examined from a comparative perspective. This thesis also seeks to analyse and historicize the present guerres de mémoire phenomenon whereby as the public profile of the war has risen in recent years, the different historical interpretations held by groups such as the pieds-noirs and harkis have increasingly come into open conflict, particularly over the issue of commemoration with each seeking to see their version of the past enshrined in official rituals and monuments. Finally, the thesis offers new historical context intended to contribute to enhancing understanding of the ongoing process by which France continues to ‘face up’ to its colonial past and deal with the complex contemporary legacies of this era.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/770">
    <title>Wordmongers : post-medieval scribal culture and the case of Sighvatur Grímsson</title>
    <link>http://hdl.handle.net/10023/770</link>
    <description>Abstract: The subject matter of this thesis is manuscript and scribal culture in the age of print. Its first part&#xD;
explores the flourishing scholarship of post-medieval scribal culture in Europe and beyond over the&#xD;
past 25-30 years, as well as recent trends and turns in the historiography of printing and of literacy.&#xD;
These studies make a strong case for a radical revision of how these fundamental cultural phenomena&#xD;
should be viewed. As a part of the so-called cultural turn and postmodernist revisionism of the 1980s&#xD;
and 1990s, the new trend has been to reject the dichotomies of manuscript versus print and of literacy&#xD;
versus illiteracy in favour of more ambiguous and complex images where multiple media and modes&#xD;
of transmission and reception coexist and interact with each other.&#xD;
The second part of the thesis deals with literary culture in nineteenth-century Iceland: both the general&#xD;
framework of the production, dissemination and consumption of texts, and the individual case of the&#xD;
farmer, fisherman and scribe Sighvatur Grímsson (1840-1930) and his cultural surroundings.&#xD;
Focussing on Sighvatur’s life between 1840 and 1873, the thesis presents an argument about the&#xD;
function of the scribal medium within a poor, rural, and de-institutionalized society.&#xD;
Central to the theoretical framework is a microhistorical approach and the juxtaposition of both narrow&#xD;
and wide scope, zooming from one individual protagonist out to his local surroundings and&#xD;
communities and further out to Icelandic scribal and literary culture as a whole. The scope of the thesis&#xD;
can be described in terms of four concentric circles: the individual, his intimate community, Icelandic&#xD;
society, and the wider European and global context during the ‘post-Gutenbergian era’.</description>
    <dc:date>2009-01-01T00:00:00Z</dc:date>
    <dc:creator>Ólafsson, Davíð</dc:creator>
    <dc:description>The subject matter of this thesis is manuscript and scribal culture in the age of print. Its first part&#xD;
explores the flourishing scholarship of post-medieval scribal culture in Europe and beyond over the&#xD;
past 25-30 years, as well as recent trends and turns in the historiography of printing and of literacy.&#xD;
These studies make a strong case for a radical revision of how these fundamental cultural phenomena&#xD;
should be viewed. As a part of the so-called cultural turn and postmodernist revisionism of the 1980s&#xD;
and 1990s, the new trend has been to reject the dichotomies of manuscript versus print and of literacy&#xD;
versus illiteracy in favour of more ambiguous and complex images where multiple media and modes&#xD;
of transmission and reception coexist and interact with each other.&#xD;
The second part of the thesis deals with literary culture in nineteenth-century Iceland: both the general&#xD;
framework of the production, dissemination and consumption of texts, and the individual case of the&#xD;
farmer, fisherman and scribe Sighvatur Grímsson (1840-1930) and his cultural surroundings.&#xD;
Focussing on Sighvatur’s life between 1840 and 1873, the thesis presents an argument about the&#xD;
function of the scribal medium within a poor, rural, and de-institutionalized society.&#xD;
Central to the theoretical framework is a microhistorical approach and the juxtaposition of both narrow&#xD;
and wide scope, zooming from one individual protagonist out to his local surroundings and&#xD;
communities and further out to Icelandic scribal and literary culture as a whole. The scope of the thesis&#xD;
can be described in terms of four concentric circles: the individual, his intimate community, Icelandic&#xD;
society, and the wider European and global context during the ‘post-Gutenbergian era’.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/760">
    <title>The historical imagination of Christopher Dawson</title>
    <link>http://hdl.handle.net/10023/760</link>
    <description>Abstract: Christopher Dawson (1889-1970) was one of his generation's most&#xD;
important historians and religious thinkers, and was a significant&#xD;
influence on many contemporaries including T.S. Eliot, C.S. Lewis,&#xD;
and Russell Kirk. This dissertation is a study of his most&#xD;
fundamental ideas concerning history and culture.&#xD;
Chapter one examines Dawson’s sociological view of history.&#xD;
Convinced that history was more than a scientific enterprise, he&#xD;
believed that the true historian is one who reaches beyond the&#xD;
material world to understand the essence of history’s dynamics. In&#xD;
this way, the world can be conceptualized as a united whole,&#xD;
separated by regional differences as a result of environment, race,&#xD;
material, psychological, and religious factors. Dawson believed&#xD;
that the political histories of the past several centuries failed to&#xD;
grasp the undercurrents of historical change, and that the best way&#xD;
to understand the past is to appreciate culture as an expression of&#xD;
primeval religious traditions.&#xD;
Chapter two treats Dawson’s understanding of progress. Dawson&#xD;
was convinced that progress had become the “working-religion” of our&#xD;
age. This secular faith, founded on scientific rationalism, first&#xD;
pledged to fix the material failures of Western culture, but&#xD;
unwittingly eroded its faith in God, and eventually, its moral&#xD;
fiber. Dawson believed that true progress was progress of the soul&#xD;
in its ordering toward the Creator.&#xD;
Chapter three is a study of Dawson’s Christian, and more&#xD;
specifically, his Catholic beliefs. Informed by religion, his&#xD;
historical and cultural visions are not dogmatic, nor are they&#xD;
polemical. He conceived of history as the unfolding of a divine&#xD;
economy in the temporal world. Although Dawson is a proponent of&#xD;
Roman Catholicism, his scholarship is an objective treatment of&#xD;
history shaped by an undisguised, Christian worldview.&#xD;
Additionally, the appendix is an introduction to Dawson’s life&#xD;
and the circumstances surrounding his conversion to Roman&#xD;
Catholicism. Particular attention is paid to the development of his&#xD;
moral and historical imagination — both of which became intertwined to&#xD;
form the basis of all of his scholarship.</description>
    <dc:date>2008-11-01T00:00:00Z</dc:date>
    <dc:creator>Sproviero, Glen A.</dc:creator>
    <dc:description>Christopher Dawson (1889-1970) was one of his generation's most&#xD;
important historians and religious thinkers, and was a significant&#xD;
influence on many contemporaries including T.S. Eliot, C.S. Lewis,&#xD;
and Russell Kirk. This dissertation is a study of his most&#xD;
fundamental ideas concerning history and culture.&#xD;
Chapter one examines Dawson’s sociological view of history.&#xD;
Convinced that history was more than a scientific enterprise, he&#xD;
believed that the true historian is one who reaches beyond the&#xD;
material world to understand the essence of history’s dynamics. In&#xD;
this way, the world can be conceptualized as a united whole,&#xD;
separated by regional differences as a result of environment, race,&#xD;
material, psychological, and religious factors. Dawson believed&#xD;
that the political histories of the past several centuries failed to&#xD;
grasp the undercurrents of historical change, and that the best way&#xD;
to understand the past is to appreciate culture as an expression of&#xD;
primeval religious traditions.&#xD;
Chapter two treats Dawson’s understanding of progress. Dawson&#xD;
was convinced that progress had become the “working-religion” of our&#xD;
age. This secular faith, founded on scientific rationalism, first&#xD;
pledged to fix the material failures of Western culture, but&#xD;
unwittingly eroded its faith in God, and eventually, its moral&#xD;
fiber. Dawson believed that true progress was progress of the soul&#xD;
in its ordering toward the Creator.&#xD;
Chapter three is a study of Dawson’s Christian, and more&#xD;
specifically, his Catholic beliefs. Informed by religion, his&#xD;
historical and cultural visions are not dogmatic, nor are they&#xD;
polemical. He conceived of history as the unfolding of a divine&#xD;
economy in the temporal world. Although Dawson is a proponent of&#xD;
Roman Catholicism, his scholarship is an objective treatment of&#xD;
history shaped by an undisguised, Christian worldview.&#xD;
Additionally, the appendix is an introduction to Dawson’s life&#xD;
and the circumstances surrounding his conversion to Roman&#xD;
Catholicism. Particular attention is paid to the development of his&#xD;
moral and historical imagination — both of which became intertwined to&#xD;
form the basis of all of his scholarship.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/712">
    <title>French military occupations of Lorraine and Savoie, 1670-1714</title>
    <link>http://hdl.handle.net/10023/712</link>
    <description>Abstract: Lorraine and Savoie were both occupied twice by French armies during the personal rule of Louis XIV.  Lorraine was initially invaded and occupied in 1670 to support the French strategic and logistic position in the Dutch War, yet due to political expediency this developed into a policy of outright annexation.  The French relinquished Lorraine due to international pressures in 1697, but partially reoccupied it from 1702 to 1714, again as a result of strategic and logistical necessity.  Savoie was occupied from 1690 to 1696 and again from 1703 to 1713 as a response to successive breakdowns in Franco-Savoyard relations, and to guarantee the south-eastern frontier of the kingdom.&#xD;
&#xD;
There was no pre-conceived or uniform policy practiced by the French when it came to the occupations of these territories, and these instead developed on the basis of events and pressures that were often beyond the control of the French government.  In essence, the principal French approach to occupied territories was paternalistic, their main priority being to uphold Louis’s newly-asserted sovereignty and pay the costs of the occupation while impressing upon the local elites the benefits of collaboration and the pitfalls of continued loyalty to their old ruler.  The French became more sophisticated generally towards occupied territories as the reign progressed, at least as far as circumstances allowed.  In sum, the key variables that influenced how the French handled these lands, other than time and place, were security issues, local loyalties, and the expectation of either retention by France or restitution to the original sovereign.</description>
    <dc:date>2009-06-25T00:00:00Z</dc:date>
    <dc:creator>McCluskey, Phil</dc:creator>
    <dc:description>Lorraine and Savoie were both occupied twice by French armies during the personal rule of Louis XIV.  Lorraine was initially invaded and occupied in 1670 to support the French strategic and logistic position in the Dutch War, yet due to political expediency this developed into a policy of outright annexation.  The French relinquished Lorraine due to international pressures in 1697, but partially reoccupied it from 1702 to 1714, again as a result of strategic and logistical necessity.  Savoie was occupied from 1690 to 1696 and again from 1703 to 1713 as a response to successive breakdowns in Franco-Savoyard relations, and to guarantee the south-eastern frontier of the kingdom.&#xD;
&#xD;
There was no pre-conceived or uniform policy practiced by the French when it came to the occupations of these territories, and these instead developed on the basis of events and pressures that were often beyond the control of the French government.  In essence, the principal French approach to occupied territories was paternalistic, their main priority being to uphold Louis’s newly-asserted sovereignty and pay the costs of the occupation while impressing upon the local elites the benefits of collaboration and the pitfalls of continued loyalty to their old ruler.  The French became more sophisticated generally towards occupied territories as the reign progressed, at least as far as circumstances allowed.  In sum, the key variables that influenced how the French handled these lands, other than time and place, were security issues, local loyalties, and the expectation of either retention by France or restitution to the original sovereign.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/641">
    <title>William Cecil and the British succession crisis of the 1560s</title>
    <link>http://hdl.handle.net/10023/641</link>
    <description>Abstract: 'William Cecil and the British succession crisis of the 1560s' reconsiders the nature of the early Elizabethan polity and Cecil's place in it. Conventional historiography maintains that as principal secretary Cecil was a moderate, cautious, and religiously neutral politician, content to follow Elizabeth I's direction in policy. More recently, Professors Patrick Collinson and John Guy have challenged this interpretation of the Elizabethan polity. Based on a thorough survey of the archives, my thesis explores Cecil's political creed in the 1560s. Three years of research have helped to paint a radically different picture of Cecil to the one traditionally represented: he was a councillor prepared to redefine his relationship with a monarch who refused to abide by the rules of monarchy and select a successor.&#xD;
&#xD;
The eight chapters of the thesis blend two complementary themes. First, that Elizabethan in the 1560s experienced a British succession crisis and not, as Professor Collinson has maintained, an English domestic succession crisis. And second, that the political situation in Britain and Europe - the determination of the continental catholic powers to use Mary Stuart's claim to the English throne as a weapon against protestant England - had a profound impact on the mentality of protestant Englishmen and debate in England. It persuaded Cecil to press for a pre-emptive strike against the French in Scotland (chapter two), which he defended by appealing to the feudal-imperial power of the English monarch; he used the same argument to justify the 'first trial' of Mary Stuart in 1568 (chapter seven). In this British context, Elizabeth's refusal to secure England's future led to parliamentary action in 1563 and a Cecil plan for interregnum by privy council in the event of Elizabeth's death, twenty-two years before its re-emergence in 1585 (chapter four). The régime could not find a diplomatic solution to the marriage between Mary and Lord Darnley in 1565 (chapter five): parliament debated the succession in 1566 and Cecil disobeyed the queen by pressing for a settlement (chapter six). Cecil's approach to the crisis was innovative, and his political creed is profoundly important to any assessment of politics in Elizabeth I's reign.</description>
    <dc:date>1997-01-01T00:00:00Z</dc:date>
    <dc:creator>Alford, Stephen</dc:creator>
    <dc:description>'William Cecil and the British succession crisis of the 1560s' reconsiders the nature of the early Elizabethan polity and Cecil's place in it. Conventional historiography maintains that as principal secretary Cecil was a moderate, cautious, and religiously neutral politician, content to follow Elizabeth I's direction in policy. More recently, Professors Patrick Collinson and John Guy have challenged this interpretation of the Elizabethan polity. Based on a thorough survey of the archives, my thesis explores Cecil's political creed in the 1560s. Three years of research have helped to paint a radically different picture of Cecil to the one traditionally represented: he was a councillor prepared to redefine his relationship with a monarch who refused to abide by the rules of monarchy and select a successor.&#xD;
&#xD;
The eight chapters of the thesis blend two complementary themes. First, that Elizabethan in the 1560s experienced a British succession crisis and not, as Professor Collinson has maintained, an English domestic succession crisis. And second, that the political situation in Britain and Europe - the determination of the continental catholic powers to use Mary Stuart's claim to the English throne as a weapon against protestant England - had a profound impact on the mentality of protestant Englishmen and debate in England. It persuaded Cecil to press for a pre-emptive strike against the French in Scotland (chapter two), which he defended by appealing to the feudal-imperial power of the English monarch; he used the same argument to justify the 'first trial' of Mary Stuart in 1568 (chapter seven). In this British context, Elizabeth's refusal to secure England's future led to parliamentary action in 1563 and a Cecil plan for interregnum by privy council in the event of Elizabeth's death, twenty-two years before its re-emergence in 1585 (chapter four). The régime could not find a diplomatic solution to the marriage between Mary and Lord Darnley in 1565 (chapter five): parliament debated the succession in 1566 and Cecil disobeyed the queen by pressing for a settlement (chapter six). Cecil's approach to the crisis was innovative, and his political creed is profoundly important to any assessment of politics in Elizabeth I's reign.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/562">
    <title>Hydroelectricity and landscape protection in the Highlands of Scotland, 1919 - 1980</title>
    <link>http://hdl.handle.net/10023/562</link>
    <description>Abstract: This thesis employs twentieth-century hydroelectric development ventures in the Highlands of Scotland as a means of exploring conflicting demands of socio-economic development and landscape protection in cherished places.&#xD;
&#xD;
In Scotland, twentieth-century landscape protection ideals were founded upon a landscape aesthetic shaped by the principles and objectives of eighteenth- and nineteenth-century Romanticism.  The concept that the ‘natural’ world somehow existed separately from the world of humans, as a potential refuge from a rapidly industrialising European society, meant that the Romantic landscape aesthetic left little or no room for the incorporation of visible elements of industrialisation.  This aesthetic has seen only limited change over time.  As a result, satisfactory compromises between land-use and landscape protection have seldom been reached: a situation thrown into sharp relief by efforts to develop Highland water systems for the generation of hydroelectric energy during the period 1919 to 1980.  &#xD;
&#xD;
The debate over hydroelectric development in the Highlands is instructive for a number of reasons, not least its parallels with the current focus on the placement of wind turbines in significant landscapes.  Thanks to the Romantic legacy, attempts to modify landscapes as valued as those of the Highlands are fraught with complexity, even when development is undertaken in the interests of socio-economic enhancement.  The thesis outlines the progression of both sides of the argument, assesses the significance of the compromises attempted and evaluates the lessons learned from nearly six decades of policymaking initiatives in this sphere.  Core aesthetic ideals broadened, but did not change.  Landscape protection progressed on the basis of protectionists’ ability to adjust the focus of their opposition; increased articulation of the idea of the collective ownership of important landscapes superseded the need to confront the viability of entrenched aesthetic orthodoxies.</description>
    <dc:date>2008-06-01T00:00:00Z</dc:date>
    <dc:creator>Payne, Jill</dc:creator>
    <dc:description>This thesis employs twentieth-century hydroelectric development ventures in the Highlands of Scotland as a means of exploring conflicting demands of socio-economic development and landscape protection in cherished places.&#xD;
&#xD;
In Scotland, twentieth-century landscape protection ideals were founded upon a landscape aesthetic shaped by the principles and objectives of eighteenth- and nineteenth-century Romanticism.  The concept that the ‘natural’ world somehow existed separately from the world of humans, as a potential refuge from a rapidly industrialising European society, meant that the Romantic landscape aesthetic left little or no room for the incorporation of visible elements of industrialisation.  This aesthetic has seen only limited change over time.  As a result, satisfactory compromises between land-use and landscape protection have seldom been reached: a situation thrown into sharp relief by efforts to develop Highland water systems for the generation of hydroelectric energy during the period 1919 to 1980.  &#xD;
&#xD;
The debate over hydroelectric development in the Highlands is instructive for a number of reasons, not least its parallels with the current focus on the placement of wind turbines in significant landscapes.  Thanks to the Romantic legacy, attempts to modify landscapes as valued as those of the Highlands are fraught with complexity, even when development is undertaken in the interests of socio-economic enhancement.  The thesis outlines the progression of both sides of the argument, assesses the significance of the compromises attempted and evaluates the lessons learned from nearly six decades of policymaking initiatives in this sphere.  Core aesthetic ideals broadened, but did not change.  Landscape protection progressed on the basis of protectionists’ ability to adjust the focus of their opposition; increased articulation of the idea of the collective ownership of important landscapes superseded the need to confront the viability of entrenched aesthetic orthodoxies.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/558">
    <title>Panic over the pub : drink and the First World War</title>
    <link>http://hdl.handle.net/10023/558</link>
    <description>Abstract: My Ph.D thesis, Panic over the Pub: Drink and the First World War, considers the causes, consequences and control of popular drinking behaviour and how broader currents of social debate affected the perception of the alleged alcohol problem during the First World War, shedding new light upon government inclinations towards state control during the conflict. Within current historiography there is a consummate lack of understanding concerning the formation of opinion on the drink problem ‘from below’ and its effect upon the ‘high politics’ of the decision making procedure. My thesis considers how ‘drink’ and ‘leisure’ became increasingly contentious and a domestic problem due principally to established fears concerning working class behaviour and military failures on the Western Front. My thesis argues that moral panic, rather than factual certainties, dictated attitudes to drinking in Britain during the war. An investigation of the Central Control Board, a government body established to deal specifically with the drink problem in the exigencies of conflict, constitutes the central core of my thesis, together with an assessment of the role of Lord D’Abernon, Chairman of this organisation.</description>
    <dc:date>2008-11-01T00:00:00Z</dc:date>
    <dc:creator>Duncan, Robert R G</dc:creator>
    <dc:description>My Ph.D thesis, Panic over the Pub: Drink and the First World War, considers the causes, consequences and control of popular drinking behaviour and how broader currents of social debate affected the perception of the alleged alcohol problem during the First World War, shedding new light upon government inclinations towards state control during the conflict. Within current historiography there is a consummate lack of understanding concerning the formation of opinion on the drink problem ‘from below’ and its effect upon the ‘high politics’ of the decision making procedure. My thesis considers how ‘drink’ and ‘leisure’ became increasingly contentious and a domestic problem due principally to established fears concerning working class behaviour and military failures on the Western Front. My thesis argues that moral panic, rather than factual certainties, dictated attitudes to drinking in Britain during the war. An investigation of the Central Control Board, a government body established to deal specifically with the drink problem in the exigencies of conflict, constitutes the central core of my thesis, together with an assessment of the role of Lord D’Abernon, Chairman of this organisation.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/517">
    <title>A prophet of interior Lutheranism : the correspondence of Johann Arndt</title>
    <link>http://hdl.handle.net/10023/517</link>
    <description>Abstract: For over four hundred years historians and theologians have been unable to come to a consensus as to where Johann Arndt (1555-1621) fits on the spectrum of orthodoxy in the Lutheran church, what age he best represented, and how he should be understood.  Arndt has been credited with reviving medieval mysticism, as being a subversive innovator within the Lutheran church, and as being the father of Pietism.  All of this confusion seems to come from the variegated nature of his work.  Arndt was willing and able to borrow from a variety of traditions as he sought to revive the church of the Reformation on the eve of the Thirty Years’ War.  This work is an investigation into the private world of Arndt through his correspondence as he wrote to individuals with varying theological temperaments.  In a sense this thesis follows the pioneering work of Friedrich Arndt, who attempted in 1838 to investigate Arndt’s self-understanding on the basis of his correspondence; his work, however, was severely limited by the fact that only ten letters were known at the time.  The Verzeichnis der gedruckten Briefe deutscher Autoren des 17. Jahrhunderts published in 2002 listed twenty-three known letters of Arndt.  For my research and using the footnotes and appendices of secondary literature on Arndt and with help from the Forschungsbibliothek in Gotha, I have collected fifty-two letters written by Arndt.  This work is the first to treat the letters exhaustively and proposes to present a fuller biographical picture of Arndt and to explore his self-understanding as a prophet of spiritual renewal in the Lutheran church.</description>
    <dc:date>2008-06-26T00:00:00Z</dc:date>
    <dc:creator>van Voorhis, Daniel R.</dc:creator>
    <dc:description>For over four hundred years historians and theologians have been unable to come to a consensus as to where Johann Arndt (1555-1621) fits on the spectrum of orthodoxy in the Lutheran church, what age he best represented, and how he should be understood.  Arndt has been credited with reviving medieval mysticism, as being a subversive innovator within the Lutheran church, and as being the father of Pietism.  All of this confusion seems to come from the variegated nature of his work.  Arndt was willing and able to borrow from a variety of traditions as he sought to revive the church of the Reformation on the eve of the Thirty Years’ War.  This work is an investigation into the private world of Arndt through his correspondence as he wrote to individuals with varying theological temperaments.  In a sense this thesis follows the pioneering work of Friedrich Arndt, who attempted in 1838 to investigate Arndt’s self-understanding on the basis of his correspondence; his work, however, was severely limited by the fact that only ten letters were known at the time.  The Verzeichnis der gedruckten Briefe deutscher Autoren des 17. Jahrhunderts published in 2002 listed twenty-three known letters of Arndt.  For my research and using the footnotes and appendices of secondary literature on Arndt and with help from the Forschungsbibliothek in Gotha, I have collected fifty-two letters written by Arndt.  This work is the first to treat the letters exhaustively and proposes to present a fuller biographical picture of Arndt and to explore his self-understanding as a prophet of spiritual renewal in the Lutheran church.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/472">
    <title>Shipbuilding and timber management in the Royal Dockyards 1750-1850 : an archaeological investigation of timber marks</title>
    <link>http://hdl.handle.net/10023/472</link>
    <description>Abstract: This work presents a study of shipbuilding and timber management in the Royal Dockyards in the period 1750 – 1850, focusing on an archaeological investigation of ship timber marks. The first chapter outlines the concept of timber marking in shipbuilding contexts, stressing the multi-disciplinary approach to the study highlighted in the available archaeological and documentary evidence by which the practice of timber marking can be understood.&#xD;
Chapter two outlines the background to timber marking in the Georgian era and the development of the practice within the broader advances made in shipbuilding, technology and design prior to the end of the 17th century. Chapter three outlines the developments in shipbuilding and the introduction of systems to control and&#xD;
standardise the management of timber in the Royal Dockyards in the 18th century. In the latter half of the 18th century we will see the attempts of naval reformers to develop these systems of timber management and pave the way for the sweeping changes made at the beginning of the 19th century. Chapter four highlights these changes with the introduction of the Timber Masters and looks at the nature of timber&#xD;
management and the marking of timbers as identified in documentary sources. This evidence lays the foundation for the understanding of timber marking in the 19th century as witnessed in the archaeological record. The remaining chapters present the&#xD;
much more extensive archaeological evidence for timber marking among several high profile assemblages. The main assemblages presented in Chapters 5 to 9 show the diversity of timber marking practices and how they relate to the working processes of the Royal Dockyards.&#xD;
The research offers new insights into the understanding of shipbuilding and the management of timber in the Royal Dockyards between 1750 and 1850 and explores the possibilities for further avenues of study.</description>
    <dc:date>2007-01-01T00:00:00Z</dc:date>
    <dc:creator>Atkinson, Daniel Edward</dc:creator>
    <dc:description>This work presents a study of shipbuilding and timber management in the Royal Dockyards in the period 1750 – 1850, focusing on an archaeological investigation of ship timber marks. The first chapter outlines the concept of timber marking in shipbuilding contexts, stressing the multi-disciplinary approach to the study highlighted in the available archaeological and documentary evidence by which the practice of timber marking can be understood.&#xD;
Chapter two outlines the background to timber marking in the Georgian era and the development of the practice within the broader advances made in shipbuilding, technology and design prior to the end of the 17th century. Chapter three outlines the developments in shipbuilding and the introduction of systems to control and&#xD;
standardise the management of timber in the Royal Dockyards in the 18th century. In the latter half of the 18th century we will see the attempts of naval reformers to develop these systems of timber management and pave the way for the sweeping changes made at the beginning of the 19th century. Chapter four highlights these changes with the introduction of the Timber Masters and looks at the nature of timber&#xD;
management and the marking of timbers as identified in documentary sources. This evidence lays the foundation for the understanding of timber marking in the 19th century as witnessed in the archaeological record. The remaining chapters present the&#xD;
much more extensive archaeological evidence for timber marking among several high profile assemblages. The main assemblages presented in Chapters 5 to 9 show the diversity of timber marking practices and how they relate to the working processes of the Royal Dockyards.&#xD;
The research offers new insights into the understanding of shipbuilding and the management of timber in the Royal Dockyards between 1750 and 1850 and explores the possibilities for further avenues of study.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/463">
    <title>French royal acts printed before 1601</title>
    <link>http://hdl.handle.net/10023/463</link>
    <description>Abstract: This thesis is a study of royal acts printed in French before 1601.  The kingdom of France is a natural place to begin a study of royal acts.  It possessed one of the oldest judicial systems in Europe, which had been established during the reign of St Louis (1226-1270).  By the sixteenth century, French kings were able to issue royal acts without any concern as to the distribution of their decrees.  In addition, France was one of the leading printing centres in Europe.  This research provides the first detailed analysis of this neglected category of texts, and examines the acts’ significance in French legal, political and printing culture.&#xD;
The analysis of royal acts reveals three key historical practices regarding the role of printing in judiciary matters and public affairs.  The first is how the French crown communicated to the public.  Chapters one and two discuss the royal process of dissemination of edicts and the language of royal acts.  The second is how printers and publishers manoeuvred between the large number of royal promulgations and public demand.  An overview of the printing industry of royal acts is provided in chapter three and the printers of these official documents are covered in chapter four.  The study of royal acts also indicates which edicts were published frequently.  The last two chapters examine the content of royal decrees and discuss the most reprinted acts.  Chapter five explores the period before 1561 and the final chapter discusses the last forty years of the century.  An appendix of all royal acts printed before 1601, which is the basis of my research for this study, is included.   It is the first comprehensive catalogue of its kind and contains nearly six thousand entries of surviving royal acts printed before 1601.</description>
    <dc:date>2008-06-26T00:00:00Z</dc:date>
    <dc:creator>Kim, Lauren J</dc:creator>
    <dc:description>This thesis is a study of royal acts printed in French before 1601.  The kingdom of France is a natural place to begin a study of royal acts.  It possessed one of the oldest judicial systems in Europe, which had been established during the reign of St Louis (1226-1270).  By the sixteenth century, French kings were able to issue royal acts without any concern as to the distribution of their decrees.  In addition, France was one of the leading printing centres in Europe.  This research provides the first detailed analysis of this neglected category of texts, and examines the acts’ significance in French legal, political and printing culture.&#xD;
The analysis of royal acts reveals three key historical practices regarding the role of printing in judiciary matters and public affairs.  The first is how the French crown communicated to the public.  Chapters one and two discuss the royal process of dissemination of edicts and the language of royal acts.  The second is how printers and publishers manoeuvred between the large number of royal promulgations and public demand.  An overview of the printing industry of royal acts is provided in chapter three and the printers of these official documents are covered in chapter four.  The study of royal acts also indicates which edicts were published frequently.  The last two chapters examine the content of royal decrees and discuss the most reprinted acts.  Chapter five explores the period before 1561 and the final chapter discusses the last forty years of the century.  An appendix of all royal acts printed before 1601, which is the basis of my research for this study, is included.   It is the first comprehensive catalogue of its kind and contains nearly six thousand entries of surviving royal acts printed before 1601.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/440">
    <title>Secretaries, statesmen and spies : the clerks of the Tudor Privy Council, c.1540 - c.1603</title>
    <link>http://hdl.handle.net/10023/440</link>
    <description>Abstract: This dissertation studies the office of the clerk of the Privy Council, including discussions of the office itself, and the nineteen men who held that office between its creation, in 1540, and 1603.  The dual focus on the office and officers aims to provide greater understanding of both.  Areas of study include the personal and professional backgrounds of the clerks, their careers, writings both political and personal, additional offices held and both social and financial concerns.  This covers areas as diverse as knighthoods, land grants, election to the House of Commons, political treatises and university education.  Additionally, the duties of the office, both standard and extraordinary, are discussed, as well as details regarding the creation and handling of the clerk’s primary concern, the Privy Council register.  This includes details regarding signatures, meetings with ambassadors, examination of prisoners, Council meetings, salaries and fees, and attendance rotation.  Ties between the clerks and clerkship and the Privy Council and its members are discussed throughout, as well as the role of patronage, education, foreign experience and personal motives.  This study aims to provide a greater understanding of the clerks of the Privy Council and their office, knowing that one cannot be fully understood without the other.</description>
    <dc:date>2007-01-01T00:00:00Z</dc:date>
    <dc:creator>Vaughan, Jacqueline D.</dc:creator>
    <dc:description>This dissertation studies the office of the clerk of the Privy Council, including discussions of the office itself, and the nineteen men who held that office between its creation, in 1540, and 1603.  The dual focus on the office and officers aims to provide greater understanding of both.  Areas of study include the personal and professional backgrounds of the clerks, their careers, writings both political and personal, additional offices held and both social and financial concerns.  This covers areas as diverse as knighthoods, land grants, election to the House of Commons, political treatises and university education.  Additionally, the duties of the office, both standard and extraordinary, are discussed, as well as details regarding the creation and handling of the clerk’s primary concern, the Privy Council register.  This includes details regarding signatures, meetings with ambassadors, examination of prisoners, Council meetings, salaries and fees, and attendance rotation.  Ties between the clerks and clerkship and the Privy Council and its members are discussed throughout, as well as the role of patronage, education, foreign experience and personal motives.  This study aims to provide a greater understanding of the clerks of the Privy Council and their office, knowing that one cannot be fully understood without the other.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/314">
    <title>The martyrology of Jean Crespin and the early French evangelical movement</title>
    <link>http://hdl.handle.net/10023/314</link>
    <description>Abstract: Jean Crespin's 'Histoire des vrays tesmoins' was the official martyrology of the French Reformed Church. Published in Geneva in 1554, this collection has been consistently quarried as a fundamental source for the study of the early Reformation in France. Historians and other commentators of the period 1523-1555 have made use of this collection of martyr stories as a repository of reliable first-hand evidence as to the nature and make-up of the early French evangelical movement. However, the central theme of this dissertation is that the 'Histoire' is, in fact, far from a reliable source. Written with a profoundly different sense of objectivity than twentieth-century ideals of history-writing, Crespin's collection must be used with more care and circumspection than has previously been the case. Written by a firm adherent to Calvin's nascent regime in Geneva, Crespin's collection was compiled within well-defined traditions of Christian martyrology as a pedagogical tool, which necessarily affected its authenticity as a historical souce.&#xD;
&#xD;
The eight chapters of the thesis offer a corrective evaluation of the reliability and woth of the 'Histoire' as evidence in assessing this period. Crespin's ambitions and methodology are set out, as are the traditions of history-writing within which he operated (chapter 2). Subsequent chapters show how an uncritical analysis of the 'Histoire' has distorted our view of the period of the French Reformation up to the establishment of open Calvinist churches in 1555. This is especially the case when it is shown that the edition most used by modern-day historians is, in fact, the least reliable (chapter 7). For Crespin, concurrent persecution in other parts of Europe confirmed the righteousness of the Protestant cause. Consequently, the 'Histoire' became the most international of all the Protestant martyrologies that were produced in the sixteenth century, something that is relected in chapter 6.</description>
    <dc:date>1998-03-01T00:00:00Z</dc:date>
    <dc:creator>Watson, David</dc:creator>
    <dc:description>Jean Crespin's 'Histoire des vrays tesmoins' was the official martyrology of the French Reformed Church. Published in Geneva in 1554, this collection has been consistently quarried as a fundamental source for the study of the early Reformation in France. Historians and other commentators of the period 1523-1555 have made use of this collection of martyr stories as a repository of reliable first-hand evidence as to the nature and make-up of the early French evangelical movement. However, the central theme of this dissertation is that the 'Histoire' is, in fact, far from a reliable source. Written with a profoundly different sense of objectivity than twentieth-century ideals of history-writing, Crespin's collection must be used with more care and circumspection than has previously been the case. Written by a firm adherent to Calvin's nascent regime in Geneva, Crespin's collection was compiled within well-defined traditions of Christian martyrology as a pedagogical tool, which necessarily affected its authenticity as a historical souce.&#xD;
&#xD;
The eight chapters of the thesis offer a corrective evaluation of the reliability and woth of the 'Histoire' as evidence in assessing this period. Crespin's ambitions and methodology are set out, as are the traditions of history-writing within which he operated (chapter 2). Subsequent chapters show how an uncritical analysis of the 'Histoire' has distorted our view of the period of the French Reformation up to the establishment of open Calvinist churches in 1555. This is especially the case when it is shown that the edition most used by modern-day historians is, in fact, the least reliable (chapter 7). For Crespin, concurrent persecution in other parts of Europe confirmed the righteousness of the Protestant cause. Consequently, the 'Histoire' became the most international of all the Protestant martyrologies that were produced in the sixteenth century, something that is relected in chapter 6.</dc:description>
  </item>
  <item rdf:about="http://hdl.handle.net/10023/236">
    <title>Developing French Protestant identity: the political and religious writings of Antoine de Chandieu (1534-1591)</title>
    <link>http://hdl.handle.net/10023/236</link>
    <description>Abstract: As French Protestantism emerged in the 1550s, the young community needed charismatic leaders.  The main impetus came from native pastors with strong links to Geneva.  Antoine de Chandieu was a key figure amongst these men.  His writings promoted the values of French Protestantism over three decades and provide insight into how this vulnerable community faced the challenges of the civil war years.  This study uses Chandieu’s prose and verse writings to examine how French Protestants defined themselves from the 1550s to the 1590s.  &#xD;
&#xD;
Chapter one looks at Chandieu’s life and career, placing his works in the context of the Wars of Religion.  Chapter two examines the early structural development of the French Church and the attempt to establish a system independent of that in Geneva.  Chapter three concentrates on the Conspiracy of Amboise, and the tension that developed between the political and religious concerns of the movement.  Chapters four and five explore the ways in which Chandieu engaged with perceived threats from internal and external sources.  Chapter six focuses on the shift towards meditative writing provoked by the Protestants’ losses during the later wars, whilst chapter seven highlights the continuing preoccupation with theological issues throughout Chandieu’s later years of exile. &#xD;
&#xD;
Chandieu’s career provides a personal experience of the French religious wars which underlines how French Protestantism tried to retain its independence.  This became increasingly difficult as the wars progressed, and the movement consistently returned to the refuge of Genevan influence.  Although his faith was never shaken, the sustained losses suffered by the Protestants caused Chandieu to abandon his hopes of a fully independent French Church, and to reflect deeply on the emotional torment that resulted from years of interconfessional strife.  In his works we see the French church’s struggle to find a workable group identity in the face of civil war.</description>
    <dc:date>2007-07-01T00:00:00Z</dc:date>
    <dc:creator>Barker, S. K.</dc:creator>
    <dc:description>As French Protestantism emerged in the 1550s, the young community needed charismatic leaders.  The main impetus came from native pastors with strong links to Geneva.  Antoine de Chandieu was a key figure amongst these men.  His writings promoted the values of French Protestantism over three decades and provide insight into how this vulnerable community faced the challenges of the civil war years.  This study uses Chandieu’s prose and verse writings to examine how French Protestants defined themselves from the 1550s to the 1590s.  &#xD;
&#xD;
Chapter one looks at Chandieu’s life and career, placing his works in the context of the Wars of Religion.  Chapter two examines the early structural development of the French Church and the attempt to establish a system independent of that in Geneva.  Chapter three concentrates on the Conspiracy of Amboise, and the tension that developed between the political and religious concerns of the movement.  Chapters four and five explore the ways in which Chandieu engaged with perceived threats from internal and external sources.  Chapter six focuses on the shift towards meditative writing provoked by the Protestants’ losses during the later wars, whilst chapter seven highlights the continuing preoccupation with theological issues throughout Chandieu’s later years of exile. &#xD;
&#xD;
Chandieu’s career provides a personal experience of the French religious wars which underlines how French Protestantism tried to retain its independence.  This became increasingly difficult as the wars progressed, and the movement consistently returned to the refuge of Genevan influence.  Although his faith was never shaken, the sustained losses suffered by the Protestants caused Chandieu to abandon his hopes of a fully independent French Church, and to reflect deeply on the emotional torment that resulted from years of interconfessional strife.  In his works we see the French church’s struggle to find a workable group identity in the face of civil war.</dc:description>
  </item>
</rdf:RDF>

