minimal transformationalism. Grice was proud that his system
PIROTESE ‘allowed for the most minimal transformations.” transformational grammar Philosophy of language The
most powerful of the three kinds of grammar distinguished by Chomsky. The other
two are finite-state grammar and phrasestructure grammar. Transformational
grammar is a replacement for phrase-structure grammar that (1) analyzes only
the constituents in the structure of a sentence; (2) provides a set of
phrase-structure rules that generate abstract phrase-structure representations;
(and 3) holds that the simplest sentences are produced according to these
rules. Transformational grammar provides a further set of transformational
rules to show that all complex sentences are formed from simple elements. These
rules manipulate elements and otherwise rearrange structures to give the
surface structures of sentences. Whereas phrase-structure rules only change one
symbol to another in a sentence, transformational rules show that items of a
given grammatical form can be transformed into items of a different grammatical
form. For example, they can show the transformation of negative sentences into
positive ones, question sentences into affirmative ones and passive sentences
into active ones. Transformational grammar is presented as an improvement over
other forms of grammar and provides a model to account for the ability of a
speaker to generate new sentences on the basis of limited data. “The central
idea of transformational grammar is determined by repeated application of
certain formal operations called ‘grammatical transformations’ to objects of a
more elementary sort.” Chomsky, Aspects of the Theory of Syntax
miracle,
an extraordinary event brought about by God. In the medieval understanding of
nature, objects have certain natural powers and tendencies to exercise those
powers under certain circumstances. Stones have the power to fall to the
ground, and the tendency to exercise that power when liberated from a height. A
miracle is then an extraordinary event in that it is not brought about by any
object exercising its natural powers – e.g., a liberated stone rising in the
air – but brought about directly by God. In the modern understanding of nature,
there are just events (states of objects) and laws of nature that determine
which events follow which other events. There is a law of nature that heavy
bodies when liberated fall to the ground. A miracle is then a “violation” of a
law of nature by God. We must understand by a law a principle that determines
what happens unless there is intervention from outside the natural order, and
by a “violation” such an intervention. There are then three problems in
identifying a miracle. The first is to determine whether an event of some kind,
if it occurred, would be a violation of a law of nature (beyond the natural
power of objects to bring about). To know this we must know what are the laws
of nature. The second problem is to find out whether such an event did occur on
a particular occasion. Our own memories, the testimony of witnesses, and
physical traces will be the historical evidence of this, but they can mislead.
And the evidence from what happened on other occasions that some law L is a law
of nature is evidence supporting the view that on the occasion in question L
was operative, and so there was no violation. Hume claimed that in practice
there has never been enough historical evidence for a miracle to outweigh the
latter kind of counterevidence. Finally, it must be shown that God was the
cause of the violation. For that we need grounds from natural theology for
believing that there is a God and that this is the sort of occasion on which he
is likely to intervene in nature.
misfire: used by Grice
in Meaning Revisited. Cf. Austin. “When the utterance is a misfire, the
procedure which we purport to invoke is disallowed or is botched: and our act
(marrying, etc.) is void or without effect, etc. We speak of our act as a
purported act, or perhaps an attempt, or we use such an expression as ‘went
through a form of marriaage’ by contrast with ‘married.’ If somebody issues a performative utterance, and the
utterance is classed as a misfire because the procedure invoked is not
accepted , it is presumably persons other than the speaker who do not
accept it (at least if the speaker is speaking seriously ). What would be
an ex- ample ? Consider ‘I divorce you*, said to a wife by her
husband in a Christian country, and both being Chris- tians rather than
Mohammedans. In this case it might be said, ‘nevertheless he has not
(successfully) divorced her: we admit only some other verbal or
non-verbal pro- cedure’; or even possibly ‘we (we) do not admit any
procedure at all for effecting divorce — marriage is indis- soluble’.
This may be carried so far that we reject what may be called a whole code
of procedure, e.g. the code of honour involving duelling: for example, a
challenge may be issued by ‘my seconds will call on you’, which is
equivalent to ‘ I challenge you’, and we merely shrug it off The general
position is exploited in the unhappy story of Don Quixote. Of
course, it will be evident that it is comparatively simple if we never
admit any ‘such’ procedure at all — that is, any procedure at all for
doing that sort of thing, or that procedure anyway for doing that
particular thing. But equally possible are the cases where we do
sometimes — in certain circumstances or at certain hands — accept
n n^A/'Q/1n U UlUVlfU u plUVWUiV/, ULIL
UW 111 T\llt 1 n nrttT at* amaiitvwifnnaati at* af
ULIL 111 ttllj UL1U/1 L/llCUllli3Lail\/^ KJL CIL other
hands. And here we may often be in doubt (as in 28
Horn to do things with Words the naming example
above) whether an infelicity should be brought into our present class A.
i or rather into A. 2 (or even B. i or B. 2). For example, at a party,
you say, when picking sides, ‘I pick George’: George grunts ‘I’m
not playing.’ Has George been picked? Un- doubtedly, the situation is an
unhappy one. Well, we may say, you have not picked George, whether
because there is no convention that you can pick people who aren’t
playing or because George in the circumstances is an inappropriate object
for the procedure of picking. Or on a desert island you may say to me ‘Go
and pick up wood’; and I may say 4 1 don’t take orders from you’ or
‘you’re not entitled to give me orders’ — I do not take orders from you
when you try to ‘assert your authority’ (which I might fall in with but
may not) on a desert island, as opposed to the case when you are the
captain on a ship and therefore genuinely have authority.
missum: If Grice uses psi-transmission (and
emission, when he speaks of ‘pain,’ and the decibels of the emission of a
bellow) he also uses transmission, and mission, transmissum, and missum. Grice
was out on a mission. Grice uses ‘emissor,’ but then there’s the ‘missor.’ This
is in key with modern communication theory as instituted by Shannon. The
‘missor’ ‘sends’ a ‘message’ to a recipient – or missee. But be careful, he may
miss it. In any case, it shows that e-missor is a compound of ‘ex-‘ plus
‘missor,’ so that makes sense. It transliterates Grice’s ut-terer (which
literally means ‘out-erer’). And then there’s the prolatum, from proferre,
which has the professor, as professing that p, that is. As someone said, if H.
P. Girce were to present a talk to the Oxford Philosophical Society he would
possibly call it “Messaging.” c. 1300,
"a communication transmitted via a messenger, a notice sent through some
agency," from Old French message "message,
news, tidings, embassy" (11c.), from Medieval Latin missaticum, from Latin missus "a sending away,
sending, dispatching; a throwing, hurling," noun use of past participle
of mittere "to
release, let go; send, throw" (see mission). The Latin word is glossed in Old English by ærende. Specific religious sense of
"divinely inspired communication via a prophet" (1540s) led to
transferred sense of "the broad meaning (of something)," which is
attested by 1828. To get the message "understand" is by 1960.
m’naghten: a
rule in England’s law defining legal insanity for purposes of creating a
defense to criminal liability: legal insanity is any defect of reason, due to
disease of the mind, that causes an accused criminal either not to know the
nature and quality of his act, or not to know that his act was morally or
legally wrong. Adopted in the Edward Drummond-M’Naghten case in England in
1843, the rule harks back to the responsibility test for children, which was
whether they were mature enough to know the difference between right and wrong.
The rule is alternatively viewed today as being either a test of a human
being’s general status as a moral agent or a test of when an admitted moral
agent is nonetheless excused because of either factual or moral/legal mistakes.
On the first (or status) interpretation of the rule, the insane are exempted
from criminal liability because they, like young children, lack the rational
agency essential to moral personhood. On the second (or mistake) interpretation
of the rule, the insane are exempted from criminal liability because they
instantiate the accepted moral excuses of mistake or ignorance. Refs.: H. P.
Grice and H. L. A. Hart, ‘Legal rules;’ D. F. Pears, “Motivated irrationality.”
mnemic
causation, a type of causation in which, in order to explain the
proximate cause of an organism’s behaviour, it is necessary to specify not only
the present state of the organism and the present stimuli operating upon it,
but also this or that past experience of the organism. The term was introduced
by Russell in The Analysis of Mind, and borrowed, but never returned, by Grice
for his Lockeian logical construction of personal identity or “I” in terms of
an chain of mnemonic temporary states. “Unlike Russell, I distinguish between
the mnemic and the mnemonic.”
mode of co-relation: a technical jargon, under ‘mode’ – although Grice uses ‘c’
to abbreviate it, and sometimes speaks of ‘way’ of ‘co-relation’ – but ‘mode’
was his favourite. Grice is not sure
whether ‘mode’ ‘of’ and ‘correlation’ are the appropriate terms. Grice speaks
of an associative mode of correlation – vide associatum. He also speaks of a
conventional mode of correlation (or is it mode of conventional correlation) –
vide non-conventional, and he speaks of an iconic mode of correlation, vide
non-iconic. Indeed he speaks once of ‘conventional correlation’ TO THE
ASSOCIATED specific response. So the
mode is rather otiose. In the context when he uses ‘conventional correlation’
TO THE ASSOCIATED specific response, he uses ‘way’ rather than mode – Grice
wants ‘conventional correlation’ TO THE ASSOCIATED specific RESPONSE to be just
one way, or mode. There’s ASSOCIATIVE correlation, and iconic correlation, and
‘etc.’ Strictly, as he puts it, this or that correlation is this or that
provision of a way in which the expressum is correlated to a specific response.
When symbolizing he uses the informal “correlated in way c with response r’ –
having said that ‘c’ stands for ‘mode of correlation.’ But ‘mode sounds too
pretentious, hence his retreat to the more flowing ‘way.’
model
theory: H. P. Grice, “A conversational model.” Grice: “Since the object of the
present exercise, is to provide a bit of theory which will explain,
for a certain family of cases, why is it that a particular
implicaturum is present, I would suggest that the final test of
the adequacy and utility of this model should be: can it be used to construct
an explanation of the presence of such an implicaturum, and is it
more comprehensive and more economical than any rival? is the no
doubt pre-theoretical explanation which one would be prompted to give
of such an implicaturum consistent with, or better still a favourable pointer
towards the requirements involved in the model? cf. Sidonius: Far otherwise:
whoever disputes with you will find those protagonists of heresy, the Stoics,
Cynics, and Peripatetics, shattered with their own arms and their
own engines; for their heathen followers, if they resist the doctrine and
spirit of Christianity, will, under your teaching, be caught in their own
familiar entanglements, and fall headlong into their own toils; the barbed
syllogism of your arguments will hook the glib tongues of the
casuists, and it is you who will tie up their slippery
questions in categorical clews, after the manner of a clever
physician, who, when compelled by reasoned thought, prepares antidotes for
poison even from a serpent.qvin potivs experietvr qvisqve conflixerit stoicos
cynicos peripateticos hæresiarchas propriis armis propriis qvoqve concvti
machinamentis nam sectatores eorum Christiano dogmati ac sensvi si
repvgnaverint mox te magistro ligati vernaculis implicaturis in retia
sua præcipites implagabvntur syllogismis tuæ propositionis vncatis volvbilem
tergiversantvm lingvam inhamantibvs dum spiris categoricis lubricas qvæstiones
tv potivs innodas acrivm more medicorvm qui remedivm contra venena cum ratio
compellit et de serpente conficivnt.” Grice: “Since the object of the present
exercise, is to provide a bit of theory which will explain, for a
certain family of cases, why is it that a particular conversational implicaturum is
present, I would suggest that the final tess of the adequacy and utility of this MODEL
should be various. First: can the model be used to construct an explanation
(argumentum) of the presence of this or that conversational implicaturum?
Second, is the model it more comprehensive than any rival in providing this
explanation? Third, is the model more economical than any rival in providing
this explanation? Fourth, is the no doubt pre-theoretical (antecedent)
explanation which one would be prompted to give of such a conversational implicaturum
consistent with the requirements involved in the model. Fifth: is the no doubt
pre-threoretical (antecedent) explanation which one would be prompted to give
of such a conversational implciaturum
better still, a favourable POINTER towards the requirements involved in
the model? Cf. Sidonius: Far otherwise: whoever disputes with you will find
those protagonists of heresy, the Stoics, Cynics, and Peripatetics, shattered
with their own arms and their own engines; for their heathen followers, if
they resist the doctrine and spirit of Christianity, will, under your teaching,
be caught in their own familiar entanglements, and fall headlong into
their own toils; the barbed syllogism of your arguments will
hook the glib tongues of the casuists, and it is you who will tie
up their slippery questions in categorical clews, after the
manner of a clever physician, who, when compelled by reasoned thought, prepares
antidotes for poison even from a serpent -- qvin potivs experietvr qvisqve
conflixerit stoicos cynicos peripateticos hæresiarchas propriis armis propriis
qvoqve concvti machinamentis nam sectatores eorum Christiano dogmati ac sensvi
si repvgnaverint mox te magistro ligati vernacvlis implicatvris in
retia sva præcipites implagabvntur syllogismis tuæ propositionis vncatis
volvbilem tergiversantvm lingvam inhamantibvs dum spiris categoricis lvbricas
qvæstiones tv potivs innodas acrivm more medicorvm qui remedivm contra venena
cvm ratio compellit et de serpente conficivnt. qvin potivs experietvr qvisqve
conflixerit stoicos cynicos peripateticos hæresiarchas propriis armis propriis
qvoqve concvti machinamentis nam sectatores eorum Christiano dogmati ac sensvi
si repvgnaverint mox te magistro ligati vernacvlis IMPILICATVRIS in retia
sva præcipites implagabvntur syllogismis tuæ propositionis vncatis volvbilem
tergiversantvm lingvam inhamantibvs dum spiris categoricis lubricas qvæstiones
tv potivs innodas acrivm more medicorvm qui remedivm contra venena cvm ratio
compellit et de serpente conficivnt. So Grice has the phenomenon: the
conversational implcaturum – the qualifying adjective is crucial, since surely
he is not interested in non-conventional NON-conversational implicatura derived
from moral maxims! --. And then he needs a MODEL – that of the principle or
postulate of conversational benevolence. It fits the various requirements.
First: the model can be used to construct an explanation (argumentum) of the
presence of this or that conversational implicaturum. Second, REQUIREMENT OF
PHILOSOPHICAL GENERALITY -- the model is
more comprehensive than any rival. Third, the OCCAM requirement: the model is
more ECONOMICAL than any rival – in what sense? – “in providing this
explanation” of this or that conversational implicaturum. Fourth, the J. L.
Austin requirement, this or that requirement involved in the model is SURELY
consistent with the no doubt pre-theoretical antecedent explanation
(argumentum) that one would be prompted to give. Fifth, the second J. L. Austin
requirement: towards this or that requirement involved in the model the
no-doubt pre-theoretical (antecedent) explanation (argument) that one would be
prompted to give is, better still, a favourable pointer. Grice’s oversuse of
‘model’ is due to Max Black, who understands model theory as a
branch of philosophical semantics that deals with the connection between a
language and its interpretations or structures. Basic to it is the
characterization of the conditions under which a sentence is true in structure.
It is confusing that the term ‘model’ itself is used slightly differently: a
model for a sentence is a structure for the language of the sentence in which
it is true. Model theory was originally developed for explicitly constructed, formal
languages, with the purpose of studying foundational questions of mathematics,
but was later applied to the semantical analysis of empirical theories, a
development initiated by the Dutch philosopher Evert Beth, and of natural
languages, as in Montague grammar. More recently, in situation theory, we find
a theory of semantics in which not the concept of truth in a structure, but
that of information carried by a statement about a situation, is central. The
term ‘model theory’ came into use in the 0s, with the work on first-order model
theory by Tarski, but some of the most central results of the field date from
before that time. The history of the field is complicated by the fact that in
the 0s and 0s, when the first model-theoretic findings were obtained, the
separation between first-order logic and its extensions was not yet completed.
Thus, in 5, there appeared an article by Leopold Löwenheim, containing the
first version of what is now called the Löwenheim-Skolem theorem. Löwenheim
proved that every satisfiable sentence has a countable model, but he did not
yet work in firstorder logic as we now understand it. One of the first who did
so was the Norwegian logician Thoralf Skolem, who showed in 0 that a set of
first-order sentences that has a model, has a countable model, one form of the
LöwenheimSkolem theorem. Skolem argued that logic was first-order logic and
that first-order logic was the proper basis for metamathematical
investigations, fully accepting the relativity of set-theoretic notions in first-order
logic. Within philosophy this thesis is still dominant, but in the end it has
not prevailed in mathematical logic. In 0 Kurt Gödel solved an open problem of
Hilbert-Ackermann and proved a completeness theorem for first-order logic. This
immediately led to another important model-theoretic result, the compactness
theorem: if every finite subset of a set of sentences has a model then the set
has a model. A good source for information about the model theory of
first-order logic, or classical model theory, is still Model Theory by C. C.
Chang and H. J. Keisler 3. When the separation between first-order logic and
stronger logics had been completed and the model theory of first-order logic
had become a mature field, logicians undertook in the late 0s the study of
extended model theory, the model theory of extensions of first-order logic:
first of cardinality quantifiers, later of infinitary languages and of
fragments of second-order logic. With so many examples of logics around where sometimes classical theorems did
generalize, sometimes not Per Lindström
showed in 9 what sets first-order logic apart from its extensions: it is the
strongest logic that is both compact and satisfies the LöwenheimSkolem theorem.
This work has been the beginning of a study of the relations between various
properties logics may possess, the so-called abstract model. Refs.: H. P.
Grice, “The postulate of conversational co-operation,” Oxford.
modus: Grice was an expert on mode. There
is one mode too many. If Grice found ‘senses’ obsolete (“Sense are not to be
multiplied beyond necessity”), he was always ready to welcome a new mode – e.
g. the quessertive --. or mode. ἔγκλισις ,
enclisis, mood of a verb, D.H.Comp.6, D.T.638.7, A.D. Synt.248.14,
etc.Many times, under ‘mode,’ Grice describes what others call ‘aspect.’ Surely
‘tense’ did not affect him much, except when it concerned “=”. But when it came
to modes, he included ‘aspect,’ so there’s the optative, the imperative, the
indicative, the informational, and then the future intentional and the future
indicative, and the subjunctive, and the way they interact with the praesens,
praeteritum and futurum, and wih the axis of what Aristotle called ‘teleios’
and ‘ateleios,’ indefinite and definite, or ‘perfectum, and ‘imperfectum, ‘but
better ‘definitum’ and ‘indefinitum.’ Grice uses psi-asrisk, to be read asterisk-sub-psi. He is
not concerned with specficics. All the specifics the philosopher can take or
rather ‘assume’ as ‘given.’ The category of mode translates ‘tropos,’ modus.
Kant wrongly assumed it was Modalitat, which irritated Grice so much that he
echoed Kant as saying ‘manner’! Grice is a modista. He sometimes uses ‘modus,’
after Abbott. The earliest record is of course “Meaning.” After elucidating
what he calls ‘informative cases,’ he moves to ‘imperative’ ones. Grice agreed
with Thomas Urquhart that English needed a few more moods! Grice’s seven
modes.Thirteenthly, In lieu of six moods which other languages have at most,
this one injoyeth seven in its conjugable words. Ayer had said that
non-indicative utterances are hardly significant. Grice had been freely using
the very English not Latinate ‘mood’ until Moravcsik, of all people, corrects
him: What you mean ain’t a mood. I shall call it mode just to please
you, J. M. E. The sergeant is to muster the men at dawn is a perfect
imperative. They shall not pass is a perfect intentional. A version of this
essay was presented in a conference whose proceedings were published, except
for Grices essay, due to technical complications, viz. his idiosyncratic use of
idiosyncratic symbology! By mode Grice means indicative or imperative.
Following Davidson, Grice attaches probability to the indicative, via the
doxastic, and desirability to the indicative, via the
buletic-boulomaic. He also allows for mixed utterances. Probability
is qualified with a suboperator indicating a degree d; ditto for desirability,
degree d. In some of the drafts, Grice kept using mode until Moravsik suggested
to him that mode was a better choice, seeing that Grices modality had little to
do with what other authors were referring to as mood. Probability,
desirability, and modality, modality, desirability, and probability; modality,
probability, desirability. He would use mode operator. Modality is the
more correct term, for things like should, ought, and must, in that order. One
sense. The doxastic modals are correlated to probability. The buletic or
boulomaic modals are correlated to desirability. There is probability to a
degree d. But there is also desirability to a degree d. They
both combine in Grices attempt to show how Kants categorical imperative reduces
to the hypothetical or suppositional. Kant uses modality in a way that Grice
disfavours, preferring modus. Grice is aware of the use by Kant of
modality qua category in the reduction by Kant to four of the original ten
categories in Aristotle). The Jeffrey-style entitled Probability, desirability,
and mode operators finds Grice at his formal-dress best. It predates the Kant
lectures and it got into so much detail that Grice had to leave it at that. So
abstract it hurts. Going further than Davidson, Grice argues that structures
expressing probability and desirability are not merely analogous. They can both
be replaced by more complex structures containing a common element.
Generalising over attitudes using the symbol ψ, which he had used before, repr.
WoW:v, Grice proposes G ψ that p. Further, Grice uses i as a dummy for
sub-divisions of psychological attitudes. Grice uses Op supra i sub α, read:
operation supra i sub alpha, as Grice was fastidious enough to provide reading
versions for these, and where α is a dummy taking the place of either A or B,
i. e. Davidsons prima facie or desirably, and probably. In all this, Grice
keeps using the primitive !, where a more detailed symbolism would have it
correspond exactly to Freges composite turnstile (horizontal stroke of thought
and vertical stroke of assertoric force, Urteilstrich) that Grice of course
also uses, and for which it is proposed, then: !─p. There are generalising
movements here but also merely specificatory ones. α is not generalised.
α is a dummy to serve as a blanket for this or that specifications. On the
other hand, ψ is indeed generalised. As for i, is it generalising or
specificatory? i is a dummy for specifications, so it is not really
generalising. But Grice generalises over specifications. Grice wants to find
buletic, boulomaic or volitive as he prefers when he does not prefer the Greek
root for both his protreptic and exhibitive versions (operator supra
exhibitive, autophoric, and operator supra protreptic, or hetero-phoric). Note
that Grice (WoW:110) uses the asterisk * as a dummy for either assertoric,
i.e., Freges turnstile, and non-assertoric, the !─ the imperative turnstile, if
you wish. The operators A are not mode operators; they are such that they
represent some degree (d) or measure of acceptability or justification. Grice
prefers acceptability because it connects with accepting that which is a
psychological, souly attitude, if a general one. Thus, Grice wants to
have It is desirable that p and It is believable that p as understood,
each, by the concatenation of three elements. The first element is the A-type
operator. The second element is the protreptic-type operator. The third element
is the phrastic, root, content, or proposition itself. It is desirable that p
and It is believable that p share the utterer-oriented-type operator and
the neustic or proposition. They only differ at the protreptic-type operator
(buletic/volitive/boulomaic or judicative/doxastic). Grice uses + for
concatenation, but it is best to use ^, just to echo who knows who. Grice
speaks in that mimeo (which he delivers in Texas, and is known as Grices
Performadillo talk ‒ Armadillo + Performative) of various things. Grice speaks,
transparently enough, of acceptance: V-acceptance and J-acceptance. V not for
Victory but for volitional, and J for judicative. The fact that both end with
-acceptance would accept you to believe that both are forms of acceptance.
Grice irritatingly uses 1 to mean the doxastic, and 2 to mean the bulematic. At
Princeton in Method, he defines the doxastic in terms of the buletic and cares
to do otherwise, i. e. define the buletic in terms of the doxastic. So whenever
he wrote buletic read doxastic, and vice versa. One may omits this arithmetic
when reporting on Grices use. Grice uses two further numerals, though: 3 and 4.
These, one may decipher – one finds oneself as an archeologist in Tutankamons
burial ground, as this or that relexive attitude. Thus, 3, i. e. ψ3, where
we need the general operator ψ, not just specificatory dummy, but the idea that
we accept something simpliciter. ψ3 stands for the attitude of buletically
accepting an or utterance: doxastically accepting that p or doxastically
accepting that ~p. Why we should be concerned with ~p is something to
consider. G wants to decide whether to believe p or not. I find that very
Griceian. Suppose I am told that there is a volcano in Iceland. Why would I not
want to believe it? It seems that one may want to decide whether to believe p
or not when p involves a tacit appeal to value. But, as Grice notes, even when
it does not involve value, Grice still needs trust and volition to reign
supreme. On the other hand, theres 4, as attached to an attitude, ψ4. This
stands for an attitude of buletically accepting an or utterance: buletically
accepting that p, or G buletically accepting that ~p, i. e. G wants to decide
whether to will, now that p or not. This indeed is crucial, since, for Grice,
morality, as with Kantotle, does cash in desire, the buletic. Grice smokes. He
wills to smoke. But does he will to will to smoke? Possibly yes. Does he will
to will to will to smoke? Regardless of what Grice wills, one may claim this
holds for a serious imperatives (not Thou shalt not reek, but Thou shalt not
kill, say) or for any p if you must (because if you know that p causes cancer
(p stands for a proposition involving cigarette) you should know you are
killing yourself. But then time also kills, so what gives? So I would submit
that, for Kant, the categoric imperative is one which allows for an indefinite
chain, not of chain-smokers, but of good-willers. If, for some p, we find that
at some stage, the P does not will that he wills that he wills that he wills
that, p can not be universalisable. This is proposed in an essay referred to in
The Philosophers Index but Marlboro Cigarettes took no notice. One may go on to
note Grices obsession on make believe. If I say, I utter expression e because
the utterer wants his addressee to believe that the utterer believes that p,
there is utterer and addresse, i. e. there are two people here ‒ or
any soul-endowed creature ‒ for Grices squarrel means things to Grice. It
even implicates. It miaows to me while I was in bed. He utters miaow. He means
that he is hungry, he means (via implicaturum) that he wants a nut (as provided
by me). On another occasion he miaowes explicating, The door is closed, and
implicating Open it, idiot. On the other hand, an Andy-Capps cartoon read: When
budgies get sarcastic Wild-life programmes are repeating One may note
that one can want some other person to hold an attitude. Grice uses U or
G1 for utterer and A or G2 for addressee. These are merely roles. The important
formalism is indeed G1 and G2. G1 is a Griceish utterer-person; G2 is the other
person, G1s addressee. Grice dislikes a menage a trois, apparently, for he
seldom symbolises a third party, G3. So, G ψ-3-A that p is 1 just in case G
ψ2(G ψ1 that p) or G ψ1 that ~p is 1. And here the utterers addressee, G2
features: G1 ψ³ protreptically that p is 1 just in case G buletically
accepts ψ² (G buletically accepts ψ² (G doxastically accepts ψ1 that p, or G
doxastically accepts ψ1 that ~p))) is 1. Grice seems to be happy with having
reached four sets of operators, corresponding to four sets of propositional
attitudes, and for which Grice provides the paraphrases. The first set is the
doxastic proper. It is what Grice has as doxastic,and which is, strictly,
either indicative, of the utterers doxastic, exhibitive state, as it were, or
properly informative, if addressed to the addressee A, which is different from
U himself, for surely one rarely informs oneself. The second is the buletic
proper. What Grice dubs volitive, but sometimes he prefers the Grecian root.
This is again either self- or utterer-addressed, or utterer-oriented, or auto-phoric,
and it is intentional, or it is other-addressed, or addressee-addressed, or
addressee- oriented, or hetero-phoric, and it is imperative, for surely one may
not always say to oneself, Dont smoke, idiot!. The third is the
doxastic-interrogative, or doxastic-erotetic. One may expand on ? here is
minimal compared to the vagaries of what I called the !─ (non-doxastic or
buletic turnstile), and which may be symbolised by ?─p, where ?─ stands for the
erotetic turnstile. Geachs and Althams erotetic somehow Grice ignores, as he
more often uses the Latinate interrogative. Lewis and Short have
“interrŏgātĭo,” which they render as “a questioning, inquiry, examination, interrogation;”
“sententia per interrogationem, Quint. 8, 5, 5; instare interrogation; testium;
insidiosa; litteris inclusæ; verbis obligatio fit ex interrogatione et responsione;
as rhet. fig., Quint. 9, 2, 15; 9, 3, 98. B. A syllogism: recte genus hoc
interrogationis ignavum ac iners nominatum est, Cic. Fat. 13; Sen. Ep. 87
med. Surely more people know what interrogative means what erotetic means,
he would not say ‒ but he would. This attitude comes again in two varieties:
self-addressed or utterer-oriented, reflective (Should I go?) or again,
addresee-addressed, or addressee-oriented, imperative, as in Should you go?,
with a strong hint that the utterer is expecting is addressee to make up his
mind in the proceeding, not just inform the utterer. Last but not least, there
is the fourth kind, the buletic-cum-erotetic. Here again, there is one varietiy
which is reflective, autophoric, as Grice prefers, utterer-addressed, or
utterer-oriented, or inquisitive (for which Ill think of a Greek pantomime), or
addressee-addressed, or addressee-oriented. Grice regrets that Greek (and
Latin, of which he had less ‒ cfr. Shakespeare who had none) fares better in
this respect the Oxonian that would please Austen, if not Austin, or Maucalay,
and certainly not Urquhart -- his language has twelve parts of speech: each
declinable in eleven cases, four numbers, eleven genders (including god,
goddess, man, woman, animal, etc.); and conjugable in eleven tenses, seven
moods, and four voices.These vocal mannerisms will result in the production of
some pretty barbarous English sentences; but we must remember that what I shall
be trying to do, in uttering such sentences, will be to represent supposedly
underlying structure; if that is ones aim, one can hardly expect that ones
speech-forms will be such as to excite the approval of, let us say, Jane Austen
or Lord Macaulay. Cf. the quessertive, or quessertion, possibly iterable,
that Grice cherished. But then you cant have everything. Where would you put
it? Grice: The modal implicaturum.
Grice sees two different, though connected questions about
mode. First, there is the obvious demand for a characterisation, or
partial characterisation, of this or that mode as it emerges in this or that
conversational move, which is plausible to regard as modes primary habitat)
both at the level of the explicatum or the implicaturum, for surely an
indicative conversational move may be the vehicle of an imperatival implicaturum.
A second, question is how, and to what extent, the representation of mode
(Hares neustic) which is suitable for application to this or that
conversational move may be legitimately exported into philosophical psychology,
or rather, may be grounded on questions of philosophical psychology, matters of
this or that psychological state, stance, or attitude (notably desire and
belief, and their species). We need to consider the second question, the
philosophico- psychological question, since, if the general rationality
operator is to read as something like acceptability, as in U accepts, or A
accepts, the appearance of this or that mode within its scope of accepting is
proper only if it may properly occur within the scope of a generic
psychological verb I accept that . Lewis and Short have “accepto,” “v. freq.
a. accipio,” which Short and Lewis render as “to take, receive, accept,”
“argentum,” Plaut. Ps. 2, 2, 32; so Quint. 12, 7, 9; Curt. 4, 6, 5; Dig. 34, 1,
9: “jugum,” to submit to, Sil. Ital. 7, 41. But in Plin. 36, 25, 64, the
correct read. is coeptavere; v. Sillig. a. h. l. The easiest way Grice finds to
expound his ideas on the first question is by reference to a schematic table or
diagram (Some have complained that I seldom use a board, but I will
today. Grice at this point reiterates his temporary contempt for
the use/mention distinction, which which Strawson is obsessed. Perhaps
Grices contempt is due to Strawsons obsession. Grices exposition would make the
hair stand on end in the soul of a person especially sensitive in this area.
And Im talking to you, Sir Peter! (He is on the second row). But
Grices guess is that the only historical philosophical mistake properly
attributable to use/mention confusion is Russells argument against Frege in On
denoting, and that there is virtually always an acceptable way of eliminating
disregard of the use-mention distinction in a particular case, though the
substitutes are usually lengthy, obscure, and tedious. Grice makes three
initial assumptions. He avails himself of two species of acceptance,
Namesly, volitive acceptance and judicative acceptance, which he, on occasion,
calls respectively willing that p and willing that p. These are to
be thought of as technical or semi-technical, theoretical or semi-theoretical,
though each is a state which approximates to what we vulgarly call thinking
that p and wanting that p, especially in the way in which we can speak of a
beast such as a little squarrel as thinking or wanting something ‒ a
nut, poor darling little thing. Grice here treats each will and judge (and
accept) as a primitive. The proper interpretation would be determined by
the role of each in a folk-psychological theory (or sequence of
folk-psychological theories), of the type the Wilde reader in mental philosophy
favours at Oxford, designed to account for the behaviours of members of the
animal kingdom, at different levels of psychological complexity (some classes
of creatures being more complex than others, of course). As Grice suggests in
Us meaning, sentence-meaning, and word-meaning, at least at the point at which
(Schema Of Procedure-Specifiers For Mood-Operators) in ones syntactico-semantical
theory of Pirotese or Griceish, one is introducing this or that mode (and
possibly earlier), the proper form to use is a specifier for this or that
resultant procedure. Such a specifier is of the general form, For the
utterer U to utter x if C, where the blank is replaced by the appropriate
condition. Since in the preceding scheme x represents an utterance or
expression, and not a sentence or open sentence, there is no guarantee that
this or that actual sentence in Pirotese or Griceish contains a perspicuous and
unambiguous modal representation. A sentence may correspond to more than
one modal structure. The sentence is structurally ambiguous
(multiplex in meaning ‒ under the proviso that senses are not to be
multiplied beyond necessity) and will have more than one reading, or parsing,
as every schoolboy at Clifton knows when translating viva voce from Greek or
Latin, as the case might be. The general form of a procedure-specifier for a
modal operator involves a main clause and an antecedent clause, which follows
if. In the schematic representation of the main clause, U represents an
utterer, A his addressee, p the radix or neustic; and Opi represents that
operator whose number is i (1, 2, 3, or 4), e.g g., Op3A represents
Operator 3A, which, since ?⊢ appears in the
Operator column for 3A) would be ?A ⊢ p. This
reminds one of Grandys quessertions, for he did think they were iterable
(possibly)). The antecedent clause consists of a sequence whose elements
are a preamble, as it were, or preface, or prefix, a supplement to a
differential (which is present only in a B-type, or addressee-oriented case), a
differential, and a radix. The preamble, which is always present, is
invariant, and reads: The U U wills (that) A A judges (that) U (For surely meaning is a species of intending
is a species of willing that, alla Prichard, Whites professor,
Corpus). The supplement, if present, is also invariant. And the idea
behind its varying presence or absence is connected, in the first instance,
with the volitive mode. The difference between an ordinary expression of
intention ‒ such as I shall not fail, or They shall not
pass ‒ and an ordinary imperative (Like Be a little kinder to
him) is accommodated by treating each as a sub-mode of the volitive mode,
relates to willing that p) In the intentional case (I shall not fail), the
utterer U is concerned to reveal to his addressee A that he (the utterer U)
wills that p. In the imperative case (They shall not pass), the utterer U is
concerned to reveal to his addressee A that the utterer U wills that the
addresee A will that p. In each case, of course, it is to be
presumed that willing that p will have its standard outcome, viz., the
actualization, or realisation, or direction of fit, of the radix (from expression
to world, downwards). There is a corresponding distinction between two uses of
an indicative. The utterer U may be declaring or affirming that p, in
an exhibitive way, with the primary intention to get his addressee A to judge
that the utterer judges that p. Or the U is telling (in a protreptic way)
ones addressee that p, that is to say, hoping to get his addressee to
judge that p. In the case of an indicative, unlike that of a volitive, there is
no explicit pair of devices which would ordinarily be thought of as sub-mode
marker. The recognition of the sub-mode is implicated, and comes from
context, from the vocative use of the Names of the addressee, from the presence
of a speech-act verb, or from a sentence-adverbial phrase (like for your
information, so that you know, etc.). But Grice has already, in his
initial assumptions, allowed for such a situation. The
exhibitive-protreptic distinction or autophoric-heterophoric distinction, seems
to Grice to be also discernible in the interrogative mode (?). Each differentials
is associated with, and serve to distinguish, each of the two basic modes
(volitive or judicative) and, apart from one detail in the case of the
interrogative mode, is invariant between autophoric-exhibitive) and
heterophoric-protreptic sub-modes of any of the two basic modes. They are
merely unsupplemented or supplemented, the former for an exhibitive sub-mode
and the latter for a protreptic sub-mode. The radix needs (one hopes) no
further explanation, except that it might be useful to bear in mind that Grice
does not stipulated that the radix for an intentional (buletic exhibitive
utterer-based) incorporate a reference to the utterer, or be in the first
person, nor that the radix for an imperative (buletic protreptic
addressee-based) incorporate a reference of the addresee, and be in the second
person. They shall not pass is a legitimate intentional, as is You shall
not get away with it; and The sergeant is to muster the men at dawn, as uttered
said by the captain to the lieutenant) is a perfectly good
imperative. Grice gives in full the two specifiers derived from the
schema. U to utter to A autophoric-exhibitive ⊢ p if U
wills that A judges that U judges p. Again, U to utter to A !
heterophoric-protreptic p if U wills that A A judges that U wills that A wills
that p. Since, of the states denoted by each differential, only willing
that p and judging that p are strictly cases of accepting that p, and Grices
ultimate purpose of his introducing this characterization of mode is to reach a
general account of expressions which are to be conjoined, according to his
proposal, with an acceptability operator, the first two numbered rows of the
figure are (at most) what he has a direct use for. But since it is of some
importance to Grice that his treatment of mode should be (and should be
thought to be) on the right lines, he adds a partial account of the
interrogative mode. There are two varieties of interrogatives, a yes/no
interrogatives (e. g. Is his face clean? Is the king of France bald? Is virtue
a fire-shovel?) and x-interrogatives, on which Grice qua philosopher was
particularly interested, v. his The that and the why. (Who killed Cock
Robin?, Where has my beloved gone?, How did he fix it?). The specifiers
derivable from the schema provide only for yes/no interrogatives, though the
figure could be quite easily amended so as to yield a restricted but very large
class of x-interrogatives. Grice indicates how this could be
done. The distinction between a buletic and a doxastic interrogative
corresponds with the difference between a case in which the utterer U indicates
that he is, in one way or another, concerned to obtain information (Is he at
home?), and a case in which the utterer U indicates that he is concerned to
settle a problem about what he is to do ‒ Am I to leave the door open?, Shall I
go on reading? or, with an heterophoric Subjects, Is the prisoner to be
released? This difference is fairly well represented in grammar, and much
better represented in the grammars of some other languages. The
hetero-phoric-cum-protreptic/auto-phoric-cum- exhibitive difference may
not marked at all in this or that grammar, but it should be marked in Pirotese.
This or that sub-mode is, however, often quite easily detectable. There is
usually a recognizable difference between a case in which the utterer A says,
musingly or reflectively, Is he to be trusted? ‒ a case in which the
utterer might say that he is just wondering ‒ and a case in which he
utters a token of the same sentence as an enquiry. Similarly, one can usually
tell whether an utterer A who utters Shall I accept the invitation? is
just trying to make up his mind, or is trying to get advice or instruction from
his addressee. The employment of the variable α needs to be explained. Grice
borrows a little from an obscure branch of logic, once (but maybe no longer)
practised, called, Grice thinks, proto-thetic ‒ Why? Because it deals with this
or that first principle or axiom, or thesis), the main rite in which is to
quantify over, or through, this or that connective. α is to have as its two
substituents positively and negatively, which may modify either will or judge,
negatively willing or negatively judging that p is judging or willing that
~p. The quantifier (∃1α) . . . has to
be treated substitutionally. If, for example, I ask someone whether John
killed Cock Robin (protreptic case), I do not want the addressee merely to will
that I have a particular logical quality in mind which I believe to apply. I
want the addressee to have one of the Qualities in mind which he wants me to
believe to apply. To meet this demand, supplementation must drag back the
quantifier. To extend the schema so as to provide specifiers for a single
x-interrogative (i. e., a question like What did the butler see? rather than a
question like Who went where with whom at 4 oclock yesterday afternoon?),
we need just a little extra apparatus. We need to be able to superscribe a
W in each interrogative operator e.g., together with the proviso that a radix
which follows a superscribed operator must be an open radix, which contains one
or more occurrences of just one free variable. And we need a chameleon
variable λ, to occur only in this or that quantifier. (∃λ).Fx is to be regarded as a way of writing (∃x)Fx. (∃λ)Fy is a way of
writing (∃y)Fy. To provide a specifier for a x-superscribed operator,
we simply delete the appearances of α in the specifier for the corresponding
un-superscribed operator, inserting instead the quantifier (∃1λ) () at the position previously occupied by (∃1α) (). E.g. the specifiers for Who killed Cock
Robin?, used as an enquiry, would be: U to utter to A killed Cock Robin if U wills A to judge U to
will that (∃1λ) (A should will that U judges (x
killed Cock Robin)); in which (∃1λ) takes on the
shape (∃1x) since x is the free variable within its scope. Grice
compares his buletic-doxastic distinction to prohairesis/doxa distinction by
Aristotle in Ethica Nichomachea. Perhaps his simplest formalisation is via
subscripts: I will-b but will-d not. Refs.: The main references are given above
under ‘desirability.’ The most systematic treatment is the excursus in “Aspects,”
Clarendon. BANC.
modified Occam’s razor: Grice was obsessed with ‘sense,’
and thought Oxonian philosohpers were multiplying it otiosely – notably L. J.
Cohen (“The diversity of meaning”). The original razor is what Grice would have
as ‘ontological,’ to which he opposes with in his ‘ontological marxism’.
Entities should not be multiplied beyond the necessity of needing them as
honest working entities. He keeps open house provided they come in help with
the work. This restriction explains what Grice means by ‘necessity’ in the
third lecture – a second sense does not do any work. The implicaturum does. Grice loved a razor, and being into analogy
and focal meaning, if he HAD to have semantic multiplicity, for the case of
‘is,’ (being) or ‘good,’ it had to be a UNIFIED semantic multiplicity, as
displayed by paronymy. The essay had circulated since the Harvard days, and it
was also repr. in Pragmatics, ed. Cole for Academic
Press. Personally, I prefer dialectica. ‒ Grice. This is
the third James lecture at Harvard. It is particularly useful for Grices
introduction of his razor, M. O. R., or Modified Occams Razor, jocularly expressed
by Grice as: Senses are not to be multiplied beyond necessity. An
Englishing of the Ockhams Latinate, Entia non sunt multiplicanda præter
necessitatem. But what do we mean sense. Surely Occam was right with his
Entia non sunt multiplicanda præter necessitatem. We need to translate that
alla linguistic turn. Grice jokes: Senses are not be multiplied beyond
necessity. He also considers irony, stress (supra-segmental fourth-articulatory
phonology), and truth, which the Grice Papers have under a special f. in the s.
V . Three topics where the implicaturum helps. He is a scoundrel may
well be the implicaturum of He is a fine friend. But cf. the pretense
theory of irony. Grice, being a classicist, loved the etymological
connection. With Stress, he was concerned with anti-Gettier uses of emphatic
know: I KNOW. (Implicaturum: I do have conclusive evidence). Truth (or is true) sprang from the attention by Grice
to that infamous Bristol symposium between Austin and Strawson. Cf. Moores
paradox. Grice wants to defend correspondence theory of Austin against the
performative approach of Strawson. If
is true implicates someone previously affirmed this, that does not mean
a ditto implicaturum is part of the entailment of a is true utterance, further notes on logic and
conversation, in Cole, repr. in a revised form, Modified Occams Razor, irony,
stress, truth. The preferred citation should be the Harvard. This is
originally the third James lecture, in a revised form.In that lecture,
Grice introduced the M. O. R., or Modified Occams Razor. Senses are not
be multiplied beyond necessity. The point is that entailment-cum-implicaturum
does the job that multiplied senses should not do! The Grice Papers
contains in a different f. the concluding section for that lecture, on irony,
stress, and truth. Grice went back to the Modified Occams razor, but was
never able to formalise it! It is, as he concedes, almost a vacuous
methodological thingy! It is interesting that the way he defines the alethic
value of true alrady cites satisfactory. I shall use, to Names such a property,
not true but factually satisfactory. Grices sympathies dont lie with
Strawsons Ramsey-based redundance theory of truth, but rather with Tarskis
theory of correspondence. He goes on to claim his trust in the
feasibility of such a theory. It is, indeed, possible to construct a
theory which treats truth as (primarily) a property, not true but factually
satisfactory. One may see that point above as merely verbal and not involving
any serious threat. Lets also assume that it will be a consequence, or
theorem, of such a theory that there will be a class C of utterances
(utterances of affirmative Subjects-predicate sentences [such as snow is white
or the cat is on the mat of the dog is hairy-coated such that each member of C
designates or refers to some item and indicates or predicates some class (these
verbs to be explained within the theory), and is factually satisfactory
if the item belongs to the class. Let us also assume that there can be a
method of introducing a form of expression, it is true that /it is buletic
that and linking it with the notion of
factually or alethic or doxastic satisfactory, a consequence of which will be
that to say it is true that Smith is happy will be equivalent to saying that
any utterance of class C which designates Smith and indicates the class of
happy people is factually satisfactory (that is, any utterance which assigns
Smith to the class of happy people is factually satisfactory. Mutatis mutandis
for Let Smith be happy, and buletic satisfactoriness. The move is Tarskian.
TBy stress, Grice means suprasegmental phonology, but he was too much of a
philosopher to let that jargon affect him! Refs.: The locus classicus, if
that does not sound too pretentious, is Essay 3 in WoW, but there are
references elsewhere, such as in “Meaning Revisited,” and under ‘semantics.’
The only one who took up Grice’s challenge at Oxford was L. J. Cohen, “Grice on
the particles of natural language,” which got a great response by Oxonian R. C.
S. Walker (citing D. Bostock, a tutee of Grice), to which Cohen again responded
“Can the conversationalist hypothesis be defended.” Cohen clearly centres his
criticism on the razor. He had an early essay, citing Grice, on the DIVERSITY
of meaning. Cohen opposes Grice’s conversationalist hypothesis to his own
‘semantic hypothesis’ (“Multiply senses all you want.”). T.
D. Bontly explores the topic of Grice’s MOR. “Ancestors of this essay were
presented at meetings of the Society for Philosophy and Psychology (Edmonton,
Alberta), of the the Pacific Division of the American Philosophical Association
(San Francisco, CA) and at the University of Connecticut. I am indebted to all
three groups and particularly to the commentators D. Sanford (at the Society
for Philosophy and Psychology) and M. Reimer (at the APA). Thanks also to the
following for helpful comments or discussion (inclusive): F. Adams, A. Ariew,
P. Bloom, M. Devitt, B. Enc, C. Gaulker, M. Lynch, R. Millikan, J. Pust, E.
Sober, R. C. Stalnaker, D. W. Stampe, and S. Wheeler.” Bontly writes, more or
less (I have paraphrased him a little, with good intentions, always!) “Some
philosophers have appealed to a principle which H. P. Grice, in his third
William James lecture, dubs Modified Occam’s Razor (henceforth, “M. O. R.”):
“Senses – rather than ‘entities,’ as the inceptor from Ockham more boringly has
it -- are not to be multiplied beyond necessity’.” What is ‘necessity’? Bontly: “Superficially,
Grice’s “M. O. R.” seems a routine application of Ockham’s principle of
parsimony: ‘entities are not to be multiplied beyond necessity. Now, parsimony
arguments, though common in science, are notoriously problematic, and their use
by Grice faces one objection or two. Grice’s “M. O. R.” makes considerably more
sense in light of certain assumptions about the psychological processes
involved in language development, learning, and acquisition, and it describes
recent *empirical*, if not philosophical or conceptual, of the type Grice seems
mainly interested in -- findings that bear these assumptions out. [My]
resulting account solves several difficulties that otherwise confront Grice’s
“M. O. R.”, and it draws attention to problematic assumptions involved in using
parsimony to argue for pragmatic accounts of the type of phenomena
‘ordinary-language’ philosophers were interested in. In more general terms,
when an expression E has two or more uses – U1 and U2, say -- enabling its
users to express two or more different meanings – M1 and M2, say -- one is
tempted to assume that E is semantically (i.e. lexically) ambiguous, or polysemous,
i.e., that some convention, constituting the language L, assign E these two
meanings M1 and M2 corresponding to its two uses U1 and U2. One hears, for
instance, that ‘or’ is ambiguous (polysemous) between a weak (inclusive) (‘p v
q’) and a strong (exclusive) sense, ‘p w q.’ Grice actually feels that speaking of the
meaning or sense of ‘or’ sounds harsh (“Like if I were asked what the meaning
of ‘to’ is!”). But in one note from a seminar from Strawson he writes: “Jones
is between Smith and Williams.” “I wouldn’t say that ‘between’ is ambiguous,
even if we interpret the sentence in a physical sense, or in an ordering of
merit, say.” Bontly:
“Used exclusively, an utterance of ‘p or q’ (p v q) entails that ‘p’ and ‘q’
are NOT both true. Used inclusively, it does not. Still, ambiguity is not the
only possible explanation.” (This reminds me of Atlas, “Philosophy WITHOUT
ambiguity!” – ambitious title!). The phenomenon can also be approached
pragmatically, from within the framework of a general theory conversation alla
Grice. One could, e. g., first, maintain that ‘p or q’ is unambiguously
monosemous inclusive and, second, apply Grice’s idea of an ‘implicaturum’ to
explain the exclusive.”
I
actually traced this, and found that O. P. Wood in an odd review of a logic
textbook (by Faris) in “Mind,” in the 1950s, makes the point about the
inclusive-exclusive distinction, pre-Griceianly! Grice seems more interested,
as you later consider, the implicaturum: “Utterer U has non-truth-functional
grounds for uttering ‘p or q. Not really the ‘inclusive-exclusive’ distinction.
Jennings deals with this in “The genealogy of disjunction,” and elsewhere, and
indeed notes that ‘or’ may be a dead metaphor from ‘another.’ Bontly goes on: “On any
such account, ‘p or q’ would have two uses U1 and U2 and two standard
interpretations, I1 and I2, but NEVER two ‘conventional’ meanings,” M1 and M2
Or take ‘and’ (p.q) which (when used as a sentential connective) ordinarily
stands for truth-functional conjunction (as in 1a, below). Often enough,
though, ‘p and q’ seems to imply temporal priority (1b), while in other cases
it suggests causal priority (1c). (1) a. Bill bought a shirt and Christy
[bought] a sweater. b. Adam took off his shoes and [he] got into bed. c. “Jack
fell down and [he] broke his crown, and Jill came tumbling o:ter.” (to rhyme
with ‘water’ in an earlier line.”Apparently Grice loved this nursery rhyme too,
“Jack is an Englishman; he must, therefore, be brave,” Jill says.” (Grice,
“Aspects of reason.”)Bontly: “Again, one suspects an ambiguity, M1 and M2, but
Grice argues that a ‘conversational’ explanation is available and preferable.
According to the ‘pragmatist’ or ‘conversationalist’ hypothesis’ (as I shall
call it), a temporal or a causal reading of “and” (p.q) may be part of what the
UTTERER means, but such a reading I2, are not part of what the sentence means,
or the word _and_ means, and thus belong in a general theory of conversation,
not the grammar of a specific language.” Oddly, I once noticed that Chomsky, of
all people, and since you speak of ‘grammar,’ competence, etc. refers to “A.”
Albert? P. Grice in his 1966! Aspects of the theory of syntax. “A. P. Grice
wants to say that the temporal succession is not part of the meaning of ‘and.’”
I suspect one of Grice’s tutees at Oxford was spreading the unauthorized word! Bontly: “Many an alleged
ambiguity seems amenable to Grice’s conversationalist hypothesis. Besides the
sentential connectives or truth-functors, a pragmatic explanation has been
applied fruitfully to quantifiers (Grice lists ‘all’ and ‘some (at least one’),
definite descriptions (Grice lists ‘the,’ ‘the murderer’), the indefinite
description (‘a finger’, much discussed by Grice, “He’s meeting a woman this
evening.”), the genitive construction (‘Peter’s bat’), and the indirect speech
act (‘Can you pass the salt?’) — to mention just a few. The literature on the
Griceian treatment of these phenomena is extensive. Some classic treatments are
found in the oeuvre of philosophers like Grice, Bach, Harnish, and Davis, and
linguists like Horn, Gazdar, and Levinson. But the availability of a pragmatic
explanation poses an interesting methodological problem. Prima facie, the
alleged ‘ambiguity’ M1 and M2, can now be explained either semantically (by
positing two or more senses S1 and S2, or M1 and M2, of expression E) or
pragmatically (by positing just one sense (S) plus one super-imposed implicaturum,
I).Sometimes, of course, one approach or the other is transparently inadequate.
When the ‘use’ of E cannot be derived from a general conversational principle,
the pragmatic explanation seems a non-starter.” Not for a radically radical
pragmatist like Atlas! Ambitious! Similarly, an ambiguity- or polysemy- based
explanation seems out of the question where the interpretation of E at issue is
highly context-dependent.” (My favourite is Grice on “a,” that you analyse in
term of ‘developmental’ or ontogenetical pragmatics – versus Millikan’s
phylogenetical! But, in many cases, a semantic, or polysemy, and a
conversational explanations both appear plausible, and the usual data — Grice’s
intuitions about how the expression can and cannot be used, should or shouldn’t
beused — appear to leave the choice of one of the two hypotheses
under-determined.These were the cases that most interest Grice, the
philosopher, since they impinge on various projects in philosophical analysis.
(Cf. Grice, 1989, pp. 3–21 and passim).” Notably the ‘ordinary-language’ philosophy
‘project,’ I would think. I love the fact that in the inventory of philosophers
who are loose about this (as in the reference you mention above, pp. 3-21, he
includes himself in “Causal theory of perception”! “To adjudicate these
border-line cases, Grice (1978) proposes a methodological principle which he
dubs “Modified Occam’s Razor,” M. O. R.” ‘Senses are not to be multiplied
beyond necessity.’ (1978, pp. 118–119) “(I follow Grice in using the Latinate
‘Occam’ rather than the Anglo-Saxon ‘Ockham’ which is currently preferred).
More fully, the idea is that one should not posit an alleged special, stronger
SENSE S2, for an expression E when a general conversational principle suffices
to explain why E, which bears only Sense 1, S1, receives a certain
interpretation or carries implicaturum I. Thus, if the ‘use’ (or an ‘use’) of E
can be explained pragmatically, other things being equal, the use should be
explained pragmatically.” Griceians appeal to M. O. R. quite often,”
pragmatically bearded or not! (I love Quine’s idea that Occam’s razor was
created to shave Plato’s beard. Cfr. Schiffer’s anti-shave! It is affirmed, in
spirit if not letter, by philosopher/linguist Atlas and Levinson,
philosopher/linguist Bach, Bach and philosopher Harnish, Horn, Levinson,
Morgan, linguist/philosopher Neale, philosopher Searle, philosopher Stalnaker,
philosopher Walker (of Oxford), and philosopher Ziff” (I LOVE Ziff’s use,
seeing that he could be otherwise so anti-Griceian, vide Martinich, “On Ziff on
Grice on meaning,” and indeed Stampe (that you mention) on Ziff on Grice on
meaning. One particularly forceful statement is found in “of all people”
Kripke, who derides the ambiguity hypothesis as ‘the lazy man’s approach in
philosophy’ and issues a strong warning.” When I read that, I was reminded that
Stampe, in some unpublished manuscripts, deals with the loose use of Griceian
ideas by Kripke. Stampe discusses at length, “Let’s get out of here, the cops
are coming.” Stampe thinks Kripke is only superficially a Griceian! Kripke: “‘Do not posit an
ambiguity unless you are really forced to, unless there are really compelling
theoretical (or intuitive) grounds to suppose that an ambiguity really is
present’ (1977, p. 20). A similar idea surfaces in Ruhl’s principle of
“mono-semic” bias’. One’s initial effort is directed toward determining a
UNITARY meaning S1 for a lexical item E, trying to attribute apparent
variations (S2) in meaning to other factors. If such an effort fails, one tries
to discover a means of relating the distinct meanings S1 and S2. If this effort
fails, there are several words: E1 and E2 (1989, p. 4).” Grice’s ‘vice’ and
Grice’s ‘vyse,’ different words in English, same in Old Roman (“violent.”).
Ruhl’s position differs from Grice’s approach. Whereas Grice takes word-meaning
to be its WEAKEST exhibited meaning, Ruhl argues that word-meaning can be so
highly abstract or schematic as to provide only a CORE of meaning, making EVEN
the weakest familiar reading a pragmatic specialisation.” Loved that! Ruhl as more
Griceian than Grice! Indeed, Grice is freely using the very abstract notion of
a Fregeian ‘sense,’ with the delicacy you would treat a brick! “The difference between
Grice’s and Ruhl’s positions raises issues beyond the scope of the present
essay (though see Atlas, 1989, for further discussion).” I will! Atlas knows
everything you wanted to know, and more, especially when it comes to linguists!
He has a later book with ‘implicaturum’ in its subtitle. “Considering the central
role that “M. O. R.” plays in Grice’s programme, one is thus surprised to find
barely any attention paid to whether it is a good principle — to whether it is
true that a pragmatic explanation, when available, is in general more likely to
be true than its ‘ambiguity’ or polysemy, or bi-semy, or aequi-vocal rival.” Trying to play with this,
I see that Grice loves ‘aequi-vocal.’ He thinks that ‘must’ is ‘aequi-vocal’
between an alethic and a practical ‘use.’ It took me some time to process that!
He means that since it’s the ‘same,’ ‘aequi’, ‘voice’, vox’. So ‘aequi-vocal’
IS ‘uni-vocal.’ The Aristotelian in Grice, I guess! “Grice himself offers
vanishingly little argument.” How extended is a Harvard philosophical
audience’s attention-span? “Examining just two (out of the blue,
unphilosophical) cases where we seem happy to attribute a secondary or
derivative sense S2 to one word or expression E, but not another, Grice notes
that, in both cases, the supposition that the expression E has an additional
sense S2 is not superfluous, or unparsimonious, accounting for certain facets
of the use of E that cannot, apparently, be explained pragmatically.” I wonder
if a radically radical pragmatist would agree! I never met a polysemous
expression! Grice concludes that, therefore, ‘there is as yet no reason NOT to
accept M. O. R. ’ (1978, p. 120) — faint praise for a principle so important to
his philosophical programme! Besides this weak argument for “M. O. R.,” Grice
(1978) also mentions a few independent, rather loose, tests for alleged
ambiguity.” (“And how to fail them,” as Zwicky would have it!) But Grice’s
rationale for “M. O. R.,” presumably, is a thought Grice does not bother to
articulate, thinking perhaps that the principle’s name, its kinship with
Occam’s famous razor, ‘Do not multiply entities beyond necessity,’ made its
epistemic credentials sufficiently obvious already.” Plus, Harvard is very
Occamist!“To lay it out, though, the thought is surely that parsimony -- and
other such qualities as simplicity, generality, and unification -- are always
prized in scientific (and philosophical?) explanation, the more parsimonious
(etc.) of two otherwise equally adequate theories being ipso facto more likely
to be true. If, as would seem to be the case, a pragmatic explanation were more
parsimonious than its semantic, or ‘conventionalist,’ or ambiguity, or
polysemic, or polysemy or bi-semic rival, the conversational explanation would
be supported by an established, received, general principle of scientific
inference.” I
love your exploration of Newton on this below! Hypotheses non fingo! “Certainly, some such
argument is on Grice’s mind when he names his principle as he does, and much
the same thought surely lies behind Kripke’s references to ‘general
methodological considerations’ and ‘considerations of economy’ Other ‘Griceian’
appeals to these theoretical virtues are even more transparent. Linguist J. L.
Morgan tells us, for instance, that ‘Occam’s Razor dictates that we take a
Gricean account of an indirect speech act as the correct analysis, lacking
strong evidence to the contrary’ Philosopher Stalnaker argues that a major
advantage accrues to a pragmatic treatment of Strawson’s presupposition in that
‘there will then be no need to complicate the semantics or the lexicon’” or
introduce metaphysically dubious truth-value gaps! Linguist S. C. Levinson
suggests that a major selling point for a conversational theory in general is
that such a theory promises to ‘effect a radical simplification of the
semantics’ and ‘approximately halve the size of the lexicon’.” So we don’t need
to learn two words, ‘vyse’ and ‘vice.’ There can be little doubt, therefore,
that a Griceian takes parsimony to argue for the pragmatic approach.” I use the rather pedantic
and awful spelling “Griceian,” so that I can keep the pronunciation /grais/ and
also because Fodor used it! And non-philosophers, too! “But a parsimony argument
is notoriously problematic, and the argument for “M. O. R.” is no exception.
The preference for a parsimonious theory is surprisingly difficult to justify,
as is the assumption that a pragmatic explanation IS more parsimonious. This
does not mean Grice’s “M. O. R.” is entirely without merit. On the contrary,
Grice is right to hold that senses should not be multiplied, if a
conversational principle will do.” But the justification for M. O. R. need have
nothing to do with the idea that parsimony is, always and everywhere, a virtue
in scientific theories.” Also because we are
dealing with philosophy, not science, here? What makes Grice’s “M. O. R.”
reasonable, rather, is a set of assumptions about the psychological processes
involved in language learning, development, and acquisition, and I will report
some empirical (rather than conceptual, as Grice does) evidence that these
assumptions are, at least, roughly correct. One disclaimer. While I shall
defend Grice’s “M. O. R.,” and therefore the research programme initiated by
Grice, it is not my goal here to vindicate any specific pragmatic account, nor
to argue that any given linguistic phenomenon requires a pragmatic
explanation.” This
reminds me of Kilgariff, a Longman linguist. He has a lovely piece, “I don’t
believe in word SENSE!” I think he found that Longman had, under ‘horse’: 1.
Quadruped animal. 2. Painting of a horse, notably by Stubbs! He did not like
that! Why would ‘sense,’ a Fregeian notion, have a place in something like
‘lexicography,’ that deals with corpuses and statistics? “The task is, rather, to
understand the logic of a particular type of inference, a type of Griceian
inference that can be and has been employed by a philosopher such as Grice who
disagree on many other points of theory. Since it would be impossible within
the confines of this essay to discuss these disagreements, or to do justice to
the many ways in which Grice’s paradigm or programme has been revised and
extended (palaeo-Griceians, neo-Griceians, post-Griceians), my discussion is
confined to a few hackneyed examples hackneyed by Grice himself, and to Grice’s
orthodox theory, if a departure therefrom will be noted where relevant. The
conversational explanation of an alleged ambiguity or polysemy or bi-semy aims to
show how an utterer U can take an expression E with one conventional meaning
and use it as if it had other meanings as well. Typically, this requires
showing how the utterer U’s intended message can be ‘inferred,’ with the aid of
a general principle of communicative behaviour, from the conventional meaning
or sense of the word E that U utters. In Grice’s pioneering account, for
instance, the idea is that speech is subject to a Principle of Conversational
Co-Operation (In earlier Oxford seminars, where he introduced ‘implicaturum’ he
speaks of two principles in conflict: the principle of conversational
self-interest, and the principle of conversational benevolence! I much love
THAT than the rather artificial Kant scheme at Harvard). ‘Make your
conversational contribution, or move, such as is required, at the stage at
which it occurs, by the accepted purpose or direction of the conversational
exchange in which you are engaged.’(1975, p. 44). “Sub-ordinate to the
Principle of Conversational Co-Operation are four conversational maxims (he was
jocularly ‘echoing’ Kant!) falling under the four Kantian conversational
categories of Quality, Quantity, Relation, and Modus. Roughly: Make your
contribution true. Kant’s quality has to do with affirmation and negation, rather.
Make your contribution informative. Kant’s quantity has to do with ‘all’ and
‘one,’ rather. Make your contribution relevant. Kant’s relation God knows what
it has to do with. Make your contribution perspicuous [sic]. Kant’s modus has
to do with ‘necessary’ and ‘contingent.’ Grice actually has ‘sic’ in the original
“Logic and Conversation.” It’s like the self-refuting Kantian. Also in ‘be
brief (avoid unnecessary prolixity’” ‘proguard obfuscation,’ sort of thing? “…
further specifying what cooperation entails (pp. 45–46).” It’s sad Grice did not
remember about the principle of conversational benevolence clashing with the
principle of conversational self-interest, or dismissed the idea, when he wrote
that ‘retro-spective’ epilogue about the maxims, etc. Bontly: “Unlike the
constitutive (to use Anscombe and Searle, not regulative) principles of a
grammar, the Principle of Conversational Co-Operation and the conversational,
universalisable, maxims are to be thought of not as an arbitrary convention –
vide Lewis -- but rather as a rational STRATEGY or guideline (if ‘strategy’ is
too strong) for achieving one’s communicative ends.” I DO think ‘strategy’ is
too strong. A strategist is a general: it’s a zero-sum game, war. I think
Grice’s idea is that U is a rational agent dealing with his addressee A,
another rational agent. So, it’s not strategic rationality, but communicative
rationality. But then I’m being an etymologist! Surely chess players speak of
‘strategies,’ but then they also speak of ‘check mate,” kill the king! Bontly
quotes from Grice: “‘[A]nyone who cares about the goals that are central to
conversation,’ says Grice, ought to find the principle of conversational
cooperation eminently reasonable (p. 49).” If not rational! I love Grice’s /:
rational/reasonable. He explores on this later, “The price of that pair of
shoes is not reasonable, but hardly irrational!” Bontly: “Like a grammar,
however, the principle of conversational co-operation is (supposedly) tacitly
known (or assumed) by conversationalists, who can thus call on it to interpret
each other’s conversational moves.” Exactly. Parents teach their children
well, not to lie, etc. “These interpretive practices being mutual ‘knowledge,’
or common ground, moreover, an utterer U can plan on his co-conversationalist B
using the principle of conversational cooperation, to interpret his own utterances,
enabling him to convey a good deal of information (and influencing) implicitly
by relying on others to infer his intended meaning.”INFORMING seems to do, because,
although Grice makes a distinction between ‘informing’ and ‘influencing,’ he
takes an ‘exhibitive’ approach. So “Close the door!” means “I WANT YOU To
believe that I want you to close the door.” I.e. I’m informing – influencing
VIA informing. “Detailed
discussions of Grice’s principle of conversational cooperation are found in
many of the essays collected in Grice (1989), as well as in the work by
linguists like Levinson (1983) and linguist/philosopher Neale (1992).
Extensions and refinements of Grice’s approach are developed by linguist Horn
(1972), linguist/philosopher Bach and philosopher Harnish (1979), linguist
Gazdar (1979), linguist/philosopher Atlas and philosopher Levinson (1981),
anthropologist Sperber and linguist Wilson (1986), linguist/philosopher Bach
(1994), linguisdt Levinson (2000), and linguist Carston (2002).). The Principle
of conversational cooperation and its conversational maxims allow Grice to draw
a distinction between two dimensions of an utterer’s meaning within the total significance.” I never liked that Grice
uses “signification,” here when in “Meaning” he had said: “Words, for all that
Locke said, are NOT signs.” “We apply ‘sign’ to traffic signals, not to ‘dog’.” Bontly: “That which is
‘closely related to the conventional meaning of the word’ uttered is what the
utterer has SAID (1975, p. 44),” or the explicatum, or explicitum. That which
must instead be inferred with the aid of the principle of conversational
cooperation is what the utterer U has conversationally implicated, the IMPLICATURUM
(pp. 49–50), or implicitum. This dichotomy is in several ways oversimplified.
First, Grice (1975, 1978) also makes room for ‘conventional’ implicaturums
(“She was poor BUT she was honest”) and non-conversational non-conventional implicaturums
(“Thank you,” abiding with the maxim, ‘be polite’), although these dimensions
are both somewhat controversial (cf. Bach’s attack on conventional implicaturum)
and can be set aside here. Also controversial is the precise delineation of
Grice’s notion of what is said.” He grants he is using ‘say’ ‘artifiicially,’
which means, “natural TO ME!.” Some (anthropologist Sperber and linguist
Wilson, 1986; linguist Carston, 1988, 2002; philosopher Recanati, 1993) hold
that ‘what is said,’ the DICTUM, the explicatum, or explicitum, is
significantly underdetermined by the conventional meaning of the word uttered,
with the result that considerable pragmatic intrusive processing must occur
even to recover what the utterer said.” And Grice allows that an implicaturum can
occur within the scope of an operator.“Linguist/philosopher Bach disagrees,
though he does add an ‘intermediate’ dimension (that of conversational
‘impliciture’) which is, in part, pragmatically determined, enriched, or
intruded. For my purpose, the important distinction is between that element of
meaning which is conventional or ‘encoded’ and that element which is
‘inferred,’ ab-duced, or pragmatically determined, whether or not it is
properly considered part of what is said,” in Grice’s admittedly artificial use
of this overused verb! (“A horse says neigh!”) A conversational implicaturum
can itself be either particularized (henceforth, PCIs) or generalized (GCIs)
(56).” Most familiar examples of implicaturum are particularised, where the
inference to the utterer U’s intended meaning relies on a specific assumption
regarding the context of utterance.” Grice’s first example, possibly, “Jones
has beautiful handwriting” (Grice 1961).“Alter that context much at all and the
implicaturum will simply disappear, perhaps to be replaced by another. With a
generalised implicaturum, on the other hand, the inference or abduction to U’s
intended interpretation is relatively context-independent, going through unless
special clues to the contrary are provided to defeat it.”Love the ‘defeat.’
Levinson cites one of Grice’s unpublications as “Probability, defeasibility,
and mood operators,” where Grice is actually writing, “desirability.”! “For instance, an
utterance of the sentence” ‘SOME residents survived the earth-quake,’ would
quite generally, absent any special clues to the contrary, seem to implicate
that not all survived. All survived, alas, seems to be, to some, no news. Cruel
world. No special ‘stage-setting’ has to be provided to make the implicaturum
appreciable. No particular context needs to be assumed in order to calculate
the likely intended meaning. All one needs to know is that an utterer U who
thought that everyone, all residents survived the earthquake (or that none
did?) would probably make this stronger assertion (in keeping with Grice’s
first sub-maxim of Quantity: ‘Make your contribution as informative as
required’).” Perhaps
it’s best to deal with buildings. “Some – some 75%, I would say -- of the
buildings did not collapse after the earth-quake on the tiny island, and
fortunately, no fatalities need be reported. It wasn’t such a big earth-quake
as pessimist had predicted.”
“A
Gricean should maintain that the ‘ambiguity’ of “some” -> “not all”
canvassed at the outset can all be explained in terms of a generalized
conversational implicaturum. For instance, linguist Horn shows, in his PhD on
English, how an exclusive use of ‘or’ can be treated as a consequence of the
maxim of Quantity. Roughly, since ‘p AND q’ is always ‘more informative,’
stronger, than ‘p or q’, an utterer U’s choosing to assert only the disjunction
would ordinarily indicate that he takes one or the other disjunct to be false.
He could assert the conjunction anyway, but then he would be violating Grice’s
first submaxim of Quality: ‘Do not say what you believe to be false’ For
similar reasons, the assertion of a disjunction would ordinarily seem to
implicate that the utterer U does not know which disjunct is true (otherwise he
would assert that disjunct rather than the entire disjunction) and hence, and
this is the way Grice puts it, which is technically, the best way, that the
utterer wants to be ‘interpreted’ as having some ‘non-truth-functional grounds’
for believing the disjunction (philosopher Grice, 1978; linguist Gazdar, 1979).
For recall that this all
goes under the scope of a psychological attitude. In “Method in psychological
philosophy: from the banal to the bizarre,” repr. in “The conception of value,”
Grice considers proper disjunctions: “The eagle is not sure whether to attack
the rabbit or the dove.” I think Loar plays with this too in his book for
Cambridge on meaning and mind and Grice. “Grice (1981) takes a similar line with
regard to asymmetric uses of ‘and’.” Indeed, I loved his “Jones got into bed
and took off his clothes, but I do not want to suggest in that order.” “Is that
a linguistic offence?” Don’t think so!” “The fourth submaxim of Manner,” ‘be
orderly’ -- I tend to think this is ad-hoc and that Grice had this maxim JUST
to explain away the oddity of “She got a children and married,” by Strawson in
Strawson 1952. “says that utterers should be ‘orderly,’ and when describing a
sequence of events, an orderly presentation would normally describe the events
in the order in which they occurred. So an utterance of (1b) (‘Jones took off his trousers – he had
taken off his shoes already -- and got into bed.’ “would ordinarily (unless the
utterer U ‘indicates’ otherwise) implicate that Jones did so in that order,
hence the temporal reading of ‘and’.” “(Grice’s (1981) account of asymmetric
‘and’ seems NOT to account for causal interpretations like (1c).”Ryle says in
“Informal logic,” 1953, in Dilemmas, “She felt ill and took arsenic,” has the
conscript ‘and’ of Whitehead and Russell, not the ‘civil’ ‘and’ of the informalist.
“Oxonian philosopher R. C. S. Walker – what took him to respond to Cohen?
Walker quotes from Bostock, who was Grice’s tutee at St. John’s -- (1975, p.
136) suggests that the causal reading can be derived from the maxim of
Relation.”Nowell-Smith had spoken of ‘be relevant’ in Ethics. But Grice HAD to
be a Kantian!“Since conversationalists are expected to make their utterances
relevant, one expects that conjoined sentences will ‘have some bearing to one
another’, often a causal bearing. More nearly adequate accounts of the temporal
and causal uses of ‘and’ (so-called ‘conjunction buttressing’) are found in
linguist/philosopher Atlas and linguist Levinson (1981) and in linguist
Levinson (1983, 2000). Linguist Carston (1988, 2002) develops a rival pragmatic
account within the framework of anthropologist Sperber’s and linguist Wilson’s
Relevance Theory, on which temporal and causal readings are explicatures rather
than implicaturums. For the purposes of this essay, it is immaterial which of
these accounts best accords with the data. In these and many other cases, it
seems that a general principle regarding communicative RATIONALITY can provide
an alternative to positing a semantic ambiguity.”Williamson is lecturing at
Yale that ‘rationality’ has little to do with it!“But a Gricean goes a step
further and claims that the implicaturum account (when available) is BETTER
than an ambiguity or polysemy account. One possible argument for the stronger
thesis is that the various specialised uses of ‘or’ (etc.) bear all the usual
hallmarks of a conversational implicaturum. An implicaturum is: calculable
(i.e. derivable from what is said or dictum or explicatum or explicitum via the
Principle of conversational cooperation and the conversational maxims);
cancellable (retractable without contradiction), and; non-detachable (incapable
of being paraphrased away) Grice, 1975, pp. 50 and 57–58). They ought also to
be, sort of, universal.” (Cf. Elinor Keenan Ochs, “The universality of
conversational implicaturum.” I hope Williamson considers this. In Madagascar,
they have other ‘norms’ of conversation: since speakers are guarded, implicatura
to the effect, “I don’t know” are never invited! Unlike the true lexical
ambiguity that arises from a language-specific convention, an implicaturum
derives rather from general features of communicative RATIONALITY and should
thus be similar across different languages (philosopher Kripke, 1977; linguist
Levinson, 1983).”I’m not sure. Cfr. Ochs in Madagascar. But she is a
linguist/anthropologist, rather than a philosopher? From a philosophical point
of view, perhaps the best who treated this issues is English philosopher Martin
Hollis in his essays on ‘rationality’ and ‘relativism’ (keywords!)“Since the
‘ambiguity’ in question here has all these features, at least to some degree,
the implicaturum approach may well seem irresistible. It is well known,
however, that none of the features listed on various occasions by Grice are
sufficient (individually or jointly) to establish the presence of a conversational
implicaturum (Grice, 1978; linguist Sadock, 1978). Take calculability.” Or how
to ‘work it out,’ to keep it Anglo-Saxon, as pretentious Grice would not! The
main difficulty is that a conversationalimplicaturum can become fossilized, or
‘conventionalised’ over time but remain calculable nonetheless, as happens with
some ‘dead’ metaphors — one-time non-literal uses which congealed into a new
conventional meaning.” A linguist at Berkeley worked on this, Traugott, on
items in the history of the English language, or H-E-L, for short, H.O.T.E.L,
history of the English language. I don’t think Grice considers this. He sticks
with old Roman ‘animal’ -> ‘non-human’, strictly, having a ‘soul,’ or
animus, anima. (I think Traugott’s focus was on verb forms, like “I have
eaten,” meaning, literally, “I possess eating,” or something. But she does
quote Grice and speaks of fossilization. “For instance, the expression.” ‘S
went to the bathroom’ (Jones?) could, for obvious reasons, be used with its
original, compositional, meaning to implicate that S ‘relieved himself’.” “The
intended meaning would still be calculable today.”Or “went to powder her nose?”
(Or consider the pre-Griceian (?) child’s overinformative, standing from table
at dinner, “I’m going to the bathroom to do number 2 (unless he is flouting the
maxim). “But the use has been absorbed, or encoded into some people’s grammar,
as witnessed by the fact that ‘S went to
the bathroom on the living room carpet.’ is not contradictory (linguist J. L.
Morgan, 1978; linguist Sadock, 1978).”I wonder what some contextualists at Yale
(De Rose) would say about that!? Cf. Jason Stanley, enfant terrible. “Grice’s
cancellability is similarly problematic. While one may cancel the exclusive
interpretation of ‘p or q’ (e.g. by adding ‘or possibly both’), the added
remark could just as well be disambiguating an ambiguous utterance as canceling
the implicaturum (philosopher Walker, 1975; linguist Sadock, 1978).”Excellent
POINT! Walker would be fascinated to see that Grice once coined ‘disimplicaturum’
for some loose uses. “Macbeth saw Banquo.” “That tie is yellow under that
light, but orange under this one.” Actually, Grice creates ‘disimplicaturum’ to
refute Davidson on intending: “Jones intends to climb Mt Everest next weekend.”
Intending DOES entail BELIEF, but people abuse ‘intend’ and use it ‘loosely,’
with one sense dropped. Similarly, Grice says, with “You’re the cream in my
coffee,” where the ‘disimplicaturum’ is TOTAL!“Non-detachability fares no
better. When two sentences are synonymous (if there is, pace Quine, such a
thing), utterances of them ought to generate the same implicaturum. But they
will also have the same semantic implications, so the non-detachability of an
alleged implicaturum shows very little if anything at all (linguist Sadock,
1978).”I never liked non-detachability, because it ENTAILS that there MUST be a
synonym expression: cfr. God? Divinity? “Universality is perhaps the best test
of the four.”I agree. When linguists like Elinor Keenan disregard this, I tend
to think: “the cunning of conversational reason,” alla Hollis. Grice was a
member of Austin’s playgroup, and the conversational MAXIMS were
‘universalisable’ within THAT group. That seems okay for both Kant AND Hegel!“Since
an implicaturum can fossilise into a conventional meanings, however, it is
always possible for a cross-linguistic alleged ‘ambiguity’ to be pragmatic in
some language though lexical in another.”Is that ‘f*rnication’? Or is it Grice
on ‘pushing up the daisies’ as an “established idiom” for ‘… is dead’ in WJ5?
Austin and Grice would I think take for granted THREE languages: Greek and
Roman, that they studied at their public schools – and this is important,
because Grice says his method of analysis is somehow grounded on his classical
education – and, well, English. Donald Davidson, in the New World, would object
to the ‘substantiation’ that speaking of “Greek” as a language, say, may
entail.“So while Grice’s tests are suggestive, they supply no clear verdict on
the presence of an implicaturum. Besides these inconclusive tests for implicaturum,
Grice could also appeal to various diagnostic tests for alleged ambiguity.”
“And how to fail them,” to echo Zwicky. Grice himself suggests three, although
none of them prove terribly helpful.”Loved your terrible. Cfr. ‘terrific’. And
the king entering St. Paul’s cathedral: “Aweful!” meaning ‘awe-some!’“First,
Grice points out that each alleged sense Sn of an allegedly ambiguous word E
ought to be expressible ‘in a reasonably wide range of linguistic environments’
(1978, p. 117). The fact that the strong implicaturum of ‘or’ is UNavailable
within the scope of a negation, for instance, would seem to count AGAINST
alleged ambiguity or polysemy. On the other hand, the strong implicaturum of
‘or’ IS available within the scope of a propositional-attitude verb. A strong implicaturum
of ‘and’ is arguably available in both environments, within the scope of a
negation, and within the scope of a psychological-attitude verb. So the first
test seems a wash.”Metaphorically, or implicaturally. J“Second,
Grice says, if the expression E is ambiguous with one sense S2 being derived
(somehow) from the initial or original or etymological sense S1, that
derivative sense S2 ‘ought to conform to whatever principle there may be which
governs the generation of derivative senses’ (pp. 117–118).”GRICE AT HIS BEST!
I think he is trying to irritate Quine, who is seating on second row at
Harvard! (After all Quine thought he was a field linguist!)Bontly, charmingly:
“Not knowing the content of thi principle Grice invokes— and Grice gives us no
hint as to what it might be — we cannot bring it, alas, to bear here!”I THINK
he was thinking Ullman. At Oxford, linguists were working on ‘semantics,’ cfr.
Gardiner. And he just thought that it would be Unphilosophical on his part to
bore his philosophical Harvard audience with ‘facts.’ At one point he does
mention that the facts of the history of the English language (how ‘disc’ can
be used, etc.) are not part of the philosopher’s toolkit?“Third and finally,
Grice says, we must ‘give due (but not undue) weight to MY INTUITIONS about the
existence (or indeed non-existence) of a putative sense S2 of a word E.’ (p.
120).”Emphasis on ‘my’ mine! -- As I say, I never had any intuition about an
expression having an extra-putative sense. Not even ‘bank,’ – since in Old
Germanic, it’s all etymologically related!Bontly: “But, even granting the point
that ‘or’ is NON-INTUITIVELY ambiguous in quite the same way that ‘bank’ IS,
allegedly, INTUITIVELY ambiguous, the source of our present difficulty is
precisely the fact that ‘p or q’ often *seems* intuitively to imply that one or
the other disjunct is false.”Grice apparently uses ‘intuition’ and
‘introspection’ interchangeably, if that helps? Continental phenomenological
philosophers would make MUCH of this! For Grice’s intuitions are HIS own. In a
lecture at Wellesley, of all places (in Grice 1989) he writes: “My problems
with my use of E arise from MY intuitions about the use of E. I don’t care how
YOU use E. Philosophy is personal.” Much criticised, but authentic, in a
way!“Since he discounts the latter intuition, Grice cannot place much weight on
the former!”As I say, Grice’s intuitions are hard to fathom! So are his introspections!
Actually, I think that Grice’s sticking with introspections and intuitions save
him, as Suppes shows in PGRICE ed Grandy and Warner, from being a behaviourist.
He is, rather, an intentionalist!“While a complete review of ambiguity tests is
beyond the scope of this essay, we have perhaps seen enough to motivate the
methodological problem with which we began: viz., that an, intuitive, alleged,
ambiguity seems fit to be explained either semantically (ambiguity thesis,
polysemy, bi-semy) or pragmatically/conversationally, with little by way of
direct evidence to tell us which is which!”“If philosophy generated no
problems, it would be dead!” – Grice. J“Linguists Zwicky
and Sadock review several linguistic tests for ambiguity (e.g. conjunction
reduction) and point out that most are ill-suited to detect ambiguities where
the meanings in question are privative opposites,”Oddly, Grice’s first
publication ever was on “Negation and privation,” 1938!Bontly: “i.e. where one
meaning is a specialization or specification of the other (as for instance with
the female and neutral senses of ‘goose’).”Or cf. Urmson, “There is an animal
in the backyard.” “You mean Aunt Matilda?”Bontly: “Since the putative
ambiguities of ‘or’ and the like are all of this sort, it seems inevitable that
these tests will fail us here as well. For further discussion, see linguist
Horn (1989, pp. 317–18 and 365–66) and linguist Carston (2002, pp. 274–77).It
is hardly surprising, therefore, to find that a Gricean typically falls back on
a methodological argument like parsimony, as instantiated in “M. O. R.”Let’s
now turn to Parsimony and Its Problems. It may, at first, be less than obvious
why an ambiguity or polysemy or bi-semy account should be deemed less
parsimonious than its Gricean rival.” Where the conventionalist or ambiguist
posits an additional sense S2, Grice adds, to S1, a conversational implicaturum,
I”. Cheap, but no free lunch! (Grice saves)Bontly: “Superficially, little seems
to be gained.” Ah, the surfaces of Oxford superficiality! “Looking closer,
however, the methodological virtues of the Grice’s approach seem fairly
clear.”Good!Bontly: “First, the principles and inference patterns that a
pragmatic or conversational account utilizes are independently motivated. The
principles and inference patterns are needed in any case to account for the
relatively un-controversial class of particularized implicatura, and they
provide an elegant approach to phenomena like figures of rhetoric, or speech --
metaphor, irony, meiosis, litotes, understatement, sarcasm – cfr. Holdcroft --
and tricks like Strawson’s presupposition. So it would seem that Grice can make
do with explanatory material already on hand, whereas the ambiguity or polysemy
theorist must posit a new semantic rule in each and every case. Furthermore,
the explanatory material has an independent grounding in considerations of
rationality.”I love that evening when Grice received a phonecall at Berkeley:
“Professor Grice: You have been appointed the Immanuel Kant Memorial Lecturer
at Stanford.” He gave the lectures on aspects of reason and reasoning!Bontly:
“Since conversation is typically a goal-directed activity, it makes sense for
conversationalists to abide by the Principle of Conversational Cooperation
(something like Kant’s categorical imperative, in conversational format) and
its (universalisable) conversational maxims, and so it makes sense for a
co-conversationalist to interpret the conversationalist accordingly. A
pragmatic explanation is therefore CHEAP – hence Occam on ‘aeconomicus’ -- the
principle it calls on being explainable by — and perhaps even reducible to —
facts about rational behavior in general.”I loved your “REDUCE.” B. F. Loar
indeed thought, and correctly, that the maxims are ‘empirical generalisations
over functional states.’ Genius!Bontly: A pragmatic account is not only more
economic, or cheaper. It also reveals an orderliness or systematicity that
positing a separate lexical ambiguity or polysemy or bisemy in each and every
case would seem to miss (linguist/philosopher Bach). To a Griceian, it is no
accident that a sentential connective or truth-functor (“not,” “and,” “or,” and
“if”), a quantified expression (Grice’s “all” and “some (at least one)”) and a
description (Grice’s “the”) all lend themselves to a weak and a stronger
interpretation”Cf. Holdcroft, “Weak or strong?” in “Words and deeds.”Bontly:
“Note, for instance, that a sentence with the logical form ‘Some Fs are
Gs’, and the pleonethetic, to use
Geach’s and Altham’s coinage, ‘Most Fs are Gs’, and ‘A few Fs are Gs’ are all
allegedly ‘ambiguous’ in the SAME way. Each of those expressions has an obvious
weak reading in addition to a stronger reading: ‘Not all Fs are Gs’.Good
because Grice’s first examination was: “That pillar-box seems red to me.” And
he analyses the oddness in terms of ‘strength.’ (Grice 1961). He tries to
analyse this ‘strength’ in terms of ‘entailment,’ but fails (“Neither ‘The
pillar-box IS red’ NOR ‘The pillar-box SEEMS red’ entail each other.”)Bontly:
For the conventionalist or polysemy theorist, there is no apparent reason why
this should be so. There is no reason, that is, why three etymologically
unrelated words (“some,” “most,” and “few”) should display the SAME pattern of
alleged ambiguity. The Gricean, on the other hand, explains each the SAME way,
by appealing to some rational principle of conversation. The implicatura are
all ‘scalar’ quantity implicatura, attributable to the utterer U’s having
uttered a weaker, less informative, sentence than he might have.” Linguist
Levinson, 1983). Together, these considerations make a persuasive case for the
Grice’s approach. A pragmatic explanation is more economical, and the resulting
view of conversation is more natural and unified. Since economy and unification
are both presumably virtues to be sought in a scientific or philosophical
explanation — virtues which for brevity I lump together under Occamist
‘parsimony’ — it would NOT be unreasonable to conclude that a pragmatic
explanation is (ceteris paribus) a better explanation. So it seems that Grice’s
principle, the “M. O. R.” is correct. Senses ought not to be multiplied when
pragmatics will do. Still, there are several reasons to be suspicious of the
parsimony argument. “I lay out three. It bears emphasis that none of these are
objections to the pragmatic approach per se.” I have no quarrel with the theory
of conversation or particular attempts to apply it to conversational phenomena.
The objections focus rather on the role that parsimony (or simplicity, or
generality, etc.) plays in arguments PRO the implicaturum and CONTRA ambiguity
or polysemy.” Then, there’s Dead Metaphors. First is a worry that parsimony is
too blunt an instrument, generalizing to unwanted conclusions. Versions of this
objection appear in philosopher Walker (1975), linguist Morgan (1978), and
linguist Sadock (1978).” More recently, Reimer (1998) and Devitt (forthcoming)
use it to argue against a Gricean treatment of the referential/attributive
distinction.”But have they read Grice’s VACUOUS NAMES? I know you did! Grice notes:
“My distinction has nothing to do with Donnellan’s!” Grice’s approach is
syntactic: ‘the’ and “THE,” identificatory and non-identificatory uses. R. M.
Sainsbury and D. E. Over have worked on this. Fascinating. Bontly: “For as with
the afore-mentioned so-called ‘dead’ metaphor, it can happen that a word has a
secondary use that is pragmatically predictable, and yet fully conventional. In
many such cases, of course, the original, etymological meaning is long
forgotten: e. g. the contemporary use of ‘fornication’, originally a euphemism
for activities done in fornice (that is, in the vaulted underground dwellings
that once served as brothels in Rome). (I owe this [delightful] example to Sam
Wheeler). Few speakers recall the original meaning, so the metaphor can no
longer be ‘calculated,’ as Grice’s “You’re the cream in my coffee!” (title of
song) can!” The metaphor is both dead _and buried_.”Still un-buriable?“In other
cases, however, speakers do possess the information to construct a Gricean
explanation, and yet the metaphor is dead anyway.”Reimer’s (1998) example of
the verb ‘incense’ is a case in point. One conventional meaning (‘to make or
become angry’) began life as a metaphorical extension of the other (‘to make
fragrant with incense’). The reason for the extension is fairly transparent
(resting on familiar comparisons of burning and emotion), but the use allegedly
represents an additional sense nonetheless.”What dictionaries have as ‘fig.’
But are we sure that when the dictionaries list things like 1., 2., 3., they
are listing SENSES!? Cf. Grice, “I don’t give a hoot what the dictionary says,”
to Austin, “And that’s where you make your big mistake.” Once Grice actually
opened the dictionary (he was studying ‘feeling + adj.’ – he got to
‘byzantine,’ finding that MOST adjectives did, and got bored!Bontly: Such
examples suggest that an implicaturum makes up an important source of
semantic—and, according to linguist Levinson (2000), syntactic—innovation. A
linguistic phenomenon can begin life as a pragmatic specialization or an
extension and subsequently become conventionalized by stages, making it
difficult to determine at what point (and for which ‘utterers’) a use has
become fully conventional. One consequence is that an expression E can have,
allegedly, a second sense S2, even when a pragmatic explanation appears to make
it explanatorily superfluous, and parsimony can therefore mislead.”I’m not sure
dictionary readers read ‘fig.’ as a different ‘sense,’ and lexicographers need
not be Griceian in style!Bontly: “A related point is that an ambiguity account
needn’t be LESS unified than an implicaturum account after all. If pragmatic
considerations can explain the origin and development of new linguistic
conventions, the ambiguity or polysemy theorist can provide a unified
dia-chronic account of how several un-related expressions came to exhibit
similar patterns of alleged ‘ambiguity.’ Quantifiers like ‘some’, ‘most’, and
‘a few’ may be similarly allegedly ambiguous today because they generated
similar implicaturums in the past (cf. Millikan, 2001).”OKAY, so that’s the
right way to go then? Diachrony and evolution, right?Bontly: “Then, there’s
Tradeoffs. A ‘dead’ metaphor suggests that parsimony is too strong for the
pragmatist’s purposes, but as a pragmatic account could have hidden costs to
offset the semantic savings, parsimony may also be too weak! E. g. an implicaturum
account looks, at least superficially, to multiply (to use Occam’s term)
inferential labour, leaving it to the addressee to infer the utterer’s intended
meaning from the words uttered, the context, and the conversational principle.
Thus there are trade-offs involved, and the account which is semantically more
parsimonious may be less parsimonious all things considered.”Grice once invited
the “P. E. R. E.,” principle of economy of rational effort, though. Things
which seem to be psychologically UNREAL are just DEEMED, tacitly, to
occur.Bontly: “To be clear, this is not to suggest that the ambiguity or
polysemy account can dispense with inference entirely. Were the exclusive and
inclusive senses of ‘or’ BOTH lexically encoded (as they were in Old Roman,
‘vel’ and ‘aut,’ hence Whitehead’s choice of ‘v’ for ‘p v q’) still hearers
would need to infer from contextual clues which meaning were intended. The
worry is not, therefore, so much that the implicaturum account increases the
number of inferences which conversants or conversationalists have to perform.
The issue concerns rather the complexity of these inferences. Alleged
dis-ambiguation is a highly constrained process. In principle, one need only
choose the relevant sense Sn, from a finite list represented in the so-called
‘mental lexicon’. Implicaturum calculation, on the other hand, is a matter of
finding the best explanation (abductively, alla Hanson) for an utterer’s
utterance, the utterer’s meaning being introduced as an explanatory hypothesis,
answering to a ‘why’ question. Unlike dis-ambiguation, where the various
possible readings are known in advance, in the conversational explanation, the
only constraints are provided by the addressee’s understanding of the context
and the conversational principle. So it appears that Grice’s approach saves on
the lexical semantics by placing a greater inferential burden on utterer and
addressee.”But Grice played bridge, and loved those burdens. Stampe actually
gives a lovely bridge alleged counter-example to Grice (in Grice 1989).Bontly:
“Now, a Gricean can try to lessen this load in various ways. Grice can argue,
for instance, that the inference used to recover a generalised implicaturum is
less demanding than that for a particularized one, that familiarity with types
of generalised implicate can “stream-line” the inferential process, and so
on.”Love that, P. E. R. E., or principle of economy of rational effort,
above?!Bontly: “We examine these moves. There’s Justification. Another
difficulty with Grice’s appeals to parsimony is the most fundamental. On the
one hand, it can hardly be denied that parsimony plays a role in scientific, if
not philosophical, inference.” Across the sciences, if not in philosophy, it is
standard practice to cite parsimony (simplicity, generality, etc.) as a reason
to choose one hypothesis over another; philosophers often do the same.”Bontly’s
‘often’ implicates, ‘often not’! Grice became an opponent of his own minimalism
at a later stage of his life, vide his “Prejudices and predilections; which
become, the life and opinions of Paul Grice,” by Paul Grice!Bontly: “At the
same time, however, it remains quite mysterious, if that’s the word, why
parsimony (etc.) should be given such weight by Occamists like Grice. If it
were safe to assume that Nature is simple and economical, the preference for
theories with these qualities would make perfect sense. Sir Isaac Newton offers
such an ontological rationale for parsimony in the “Principia.” Sir Isaac
writes (in Roman?) “I am to admit no more cause of a natural thing than such as
are true and sufficient to explain its appearance.” “To this purpose, the
philosopher says that Nature does nothing in vain, and more is in vain when
less serves.” “For Nature is pleased with simplicity, and affects not the pomp
of a superfluous cause.” “While a blanket assertion about the simplicity of
Nature is hardly uncommon in the history of science, today it is viewed with
suspicion.” Bontly: “Newton’s reasons
were presumably theological.” “If I knew that the Creator values simplicity and
economy, I should expect the creatION to display these qualities as well.”
“Lacking much information about the Creator’s tastes, however, the assumption
becomes quite difficult, if not impossible, to support.”Cfr. literature on
‘biological diversity.’Bontly: “(Sober discusses several objections to an
ontological justification for the principle of parsimony. Philosopher of science
Mary Hesse surveys several other attempts to justify the use of parsimony and
simplicity in scientific inference. Philosophers of science today are largely
persuaded that the role of parsimony is ‘purely methodological’
epistemological, pragmatist, rather than ontological — that it is rational to
reject unnecessary posits (or complex, dis-unified theories) no matter what
Nature is like. One might argue, for instance, that the principle of parsimony
is really just a principle of minimum risk. The more existence claims one
accepts, the greater the chance of accepting a falsehood. Better, then, to do
without any existence claim one does not need. Philosopher J. J. C. Smart
attributes this view to John Stuart Mill.”Cf. Grice: “Not to bring more Grice
to the Mill.”Bontly: “Now, risk minimization may be a reasonable methodological
principle, but it does not suffice to explain the role of parsimony in natural
science. When a theoretical posit is deemed explanatorily superfluous, the
accepted practice is not merely to withhold belief in its existence but to
conclude positively that it does not exist. As Sober notes, ‘Occam’s razor
preaches atheism about unnecessary entities, not just a-gnosticism.’”
Similarly, Grice’s razor tells us that we should believe an expression E to be
unambiguous, aequi-vocal, monosemous, unless we have evidence for a second
meaning. The absence of evidence for this alleged additional, ‘multiplied’
‘sense’ is presumed to count as evidence that this alleged second, additional,
multiplied, sense is absent, does not exist. But an absence of evidence is not
the same thing as evidence of an absence.” The difficult question about
scientific methodology is why we should count one as the other. Why, that is,
should a lack of evidence for an existence claim count as evidence for a
non-existence claim? The minimum risk argument leaves this question unanswered.
Indeed, philosophers of science have had so little success in explaining why
parsimony should be a guide to truth that many are tempted to conclude that it
and the other ‘super-empirical virtues’ have no epistemic value whatsoever.
Their role is rather pragmatic, or aesthetic.”This is in part Strawson’s reply
in his “If and the horseshoe” (1968), repr. in PGRICE, in Grandy/Warner. He
says words to the effect: “Grice’s theory may be more BEAUTIFUL than mine, but
that’s that!” (Strawson thinks that ‘if’ acts as ‘so’ or ‘therefore’ but in
UNASSERTED clauses. So it’s a matter of a ‘conventional’ IMPLICATURUM to the
inferrability of “if p, q” or “p; so, q.” I agree with Strawson that Grice’s
account of ‘conventional’ implicaturum is not precisely too beautiful?Bontly:
“Parsimony can make a theory easier to understand or apply, and it pleases
those of us with a taste for desert landscapes, but (according to these
sceptics) they do not make the theory any more likely to be true.”The reference
to the ‘desert landscape’ is genial. Cfr. Strawson’s “A logician’s landscape.”
Later in life, Grice indeed found it unfair that an explanation of cherry trees
blooming in spring should be explained as a ‘desert landscape.’ “That’s
impoverishing it!”Bontly: “van Fraassen, for instance, tells us that a
super-empirical virtue ‘does not concern the relation between the theory and
the world, but rather the use and usefulness of the theory; it provide reasons
to prefer the theory independently of questions of truth.” “If that were
correct, it would be doubtful that parsimony can shoulder the burden Grice
places on it.” “For then the conventionalist may happily grant that a pragmatic
explanation is clever and elegant, and beautiful.” “The conventionalist can agree that an implicaturum
account comprehends a maximum of phenomena with a minimum of theoretical
apparatus.” “But when it comes to truth, or alethic satisfactoriness, as Grice
would prefer, a conventionalist may insist that parsimony is simply
irrelevant.” “One Gricean sympathizer who apparently accepts the ‘aesthetic’
view of parsimony is the philosopher of science R. C. S. Walker (1975), who
claims that the ‘[c]hoice between Grice’s and Cohen’s theories is an aesthetic
matter’ and concludes that ‘we should not regard either the Conversationalist
Hypothesis or its [conventionalist] rivals as definitely right or wrong.’” Cfr.
Strawson in Grandy/Warner, but Strawson is no Griceian sympathiser! “Now asking
Grice to justify the principle of parsimony may seem a bit unfair.” “Grice also
assumes the reality of the external world, the existence of intentional mental
states, and the validity of modus ponens.” “Need Grice justify these
assumptions as well?” “Of course not!” “But even if the epistemic value of
parsimony is taken entirely for granted, it is unclear why it should even count
in semantics.” “All sides agree, after all, that many, perhaps even most,
expressions of natural language are allegedly ‘ambiguous.’” “There are both
poly-semies, where one word has multiple, though related, meanings (‘horn’,
‘trunk’), and homo-nymies, where two distinct words have converged on a single
phonological form (‘bat’, ‘pole’).” “The
distinction between poly-semy and homo-nymy is notoriously difficult to draw
with any precision, chiefly because we lack clear criteria for the identity of
words (Bach).” “If words are individuated phono-logically, there would be no
homo-nyms.” “If words are individuated semantically, there would be no
poly-semies.” “Individuating words historically leads to some odd consequences:
e.g., that ‘bank’ is poly-semous rather than homo-nymous, since the ‘sense’ in
which it means financial institution and the ‘sense’ in which it means edge of
a river are derived from a common source.” “I owe this example to David
Sanford. For further discussion, see Jackendoff.”Soon at Hartford. And Sanford
is right!Bontly: “Given that ambiguity is hardly rare, then, one wonders
whether a semantic theory ought really to minimize it (cf. Stampe, 1974).” “One
might indeed argue that the burden of proof here is on the pragmatist, not the
ambiguity or polysemy theorist.” “Perhaps we ought to assume, ceteris paribus,
that every regular use of an expression represents a SPECIAL sense.” “Such a
methodological policy may be less economical than Grice’s, but it does extend
the same pattern of explanation to all alleged ambiguities, and it might even
accord better with the haphazard ways in which natural languages are prone to
evolve (Millikan, 2001).”Yes, the evolutionary is the way to go!Bontly: “So
Grice owe us some reason to think that parsimony and the like should count in
semantics.” “He needn’t claim, of course, that parsimony is always and everywhere
a reason to believe a hypothesis true.” “He needn’t produce a global
justification for Occam’s Razor, that is—a local justification, one specific to
language, would suffice.” “I propose to set aside the larger issue about
parsimony in general, therefore, and argue that Modified Occam’s Razor can be
justified by considerations peculiar to the study of language.” “Now for A
Developmental Account of Semantic Parsimony.”
“My approach to parsimony in linguistics is inspired by Sober’s work on
parsimony arguments in evolutionary biology.”And Grice was an evolutionary
philosopher of sorts.Bontly: “In Sober’s view, philosophers have misunderstood
the role of parsimony in scientific inference, taking it to function as a
global, domain-general principle of scientific reasoning (akin perhaps to an
axiom of the probability calculus).” “A more realistic analysis, Sober claims,
shows that parsimony arguments function as tacit references to domain-specific
process assumptions — to assumptions (whether clearly articulated or not) about
the process(es) that generate the phenomena under study.” “Where these
processes tend to be frugal, parsimony is a reasonable principle of
theory-choice.” “Where they are apt to be profligate, it is not.” “What makes
parsimony reasonable in one area of inquiry may, on Sober’s view, be quite
unrelated to the reasons it counts in another.” “Parsimony arguments in the
units of selection controversy, for instance, rest on one set of process
assumptions (i.e. assumptions about the conditions necessary for ‘group’
selection to occur).” “The application of parsimony to ‘phylogenetic’ inference
rests on a completely different set of assumptions (about rates of evolutionary
change).” “As Sober notes, in either case the assumptions are empirically
testable, and it could turn out that parsimony is a reliable principle of
inference in one, both, or neither of these areas. Sober’s approach amounts to
a thorough-going local reductionism about parsimony.It counts in theory-choice
if and only if there are domain-specific reasons to think the theory which is
more economical (in some specifiable respect) is more likely to be true. The
‘only if’ claim is the more controversial part of the bi-conditional, and I
need not defend it here. For present purposes I need only the weaker claim that
domain-specific assumptions can be sufficient to justify using parsimony — that
parsimony is a sensible principle of inference if the phenomena in question
result from processes themselves biased, as it were, towards parsimony. Now, in
natural-language semantics, the phenomena in question are ordinarily taken to
be the semantic rules or conventions shared by a community of speakers.”Cf.
Peacocke on Grice as applied to ‘community of utterers,’ in Evans/McDowell,
Truth and meaning, Oxford. Bontly: “The task is to uncover the ‘arbitrary’
mappings between a sound and a meaning (or concepts or referent) of which
utterers have tacit knowledge. This ‘semantic competence’ is shaped by both the
inputs that language learners encounter and the cognitive processes that guide
language acquisition from infancy through adulthood. So the question is whether
that input and these processes are themselves biased toward semantic parsimony
and against the acquisition of multiple meanings for single phonological forms.
As I shall now argue, there are several reasons to suspect that such a bias
should exist. Psychologists often conceptualize learning in general and word
learning in particular as a process of generating and testing hypotheses. A
child (or, in many cases, an adult) encounters an unfamiliar word, forms one or
more hypotheses as to its possible meaning, checks the hypotheses against the
ways in which he hears the word used, and finally adopts one such hypothesis.
This ‘child-as-scientist’ model is plainly short on details, but whatever
mechanism implements the generating and testing, it would seem that the process
cannot be repeated with every subsequent exposure to a word. Once a hypothesis
is accepted — a word learned — the process effectively halts, so that the next
time the child hears that word, he doesn’t have to hypothesize. Instead, the
child can access the known meaning and use it to grasp the intended message.
For that reason, an unfamiliar word ought to be the only one to trigger the
learning process, and that of course makes ambiguity problematic. Take a person
who knows one meaning of an ambiguous word, but not the other. To him, the word
is not unfamiliar, even when used with an unfamiliar meaning. At least, it will
not sound unfamiliar. So, the learning process will not kick in unless some
other source of evidence suggests another, as-yet-unknown meaning. Presumably
the evidence will come from ‘anomalous’ utterances: i.e. uses that are
contextually absurd, given only the familiar meaning. This is not to say, of
course, that hearing one anomalous utterance would be sufficient to re-start
the learning process. Since there are other reasons why an utterance may seem
anomalous (e.g. the utterer simply misspoke), it might take several anomalies
to convince one that the word has another meaning. In the absence of anomalies,
however, it seems highly unlikely that learners would seriously entertain the
possibility of a second sense. A related point is that acquisition involves, or
is at least thought to involve, a variety of ‘boot-strapping’ operations where
the learner uses what he knows of the language in order to learn more.”Oddly
Grice has a bootstrap principle (it relates to having one’s metalanguage as
rich as one’s object-language.Bontly: “It has been argued, for instance, that
children use semantic information to constrain hypotheses about words’
syntactic features (Pinker) and, conversely, syntactic information to constrain
hypotheses about words’ semantic features (Gleitman). Likewise, children must
surely use their knowledge of some words’ meanings to constrain hypotheses as
to the meanings of others, thus inferring the meanings of unfamiliar words from
context. However, that process only works insofar as one can safely assume that
the familiar words in an utterance are typically used with their familiar
meanings. If it were assumed that familiar words are typically used with
unknown meanings, the bootstraps would be too weak. Together, these
considerations point to the hypothesis that language acquisition is
semantically conservative. Children will posit new meanings for familiar words
only when necessary—only when they encounter utterances that make no sense to
them, even though all the words are familiar. Interestingly, experimental work
in language acquisition provides empirical evidence for much the same
conclusion. Psychologists have long observed that children have considerable
difficulties learning and using homo-nyms (Peters and Zaidel), leading many to
suspect that young children operate under the helpful, though mistaken,
assumption that a word can have but one meaning (Slobin). Children have similar
difficulties acquiring synonyms and may likewise assume that a given meaning
can be represented by at most one word. (Markman & Wachtel, see Bloom for a
different explanation). I cannot here survey the many experimental studies
bearing on this hypothesis, but one series of experiments conducted by Michele
Mazzocco is particularly germane. Mazzocco presents children from several age-groups,
as well as adults, with stories designed to mimic one’s first encounter with
the secondary meaning of an ambiguous word. To control the effects of
antecedent familiarity with secondary meanings, the stories used familiar words
(e.g., ‘rope’) as if they had further unknown meanings—as
‘pseudo-homo-nyms’.For comparison, other stories included a non-sense word
(e.g. ‘blus’) used as if it had a conventional meaning — as a ‘pseudo-word’ —
to mimic one’s first encounter with an entirely unfamiliar word.”Cf. Grice’s
seminar at Berkeley: “How pirots karulise elatically: some simpler ways.”“A
pirot can be said to potch or cotch an
obble as fang or feng or fid with another obble.”“A person can be said to
perceive or cognize an object as having the property f or f2 or being in a
relation R with another object.”Bontly: Some stories, finally, used only
genuine words with only their familiar meanings. After hearing a story,
subjects are presented with a series of illustrations and asked to pick out the
item referred to in the story. In a subsequent experiment, subjects had to act
out their interpretations of the stories. In the pseudo-homo-nym condition, one
picture would always illustrate the word’s conventional but contextually
inappropriate meaning, one would depict the unfamiliar but contextually
appropriate meaning, and the rest would be distractors. As one would expect,
adults and older children (10- to 12-year-olds) performed equally well on these
tasks, reliably picking out the intended meanings for familiar words, non-sense
words and pseudo-homonyms alike. Young children (3- to 5-year-olds), on the
other hand, could understand the stories where familiar words were used
conventionally, and they were reasonably good at inferring the intended
meanings of non-sense words from context, but they could not do so for
pseudo-homonyms. Instead, they reliably chose the picture illustrating the
familiar meaning, even though the story made that meaning quite inappropriate.
These results are noteworthy for several reasons. It is significant, first of
all, that spontaneous positing of ambiguities did not occur. As long as the
known meaning of a word comported with its use in a story, subjects show not
the slightest tendency to assign that word a new, secondary meaning—just as one
would expect if the acquisition process were semantically conservative. Second,
note that performance in the non-sense word condition confirms the familiar
finding that young children can acquire the meanings of novel words from
context — just as the bootstrapping procedure suggests. Unlike older children
and adults, however, these young children are unable to determine the meanings
of pseudo-homo-nyms from context, even though they could do so for pseudo-words
— exactly what one would expect if young children assumed that words can have
one meaning only. Why young children would have such a conservative bias
remains controversial. Unfortunately it would take us too far afield to delve
into this debate here. Doherty finds evidence that the understanding of
ambiguity is strongly correlated with a grasp of synonymy, suggesting that
these biases have a common source.” Doherty also finds evidence that the
understanding of ambiguity/synonymy is strongly predicted by the ability to
reason about false beliefs, suggesting the intriguing hypothesis that young
children’s biases are due to their lack of a representational ‘theory of
mind’).” Cf. Grice on transmission of
true beliefs in “Meaning, revisited.” – a transcendental argument.Bontly:
“Nonetheless, Mazzocco’s results provide empirical evidence for our conjecture
that a person will typically posit a second meaning for a known word only when
necessary (and, as with young children, not always then). And that, of course,
is precisely the sort of process assumption that would make Grice’s “M. O. R.”
a reasonable principle for theory choice in semantics. For we have been
operating under the assumption that the principal task of linguistic semantics
is to describe the competent speaker’s tacit linguistic knowledge. If that
knowledge is shaped by a process biased toward semantic parsimony, our semantic
theorizing ought surely to be biased in the same direction. Is Pragmatism
Vindicated?” That said, the question is still open whether Grice’s “M. O. R.,”
understood now developmentally, ontogenetically, and not phylogenetically, as
perhaps Millikan would prefer, has such consequences as Gricea typically
assumes. In particular, it remains for us to consider whether and, if so, when
the above process assumptions favor implicaturum hypotheses over ambiguity
hypotheses, and the answer would seem to hang on two further issues. First,
there is in each case the question whether a child learning the language will
find it necessary to posit a second sense for a given expression. The fact that
linguists, apprised as they are of the principles of conversation, find it
unnecessary to introduce a second sense for (e.g.) ‘or’ does NOT imply that
children would find it unnecessary. For one thing, children might acquire the
various uses of ‘or’ well before they have any pragmatic understanding
themselves.”Cfr. You can eat the cake or the sandwich.”Bontly: Even if they do
not, the order in which the various uses are acquired could make considerable
difference.It may be, for instance, that a child who first learned the
inclusive use of ‘or’ would have no need to posit a second exclusive sense,
whereas a child who originally interpreted ‘or’ exclusively might need
eventually to posit an additional, inclusive sense. So we may well have to determine
what meaning children first attach to an expression in order to determine
whether they would find it necessary to posit a second. The issues raised above
are pretty clearly empirical ones, and significant inter-personal differences
could complicate matters considerably. Just for the sake of argument, however,
let us grant that children do indeed first learn to interpret ‘or’ inclusively,
to interpret ‘and’ as mere conjunction, and so on. Let us assume, that is, that
the meanings which Grice typically takes to be conventional are just that. In
fact, the assumption that weak uses are typically learned first has garnered
some empirical support, as one referee brought to my attention. Paris shows
that children are less likely than adults to interpret ‘or’ exclusively (see
also Sternberg, and Braine and Rumain). More recent experimental work indicates
that children first learn to interpret ‘and’ a-temporally (Noveck and Chevaux)
and ‘some’ weakly (as compatible with ‘all’) (Noveck, 2001). Even so, it remains
an interesting question whether children would posit secondary senses for any
of these expressions, and Grice would be on firm ground in arguing that they
would not. First, the ‘ambiguities’ discussed at the outset all involve
secondary uses which can, with the help of pragmatic principles, be understood
in terms of the presumed primary meaning of the expression. If a child,
encountering this secondary use for the first time, already knows the primary
meaning, and if he has moreover an understanding of the norms of
conversation—if he is a ‘Griceian child’ —, he ought to be able to understand
the secondary use perfectly well. He can recover the implicaturum and infer the
speaker’s meaning from the encoded meaning of the utterance. To the ‘Griceian
child,’ therefore, the utterance would not be anomalous. It would make perfect
sense in context, giving him no reason to posit a secondary meaning. But what
about children who are not yet Griceans — children too young to understand
pragmatic principles or to have the conceptual resources to make inferences
about other people’s likely communicative intentions? While there seems to be
no consensus as to when pragmatic abilities emerge, several considerations
suggest that they develop fairly early. Bloom argues that pragmatic
understanding is part of the best account of how children learn the meanings of
words. Papafragou discusses evidence that children can calculate implicaturums
as early as age three. Such children, knowing only the primary meaning of the
expression, would be unable to recover the conversational implicaturum and thus
unable to grasp the secondary use of the expression via the pragmatic route.
Nonetheless, I argue that they would still (at least in most cases) find it
unnecessary to posit a second meaning for the expression. Consider: the
‘ambiguities’ at issue all involve secondary meanings which are specificatory,
being identical to the primary but for some additional feature making it more
restricted or specific. The primary and second meanings would thus be
privative, as opposed to polar, opposites; Zwicky and Sadock). What a speaker
means when he uses the expression in this secondary way, therefore, would
typically imply the proposition he would mean if he were speaking literally
(i.e. if he were using the primary meaning of the expression). One could thus
say something true using the secondary sense only in contexts where one could
say something true using the primary sense—whenever ‘P exclusive-or Q’ is true,
so is ‘P inclusive-or Q’; whenever ‘P and-then Q’ is true, so is ‘P and Q’; and
so on. Thus even when the intended meaning involves the alleged second sense,
the utterance would still come out true if interpreted with the primary sense
in mind. And this means, crucially, that the utterance would not seem
anomalous, there being no obvious clash between the primary interpretation of
the utterance and the conversational context. The utterance may well be
pragmatically inappropriate when interpreted this way, but our pre-Gricean
child is insensitive to such niceties. Otherwise, he would be already a
‘Gricean’ child. On our account, therefore, the pre-Gricean child still sees no
need to posit a second meaning for the expression, even though he could not
grasp the intended (specificatory) meaning. We may illustrate the above with
the help of an ‘ambiguity’ in the indefinite description (“a dog”) made famous
by Grice. A philosopher would ordinarily take an expressions of the form ‘an F’
to be a straightforward existential quantifier, “(Ex)”, as would seem to be the
case in ‘I am going to a meeting’ On the other hand, an utterance of ‘I broke a
finger’ seems to imply that it is my finger which I broke (unless you are a
nurse – I think Horn’s cancellation goes), whereas ‘I saw a dog in the
backyard’ would seem to carry the opposite sort of implication — i.e. that it
was not my dog which I saw.”Grice finds this delightful ‘reductio’ of the
sense-positer: “a” would have _three_ senses!Bontly: “We have then the
potential for a three-way ambiguity, but our ruminations on word learning argue
against it.”Take a child who has learned (somehow) the weak (existential
quantier) use of ‘an F’ (Ex)Fx, but has for some reason never been exposed to
strong uses: ‘my,’ ‘not mine.’ Now the child hears his mother say ‘Come look!
There is a dog in the backyard!’ Running to the window, the child sees not his
mother’s pet dog Fido, but some strange dog, that is not her mother’s. To an
adult, this would be entirely predictable.” Using the indefinite description ‘a
dog’ (logical form, “(Ex)Dx”) instead of the name for the utterer’s dog would
lead one to expect that Fido (the utterer’s dog) is not the dog in
question.”Actually, like Ryle, Grice has a shaggy-dog story in WJ5, “That dog
is hairy-coated.” “Shaggy, if you must!”. Bontly: “And if the child were of an
age to have a rudimentary understanding of the pragmatic aspects of language
use, he would make the same prediction and thus see no need here to posit a
second ‘sense’ for ‘an F,’ and take ‘not mine’ as an implicaturum.”It’s different
with what Grice would have as an ‘established idiom’ (his example, “He’s
pushing up the daisies,” but not “He is fertilizing the daffodils”) as one
might argue that “I broke a finger” is. Bontly: “The child would not, because
the intended, contextually appropriate interpretation would be clear given the
primary meaning plus pragmatics, or implicaturum. But even if the child fails
to grasp the intended meaning of his mother’s remark, it still seems unlikely
that the child would be compelled to posit an ambiguity. No matter what the
child’s mother means, there is, after all, a dog in the backyard (“Gotcha!
That’s _a_ dog, my Fido is, ain’t it?!”). So the primary interpretation still
yields a true proposition. While the ‘pre-Gricean child’ thus misses (part of)
the intended meaning of the utterance, still he would not experience a clash
between his interpretation and the contextually appropriate interpretation.
Perhaps the pre-Gricean child could be forced to see an anomaly. Consider the
following example. A parent offers her pre-Gricean child dessert, saying,
‘Ice-cream, or cake?’ When the child helps himself to some of each, the mother
removes the cake with a look of annoyance and says:‘I said ice-cream OR
cake’. “While the mother’s behavioural
response makes it abundantly clear that the child’s ‘inclusive’ interpretation
is inappropriate, there are several reasons why he might still refrain from
positing an ambiguity. For one, young children, who are more Griceian (even
pre-Griceian) and logical than a few adults, appear to operate under the
assumption that a word can have one meaning only, and it may be that
pre-Gricean children are simply unable to override this assumption. This would
seem particularly likely if Doherty is right that the ability to understand
ambiguity requires a robust ‘theory of mind’.At any rate, the position taken
here is that recognition of anomaly is necessary for one to posit a second
meaning, not that it is sufficient. Contrast this with a similar case where,
coming to the window, the child sees no dog but does see (e.g.) a motorcycle, a
tree, a bird, and a fence.Then he would have reason to consider an ambiguity,
though other explanations might also fit.” “Perhaps Mom was joking or
hallucinating.” The claim is, then, that language acquisition works in such a
way as to make it unlikely that learners would introduce a second senses for
the ‘ambiguities’ in question. Of course, that claim is contingent on a very
large assumption — viz., that the meaning which Grice take to be lexically
‘encoded’ is indeed the primary meaning of the expression — and that assumption
may be mistaken.” In the continuing debate over Donnellan’s
referential/attributive distinction, for instance, Grice takes it as
uncontroversial that Russell on ‘the’ provides at least one of the conventional
interpretations for sentences of the form ‘The king of France is bald’ (i.e.,
the attributive interpretation).” Grice’s example in “Vacuous names,” that
Bontly quotes, is “Jones’s butler mixed
our coats and hats,” when “Jones’s butler” is actually Jones’s haberdasher
dressed as a butler for the occasion.” So Grice distinguishes between THE
butler (identificatory) and ‘the’ butler (non-identificatory, whoever he might
be). Bontly: From there, they argue that we needn’t posit a secondary
(referential) semantics for descriptions since the referential use can be
captured by Russell’s theory supplemented by Grice’s pragmatics. Grice, 1969
(Vacuous Names); Kripke, 1977; Neale, 1990). From a developmental perspective,
however, the ‘uncontroversial’ assumption that Russell on ‘the’ provides the
primary meaning for description phrases is certainly questionable. It being
likely that the vast majority of descriptions children hear early in life are
used referentially, Grice’s position could conceivably have things exactly
backwards— perhaps the referential is primary with the attributive acquired
later, either as an additional meaning or a pragmatic extension. Still, the
fact, if it is a fact, that a referential use is more common in children’s
early environment does not imply that the referential is acquired first.”
Exclusive uses of ‘or’ are at least as frequent as inclusive uses, and yet
there is a good deal of evidence that the inclusive is developmentally primary.
(Paris, Sternberg, Braine and Rumain). Either way, the point remains that
plausible assumptions about language acquisition do indeed justify a role for
parsimony in semantics. These ‘process’ assumptions may, of course, turn out to
be incorrect.” If the evidence points the other way—if it emerges that the
learning process posits ambiguities quite freely—then Grice’s “M. O. R.” could
conceivably be groundless.”Making it a matter of empirical support or lack
thereof, and that was perhaps why Millikan thought that was the wrong way to
go? But then if she thought the evolutionary was the right way to go, wouldn’t
THAT make Grice’s initially ‘sort of’ analytic pragmatist methodological
philosophical decision a matter of fact or lack thereof? Bontly: “Nonetheless,
we can see now that the debate between Grice and the conventionalists is
ultimately an empirical, rather than, as Grice perhaps thougth, a conceptual
one. Choices between pragmatic and semantic accounts may be under-determined by
Grice’s intuitions about meaning and use, but they need not be under-determined
tout court. Then there’s Tradeoffs, Dead Metaphors, and a Dilemma. The
developmental approach to parsimony provides some purchase on the problems
regarding tradeoffs and dead metaphors as well. The former problem is that
parsimony can be a double-edged sword. While an ambiguity account does multiply
senses, the implicaturum account appears to multiply inferential labour.
Hearers have to ‘work out’ or ‘calculate’ the utterer’s meaning from the
conversational principle, without the benefit of a list of possible meanings as
in disambiguation. Pragmatic inference thus seems complex and time-consuming.
But the fact is that we are rarely conscious of engaging in any reasoning of
the sort Grice requires, pace his Principle of Economy of Rational Effort.
Consequently, the claim that communicators actually work through all these
complicated inferences seems psychologically unrealistic. To combat these
charges, Grice’s response is to claim that implicaturum calculation is largely
unconscious and implicit.”Indeed Grice’s principle of economy of rational
effort. Bontly: “Background assumptions can be taken for granted, steps can be
skipped, and only rarely need the entire process breach the surface of consciousness.
This picture seems particularly plausible with a generalised implicaturum as
opposed to a particularized one.” When a particular use of an expression E,
though unconventional, has become standard or regular (“I broke a finger”?
“He’s pushing up the daisies”), the inferential process can be considerably
stream-lined; it gets ‘short-circuited’ or ‘compressed by precedent’ (Bach and
Harnish). “Bach’s and Harnish’s notion of short-circuited inference is similar
to but not quite the same as J. L. Morgan’s notion of short-circuited implicaturum.
The latter involves conventions of use (as Searle would put it), to which Bach
and Harnish see their account as an alternative. Levinson objects to Bach’s and
Harnish’s characterization of default inferences as those compressed by the
weight of precedent. A generalised implicaturum, Levinson says, ‘is generative,
driven by general heuristics and not dependent on routinization’ But Levinson’s
complaint against Bach and Harnish may seem uncharitable. Even on Bach’s and
Harnish’s view, where a default inference is that ‘compressed by the weight of
precedent’, a generalised implicaturum is still generative: it is still
generated by the maxims of conversation. Only the stream-lined character of the
inference is dependent on precedent, not the implicaturum itself. If the
addressee has calculated the EXCLUSIVE meaning of ‘or’ enough times in the past
(from his mother, we’ll assume) it
becomes the default, allowing one to proceed directly to the exclusive
interpretation (unless something about the context provides a clue that the
standard interpretation would here be inappropriate. Now, the idea that the
generalised implicaturum can be the default interpretation, reached without all
the fancy inference, provides an obvious reply to the worry about tradeoffs.
While it is true that a pragmatic inference, as Grice calls it, in contrast
with the ‘logical inference, -- “Retrospective Epilogue” -- are in principle
abductive, fairly complex and potentially laborious, familiarity can simplify
the process enormously, to the point where it becomes no more difficult than
dis-ambiguation.” But the appeal to a default interpretation raises an
interesting difficulty that (to my knowledge) Grice never adequately addressed.
It is now quite unclear why this default interpretation should be considered an
implicaturum rather than an additional sense of the expression.”Because it’s
cancellable?Bontly: “To say that it is a default interpretation is, after all,
to say that utterers and addressees learn to associate that interpretation with
the type of expression in question. The default meaning is known in advance,
and all one has to do is be on the lookout for information that could rule it
out. “‘Short-circuited’ implicaturum-calculation is thus hard to differentiate
from disambiguation, making Grice’s hypothesis look more like a notional
variant than a real competitor to the ambiguity hypothesis. Insofar as Grice
has considered this problem, his answer appears to be that linguistic meanings,
being conventional, are inherently arbitrary.”cf. Bach and Harnish, 1979, pp.
192–195).”Indeed, in his evolutionary take on language, it all starts with
Green’s self-expression. You get hit, and you express pain unvoluntarily. Then
you proceed to simulate the response in absence of the hit, but the meaning is
“I’m in pain.” Finally, you adopt the conventions, arbitrary, and say, ‘pain,’
which is only arbitrarily connected with, well, the pain. It is the last stage
that Grice stresses as ‘artificial,’ and ‘arbitrary,’ “non-iconic,” as he
retorts to Peirceian terminology he was familiar with since his Oxford days.
Bontly: “The exclusive use of ‘or’, on the other hand, is entirely predictable
from the conversational principle, so there is nothing arbitrary about it. Thus
the exclusive interpretation cannot be part of the encoded meaning, even if it
is the default interpretation. Familiarity with that use, in other words, can
remove the need to go through the canonical inference, but it does not change
the fact that the use has a ‘natural’ (i.e., non-conventional, principled,
indeed rational) explanation. It doesn’t change the fact that it is calculable.
At this point, however, Grice’s defense of default pragmatic interpretations
collides with our remaining issue, the problem of a dead metaphor, such as “He
is pushing up the daisies.”” Or as Grice prefers, an ‘established’ or
‘recognised’ ‘idiom.’Bontly: “A metaphor and other conversational implicatura
can become conventionalized and ‘die’, turning into new senses. In many such
cases the original rationale for the use is long forgotten, but in other cases
the dead metaphor remains calculable. A dead metaphors thus pose a nasty,
macabre?, dilemma for Grice.”Especially if the implicaturum is “He is
dead”!Bontly: “On the one hand, it is tempting to argue that a dead metaphor
involves a new conventional meaning precisely because the interpretation in
question is no longer actually inferred via Gricean inferences (though one
could do so if one had to—if, say, one somehow forgot that the expression had
this secondary meaning). If a conversational implicaturum had to be not just
calculaBLE but actually calculatED, that would suffice to explain why this
one-time, one-off, implicaturum is now semantically significant. But that reply
is apparently closed to pragmatists, for then it will be said that the same is
true of (e.g.) the exclusive use of ‘or.’ The exclusive interpretation is
certainly calculabLE, but since no one actually calculatES it (except in the
most unusual of circumstances, as Grice at Harvard!), the implication should be
considered semantic, not pragmatic. On the other hand, Grice might maintain
that an implicaturum need only be calculabLE and stick by their view that the
exclusive reading of ‘or’ is conversationally implicated. But then we shall
have to face the consequence that many a dead metaphor (“He is pushing up the
daisies”) is likewise calculabLE and thus, according to the present view, ought
not to be considered conventional meanings of the expressions in question,
which in most cases seems quite wrong.”I’m never sure what Grice means by an
‘established idiom.’ Established by whom? Perhaps he SHOULD consult the
dictionary every now and then! Sad the access to OED3 is so expensive!Bontly:
What one needs, evidently, is some reason to treat these two types of cases
differently.To treat the exclusive use of ‘or’ as an implicaturum (even though
it is only rarely calculatED as such) while at the same time to view (e.g.) the
once metaphorical use of ‘incense’ (or ‘… pushing up the daisies”) as
semantically significant (even though it remains calculabLE).” And the
developmental account of parsimony offers just such a reason. On the present
view, the reason that the ambiguity account has the burden of proof has to do
with the nature of the acquisition, learning, ontogenetical process and
specifically with the presumption that language learners will avoid postulating
unnecessary senses. But the implicaturum must be calculable by the learner,
given his prior understanding of the expression E and his level of pragmatic
sophistication.”Grice was a sophisticated. As I think Dora B.-O knows, Moore
has been claiming that Grice’s idea that animals cannot mean, because they are
not ‘sophisticated’ enough, is an empirical claim, even for Grice!Bontly: “t
may be, therefore, that children at the relevant developmental stage have no
difficulty understanding the exclusive use of ‘or’ (etc.) as an implicaturum
and yet lack the understanding necessary to predict that ‘incense’ could be
used to mean to make or become angry, or that to say of someone that he ‘is
pushing up the daisies,’ means that, having died and getting buried, the corpse
is helping the flowers to grow. The child might not realize, for instance, that
‘incense’ also means an aromatic substance that burns with a pleasant odour,
and even those who do probably lack the general background knowledge necessary
to appreciate the metaphorical connections between burning and emotion.”Cf.
Turner and Fauconnier on ‘blends.’Bontly: Either way, the metaphor would be
dead to the child, forcing him to learn that use the same way they learn any
arbitrary convention.”It may do to explore ‘established idioms’ in, say, parts
of England, which are not so ‘established’ in OTHER parts. Nancy Mitford with
his U and non-U distinction may do. “He went to Haddon Hall” invites, for
Mitford, the ‘unintended’ implicaturum that the utterer is NOT upper-class.
“Surely we drop “hall.’ What else can Haddon be?” But the inference may be
lacking for a non-U addressee or utterer. Similarly, in the north of England,
“our Mary,” invites the implicaturum of ‘affection,’ and this may go over the
head of members of the south-of-England community.Bontly: “The way out of the
dilemma, then, is to look to learning.”Alla Kripkenstein?Bontly: To the problem
of tradeoffs, Grice can reply that it is better to multiply (if we must use the
Occamist verb) inferences – logical inference and pragmatic inference -- than
multiply senses because language acquisition is biased in that direction. And
Grice may likewise answer the problem of a dead metaphor, or established idiom
like, “He’s been pushing up the daisies for some time, now. The reason that
Grice’s “M. O. R.” does not mandate an implicaturum account for Grice as well
is that such a dead metaphor or established idiom is not calculable by children
at the time they learn such expressions, even if they are calculable by some
adult speakers.”Is that a fact? I would think that a child is a ‘relentless
literalist,’ as Grice called Austin. “Pushing up the daisies?” “I don’t see any
daisies!”I think Brigitte Nerlich has a similar example re: irony: MOTHER: What
a BEAUTIFUL day! (ironically)CHILD: What do you mean? It’s pouring and nasty. MOTHER:
I was being ironic.I don’t think the child is going to posit a second sense to
‘beautiful’ meaning ‘nasty.’Bontly: “For the deciding question in applying
Grice’s “M. O. R.” is NOT whether the implicaturum account is available to a
philosopher like Grice, but whether it is available to the learner! On this way
of carving things up, by the way, some alleged ambiguities which Grice would
treat as implicatura could turn out to be semantically significant after all.
Likewise, some allegedly dead metaphor may turn out to be very much alive.”
Look! He did kick the bucket!” “But he’s PRETENDING to die, dear! Some uses,
finally, may vary from utterer to utterer, there being no guarantee that every
utterer will have learned the use in the same way. As a conclusion, a better
understanding of developmental processes might therefore enlarge our
appreciation of the ways in which semantics and pragmatics
interact.”Indeed.REFERENCES Atlas, J. D. “Philosophy without Ambiguity.”
Oxford: Clarendon Press. E: Wolfson, Oxford. Philosopher. And S. Levinson,
“It-clefts, informativeness, and logical form: Radical pragmatics (revised
standard version),” in P. Cole (ed.), Radical Pragmatics. New York: Academic
Press.Bach, K. “Thought and Reference,” Oxford.“Conversational impliciture,”
Mind & Language, 9And R. Harnish, “Linguistic Communication and Speech
Acts,” Cambridge, MA: MIT Press. Bloom, P. “How Children Learn the Meanings of
Words,” Cambridge, MA: MIT Press.
“Mind-reading, communication and the learning of names for things,” Mind
& Language, 17Braine, M. and Rumain, B. “Development of comprehension of
‘or’: evidence for a sequence of developmental competencies,” Journal of Experimental
Child Psychology, 31. Davis, S. (ed.) “Pragmatics: A Reader,” Oxford Devitt, M.
“The case for referential descriptions,” in M. Reimer/A. Bezuidenhout,
“Descriptions and Beyond,” Oxford Doherty, M. “Children’s understanding of
homonymy: meta-linguistic awareness and false belief,” Journal of Child
Language, 27 Gazdar, G. “Pragmatics: Implicaturum, Presupposition, and Logical
Form,” New York: Academic Press. Gleitman, L. “The structural sources of verb
meanings,” Language Acquisition, 1Grice, H. P. “Vacuous names,” in D. Davidson
and J. Hintikka, Words and Objections. Dordrecht: Reidel. Repr. in part in
Ostertag, “Definite descriptions,” MIT.Logic and Conversation. In P. Cole and
J. Morgan (eds.), Syntax and Semantics, vol. 3, Speech Acts. New York: Academic
Press, pp. 41–58. Reprinted in Grice, 1989, and Davis, 1991. Grice, P. 1978:
Further notes on logic and conversation. In P. Cole (ed.), Syntax and
Semantics, vol. 9, Pragmatics. New York: Academic Press, pp. 113–128. Reprinted
in Grice, 1989. Presupposition and conversational implicaturum. In P. Cole
(ed.), Radical Pragmatics. New York: Academic Press, 183–198. Reprinted in
Grice, 1989. Studies in the Way of Words. Cambridge, MA: Harvard University
Press. Hesse, M. “Simplicity,” in P. Edwards (ed.), The Encyclopedia of
Philosophy. New York: MacMillan.Jackendoff, R. “Foundations of Language: Brain,
Meaning, Grammar, Evolution,” Oxford. Kripke, S. “Speaker’s reference and
semantic reference,” Midwest Studies in Philosophy, Repr. in Davis, 1991.
Levinson, S. “Pragmatics,” Cambridge.“Presumptive Meanings: The Theory of
Generalized Conversational Implicaturum,” Cambridge, MA: MIT Press. Markman,
E./G. Wachtel, “Childrens’ use of mutual exclusivity to constrain the meaning
of words,” Cognitive Psychology, 20Mazzocco, M. “Children’s interpretations of
homonyms: A developmental study,” Journal of Child Language, 24Morgan, J. L.
“Two types of convention in indirect speech acts,” n P. Cole (ed.): Syntax and
Semantics, vol. 9, Pragmatics. New York: Academic Press, reprinted in Davis,
1991. Newton, I. “Mathematical Principles of Natural Philosophy,” A. Motte
(trans.) and F. Cajori (rev.). Repr. in R. Hutchins (ed.), Great Books of the
Western World, vol. 34. Chicago: Encyclopedia Britannica, Inc., 1952. Noveck,
I. When children are more logical than adults are: Experimental investigations of
scalar implicaturum, Cognition, 78, 165–188. And F. Chevaux, “The pragmatic
development of and. In A. Ho, S. Fish, and B. Skarabela, Proceedings of the
26th Annual Boston University Conference on Language Development. Somerville,
MA: Cascadilla Press.Papafragou, A. “Mind-reading and verbal communication,”
Mind & Language, 17Paris, S. “Comprehension of language connectives and
propositional logical relationships,” Journal of Experimental Child Psychology,
16.Peters, A./E. Zaidel, “The acquisition of homonymy. Cognition, 8.Pinker, S.
“Language Learnability and Language Development,” Cambridge, MA: Harvard
University Press. Reimer, M. “Donnellan’s distinction/Kripke’s test.” Analysis,
58.Ruhl, C. “On Monosemy: A Study in Linguistic Semantics,” Albany, NY: SUNY
Press. Sadock, J. “On testing for conversational implicaturum,” in P. Cole
(ed.), Syntax and Semantics, vol. 9, Pragmatics. New York: Academic Press,
Repr. in Davis, 1991. Searle, J. R. “Indirect speech acts,” n P. Cole and J.
Morgan, Syntax and Semantics, vol. 3, Speech Acts. New York: Academic Press,
Repr. in Davis, 1991. Slobin, D. “Crosslinguistic evidence for a
language-making capacity,” n D. Slobin, The Cross-linguistic Study of Language
Acquisition, vol. 2. Hillsdale, NJ: Erlbaum. Smart, J. “Ockham’s razor,” in J.
Fetzer, “Principles of Philosophical Reasoning,” Totowa, NJ: Rowan and
Allanheld. Sober, E. “The principle of parsimony,” The British Journal for the
Philosophy of Science, 32“Reconstructing the Past,” Cambridge, MA: MIT
Press.“Let’s razor Ockham’s razor,” in D. Knowles, Explanation and Its Limits.
Cambridge.Stalnaker, R. C. “Pragmatic presupposition,” in M. Munitz/P. Unger,
“Semantics and Philosophy,” New York: Academic Press, pp. 197–213. Repr. in
Davis, 1991. Stampe, D. W. “Attributives and interrogatives,” in M. Munitz/P.
Unger, Semantics and Philosophy. New York: Academic Press.Sternberg, R.
“Developmental patterns in the encoding and combination of logical
connectives,” Journal of Experimental Child Psychology, 28 Van Fraassen, B. “The
Scientific Image,” Oxford.Walker, R. C. S. “Conversational implicaturums: a
reply to Cohen,” in S. W. Blackburn, Meaning, Reference, and Necessity.
Cambridge. Ziff, P. “Semantic Analysis.” Ithaca: Cornell University Press.
Zwicky, A./J. Sadock, “Ambiguity tests and how to fail them,” in J. Kimball,
Syntax and Semantics, vol. 4. New York: Academic Press.Refs: The Grice Papers, BANC,
Bancroft.
modus. “The distinction between Judicative and Volitive
Interrogatives corresponds with the difference between cases in which a
questioner is indicated as being, in one way or another, concerned to obtain
information ("Is he at home?"), and cases in which the questioner is
indicated as being concerned to settle a problem about what he is to do
("Am I to leave the door open?", "Is the prisoner to be
released?", "Shall I go on reading?"). This difference is better
represented in Grecian and Roman.”The Greek word was ‘egklisis,’ which Priscian translates as
‘modus’ and defines as ‘inclinatio anima, affectionis demonstrans.’ The Greeks
recognised five: horistike, indicativus, pronuntiativus, finitus, or
definitivus, prostastike, imperativus, euktike, optativus, hypotaktike (subjunctivus,
or conjunnctivus, but also volitivus, hortativus, deliberativus, iussivus,
prohibitivus anticipativus ) and aparemphatos infinitivus or infinitus.
modus optativus. optative enclisis (gre: ευκτική
έγκλιση, euktike enclisis, hence it may be seen as a modus optatīvus. Something
that fascinated Grice. The way an ‘action’ is modalised in the way one
describes it. He had learned the basics for Greek and Latin at Oxford, and he
was exhilarated to be able to teach now on the subtleties of the English system
of ‘aspect.’ To ‘opt’ is to choose. So ‘optativus’ is the deliberative mode. Grice
proved the freedom of the will with a “grammatical argument.” ‘Given that the
Greeks and the Romans had an optative mode, there is free will.” Romans, having
no special verbal forms recognized as Optative, had no need of the
designation modus optativus.
Yet they sometimes used it, ad imitationem.
modality:
Grice: “Modality is the manner in which a proposition (or statement) describes
or applies to its subject matter. Derivatively,’ modality’ refers to
characteristics of entities or states of affairs described by this or that
modal proposition. Modalities are classified as follows. An assertoric
proposition is the expression of a mere fact. Alethic modality includes
necessity and possibility. The latter two sometimes are referred to
respectively as the apodeictic modality and the problematic modality – vide
Grice’s category of conversational mode – which covers three categories under
what Kant calls the ‘Funktion’ of Mode – the assertoric, the apodeictic and the
problematic). Grice takes ‘must’ as basic and defines ‘may’ in terms of ‘must.’
Causal modality includes causal necessity or empirical necessity and causal
possibility or empirical possibility. The deontic modality includes obligation
and permittedness. Of course this hardly means that ‘must’ is polysemous. It is
‘aequi-vocal’ at most. There is epistemic modality or modalities such as
knowing that and doxastic modality (what Grice calls ‘credibility,’ as opposed
to ‘desirability’) or modalities ones such as believing that. There is
desiderative modality such as ‘willing that’ (what Grice calls ‘desirability’
as prior to ‘credibility.’) Following medieval philosophers, a proposition can
be distinguished on the basis of whether the modality is introduced via
adverbial modification of the “copula” or verb (“sensus divisus”) – as in
Grice’s “Fido is shaggy” versus “Fido may be shaggy” – (in Roman, “Fidus est
fidelis” versus “Fidus sit fidelis” – Grice: “Not to be confused with “Fido,
sit!” ) or via a modal operator that modifies the proposition (“sensus
compositus” – as preferred by Strawson: “It is the case that,” “It is not the
case that,” “It must be the case that” and “It may be the case that”). Grice
actually calls ‘adverbial modifier’ the external version. The internal version
he just calls, as everybody at Clifton does, ‘conjugation’ (“We are not
Tarzan!”). Grice: "In Gricese, in the
instance in which the indicative occurs after "acsian" here is no
doubt in the minds of those who ask the question, the content of the dependent
clause being by them regarded as a fact. Mk. X. 2. Da genealsehton him
pharisei
and hine axodon hwseber alyfS senegum men his
wif forlsetan. Interrogabant eum: INTERROGABANT EUM: SI LICET Si licet. L. XII.
36.
beo gelice pam mannum be
hyra hlaforde abidafr hwsenne he sy fram gyftum gecyrred. L. XXII. 24. hi flitun betwux him
hwylc hyra wsere yldest. J. XIX. 24. uton hleotan hwylces
ures heo sy. Mk. XV. 24. hi hlotu wurpon, hwset gehwa name. mittentes sortem
super eis, quis quid tolleret. MITTENTES SORTEM SVPER
EIS, QVIS QVID TOLLERET. M. XXVII. 49. Uton geseon hwseber
Helias cume and wylle hyne alysan. Mk. V. 14. hi ut eodon bset hi
gesawon hwset par gedon wsere. L. XIX. 3.he wolde geseon hwylc se hselend
wsere. Mk. IX. 34.hi on wege smeadon hwylc hyra yldost wsere. Mk. IX.
10. L. XI, 38. XXII. 23. L. XIV. 28. Hwylc eower wyle
timbrian anne stypel, hu ne sytt he serest and teleS pa andfengas be him behefe
synt, hwseder he hsebbe hine to full-fremmenne? L. I. 29. ba wearS heo on his
sprsece gedrefed, and pohte hwset seo greting wsere. L. Ill, 15. XIV.
31. L. IX. 46. bset gepanc eode on hig, hwylc hyra yldest
wsere. Mk. XV. 47. Da com Maria Magdalene and Josepes Maria, and
beheoldon hwar he geled wsere. aspiciebant. ubi
poneretur ASPICIEBANT. VBI PONERETVR. (Looked around, in order
to discover). The notion of purpose is sometimes involved, the indirect
question having something of the force of a final clause: Mk. XIII. 11.
ne foresmeage ge hwset ge specan. L. XXI. 14. *) Direct rather than
indirect question. L. XII. 22. ne beo ge ymbehydige eowre
sawle hwset ge etan, ne eowrum lichaman hwset ge scrydun. M. VI, 25. L. XII.
11.
ne beo ge embebencynde
hu oSSe hwset ge specon oSSe andswarian. M. X. 19. ne bence ge hu
oSSe hwset ge sprecun. L. XII. 29. Nelle ge secean hwset ge
eton oSSe drincon. J. XIX. 12. and sySSan sohte Pilatus
hu he hyne forlete. quaerebat Pilatus dimittere eum. QVAEREBAT PILATVS
DIMITTERE EVM 2. When the content of the dependent clause is
regarded as an actual fact, which is the case when the leading verb expresses
the act of learning, perceiving, etc., the indicative is used. M. VI. 28. BesceawiaS secyres Man
hu hig weaxaO. M. XXI. 16.gehyrst bu hwset pas cwseoab? M. XXVII. 13. Ne gehyrst Jm hu fela
sagena hig ongen be secgeaS? L. XVIII. 6. M. IX.
13.leornigeab hwset
is, ic wylle mildheortnesse nses onssegdnesse. M. XXI. 20. loca nu hu hrsedlice
bset fic-treow forscranc. Mk. XV. 4. loca hu mycelum hi be
wregea§. M. XII. 4.Ne rsedde ge hwset David dyde hu he ineode on Godes
hus, and set ba offring-hlafas? L. VI, 4. Mk. XII. 26. Be bam deadum ■ bset hi
arison, ne rsedde ge on Moyses bec hu God to him cwseb? Mk. I, 26. Mk. V. 16. hi rehton him ba Se hit gesawon
hu hit gedon wses. L. VIII. 36. Da cyddon him ba Se
gesawon hu he wses hal geworden. L. XXIII. 55.hig gesawon ba
byrgene and hu his lichama aled wses. J. XX. 14.heo geseah hwar se
hselend stod. Vidit Jesum stantem. *) VIDIT IESVM STANTEM. Not the endeavour to
learn, perceive, which would require the SUBJUNCTIVE. L. XXIV. 6. gebencao hu he spsec wiS
eow. recordamini. Mk. VIII. 19. 3.After verbs of
knowing both the indicative and subjunctive are used, usually the
indicative. See general statement before § 2. a)
Indicative:*) L. XIII. 27. Ne cann ic hwanon ge synt. Mk. XIV,
68. M. VI. 8. eower fseder wat hwset eow bearf ys. M. XX.
22.
Gyt nyton hwset gyt
biddab. L. XIII. 25. nat ic hwanon ge synt. J. IX. 21. we nyton humete he nu
gesyhb. quomodo autem nunc videat, nescimus. QVOMODO AVTEM NVNC, NESCIMVS. J. IX. 25. gif he synful is, bset
ic nat. si peccator est, nescio. SI PECCATOR EST, NESCIO. I know not if he is a
sinner.
gif he synful is, bset
ic nat. "Gif he synful is, ᚦaet ic nat." In Oxonian: "If he sinful is,
that I know not. M. XXVI. 70. Mk. IX. 6. X, 28. XIII, 33, 35. L. IX,
33. XX, 7. XXII, 60. L. XXIII. 34. J. II. 9. III. 8. V. 13. VII.
27, 27, 28. VIII. 14, 14. J. IX. 29. 30. X. 6. XIII. 18. XIV. 5. XV.
15. b) Indicative and subjunctive: L. X. 22. nan man nat hwylc IS se
sunu buton se fseder, ne hwylc SI Se fseder buton se sunu. -- In Latin, both times
have subjunctive third person singular, "sit".) c)
Subjunctive. a. In the protasis of a conditional sentence: J.
VII. 51.Cwyst bu demS ure se senine man buton hyne man ser gehyre and wite
hwset he do? J. XI. 57. pa pharisei hsefdon beboden gif hwa wiste
hwaer he wsere paet he hyt cydde bset hig mihton hine niman. Translating
the Latin subjunctive in 21 instances, the indic. in 9. As a rule, the mood (or
mode, as Grice prefers) of the Latin (or Roman, as Grice prefers) verb does not
determine the O. E. (or A. S., as Grice prefers) usage. In Anglo-Saxon, Oxonian,
and Gricese, "si" seems to be no more than a literal (mimetic) rendering
of Roman "sit," the correct third person singular subjunctive. Ms. A. reads
"ys" with'-sy" above. The Lind. gloss reads
"is". M. XXIV. 43. WitaS bset gyf se
hiredes ealdor wiste on hwylcere tide se beof towerd waere witodlice he wolde
wacigean. si sciret paterfamilias qua hora fur venturus esset vigilaret, (Cf. J. IV, 10. Gif bu wistest — hwaet
se is etc. Si scirest quis est. SI SCIREST QVIS
EST. /J. In the apodosis of a conditional
sentence: J. VII. 17. gyf hwa wyle his willan don he gecwemo (sic.
A.B.C. gecnsewS) be bsere lare hwseber heo si of Gode hwseber be ic he me
sylfum spece. L. VII. 39. Gyf be man witega wsere
witodlice he wiste hwset and hwylc bis wif wsere be his sethrinb bset heo
synful is. sciret utique quae et qualis est mulier. SCIRET
VTIQVE QVAE ET QVALIS EST MULIER. y. After a hortatory
subjunctive. M. VI. 3. Nyte bin wynstre hwset do bin
swybre. 4. After verbs of saying and
declaring. a) Here the indicative is used when the dependent clause
contains a statement rather than a question. L. VIII. 39. cyS hu
mycel be God gedon h3efS. L. VIII. 47.Da bset wif geseah bset hit
him nses dyrne heo com forht and astrehte hig to his fotum and geswutulude
beforan eallum folce for hwylcum binge heo hit sethran and hu heo wearS sona
hal. ob quam causam tetigerit eum, indicavit; et quemadmodum confestim
SANATA SIT. Further examples of the indicative are. L. XX. 2.*) Sege us on hwylcum
anwalde wyrcst bu Sas bing oSSe hwset ys se Se be bisne anwald
sealde. L. VI. 47. iElc bara be to me cymb and mine sprseca
gehyi*S and pa deb, ic him setywe hwam he gelic is. b) When the subordinate
clause refers to the future both the indicative and subjunctive are
used: *) Direct question, as the order of the words
shows. Mk. XIII. 4. Sege us hwsenne bas bing gewurdon (A. geweorSon,
H. gewurSen, R. gewurdon) and hwylc tacen bid bsenne ealle bas Sing
onginnaS beon geendud. (Transition to direct question.) Dic nobis,
quando ista fient? DIC NOBIS, QVANDO ISTA FIENT? et quod signum
erit? ET QVOD SIGNVM ERIT? M. XXIV. 3. Sege us
hwsenne bas Sing gewurbun and hwile tacn si bines to-cymes. J.
XVIII. 32. he geswutelode hwylcon deaSe lie swulte. qua morte ESSET
moriturus. c) When the question presents a distinct
alternative, so that the idea of doubt and uncertainty is prominent, the
subjunctive in Gricese, Oxonian, and Anglo-Saxon, qua conjugated version, is
used: M. XXVI. 63. Ic halsige be Surh bone lyfiendan God, b*t Su
secge us gyf \>u sy Crist Godes sunu. L. XXII. 67. J. X.
24. d) The following is hortatory as well as
declarative: L. XII. 5. Ic eow setywe hwsene ge ondredon. Ostendam
autem vobis, quem TIMEATIS. 5. In three indirect questions
which in the original are direct, the subjunctive is used: M. XXIV.
45.Wens (sic. A. H. & R. wenst) \>u hwa sy getrywe and gleaw BEOW? Quis,
putas, EST fidelis servus? QVIS, PVTAS, EST FIDELIS SERVS. M.
XXVI. 25. Cwyst bu lareow hwseSer ic hyt si? Numquid ego
sum? NVMQVID EGO SVM, J. VII. 26. CweSe we hwseber ba ealdras
ongyton ^set bis IS Crist? Numquid vere cognoverunt principes, quia hie EST
Christus? § 11. RELATIVE CLAUSES. Except in the relations
discussed in the following the indicative is used in relative clauses. Grice: "The verb 'to be' is actually composed of three
different stems -- not only in Aristotle, but in Gricese." CONIUGATVM,
persona, s-stem (cognate with Roman "sit"), b-stem, w-stem (cognate
with Roman, "ero") MODVS INFINITVUM, the verb "sīn,” the
verb "bion,” the verb "wesan.” MODVS INDICATIVM PRAESENS prima
singularis: "ik" -- Oxonian "I" "em" Oxonian, "am." Bium
wisu secunda singularis: "thū" -- Oxonian: "thou" "art" Oxonian
"art" bis(t)
wisis tertia singularis: "hē" Oxonian, 'he' "ist" (Cognate
with Roman "est") Oxonian 'is' *bid wis(id) prima, secunda, tertia,
pluralis "sindun" *biod wesad MODVS INDCATIVVM PRAETERITVM prima
singularis "was" Oxonian: "was." seconda singularis ""wāri"
Oxonian "were" tertia singularis "was" Oxonian
"was" prima, secunda, tertia, pluralis "wārun" Oxonian
"were" MODVS SVBIVCTIVVM PRAESENS prima, secunda, tertia,
singularis "sīe" (Lost in Oxonian after Occam) "wese"
(cognate with "was", and Roman, "erat") prima, secunda,
tertia, pluralis "sīen" wesen MODVS SVBIVNCTIVVM
PRAETERITUM prima, secunda, tertia, singularis wāri prima, secunda,
tertia, pluralis wārin MODVS IMPERATIVUM singularis "wis,"
"wes" (Cognate with "was" and Roman "erat")
pluralis wesad MODVS PARTICIPIVM PRAESENT wesandi (cognate with Cicero's
"essens" and "essentia" MODVS PARTICIPIVM PRAETERITVM "giwesan"
The present-tense forms of 'be' with the w-stem, "wesan" are
almost never used. Therefore, wesan is used as IMPERATIVE,
in the past tense, and in the participium prasesens versions of
"sīn" -- Grice: "I rue the day when the Bosworth and
Toller left Austin!" -- "Now the OED, is not supposed to include
Anglo-Saxon forms!") and does not have a separate meaning. The b-stem
is only met in the present indicative of wesan, and only for the first and
second persons in the singular. So we see that if Roman had the
'est-sit" distinction, the Oxonians had "The
'ist'/"sīe"/"wese" tryad). Grice:
"To simplify the Oxonian forms and make them correlative to Roman, I shall
reduce the Oxonian triad, 'ist'/'sīe'/"wese" to the division
actually cognate with Roman: 'ist'/'sīe." And so, I
shall speak of the 'ist'/'sīe" distinction, or the 'est-sit'
distinction interchangeably." Today many deny the distinction or
confine attention just to modal operators. Modal operators in non-assertoric
propositions are said to produce referential opacity or oblique contexts in
which truth is not preserved under substitution of extensionally equivalent
expressions. Modal and deontic logics provide formal analyses of various
modalities. Intensional logics investigate the logic of oblique contexts. Modal
logicians have produced possible worlds semantics interpretations wherein
propositions MP with modal operator M are true provided P is true in all
suitable (e.g., logically possible, causally possible, morally permissible,
rationally acceptable) possible worlds. Modal realism grants ontological status
to possible worlds other than the actual world or otherwise commits to
objective modalities in nature or reality.
modus: the study of the
logic of the operators ‘it is possible that’ (or, as Grice prefers, “it may be
that”) and ‘it is necessary that’ (or as Grice prefers, “It must be that…”). For
some reason, Grice used ‘mode’ at Oxford – but ‘manner’ in the New World! The
sad thing is that when he came back to the Old World, to the puzzlmenet of
Old-Worlders, he kept using ‘manner.’ So, everytime we see Grice using
‘manner,’ we need to translate to either the traditional Oxonian ‘modus,’ or
the Gricese ‘mode.’ These operators Grice symbolizes by a diamond and a square
respectively. and each can be defined in terms of the other. □p (necessarily p) is equivalent to ¬◇¬p ("not possible that
not-p") ◇p (possibly p) is equivalent to ¬□¬p ("not necessarily
not-p"). To say that Fido may be shaggy is to say that it is
not necessarily false. Thus possP could be regarded as an abbreviation of
-Nec-p Equally, to say that Fido *must* be shaggy is to deny that its negation
is possible. Thus Af could be regarded as an abbreviation of -B-f. Grice
prefers to take ‘poss” as primitive (“for surely, it may rain before it must
pour!”). Grice’s ystem G of modality is obtained by introducing Poss. and Nec.
If system, as Grice’s is, is classical/intuitionist/minimal, so is the
corresponding modal logic. Grice surely concentrates on the classical case
(“Dummett is overconcentraating on the intuitionist, and nobody at Oxford was,
is, or will be minimal!”). As with any
kind of logic, there are three components to a system of modal logic: a
syntactics, which determines the system or calculus + and the notion of
well-formed formula (wff). Second, a semantics, which determines the consequence
relation X on +-wffs. Third, a pragmatics or sub-system of inference, which
determines the deductive consequence relation Y on +-wffs. The syntactis of the
modal operators is the same in every system. Briefly, the modal operator is a
one-place or unary ‘connective,’ or operator, strictly, since it does not
connect two atoms into a molecule, like negation. There are many different
systems of modal logic, some of which can be generated by different ways of
setting up the semantics. Each of the familiar ways of doing this can be
associated with a sound and complete system of inference. Alternatively, a
system of inference can be laid down first and we can search for a semantics
for it relative to which it is sound and complete. Grice gives primacy to the
syntactic viewpoint. Semantic consequence is defined in modal logic in the
usual classical way: a set of sentences 9 yields a sentence s, 9 X s, iff if no
“interpretation” (to use Grice’s jargon in “Vacuous Names”) I makes all members
of 9 true and s false. The question is how to extend the notion of “interpretation”
to accommodate for “may be shaggy” – and “must be shaggy”. In classical
sentential logic, an interpretation is an assignment to each sentence letter of
exactly one of the two truth-values = and where n % m ! 1. So to determine
relative possibility in a model, we identify R with a collection of pairs of
the form where each of u and v is in W. If a pair is in R, v is possible
relative to u, and if is not in R, v is impossible relative to u. The relative
possibility relation then enters into the rules for the evaluating modal
operator. We do not want to say, e. g. that at the actual world, it is possible
for Grice to originate from a different sperm and egg, since the only worlds
where this takes place are impossible relative to the actual world. So we have
the rule that B f is true at a world u if f is true at some world v such that v
is possible relative to u. Similarly, Af is true at a world u if f is true at
every world v which is possible relative to u. R may have simple first-order
properties such as reflexivity, (Ex)Rxx, symmetry, (Ex)(Ey)(Rxy P Ryx), and
transitivity, (Ex)(Ey)(Ez)((Rxy & Ryz) P Rxz), and different modal systems
can be obtained by imposing different combinations of these on R (other systems
can be obtained from higher-order constraints). The least constrained system is
the system Ghp, in which no structural properties are put on R. In G-hp we have
B (B & C) X B B, since if B (B & C) holds at w* then (B & C) holds
at some world w possible relative to w*, and thus by the truth-function for
&, B holds at w as well, so B B holds at w*. Hence any interpretation that
makes B (B & C) true (% true at w*) also makes B B true. Since there are no
restrictions on R in G-hp, we can expect B (B & C) X B B in every system of
modal logic generated by constraining R. However, for G-hp we also have C Z B
C. For suppose C holds at w*. B C holds at w* only if there is some world
possible relative to w* where C holds. But there need be no such world. In
particular, since R need not be reflexive, w* itself need not be possible
relative to w*. Concomitantly, in any system for which we stipulate a reflexive
R, we will have C X B C. The simplest such system is known as T, which has the
same semantics as K except that R is stipulated to be reflexive in every
interpretation. In other systems, further or different constraints are put on
R. For example, in the system B, each interpretation must have an R that is
reflexive and symmetric, and in the system S4, each interpretation must have an
R that is reflexive and transitive. In B we have B C Z B B C, as can be shown
by an interpretation with nontransitive R, while in S4 we have B AC Z C, as can
be shown by an interpretation with non-symmetric R. Correspondingly, in S4, B C
X B B C, and in B, B AC X C. The system in which R is reflexive, transitive,
and symmetric is called S5, and in this system, R can be omitted. For if R has
all three properties, R is an equivalence relation, i.e., it partitions W into
mutually exclusive and jointly exhaustive equivalence classes. If Cu is the
equivalence class to which u belongs, then the truth-value of a formula at u is
independent of the truth-values of sentence letters at worlds not in Cu, so
only the worlds in Cw* are relevant to the truth-values of sentences in an S5
interpretation. But within Cw* R is universal: every world is possible relative
to every other. Consequently, in an S5 interpretation, we need not specify a
relative possibility relation, and the evaluation rules for B and A need not
mention relative possibility; e.g., we can say that B f is true at a world u if
there is at least one world v at which f is true. Note that by the characteristics
of R, whenever 9 X s in K, T, B, or S4, then 9 X s in S5: the other systems are
contained in S5. K is contained in all the systems we have mentioned, while T
is contained in B and S4, neither of which is contained in the other.
Sentential modal logics give rise to quantified modal logics, of which
quantified S5 is the bestknown. Just as, in the sentential case, each world in
an interpretation is associated with a valuation of sentence letters as in
non-modal sentential logic, so in quantified modal logic, each world is
associated with a valuation of the sort familiar in non-modal first-order
logic. More specifically, in quantified S5, each world w is assigned a domain
Dw – the things that exist at w – such that at least one Dw is non-empty, and each
atomic n-place predicate of the language is assigned an extension Extw of
n-tuples of objects that satisfy the predicate at w. So even restricting
ourselves to just the one first-order extension of a sentential system, S5,
various degrees of freedom are already evident. We discuss the following: (a)
variability of domains, (b) interpretation of quantifiers, and (c) predication.
(a) Should all worlds have the same domain or may the domains of different
worlds be different? The latter appears to be the more natural choice; e.g., if
neither of of Dw* and Du are subsets of the other, this represents the
intuitive idea that some things that exist might not have, and that there could
have been things that do not actually exist (though formulating this latter claim
requires adding an operator for ‘actually’ to the language). So we should
distinguish two versions of S5, one with constant domains, S5C, and the other
with variable domains, S5V. (b) Should the truth of (Dn)f at a world w require
that f is true at w of some object in Dw or merely of some object in D (D is
the domain of all possible objects, 4weWDw)? The former treatment is called the
actualist reading of the quantifiers, the latter, the possibilist reading. In
S5C there is no real choice, since for any w, D % Dw, but the issue is live in
S5V. (c) Should we require that for any n-place atomic predicate F, an n-tuple
of objects satisfies F at w only if every member of the n-tuple belongs to Dw,
i.e., should we require that atomic predicates be existence-entailing? If we
abbreviate (Dy) (y % x) by Ex (for ‘x exists’), then in S5C, A(Ex)AEx is
logically valid on the actualist reading of E (%-D-) and on the possibilist. On
the former, the formula says that at each world, anything that exists at that
world exists at every world, which is true; while on the latter, using the
definition of ‘Ex’, it says that at each world, anything that exists at some
world or other is such that at every world, it exists at some world or other,
which is also true; indeed, the formula stays valid in S5C with possibilist
quantifiers even if we make E a primitive logical constant, stipulated to be
true at every w of exactly the things that exist at w. But in S5V with
actualist quantifiers, A(Ex)AEx is invalid, as is (Ex)AEx – consider an
interpretation where for some u, Du is a proper subset of Dw*. However, in S5V
with possibilist quantifiers, the status of the formula, if ‘Ex’ is defined,
depends on whether identity is existence-entailing. If it is
existenceentailing, then A(Ex)AEx is invalid, since an object in D satisfies
(Dy)(y % x) at w only if that object exists at w, while if identity is not
existence-entailing, the formula is valid. The interaction of the various
options is also evident in the evaluation of two well-known schemata: the
Barcan formula, B (Dx)fx P (Dx) B fx; and its converse, (Dx) B fx P B (Dx)fx.
In S5C with ‘Ex’ either defined or primitive, both schemata are valid, but in
S5V with actualist quantifiers, they both fail. For the latter case, if we
substitute -E for f in the converse Barcan formula we get a conditional whose
antecedent holds at w* if there is u with Du a proper subset of Dw*, but whose
consequent is logically false. The Barcan formula fails when there is a world u
with Du not a subset of Dw*, and the condition f is true of some non-actual
object at u and not of any actual object there. For then B (Dx)f holds at w*
while (Dx) B fx fails there. However, if we require atomic predicates to be
existence-entailing, then instances of the converse Barcan formula with f
atomic are valid. In S5V with possibilist quantifiers, all instances of both
schemata are valid, since the prefixes (Dx) B and B (Dx) correspond to (Dx)
(Dw) and (Dw) (Dx), which are equivalent (with actualist quantifiers, the
prefixes correspond to (Dx 1 Dw*), and (Dw) (Dx 1 Dw) which are non-equivalent
if Dw and Dw* need not be the same set). Finally in S5V with actualist
quantifiers, the standard quantifier introduction and elimination rules must be
adjusted. Suppose c is a name for an object that does not actually exist; then
- Ec is true but (Dx) - Ex is false. The quantifier rules must be those of free
logic: we require Ec & fc before we infer (Dv)fv and Ec P fc, as well as
the usual EI restrictions, before we infer (Ev)fv. Refs.: H. P. Grice:
“Modality: Desirability and Credibility;” H. P. Grice, “The may and the may
not;” H. P. Grice, “The Big Philosophical Mistake: ‘What is actual is not also
possible’.”
modus: Grice: “In Roman,
‘modus’ may have been rendered as ‘way’, ‘fashion’ – but I will not, and use
‘modus’ as THEY did! ‘Modus’ is used in more than one ‘modus’ in philosophy. In
Ariskantian logic, ‘modus’ refers either to the arrangement of universal,
particular, affirmative, or negative propositions within a syllogism, only
certain of which are valid this is often tr., confusingly, as ‘modus’ in
English – “the valid modes, such as Barbara and Celarent.” But then ‘modus’ may
be used to to the property a proposition has by virtue of which it is necessary
or contingent, possible or impossible, or ‘actual.’ In Oxonian scholastic
metaphysics, ‘modus’ is often used in a not altogether technical way to mean
that which characterizes a thing and distinguishes it from others. Micraelius,
in his best-selling “Lexicon philosophicum,” has it that “a mode does not
compose a thing, but distinguishes it and makes it determinate.” ‘Modus’ is also
used in the context of the modal distinction in the theory of distinctions to
designate the distinction that holds between a substance and its modes or
between two modes of a single substance. ‘Modus’ also appears in the technical
vocabulary of medieval speculative ‘grammar’ or ‘semantics’ (“speculative
semantics” makes more sense) -- in connection with the notions of the “modus
significandi,” “the modus intelligendi” (more or less the same thing), and the
“modus essendi.” The term ‘modus’ becomes especially important when Descartes
(vide Grice, “Descartes on clear and distinct perception”), Spinoza (vide S. N.
Hampshire, “Spinoza”), and Locke each take it up, giving it three somewhat
different special meanings within their respective systems. Descartes (vide
Grice, “Descartes on clear and distinct perception”) makes ‘modus’ a central
notion in his metaphysics in his Principia philosophiae. For Descartes, each
substantia is characterized by a principal attribute, ‘cogitatio’ for ‘anima’
and ‘extensio’ for ‘corpus’. Modes, then, are particular ways of being extended
or thinking, i.e., particular sizes, shapes, etc., or particular thoughts,
properties in the broad sense that individual things substances have. In this
way, ‘modus’ occupies the role in Descartes’s philosophy that ‘accident’ does
in Aristotelian philosophy. But for Descartes, each mode must be connected with
the principal attribute of a substance, a way of being extended or a way of
thinking, whereas for the Aristotelian, accidents may or may not be connected
with the essence of the substance in which they inhere. Like Descartes, Spinoza
recognizes three basic metaphysical terms, ‘substania,’ ‘attributum’, and
‘modus’. Recalling Descartes, Spinoza defines ‘modus’ as “the affections of a
substance, or that which is in another, and which is also conceived through
another” Ethics I. But for Spinoza, there is only one substance, which has all
possible attributes. This makes it somewhat difficult to determine exactly what
Spinoza means by ‘modus’, whether they are to be construed as being in some say
a “property” of God, the one infinite substance, or whether they are to be
construed more broadly as simply individual things that depend for their
existence on God, just as Cartesian modes depend on Cartesian substance.
Spinoza also introduces somewhat obscure distinctions between modus infinitus
and modus finitus, and between immediate and mediate infinite modes. Now, much
closer to Grice, Englishman and Oxonian Locke uses ‘mode’ in a way that
evidently derives from Descartes’s usage, but that also differs from it. For
Locke, a ‘modus’ is “such complex idea – as Pegasus the flying horse --, which
however compounded, contain not in them the supposition of subsisting by
themselves, but are considered as Dependences on, or Affections of Substances”
Essay II. A ‘modus,’ for Locke, is thus an idea that represents to us the a ‘complex’
propertiy of a thing, sc. an idea derived from what Locke a ‘simple’ idea that
come to us from experience. Locke distinguishes between a ‘modus simplex,’ like
number, space, and infinity, which are supposed to be constructed by
compounding the SAME simple idea many times, and ‘modus complexum,’ or ‘modus
mixtum,’ a mode like obligation or theft, which is supposed to be compounded of
at least two simple ideas of a different sort.
Refs.: Grice applies Locke’s idea of the modus mixtum in his ‘labour’
against Empiricism, cf. H. P. Grice, “I may care a hoot what the dictionary
says, but it is not the case that I care a hoot what Micraelius’s “Lexicon
philosophicum” says.”
Grice against a pragmatic
or rational module: from Latin ‘modulus,’ ‘little mode.’ the commitment to functionally independent and
specialized cognitive system in psychological organizatio, or, more generally,
in the organization of any complex system. A ‘modulus’ entails that behavior is
the product of components with subordinate functions, that these functions are
realized in discrete physical systems, and that the subsystems are minimally
interactive. Organization in terms of a modulus varies from simple
decomposability to what Herbert Simon calls near decomposability. In the
former, component systems are independent, operating according to intrinsically
determined principles; system behavior is an additive or aggregative function
of these independent contributions. In the latter, the short-run behavior of
components is independent of the behavior of other components; the system
behavior is a relatively simple function of component contributions. Gall
defends a modular organization for the mind/brain, holding that the cerebral
hemispheres consist of a variety of organs, or centers, each subserving
specific intellectual and moral functions. This picture of the brain as a
collection of relatively independent organs contrasts sharply with the
traditional view that intellectual activity involves the exercise of a general
unitary ‘faculty’ in a variety of this or that‘domain’, where a ‘domain’ is not
a ‘modulus’ -- a view that was common to Descartes and Hume as well as Gall’s
major opponents such as Flourens. By the middle of the nineteenth century,
Bouillaud and Broca (a French doctor, of Occitan ancestry – brooch, broca –
thorn --) defended the view that language is controlled by localized structures
in the left hemisphere and is relatively independent of other cognitive
activities. It was later discovered by Wernicke that there are at least two
centers for the control of language, one more posterior and one more anterior.
On these views, there are discrete physical structures responsible for communication,
which are largely independent of one another and of structures responsible for
other psychological functions. This is therefore a modular organization. This
view of the neurophysiological organization of communication continues to have
advocates, though the precise characterization of the functions these two
centers serve is controversial. Many more recent views have tended to limit
modularity to more peripheral functions such as vision, hearing, and motor
control and speech, but have excluded “what I am interested in, viz. so-called
higher cognitive processes.” – H. P. Grice, “The power structure of the soul.”
modus ponendo ponens: 1
the argument form ‘If A then B; A; therefore, B’, and arguments of this form
compare fallacy of affirming the consequent; 2 the rule of inference that
permits one to infer the consequent of a conditional from that conditional and
its antecedent. This is also known as the rule of /-elimination or rule of /-
detachment.
modus tollendo tollens: 1
the argument form ‘If A then B; not-B; therefore, not-A’, and arguments of this
form compare fallacy of denying the antecedent; 2 the rule of inference that
permits one to infer the negation of the antecedent of a conditional from that
conditional and the negation of its consequent.
Molina, L. de
15351600, Jesuit theologian and
philosopher. He studied and taught at Coimbra and Évora and also taught in
Lisbon and Madrid. His most important works are the Concordia liberi arbitrii
cum gratiae donis“Free Will and Grace,” 1588, Commentaria in primam divi Thomae
partem “Commentary on the First Part of Thomas’s Summa,” 1592, and De justitia
et jure “On Justice and Law,” 15921613. Molina is best known for his doctrine
of middle knowledge scientia media. Its aim was to preserve free will while
maintaining the Christian doctrine of the efficacy of divine grace. It was
opposed by Thomists such as Bañez, who maintained that God exercises physical
predetermination over secondary causes of human action and, thus, that grace is
intrinsically efficacious and independent of human will and merits. For Molina,
although God has foreknowledge of what human beings will choose to do, neither
that knowledge nor God’s grace determine human will; the cooperation concursus
of divine grace with human will does not determine the will to a particular
action. This is made possible by God’s middle knowledge, which is a knowledge
in between the knowledge God has of what existed, exists, and will exist, and
the knowledge God has of what has not existed, does not exist, and will not
exist. Middle knowledge is God’s knowledge of conditional future contingent
events, namely, of what persons would do under any possible set of
circumstances. Thanks to this knowledge, God can arrange for certain human acts
to occur by prearranging the circumstances surrounding the choice without
determining the human will. Thus, God’s grace is concurrent with the act of the
will and does not predetermine it, rendering the Thomistic distinction between
sufficient and efficacious grace superfluous.
molyneux question: also
called Molyneux’s problem, the question that, in correspondence with Locke,
William Molyneux or Molineux, 1656 98, a Dublin lawyer and member of the Irish
Parliament, posed and Locke inserted in the second edition of his Essay
Concerning Human Understanding 1694; book 2, chap. 9, section 8: Suppose a Man
born blind, and now adult, and taught by his touch to distinguish a Cube, and a
Sphere of the same metal, and nighly of the same bigness, so as to tell, when
he felt one and t’other, which is the Cube, which the Sphere. Suppose then the
Cube and Sphere placed on a Table, and the Blind Man to be made to see. Quære,
Whether by his sight, before he touch’d them, he could now distinguish, and tell,
which is the Globe, which the Cube. Although it is tempting to regard
Molyneux’s question as straightforwardly empirical, attempts to gauge the
abilities of newly sighted adults have yielded disappointing and ambiguous
results. More interesting, perhaps, is the way in which different theories of
perception answer the question. Thus, according to Locke, sensory modalities
constitute discrete perceptual channels, the contents of which perceivers must
learn to correlate. Such a theory answers the question in the negative as did
Molyneux himself. Other theories encourage different responses.
Montaigne: philosopher
who set forth the Renaissance version of Grecian scepticism. Born and raised in
Bordeaux, he became its mayor, and was an adviser to leaders of the Reformation
and Counter-Reformation. In 1568 he tr. the work of the rationalist theologian Raimund Sebond on
natural theology. Shortly thereafter he began writing essais, attempts, as the
author said, to paint himself. These, the first in this genre, are rambling,
curious discussions of various topics, suggesting tolerance and an undogmatic
Stoic morality. The longest essai, the “Apology for Raimund Sebond,” “defends”
Sebond’s rationalism by arguing that since no adequate reasons or evidence
could be given to support any point of view in theology, philosophy, or
science, one should not blame Sebond for his views. Montaigne then presents and
develops the skeptical arguments found in Sextus Empiricus and Cicero.
Montaigne related skeptical points to thencurrent findings and problems. Data
of explorers, he argues, reinforce the cultural and ethical relativism of the
ancient Skeptics. Disagreements between Scholastics, Platonists, and
Renaissance naturalists on almost everything cast doubt on whether any theory
is correct. Scientists like Copernicus and Paracelsus contradict previous
scientists, and will probably be contradicted by future ones. Montaigne then
offers the more theoretical objections of the Skeptics, about the unreliability
of sense experience and reasoning and our inability to find an unquestionable
criterion of true knowledge. Trying to know reality is like trying to clutch
water. What should we then do? Montaigne advocates suspending judgment on all
theories that go beyond experience, accepting experience undogmatically, living
according to the dictates of nature, and following the rules and customs of
one’s society. Therefore one should remain in the religion in which one was
born, and accept only those principles that God chooses to reveal to us.
Montaigne’s skepticism greatly influenced European thinkers in undermining
confidence in previous theories and forcing them to seek new ways of grounding
knowledge. His acceptance of religion on custom and faith provided a way of
living with total skepticism. His presentation of skepticism in a modern
language shaped the vocabulary and the problems of philosophy in modern
times.
Montanism, a charismatic,
schismatic movement in early Christianity, originating in Phrygia in the late
second century. It rebuked the mainstream church for laxity and apathy, and
taught moral purity, new, i.e. postbiblical, revelation, and the imminent end
of the world. Traditional accounts, deriving from critics of the movement,
contain exaggerations and probably some fabrications. Montanus himself, abetted
by the prophetesses Maximilla and Prisca, announced in ecstatic speech a new,
final age of prophecy. This fulfilled the biblical promises that in the last
days the Holy Spirit would be poured out universally Joel 2: 28ff.; Acts 2:
16ff. and would teach “the whole truth” Jon. 14:26; 16:13. It also empowered
the Montanists to enjoin more rigorous discipline than that required by Jesus.
The sect denied that forgiveness through baptism covered serious subsequent
sin; forbade remarriage for widows and widowers; practiced fasting; and
condemned believers who evaded persecution. Some later followers may have
identified Montanus with the Holy Spirit itself, though he claimed only to be
the Spirit’s mouthpiece. The “new prophecy” flourished for a generation,
especially in North Africa, gaining a famous convert in Tertullian. But the
church’s bishops repudiated the movement’s criticisms and innovations, and
turned more resolutely against postapostolic revelation, apocalyptic expectation,
and ascetic extremes.
Montesquieu, philosopher of
the Enlightenment. He was born at La Brède, educated at the Oratorian Collège
de Juilly and received law degrees from Bordeaux. From his uncle he inherited
the barony of Montesquieu and the office of Président à Mortier at the
Parliament of Guyenne at Bordeaux. Fame, national and international, came
suddenly 1721 with the Lettres persanes “The Persian Letters”, published in
Holland and France, a landmark of the Enlightenment. His Réflexions sur la monarchie
universelle en Europe, written and printed 1734 to remind the authorities of
his qualifications and availability, delivered the wrong message at the wrong
time anti-militarism, pacifism, free trade, while France supported Poland’s
King Stanislas, dethroned by Russia and Austria. Montesquieu withdrew the
Réflexions before publication and substituted the Considerations on the Romans:
the same thesis is expounded here, but in the exclusively classical context of
ancient history. The stratagem succeeded: the Amsterdam edition was freely
imported; the Paris edition appeared with a royal privilège 1734. A few months
after the appearance of the Considerations, he undertook L’Esprit des lois, the
outline of a modern political science, conceived as the foundation of an
effective governmental policy. His optimism was shaken by the disasters of the
War of Austrian Succession 174048; the Esprit des lois underwent hurried
changes that upset its original plan. During the very printing process, the
author was discovering the true essence of his philosophie pratique: it would
never culminate in a final, invariable program, but in an orientation,
continuously, intelligently adapting to the unpredictable circumstances of
historical time in the light of permanent values. According to L’Esprit des
lois, governments are either a “republic,” a “monarchie,” or a “despotism.” The
principles, or motivational forces, of these types of government are,
respectively, “virtus,” “honor,” and fear. The type of government a people has
depends on its character, history, and geographical situation. Only a
constitutional government that separates its executive, legislative, and judicial
powers (cf. Grice, “The power structure of the soul: politics”) preserves liberty,
taken as the power to do what one ought to will. A constitutional monarchy with
separation of powers is the best form of government. Montesquieu influenced the
authors of the New World Constitution and the political philosophers Burke and
Rousseau. Refs.: H. P. Grice, “Social justice.”
Moore: g. e. – cited by
H. P. Grice. Irish London-born philosopher who spearheaded the attack on
idealism and was a major supporter of realism in all its forms: metaphysical,
epistemological, and axiological. He was born in Upper Norwood, a suburb of
London; did his undergraduate work at Cambridge ; spent 84 as a fellow of
Trinity ; returned to Cambridge in 1 as a lecturer; and was granted a
professorship there in 5. He also served as editor of Mind. The bulk of his
work falls into four categories: metaphysics, epistemology, ethics, and
philosophical methodology. Metaphysics. In this area, Moore is mainly known for
his attempted refutation of idealism and his defense thereby of realism. In his
“The Refutation of Idealism” 3, he argued that there is a crucial premise that
is essential to all possible arguments for the idealistic conclusion that “All
reality is mental spiritual.” This premise is: “To be is to be perceived” in
the broad sense of ‘perceive’. Moore argued that, under every possible interpretation
of it, that premise is either a tautology or false; hence no significant
conclusion can ever be inferred from it. His positive defense of realism had
several prongs. One was to show that there are certain claims held by
non-realist philosophers, both idealist ones and skeptical ones. Moore argued,
in “A Defense of Common Sense” 5, that these claims are either factually false
or self-contradictory, or that in some cases there is no good reason to believe
them. Among the claims that Moore attacked are these: “Propositions about
purported material facts are false”; “No one has ever known any such
propositions to be true”; “Every purported physical fact is logically dependent
on some mental fact”; and “Every physical fact is causally dependent on some
mental fact.” Another major prong of Moore’s defense of realism was to argue
for the existence of an external world and later to give a “Proof of an
External World” 3. Epistemology. Most of Moore’s work in this area dealt with
the various kinds of knowledge we have, why they must be distinguished, and the
problem of perception and our knowledge of an external world. Because he had
already argued for the existence of an external world in his metaphysics, he
here focused on how we know it. In many papers and chapters e.g., “The Nature
and Reality of Objects of Perception,” 6 he examined and at times supported
three main positions: naive or direct realism, representative or indirect
realism, and phenomenalism. Although he seemed to favor direct realism at first,
in the majority of his papers he found representative realism to be the most
supportable position despite its problems. It should also be noted that, in
connection with his leanings mood toward representative realism, Moore
maintained the existence of sense-data and argued at length for an account of
just how they are related to physical objects. That there are sense-data Moore
never doubted. The question was, What is their ontological status? With regard
to the various kinds of knowledge or ways of knowing, Moore made a distinction
between dispositional or non-actualized and actualized knowledge. Within the
latter Moore made distinctions between direct apprehension often known as
knowledge by acquaintance, indirect apprehension, and knowledge proper or propositional
knowledge. He devoted much of his work to finding the conditions for knowledge
proper. Ethics. In his major work in ethics, Principia Ethica 3, Moore
maintained that the central problem of ethics is, What is good? meaning by this, not what things are good,
but how ‘good’ is to be defined. He argued that there can be only one answer,
one that may seem disappointing, namely: good is good, or, alternatively,
‘good’ is indefinable. Thus ‘good’ denotes a “unique, simple object of thought”
that is indefinable and unanalyzable. His first argument on behalf of that
claim consisted in showing that to identify good with some other object i.e.,
to define ‘good’ is to commit the naturalistic fallacy. To commit this fallacy
is to reduce ethical propositions to either psychological propositions or
reportive definitions as to how people use words. In other words, what was
meant to be an ethical proposition, that X is good, becomes a factual
proposition about people’s desires or their usage of words. Moore’s second
argument ran like this: Suppose ‘good’ were definable. Then the result would be
even worse than that of reducing ethical propositions to non-ethical
propositions ethical propositions would
be tautologies! For example, suppose you defined ‘good’ as ‘pleasure’. Then
suppose you maintained that pleasure is good. All you would be asserting is
that pleasure is pleasure, a tautology. To avoid this conclusion ‘good’ must
mean something other than ‘pleasure’. Why is this the naturalistic fallacy?
Because good is a non-natural property. But even if it were a natural one,
there would still be a fallacy. Hence some have proposed calling it the
definist fallacy the fallacy of
attempting to define ‘good’ by any means. This argument is often known as the
open question argument because whatever purported definition of ‘good’ anyone
offers, it would always be an open question whether whatever satisfies the
definition really is good. In the last part of Principia Ethica Moore turned to
a discussion of what sorts of things are the greatest goods with which we are
acquainted. He argued for the view that they are personal affection and
aesthetic enjoyments. Philosophical methodology. Moore’s methodology in
philosophy had many components, but two stand out: his appeal to and defense of
common sense and his utilization of various methods of philosophical/conceptual
analysis. “A Defense of Common Sense” argued for his claim that the commonsense
view of the world is wholly true, and for the claim that any view which opposed
that view is either factually false or self-contradictory. Throughout his
writings Moore distinguished several kinds of analysis and made use of them
extensively in dealing with philosophical problems. All of these may be found
in the works cited above and other essays gathered into Moore’s Philosophical
Studies2 and Philosophical Papers 9. These have been referred to as
refutational analysis, with two subforms, showing contradictions and
“translation into the concrete”; distinctional analysis; decompositional
analysis either definitional or divisional; and reductional analysis. Moore was
greatly revered as a teacher. Many of his students and colleagues have paid
high tribute to him in very warm and grateful terms. .
Moore’s paradox, as first
discussed by G. E. Moore, the perplexity involving assertion of what is
expressed by conjunctions such as ‘It’s raining, but I believe it isn’t’ and
‘It’s raining, but I don’t believe it is’. The oddity of such presenttense
first-person uses of ‘to believe’ seems peculiar to those conjunctions just
because it is assumed both that, when asserting
roughly, representing as true a
conjunction, one also asserts its conjuncts, and that, as a rule, the assertor
believes the asserted proposition. Thus, no perplexity arises from assertions
of, for instance, ‘It’s raining today, but I falsely believed it wasn’t until I
came out to the porch’ and ‘If it’s raining but I believe it isn’t, I have been
misled by the weather report’. However, there are reasons to think that, if we
rely only on these assumptions and examples, our characterization of the
problem is unduly narrow. First, assertion seems relevant only because we are
interested in what the assertor believes. Secondly, those conjunctions are
disturbing only insofar as they show that Moore’s paradox Moore’s paradox
583 583 some of the assertor’s
beliefs, though contingent, can only be irrationally held. Thirdly,
autobiographical reports that may justifiably be used to charge the reporter
with irrationality need be neither about his belief system, nor conjunctive,
nor true e.g., ‘I don’t exist’, ‘I have no beliefs’, nor false e.g., ‘It’s
raining, but I have no evidence that it is’. So, Moore’s paradox is best seen
as the problem posed by contingent propositions that cannot be justifiably
believed. Arguably, in forming a belief of those propositions, the believer
acquires non-overridable evidence against believing them. A successful analysis
of the problem along these lines may have important epistemological
consequences. Refs.: Grice, “Oxford
seminars.” Grice dedicated a full chapter to the Moore paradox. Mainly, Moore
is confused in lexicological ways. An emisor EXPRESSES the belief that p. What
the emisor communicates is that p, not that he believes that p. He does not
convey explicitly that he believes that p, nor implicitly. Belief and its
expression is linked conceptually with the mode – indicative (‘est’); as is
desire and its expression with the imperative mode (“sit”).
dilemma. Grice: “Ryle
overuses the word dilemma in his popularization, “Dilemmas”.” 1 Any problem
where morality is relevant. This broad use includes not only conflicts among
moral reasons but also conflicts between moral reasons and reasons of law,
religion, or self-interest. In this sense, Abraham is in a moral dilemma when
God commands him to sacrifice his son, even if he has no moral reason to obey.
Similarly, I am in a moral dilemma if I cannot help a friend in trouble without
forgoing a lucrative but morally neutral business opportunity. ’Moral dilemma’
also often refers to 2 any topic area where it is not known what, if anything,
is morally good or right. For example, when one asks whether abortion is
immoral in any way, one could call the topic “the moral dilemma of abortion.”
This epistemic use does not imply that anything really is immoral at all.
Recently, moral philosophers have discussed a much narrower set of situations
as “moral dilemmas.” They usually define ‘moral dilemma’ as 3 a situation where
an agent morally ought to do each of two acts but cannot do both. The bestknown
example is Sartre’s student who morally ought to care for his mother in Paris
but at the same time morally ought to go to England to join the Free and fight the Nazis. However, ‘ought’ covers
ideal actions that are not morally required, such as when someone ought to give
to a certain charity but is not required to do so. Since most common examples
of moral dilemmas include moral obligations or duties, or other requirements,
it is more accurate to define ‘moral dilemma’ more narrowly as 4 a situation
where an agent has a moral requirement to do each of two acts but cannot do
both. Some philosophers also refuse to call a situation a moral dilemma when
one of the conflicting requirements is clearly overridden, such as when I must
break a trivial promise in order to save a life. To exclude such resolvable
conflicts, ‘moral dilemma’ can be defined as 5 a situation where an agent has a
moral requirement to adopt each of two alternatives, and neither requirement is
overridden, but the agent cannot fulfill both. Another common move is to define
‘moral dilemma’ as 6 a situation where every alternative is morally wrong. This
is equivalent to 4 or 5, respectively, if an act is morally wrong whenever it
violates any moral requirement or any non-overridden moral requirement.
However, we usually do not call an act wrong unless it violates an overriding
moral requirement, and then 6 rules out moral dilemmas by definition, since
overriding moral requirements clearly cannot conflict. Although 5 thus seems
preferable, some would object that 5 includes trivial requirements and
conflicts, such as conflicts between trivial promises. To include only tragic
situations, we could define ‘moral dilemma’ as 7 a situation where an agent has
a strong moral obligation or requirement to adopt each of two alternatives, and
neither is overridden, but the agent cannot adopt both alternatives. This
definition is strong enough to raise the important controversies about moral
dilemmas without being so strong as to rule out their possibility by
definition. Refs.: H. P. Grice, “Ryle’s dilemmas: are they?”
epistemology, the
discipline, at the intersection of ethics and epistemology, that studies the
epistemic status and relations of moral judgments and principles. It has developed
out of an interest, common to both ethics and epistemology, in questions of
justification and justifiability in
epistemology, of statements or beliefs, and in ethics, of actions as well as
judgments of actions and also general principles of judgment. Its most
prominent questions include the following. Can normative claims be true or
false? If so, how can they be known to be true or false? If not, what status do
they have, and are they capable of justification? If they are capable of
justification, how can they be justified? Does the justification of normative
claims differ with respect to particular claims and with respect to general
principles? In epistemology recent years have seen a tendency to accept as
valid an account of knowledge as entailing justified true belief, a conception
that requires an account not just of truth but also of justification and of
justified belief. Thus, under what conditions is someone justified,
epistemically, in believing something? Justification, of actions, of judgments,
and of principles, has long been a central element in ethics. It is only
recently that justification in ethics came to be thought of as an
epistemological problem, hence ‘moral epistemology’, as an expression, is a
fairly recent coinage, although its problems have a long lineage. One
long-standing linkage is provided by the challenge of skepticism. Skepticism in
ethics can be about the existence of any genuine distinction between right and
wrong, or it can focus on the possibility of attaining any knowledge of right
and wrong, good or bad. Is there a right answer? is a question in the
metaphysics of ethics. Can we know what the right answer is, and if so how? is
one of moral epistemology. Problems of perception and observation and ones
about observation statements or sense-data play an important role in
epistemology. There is not any obvious parallel in moral epistemology, unless
it is the role of prereflective moral judgments, or commonsense moral
judgments moral judgments unguided by
any overt moral theory which can be
taken to provide the data of moral theory, and which need to be explained,
systematized, coordinated, or revised to attain an appropriate relation between
theory and data. This would be analogous to taking the data of epistemology to be
provided, not by sense-data or observations but by judgments of perception or
observation statements. Once this step is taken the parallel is very close. One
source of moral skepticism is the apparent lack of any observational
counterpart for moral predicates, which generates the question how moral
judgments can be true if there is nothing for them to correspond to. Another
source of moral skepticism is apparently constant disagreement and uncertainty,
which would appear to be explained by the skeptical hypothesis denying the
reality of moral distinctions. Noncognitivism in ethics maintains that moral
judgments are not objects of knowledge, that they make no statements capable of
truth or falsity, but are or are akin to expressions of attitudes. Some other
major differences among ethical theories are largely epistemological in
character. Intuitionism maintains that basic moral propositions are knowable by
intuition. Empiricism in ethics maintains that moral propositions can be
established by empirical means or are complex forms of empirical statements.
Ethical rationalism maintains that the fundamental principles of morality can
be established a priori as holding of necessity. This is exemplified by Kant’s
moral philosophy, in which the categorical imperative is regarded as synthetic
a priori; more recently by what Alan Gewirth b.2 calls the “principle of
generic consistency,” which he claims it is selfcontradictory to deny. Ethical
empiricism is exemplified by classical utilitarianism, such as that of Bentham,
which aspires to develop ethics as an empirical science. If the consequences of
actions can be scientifically predicted and their utilities calculated, then
ethics can be a science. Situationism is equivalent to concrete case
intuitionism in maintaining that we can know immediately what ought to be done
in specific cases, but most ethical theories maintain that what ought to be
done is, in J. S. Mill’s words, determined by “the application of a law to an
individual case.” Different theories differ on the epistemic status of these
laws and on the process of application. Deductivists, either empiricistic or
rationalistic, hold that the law is essentially unchanged in the application;
non-deductivists hold that the law is modified in the process of application.
This distinction is explained in F. L. Will, “Beyond Deduction.” There is
similar variation about what if anything is selfevident, Sidgwick maintaining
that only certain highly abstract principles are self-evident, Ross that only
general rules are, and Prichard that only concrete judgments are, “by an act of
moral thinking.” Other problems in moral epistemology are provided by the
factvalue distinction and controversies
about whether there is any such distinction
and the isought question, the question how a moral judgment can be
derived from statements of fact alone. Naturalists affirm the possibility,
non-naturalists deny it. Prescriptivists claim that moral judgments are
prescriptions and cannot be deduced from descriptive statements alone. This question
ultimately leads to the question how an ultimate principle can be justified. If
it cannot be deduced from statements of fact, that route is out; if it must be
deduced from some other moral principle, then the principle deduced cannot be
ultimate and in any case this process is either circular or leads to an
infinite regress. If the ultimate principle is self-evident, then the problem
may have an answer. But if it is not it would appear to be arbitrary. The
problem of the justification of an ultimate principle continues to be a leading
one in moral epistemology. Recently there has been much interest in the status
and existence of “moral facts.” Are there any, what are they, and how are they
established as “facts”? This relates to questions about moral realism. Moral
realism maintains that moral predicates are real and can be known to be so;
anti-realists deny this. This denial links with the view that moral properties
supervene on natural ones, and the problem of supervenience is another recent
link between ethics and epistemology. Pragmatism in ethics maintains that a
moral problem is like any problem in that it is the occasion for inquiry and
moral judgments are to be regarded as hypotheses to be tested by how well they
resolve the problem. This amounts to an attempt to bypass the isought problem
and all such “dualisms.” So is constructivism, a development owing much to the
work of Rawls, which contrasts with moral realism. Constructivism maintains
that moral ideas are human constructs and the task is not epistemological or
metaphysical but practical and theoretical
that of attaining reflective equilibrium between considered moral
judgments and the principles that coordinate and explain them. On this view
there are no moral facts. Opponents maintain that this only replaces a
foundationalist view of ethics with a coherence conception. The question
whether questions of moral epistemology can in this way be bypassed can be
regarded as itself a question of moral epistemology. And the question of the
foundations of morality, and whether there are foundations, can still be
regarded as a question of moral epistemology, as distinct from a question of
the most convenient and efficient arrangement of our moral ideas. Refs.: H. P.
Grice, “Our knowledge of right and wrong: do we have it? Is it intuitive as
Oxonians believe?”
meta-ethics: morality, an
informal public system applying to all rational persons, governing behavior
that affects others, having the lessening of evil or harm as its goal, and
including what are commonly known as the moral rules, moral ideals, and moral
virtues. To say that it is a public system means that all those to whom it
applies must understand it and that it must not be irrational for them to use
it in deciding what to do and in judging others to whom the system applies.
Games are the paradigm cases of public systems; all games have a point and the
rules of a game apply to all who play it. All players know the point of the
game and its rules, and it is not irrational for them to be guided by the point
and rules and to judge the behavior of other players by them. To say that
morality is informal means that there is no decision procedure or authority
that can settle all its controversial questions. Morality thus resembles a
backyard game of basketball more than a professional game. Although there is
overwhelming agreement on most moral matters, certain controversial questions
must be settled in an ad hoc fashion or not settled at all. For example, when,
if ever, abortion is acceptable is an unresolvable moral matter, but each
society and religion can adopt its own position. That morality has no one in a
position of authority is one of the most important respects in which it differs
from law and religion. Although morality must include the commonly accepted
moral rules such as those prohibiting killing and deceiving, different
societies can interpret these rules somewhat differently. They can also differ
in their views about the scope of morality, i.e., about whether morality
protects newborns, fetuses, or non-human animals. Thus different societies can
have somewhat different moralities, although this difference has limits. Also
within each society, a person may have his own view about when it is justified
to break one of the rules, e.g., about how much harm would have to be prevented
in order to justify deceiving someone. Thus one person’s morality may differ
somewhat from another’s, but both will agree on the overwhelming number of
non-controversial cases. A moral theory is an attempt to describe, explain, and
if possible justify, morality. Unfortunately, most moral theories attempt to
generate some simplified moral code, rather than to describe the complex moral
system that is already in use. Morality does not resolve all disputes. Morality
does not require one always to act so as to produce the best consequences or to
act only in those ways that one would will everyone to act. Rather morality
includes both moral rules that no one should transgress and moral ideals that
all are encouraged to follow, but much of what one does will not be governed by
morality. H. P. Grice, “Meta-ethics in postwar Oxford philosophy: Hare,
Nowell-Smith, myself, and others!”
meta-ethics:, 1 the
subfield of psychology that traces the development over time of moral reasoning
and opinions in the lives of individuals this subdiscipline includes work of
Jean Piaget, Lawrence Kohlberg, and Carol Gilligan; 2 the part of philosophy
where philosophy of mind and ethics overlap, which concerns all the
psychological issues relevant to morality. There are many different
psychological matters relevant to ethics, and each may be relevant in more than
one way. Different ethical theories imply different sorts of connections. So
moral psychology includes work of many and diverse kinds. But several
traditional clusters of concern are evident. Some elements of moral psychology
consider the psychological matters relevant to metaethical issues, i.e., to
issues about the general nature of moral truth, judgment, and knowledge.
Different metaethical theories invoke mental phenomena in different ways:
noncognitivism maintains that sentences expressing moral judgments do not
function to report truths or falsehoods, but rather, e.g., to express certain
emotions or to prescribe certain actions. So some forms of noncognitivism imply
that an understanding of certain sorts of emotions, or of special activities
like prescribing that may involve particular psychological elements, is crucial
to a full understanding of how ethical sentences are meaningful. Certain forms
of cognitivism, the view that moral declarative sentences do express truths or
falsehoods, imply that moral facts consist of psychological facts, that for
instance moral judgments consist of expressions of positive psychological
attitudes of some particular kind toward the objects of those judgments. And an
understanding of psychological phenomena like sentiment is crucial according to
certain sorts of projectivism, which hold that the supposed moral properties of
things are mere misleading projections of our sentiments onto the objects of
those sentiments. Certain traditional moral sense theories and certain
traditional forms of intuitionism have held that special psychological
faculties are crucial for our epistemic access to moral truth. Particular views
in normative ethics, particular views about the moral status of acts, persons,
and other targets of normative evaluation, also often suggest that an
understanding of certain psychological matters is crucial to ethics. Actions,
intentions, and character are some of the targets of evaluation of normative
ethics, and their proper understanding involves many issues in philosophy of
mind. Also, many normative theorists have maintained that there is a close
connection between pleasure, happiness, or desiresatisfaction and a person’s
good, and these things are also a concern of philosophy of mind. In addition,
the rightness of actions is often held to be closely connected to the motives,
beliefs, and other psychological phenomena that lie behind those actions.
Various other traditional philosophical concerns link ethical and psychological
issues: the nature of the patterns in the long-term development in individuals
of moral opinions and reasoning, the appropriate form for moral education and
punishment, the connections between obligation and motivation, i.e., between
moral reasons and psychological causes, and the notion of free will and its
relation to moral responsibility and autonomy. Some work in philosophy of mind
also suggests that moral phenomena, or at least normative phenomena of some
kind, play a crucial role in illuminating or constituting psychological
phenomena of various kinds, but the traditional concern of moral psychology has
been with the articulation of the sort of philosophy of mind that can be useful
to ethics. Refs.: H. P. Grice,
“Meta-ethics in post-war Oxford philosophy: Hare, Nowell-Smith, myself, and
others!”
“pratical reason” -- moral
rationalism, the view that the substance of morality, usually in the form of
general moral principles, can be known a priori. The view is defended by Kant
in Groundwork of the Metaphysic of Morals, but it goes back at least to Plato.
Both Plato and Kant thought that a priori moral knowledge could have an impact
on what we do quite independently of any desire that we happen to have. This
motivational view is also ordinarily associated with moral rationalism. It
comes in two quite different forms. The first is that a priori moral knowledge
consists in a sui generis mental state that is both belief-like and
desire-like. This seems to have been Plato’s view, for he held that the belief
that something is good is itself a disposition to promote that thing. The
second is that a priori moral knowledge consists in a belief that is capable of
rationally producing a distinct desire. Rationalists who make the first claim
have had trouble accommodating the possibility of someone’s believing that
something is good but, through weakness of will, not mustering the desire to do
it. Accordingly, they have been forced to assimilate weakness of will to
ignorance of the good. Rationalists who make the second claim about reason’s
action-producing capacity face no such problem. For this reason, their view is
often preferred. The best-known anti-rationalist about morality is Hume. His
Treatise of Human Nature denies both that morality’s substance can be known by
reason alone and that reason alone is capable of producing action.
Griceian realism: a
metaethical view committed to the objectivity of ethics. It has 1 metaphysical,
2 semantic, and 3 epistemological components. 1 Its metaphysical component is
the claim that there are moral facts and moral properties whose existence and
nature are independent of people’s beliefs and attitudes about what is right or
wrong. In this claim, moral realism contrasts with an error theory and with
other forms of nihilism that deny the existence of moral facts and properties.
It contrasts as well with various versions of moral relativism and other forms
of ethical constructivism that make moral facts consist in facts about people’s
moral beliefs and attitudes. 2 Its semantic component is primarily cognitivist.
Cognitivism holds that moral judgments should be construed as assertions about
the moral properties of actions, persons, policies, and other objects of moral
assessment, that moral predicates purport to refer to properties of such
objects, that moral judgments or the propositions that they express can be true
or false, and that cognizers can have the cognitive attitude of belief toward
the propositions that moral judgments express. These cognitivist claims
contrast with the noncognitive claims of emotivism and prescriptivism,
according to which the primary purpose of moral judgments is to express the
appraiser’s attitudes or commitments, rather than to state facts or ascribe
properties. Moral realism also holds that truth for moral judgments is
non-epistemic; in this way it contrasts with moral relativism and other forms
of ethical constructivism that make the truth of a moral judgment epistemic.
The metaphysical and semantic theses imply that there are some true moral
propositions. An error theory accepts the cognitivist semantic claims but denies
the realist metaphysical thesis. It holds that moral judgments should be
construed as containing referring expressions and having truth-values, but
insists that these referring expressions are empty, because there are no moral
facts, and that no moral claims are true. Also on this theory, commonsense
moral thought presupposes the existence of moral facts and properties, but is
systematically in error. In this way, the error theory stands to moral realism
much as atheism stands to theism in a world of theists. J. L. Mackie introduced
and defended the error theory in his Ethics: Inventing Right and Wrong, 7. 3
Finally, if moral realism is to avoid skepticism it must claim that some moral
beliefs are true, that there are methods for justifying moral beliefs, and that
moral knowledge is possible. While making these metaphysical, semantic, and
epistemological claims, moral realism is compatible with a wide variety of
other metaphysical, semantic, and epistemological principles and so can take
many different forms. The moral realists in the early part of the twentieth
century were generally intuitionists. Intuitionism combined a commitment to
moral realism with a foundationalist moral epistemology according to which
moral knowledge must rest on self-evident moral truths and with the
nonnaturalist claim that moral facts and properties are sui generis and not
reducible to any natural facts or properties. Friends of noncognitivism found
the metaphysical and epistemological commitments of intuitionism extravagant and
so rejected moral realism. Later moral realists have generally sought to defend
moral realism without the metaphysical and epistemological trappings of
intuitionism. One such version of moral realism takes a naturalistic form. This
form of ethical naturalism claims that our moral beliefs are justified when
they form part of an explanatorily coherent system of beliefs with one another
and with various non-moral beliefs, and insists that moral properties are just
natural properties of the people, actions, and policies that instantiate them.
Debate between realists and anti-realists and within the realist camp centers
on such issues as the relation between moral judgment and action, the rational
authority of morality, moral epistemology and methodology, the relation between
moral and non-moral natural properties, the place of ethics in a naturalistic
worldview, and the parity of ethics and the sciences.
“Some remarks about the
senses” – Grice: “Grice: “And then there’s Shaftesbury who thinks he is being
witty when he speaks of a ‘moral’ “sense”!” -- moral sense theory, an ethical
theory, developed by some British philosophers
notably Shaftesbury, Hutcheson, and Hume
according to which the pleasure or pain a person feels upon thinking
about or “observing” certain character traits is indicative of the virtue or
vice, respectively, of those features. It is a theory of “moral perception,”
offered in response to moral rationalism, the view that moral distinctions are
derived by reason alone, and combines Locke’s empiricist doctrine that all
ideas begin in experience with the belief, widely shared at the time, that
feelings play a central role in moral evaluation and motivation. On this
theory, our emotional responses to persons’ characters are often “perceptions” of
their morality, just as our experiences of an apple’s redness and sweetness are
perceptions of its color and taste. These ideas of morality are seen as
products of an “internal” sense, because they are produced in the “observer”
only after she forms a concept of the conduct or trait being observed or
contemplated as when a person realizes
that she is seeing someone intentionally harm another and reacts with
displeasure at what she sees. The moral sense is conceived as being analogous
to, or possibly an aspect of, our capacity to recognize varying degrees of
beauty in things, which modern writers call “the sense of beauty.” Rejecting
the popular view that morality is based on the will of God, Shaftesbury
maintains rather that morality depends on human nature, and he introduces the
notion of a sense of right and wrong, possessed uniquely by human beings, who
alone are capable of reflection. Hutcheson argues that to approve of a
character is to regard it as virtuous. For him, reason, which discovers relations
of inanimate objects to rational agents, is unable to arouse our approval in
the absence of a moral sense. Ultimately, we can explain why, for example, we
approve of someone’s temperate character only by appealing to our natural
tendency to feel pleasure sometimes identified with approval at the thought of
characters that exhibit benevolence, the trait to which all other virtues can
be traced. This disposition to feel approval and disapproval is what Hutcheson
identifies as the moral sense. Hume emphasizes that typical human beings make
moral distinctions on the basis of their feelings only when those sentiments
are experienced from a disinterested or “general” point of view. In other
words, we turn our initial sentiments into moral judgments by compensating for
the fact that we feel more strongly about those to whom we are emotionally
close than those from whom we are more distant. On a widely held interpretation
of Hume, the moral sense provides not only judgments, but also motives to act
according to those judgments, since its feelings may be motivating passions or
arouse such passions. Roderick Firth’s 787 twentieth-century ideal observer
theory, according to which moral good is designated by the projected reactions
of a hypothetically omniscient, disinterested observer possessing other ideal
traits, as well as Brandt’s contemporary moral spectator theory, are direct
descendants of the moral sense theory. Refs:
H. P. Grice: “Shaftesbury’s moral sense: some remarks about the ‘senses’ of
this ‘expression’!”
moral scepticism, any
metaethical view that raises fundamental doubts about morality as a whole.
Different kinds of doubts lead to different kinds of moral skepticism. The
primary kinds of moral skepticism are epistemological. Moral justification
skepticism is the claim that nobody ever has any or adequate justification for
believing any substantive moral claim. Moral knowledge skepticism is the claim
that nobody ever knows that any substantive moral claim is true. If knowledge
implies justification, as is often assumed, then moral justification skepticism
implies moral knowledge skepticism. But even if knowledge requires
justification, it requires more, so moral knowledge skepticism does not imply
moral justification skepticism. Another kind of skeptical view in metaethics
rests on linguistic analysis. Some emotivists, expressivists, and
prescriptivists argue that moral claims like “Cheating is morally wrong”
resemble expressions of emotion or desire like “Boo, cheating” or prescriptions
for action like “Don’t cheat”, which are neither true nor false, so moral
claims themselves are neither true nor false. This linguistic moral skepticism,
which is sometimes called noncognitivism, implies moral knowledge skepticism if
knowledge implies truth. Even if such linguistic analyses are rejected, one can
still hold that no moral properties or facts really exist. This ontological
moral skepticism can be combined with the linguistic view that moral claims
assert moral properties and facts to yield an error theory that all positive
moral claims are false. A different kind of doubt about morality is often
raised by asking, “Why should I be moral?” Practical moral skepticism answers
that there is not always any reason or any adequate reason to be moral or to do
what is morally required. This view concerns reasons to act rather than reasons
to believe. Moral skepticism of all these kinds is often seen as immoral, but
moral skeptics can act and be motivated and even hold moral beliefs in much the
same way as non-skeptics. Moral skeptics just deny that their or anyone else’s
moral beliefs are justified or known or true, or that they have adequate reason
to be moral.
moral status, the
suitability of a being to be viewed as an appropriate object of direct moral
concern; the nature or degree of a being’s ability to count as a ground of
claims against moral agents; the moral standing, rank, or importance of a kind
of being; the condition of being a moral patient; moral considerability.
Ordinary moral reflection involves considering others. But which others ought
to be considered? And how are the various objects of moral consideration to be
weighed against one another? Anything might be the topic of moral discussion,
but not everything is thought to be an appropriate object of direct moral
concern. If there are any ethical constraints on how we may treat a ceramic
plate, these seem to derive from considerations about other beings, not from
the interests or good or nature of the plate. The same applies, presumably, to
a clod of earth. Many philosophers view a living but insentient being, such as
a dandelion, in the same way; others have doubts. According to some, even
sentient animal life is little more deserving of moral consideration than the
clod or the dandelion. This tradition, which restricts significant moral status
to humans, has come under vigorous and varied attack by defenders of animal
liberation. This attack criticizes speciesism, and argues that “humanism” is
analogous to theories that illegitimately base moral status on race, gender, or
social class. Some philosophers have referred to beings that are appropriate
objects of direct moral concern as “moral patients.” Moral agents are those
beings whose actions are subject to moral evaluation; analogously, moral
patients would be those beings whose suffering in the sense of being the
objects of the actions of moral agents permits or demands moral evaluation.
Others apply the label ‘moral patients’ more narrowly, just to those beings
that are appropriate objects of direct moral concern but are not also moral
agents. The issue of moral status concerns not only whether beings count at all
morally, but also to what degree they count. After all, beings who are moral
patients might still have their claims outweighed by the preferred claims of
other beings who possess some special moral status. We might, with Nozick,
propose “utilitarianism for animals, Kantianism for people.” Similarly, the
bodily autonomy argument in defense of abortion, made famous by Thomson, does
not deny that the fetus is a moral patient, but insists that her/his/its claims
are limited by the pregnant woman’s prior claim to control her bodily destiny.
It has often been thought that moral status should be tied to the condition of
“personhood.” The idea has been either that only persons are moral patients, or
that persons possess a special moral status that makes them morally more
important than nonpersons. Personhood, on such theories, is a minimal condition
for moral patiency. Why? Moral patiency is said to be “correlative” with moral
agency: a creature has both or neither. Alternatively, persons have been viewed
not as the only moral patients, but as a specially privileged elite among moral
patients, possessing rights as well as interests.
More, Henry 161487, English
philosopher, theologian, and poet, the most prolific of the Cambridge
Platonists. In 1631 he entered Christ’s , where he spent the rest of his life
after becoming Fellow in 1641. He was primarily an apologist of anti-Calvinist,
latitudinarian stamp whose inalienable philosophico- theological purpose was to
demonstrate the existence and immortality of the soul and to cure “two enormous
distempers of the mind,” atheism and “enthusiasm.” He described himself as “a
Fisher for Philosophers, desirous to draw them to or retain them in the
Christian Faith.” His eclectic method deployed Neoplatonism notably Plotinus
and Ficino, mystical theologies, cabalistic doctrines as More misconceived
them, empirical findings including reports of witchcraft and ghosts, the new
science, and the new philosophy, notably the philosophy of Descartes. Yet he
rejected Descartes’s beast-machine doctrine, his version of dualism, and the
pretensions of Cartesian mechanical philosophy to explain all physical
phenomena. Animals have souls; the universe is alive with souls. Body and
spirit are spatially extended, the former being essentially impenetrable,
inert, and discerpible divisible into parts, the latter essentially penetrable,
indiscerpible, active, and capable of a spiritual density, which More called
essential spissitude, “the redoubling or contracting of substance into less
space than it does sometimes occupy.” Physical processes are activated and
ordered by the spirit of nature, a hylarchic principle and “the vicarious power
of God upon this great automaton, the world.” More’s writings on natural
philosophy, especially his doctrine of infinite space, are thought to have
influenced Newton. More attacked Hobbes’s materialism and, in the 1660s and
1670s, the impieties of Dutch Cartesianism, including the perceived atheism of
Spinoza and his circle. He regretted the “enthusiasm” for and conversion to
Quakerism of Anne Conway, his “extramural” tutee and assiduous correspondent.
More had a partiality for coinages and linguistic exotica. We owe to him
‘Cartesianism’ 1662, coined a few years before the first appearance of the equivalent, and the substantive ‘materialist’
1668.
More, Sir Thomas: English
humanist, statesman, martyr, and saint. A lawyer by profession, he entered
royal service in 1517 and became lord chancellor in 1529. After refusing to
swear to the Act of Supremacy, which named Henry VIII the head of the English
church, More was beheaded as a traitor. Although his writings include
biography, poetry, letters, and anti-heretical tracts, his only philosophical
work, Utopia published in Latin, 1516, is his masterpiece. Covering a wide
variety of subjects including government, education, punishment, religion,
family life, and euthanasia, Utopia contrasts European social institutions with
their counterparts on the imaginary island of Utopia. Inspired in part by
Plato’s Republic, the Utopian communal system is designed to teach virtue and
reward it with happiness. The absence of money, private property, and most
social distinctions allows Utopians the leisure to develop the faculties in
which happiness consists. Because of More’s love of irony, Utopia has been
subject to quite different interpretations.
Mosca: philosopher who
made pioneering contributions to the theory of democratic elitism. Combining
the life of a professor with that of a
politician, he taught such subjects as constitutional law, public law,
political science, and history of political theory; at various times he was
also an editor of the Parliamentary proceedings, an elected member of the
Chamber of Deputies, an under-secretary for colonial affairs, a newspaper
columnist, and a member of the Senate. For Mosca ‘elitism’ refers to the empirical
generalization that a society is ruled by an organised minority. His democratic
commitment is embodied in what he calls juridical defense: the normative
principle that political developments are to be judged by whether and how they
prevent any one person, class, force, or institution from dominating the
others. Mosca’s third main contribution is a framework consisting of two
intersecting distinctions that yield four possible ideal types, defined as
follows: in autocracy, authority flows from the rulers to the ruled. In
liberalism, from the ruled to the rulers. In democracy, the ruling class is
open to renewal by members of other classes; in aristocracy it is not. He was
influenced by, and in turn influenced, positivism, for the elitist thesis
presumably constitutes the fundamental “law” of political “science.” Even
deeper is his connection with the tradition of Machiavelli’s political realism.
There is also no question that he practiced an empirical approach. In the
tradition of elitism, he may be compared and contrasted with Pareto, Michels,
and Schumpeter; and in the tradition of
political philosophy, to Croce, Gentile, and Gramsci. Refs.: H. P.
Grice: “Mosca’s liberalism.”
Motivatum -- motivation,
a property central in motivational explanations of intentional conduct. To
assert that Grice is driving to Lord’s today because she wants to see his
cricket team play and believes that they are playing today at Lord’s is to
offer an explanation of Grice’s action. On a popular interpretation, the
assertion mentions a pair of attitudes: a desire and a belief. Grice’s s desire
is a paradigmatic motivational attitude in that it inclines him to bring about
the satisfaction of that very attitude. The primary function of motivational
attitudes is to bring about their own satisfaction by inducing the agent to
undertake a suitable course of action, and, arguably, any attitude that has
that function is, ipso facto, a motivational one. The related thesis that only
attitudes having this function are motivational
or, more precisely, motivation-constituting is implausible. Grice hopes that the Oxfordshire
Cricket Team won yesterday. Plainly, his hope cannot bring about its own
satisfaction, since Grice has no control over the past. Even so, the hope
seemingly may motivate action e.g., Grice’s searching for sports news on her
car radio, in which case the hope is motivation-constituting. Some philosophers
have claimed that our beliefs that we are morally required to take a particular
course of action are motivation-constituting, and such beliefs obviously do not
have the function of bringing about their own satisfaction i.e., their truth.
However, the claim is controversial, as is the related claim that beliefs of
this kind are “besires” that is, not
merely beliefs but desires as well. Refs.: “Desire, belief, and besire.”
Grice: the
explanatory-justificatory distinction – “To explain” is not to explicate, but
to render ‘plain’ – To justify is hardly to render ‘plain’! Grice is aware of
this, because he does not use the ‘explicatory-justificatory’ distinction.
Therefore, the ‘justificatory’ is conceptually prior – a philosopher looks for
justification – hardly to render stuff plain – “Quite the opposite: my claim to
fame is to follow the alleged professional duty of a philosophy professor: to
render obscure what is clear, and vice versa!” -- motivational explanation -- a
type of explanation of goal-directed behavior where the explanans appeals to
the motives of the agent. The explanation usually is in the following form:
Smith swam hard in order to win the race. Here the description of what Smith
did identifies the behavior to be explained, and the phrase that follows ‘in
order to’ identifies the goal or the state of affairs the obtaining of which
was the moving force behind the behavior. The general presumption is that the
agent whose behavior is being explained is capable of deliberating and acting
on the decisions reached as a result of the deliberation. Thus, it is dubious
whether the explanation contained in ‘The plant turned toward the sun in order
to receive more light’ is a motivational explanation. Two problems are thought
to surround motivational explanations. First, since the state of affairs set as
the goal is, at the time of the action, non-existent, it can only act as the
“moving force” by appearing as the intentional object of an inner psychological
state of the agent. Thus, motives are generally desires for specific objects or
states of affairs on which the agent acts. So motivational explanation is
basically the type of explanation provided in folk psychology, and as such it
inherits all the alleged problems of the latter. And second, what counts as a
motive for an action under one description usually fails to be a motive for the
same action under a different description. My motive for saying “hello” may
have been my desire to answer the phone, but my motive for saying “hello”
loudly was to express my irritation at the person calling me so late at
night.
motivational internalism,
the view that moral motivation is internal to moral duty or the sense of duty.
The view represents the contemporary understanding of Hume’s thesis that
morality is essentially practical. Hume went on to point out the apparent
logical gap between statements of fact, which express theoretical judgments,
and statements about what ought to be done, which express practical judgments.
Motivational internalism offers one explanation for this gap. No motivation is
internal to the recognition of facts. The specific internal relation the view
affirms is that of necessity. Thus, motivational internalists hold that if one
sees that one has a duty to do a certain action or that it would be right to do
it, then necessarily one has a motive to do it. For example, if one sees that
it is one’s duty to donate blood, then necessarily one has a motive to donate
blood. Motivational externalism, the opposing view, denies this relation. Its
adherents hold that it is possible for one to see that one has a duty to do a
certain action or that it would be right to do it yet have no motive to do it.
Motivational externalists typically, though not universally, deny any real gap
between theoretical and practical judgments. Motivational internalism takes
either of two forms, rationalist and anti-rationalist. Rationalists, such as
Plato and Kant, hold that the content or truth of a moral requirement guarantees
in those who understand it a motive of compliance. Anti-rationalists, such as
Hume, hold that moral judgment necessarily has some affective or volitional
component that supplies a motive for the relevant action but that renders
morality less a matter of reason and truth than of feeling or commitment. It is
also possible in the abstract to draw an analogous distinction between two
forms of motivational externalism, cognitivist and noncognitivist, but because
the view springs from an interest in assimilating practical judgment to
theoretical judgment, its only influential form has been cognitivist.
mystical experience, an
experience alleged to reveal some aspect of reality not normally accessible to
sensory experience or cognition. The experience
typically characterized by its profound emotional impact on the one who
experiences it, its transcendence of spatial and temporal distinctions, its
transitoriness, and its ineffability is
often but not always associated with some religious tradition. In theistic
religions, mystical experiences are claimed to be brought about by God or by
some other superhuman agent. Theistic mystical experiences evoke feelings of
worshipful awe. Their content can vary from something no more articulate than a
feeling of closeness to God to something as specific as an item of revealed
theology, such as, for a Christian mystic, a vision of the Trinity.
Non-theistic mystical experiences are usually claimed to reveal the
metaphysical unity of all things and to provide those who experience them with
a sense of inner peace or bliss
mysticism, a doctrine or
discipline maintaining that one can gain knowledge of reality that is not
accessible to sense perception or to rational, conceptual thought. Generally
associated with a religious tradition, mysticism can take a theistic form, as it
has in Jewish, Christian, and Islamic traditions, or a non-theistic form, as it
has in Buddhism and some varieties of Hinduism. Mystics claim that the mystical
experience, the vehicle of mystical knowledge, is usually the result of
spiritual training, involving some combination of prayer, meditation, fasting,
bodily discipline, and renunciation of worldly concerns. Theistic varieties of
mysticism describe the mystical experience as granted by God and thus not
subject to the control of the mystic. Although theists claim to feel closeness
to God during the mystical experience, they regard assertions of identity of
the self with God as heretical. Non-theistic varieties are more apt to describe
the experience as one that can be induced and controlled by the mystic and in
which distinctions between the self and reality, or subject and object, are
revealed to be illusory. Mystics claim that, although veridical, their
experiences cannot be adequately described in language, because ordinary
communication is based on sense experience and conceptual differentiation:
mystical writings are thus characterized by metaphor and simile. It is con 593 troversial whether all mystical
experiences are basically the same, and whether the apparent diversity among
them is the result of interpretations influenced by different cultural
traditions.
myth: Grice was aware of Grice, the Welsh philosopher. For Grice
had turned a ‘myth,’ the myth of the compact, into a thing that would justify
moral obligation – When Grice, the Englishman, gives a mythical account of
communication, alla Plato and Paget, he faces the same problem – which he hopes
is “very minor,” compared to others. In this case, it’s not about ‘moral
obligation’ but about “something else.” Grice was possibly motivated by Quine’s
irreverent, “The mth of meaning,” a talk at France, “Le mythe de la
signification.” It’s odd that he gives the example of a ‘social contract’,
developed by G. R. Grice as a ‘myth’ as his own on ‘expressing pain.’ “My
succession of stages is a methodological myth designed to exhibit the
conceptual link between expression and communication. Rather than Plato, he
appeals to Rawls and the myth of the social conpact! Grice knows a little about
Descartess “Discours de la methode,” and he is also aware of similar obsession by
Collingwood with philosopical methodology. Grice would joke on midwifery, as
the philosopher’s apter method at Oxford: to strangle error at its birth. Grice
typifies a generation at Oxford. While he did not socialize with the crème de
la crème in pre-war Oxford, he shared some their approach. E.g. a love affair
with Russell’s logical construction. After the war, and in retrospect, Grice
liked to associate himself with Austin. He obviously felt the need to belong to
a group, to make a difference, to make history. Many participants of the play group
saw themselves as doing philosophy, rather than reading about it! It was long
after that Grice started to note the differences in methodology between Austin
and himself. His methodology changed a little. He was enamoured with formalism
for a while, and he grants that this love never ceased. In a still later phase,
he came to realise that his way of doing philosophy was part of literature
(essay writing). And so he started to be slightly more careful about his style
– which some found florid. The stylistic concerns were serious. Oxonian
philosophers like Holloway had been kept away from philosophy because of the
stereotype that the Oxonian philosophers style is pedantic, when it neednt! A
philosopher should be allowed, as Plato was, to use a myth, if he thinks his
tutee will thank him for that! Grice loved to compare his Oxonian dialectic
with Platos Athenian (strictly, Academic) dialectic. Indeed, there is some resemblance
of the use of myth in Plato and Grice for philosophical methodological purposes.
Grice especially enjoys a myth in his programme in philosophical psychology. In
this, he is very much being a philosopher. Non-philosophers usually criticise
this methodological use of a myth, but they would, wouldnt they. Grice suggests
that a myth has diagogic relevance. Creature construction, the philosopher as
demi-god, if mythical, is an easier way for a philosophy don to instil his
ideas on his tutee than, say, privileged access and incorrigibility. myth of Er, a tale
at the end of Plato’s Republic dramatizing the rewards of justice and
philosophy by depicting the process of reincarnation. Complementing the main
argument of the work, that it is intrinsically better to be just than unjust,
this longest of Plato’s myths blends traditional lore with speculative
cosmology to show that justice also pays, usually in life and certainly in the
afterlife. Er, a warrior who revived shortly after death, reports how judges assign
the souls of the just to heaven but others to punishment in the underworld, and
how most return after a thousand years to behold the celestial order, to choose
their next lives, and to be born anew. Refs.: The main source is Grice’s essay on ‘myth’, in The H.
P. Grice Papers, BANC.
Nagel: not to be confused
with Grice’s tutee, Nagel --: a preeminent
philosopher of science, born in the Old World, but with a B.S. degree
from the of the City of New York and his
Ph.D. from Columbia, where he taught philosophy at the Philosophy Department.
Nagel coauthored the influential An Introduction to Logic and Scientific Method
with M. R. Cohen. His publications include “Principles of the Theory of
Probability” and “Structure of Science.” Nagel was sensitive to developments in
logic, foundations of mathematics, and probability theory, and he shared with
Russell and with members of the Vienna Circle like Carnap and Frank a respect
for the relevance of scientific inquiry for philosophical reflection. But his
writing also reveals the influences of Cohen and that strand in the thinking of
the pragmatism of Peirce and Dewey which Nagel himself calls “contextualist
naturalism.” He was a persuasive critic of Russell’s views of the data of
sensation as a source of non-inferential premises for knowledge and of cognate
views expressed by some members of the Vienna Circle. Unlike Frege, Russell,
Carnap, Popper, and others, Nagel rejects the view that taking account of
context in characterizing method threatened to taint philosophical reflection
with an unacceptable psychologism. This stance subsequently allowed him to
oppose historicist and sociologist approaches to the philosophy of science.
Nagel’s contextualism is reflected in his contention that ideas of determinism,
probability, explanation, and reduction “can be significantly discussed only if
they are directed to the theories or formulations of a science and not its
subject matter” Principles of the Theory of Probability. This attitude infused
his influential discussions of covering law explanation, statistical
explanation, functional explanation, and reduction of one theory to another, in
both natural and social science. Similarly, his contention that participants in
the debate between realism and instrumentalism should clarify the import of
their differences for context-sensitive scientific methodology served as the
core of his argument casting doubt on the significance of the dispute. In
addition to his extensive writings on scientific knowledge methodology, Nagel
wrote influential essays on measurement, the history of mathematics, and the
philosophy of law.
Nagel, Thomas, professor
of philosophy and of law at New York , known for his important contributions in
the fields of metaphysics, epistemology, ethics, and political philosophy.
Nagel’s work in these areas is unified by a particular vision of perennial
philosophical problems, according to which they emerge from a clash between two
perspectives from which human beings can view themselves and the world. From an
impersonal perspective, which results from detaching ourselves from our
particular viewpoints, we strive to achieve an objective view of the world,
whereas from a personal perspective, we see the world from our particular point
of view. According to Nagel, dominance of the impersonal perspective in trying
to understand reality leads to implausible philosophical views because it fails
to accommodate facts about the self, minds, agency, and values that are
revealed through engaged personal perspectives. In the philosophy of mind, for
instance, Nagel criticizes various reductive accounts of mentality 595 N 595 resulting from taking an exclusively
impersonal standpoint because they inevitably fail to account for the irreducibly
subjective character of consciousness. In ethics, consequentialist moral
theories like utilitarianism, which feature strong impartialist demands that
stem from taking a detached, impersonal perspective, find resistance from the
personal perspective within which individual goals and motives are accorded an
importance not found in strongly impartialist moral theories. An examination of
such problems in metaphysics, epistemology, and ethics is found in his “Moral
Questions” 9 and The View from Nowhere 6. In Equality and Partiality 0 Nagel
argues that the impersonal standpoint gives rise to an egalitarian form of
impartial regard for all people that often clashes with the goals, concerns,
and affections that individuals experience from a personal perspective. Quite
generally, then, as Nagel sees it, one important philosophical task is to
explore ways in which these two standpoints on both theoretical and practical
matters might be integrated. Nagel has also made important contributions
regarding the nature and possibility of reason or rationality in both its
theoretical and its practical uses. The Possibility of Altruism 0 is an
exploration of the structure of practical reason in which Nagel defends the
rationality of prudence and altruism, arguing that the possibility of such
behavior is connected with our capacities to view ourselves respectively
persisting through time and recognizing the reality of other persons. The Last
Word 8 is a defense of reason against skeptical views, according to which
reason is a merely contingent, locally conditioned feature of particular
cultures and hence relative. Refs:
Nagel, “Grice,” from “A memoir,” H. P.
Grice, “Nagel.” Grice: “I bought ‘moral questions’ and found them to be
mortal!” --.
natural intelligence --
artificial (or non-natural) intelligence, also called AI, the scientific effort
to design and build intelligent artifacts. Grice disliked the phrase
“artificial intelligence.” “Strictly, what Minsky means is ‘non-natural’
intelligence.’”Since the effort inevitably presupposes and tests theories about
the nature of intelligence, it has implications for the philosophy of mind perhaps even more than does empirical
psychology. For one thing, actual construction amounts to a direct assault on
the mindbody problem; should it succeed, some form of materialism would seem to
be vindicated. For another, a working model, even a limited one, requires a
more global conception of what intelligence is than do experiments to test
specific hypotheses. In fact, psychology’s own overview of its domain Arouet,
François-Marie artificial intelligence 53
53 has been much influenced by fundamental concepts drawn from AI.
Although the idea of an intelligent artifact is old, serious scientific
research dates only from the 0s, and is associated with the development of
programmable computers. Intelligence is understood as a structural property or
capacity of an active system; i.e., it does not matter what the system is made
of, as long as its parts and their interactions yield intelligent behavior
overall. For instance, if solving logical problems, playing chess, or
conversing in English manifests intelligence, then it is not important whether
the “implementation” is electronic, biological, or mechanical, just as long as
it solves, plays, or talks. Computers are relevant mainly because of their
flexibility and economy: software systems are unmatched in achievable active
complexity per invested effort. Despite the generality of programmable
structures and the variety of historical approaches to the mind, the bulk of AI
research divides into two broad camps
which we can think of as language-oriented and pattern-oriented,
respectively. Conspicuous by their absence are significant influences from the
conditionedresponse paradigm, the psychoanalytic tradition, the mental picture
idea, empiricist atomistic associationism, and so on. Moreover, both AI camps
tend to focus on cognitive issues, sometimes including perception and motor
control. Notably omitted are such psychologically important topics as affect,
personality, aesthetic and moral judgment, conceptual change, mental illness,
etc. Perhaps such matters are beyond the purview of artificial intelligence;
yet it is an unobvious substantive thesis that intellect can be cordoned off
and realized independently of the rest of human life. The two main AI paradigms
emerged together in the 0s along with cybernetic and information-theoretic
approaches, which turned out to be dead ends; and both are vigorous today. But
for most of the sixties and seventies, the language-based orientation dominated
attention and funding, for three signal reasons. First, computer data
structures and processes themselves seemed languagelike: data were
syntactically and semantically articulated, and processing was localized
serial. Second, twentieth-century linguistics and logic made it intelligible
that and how such systems might work: automatic symbol manipulation made clear,
powerful sense. Finally, the sorts of performance most amenable to the
approach explicit reasoning and “figuring
out” strike both popular and educated
opinion as particularly “intellectual”; hence, early successes were all the
more impressive, while “trivial” stumbling blocks were easier to ignore. The
basic idea of the linguistic or symbol manipulation camp is that thinking is
like talking inner discourse and, hence, that thoughts are like sentences.
The suggestion is venerable; and Hobbes even linked it explicitly to
computation. Yet, it was a major scientific achievement to turn the general
idea into a serious theory. The account does not apply only, or even
especially, to the sort of thinking that is accessible to conscious reflection.
Nor is the “language of thought” supposed to be much like English, predicate
logic, LISP, or any other familiar notation; rather, its detailed character is an
empirical research problem. And, despite fictional stereotypes, the aim is not
to build superlogical or inhumanly rational automata. Our human tendencies to
take things for granted, make intuitive leaps, and resist implausible
conclusions are not weaknesses that AI strives to overcome but abilities
integral to real intelligence that AI aspires to share. In what sense, then, is
thought supposed to be languagelike? Three items are essential. First, thought
tokens have a combinatorial syntactic structure; i.e., they are compounds of
welldefined atomic constituents in well-defined recursively specifiable
arrangements. So the constituents are analogous to words, and the arrangements
are analogous to phrases and sentences; but there is no supposition that they should
resemble any known words or grammar. Second, the contents of thought tokens,
what they “mean,” are a systematic function of their composition: the
constituents and forms of combination have determinate significances that
together determine the content of any wellformed compound. So this is like the
meaning of a sentence being determined by its grammar and the meanings of its
words. Third, the intelligent progress or sequence of thought is specifiable by
rules expressed syntactically they can
be carried out by processes sensitive only to syntactic properties. Here the
analogy is to proof theory: the formal validity of an argument is a matter of
its according with rules expressed formally. But this analogy is particularly
treacherous, because it immediately suggests the rigor of logical inference;
but, if intelligence is specifiable by formal rules, these must be far more
permissive, context-sensitive, and so on, than those of formal logic. Syntax as
such is perfectly neutral as to how the constituents are identified by sound,
by artificial intelligence artificial intelligence 54 54 shape, by magnetic profile and arranged
in time, in space, via address pointers. It is, in effect, a free parameter:
whatever can serve as a bridge between the semantics and the processing. The
account shares with many others the assumptions that thoughts are contentful
meaningful and that the processes in which they occur can somehow be realized
physically. It is distinguished by the two further theses that there must be some
independent way of describing these thoughts that mediates between
simultaneously determines their contents and how they are processed, and that,
so described, they are combinatorially structured. Such a description is
syntactical. We can distinguish two principal phases in language-oriented AI,
each lasting about twenty years. Very roughly, the first phase emphasized
processing search and reasoning, whereas the second has emphasized
representation knowledge. To see how this went, it is important to appreciate
the intellectual breakthrough required to conceive AI at all. A machine, such
as a computer, is a deterministic system, except for random elements. That is
fine for perfectly constrained domains, like numerical calculation, sorting,
and parsing, or for domains that are constrained except for prescribed
randomness, such as statistical modeling. But, in the general case, intelligent
behavior is neither perfectly constrained nor perfectly constrained with a
little random variation thrown in. Rather, it is generally focused and
sensible, yet also fallible and somewhat variable. Consider, e.g., chess
playing an early test bed for AI: listing all the legal moves for any given
position is a perfectly constrained problem, and easy to program; but choosing
the best move is not. Yet an intelligent player does not simply determine which
moves would be legal and then choose one randomly; intelligence in chess play
is to choose, if not always the best, at least usually a good move. This is
something between perfect determinacy and randomness, a “between” that is not
simply a mixture of the two. How is it achievable in a machine? The crucial
innovation that first made AI concretely and realistically conceivable is that
of a heuristic procedure. The term ‘heuristic’ derives from the Grecian word
for discovery, as in Archimedes’ exclamation “Eureka!” The relevant point for
AI is that discovery is a matter neither of following exact directions to a
goal nor of dumb luck, but of looking around sensibly, being guided as much as
possible by what you know in advance and what you find along the way. So a
heuristic procedure is one for sensible discovery, a procedure for sensibly
guided search. In chess, e.g., a player does well to bear in mind a number of
rules of thumb: other things being equal, rooks are more valuable than knights,
it is an asset to control the center of the board, and so on. Such guidelines,
of course, are not valid in every situation; nor will they all be best
satisfied by the same move. But, by following them while searching as far ahead
through various scenarios as possible, a player can make generally sensible
moves much better than random within the constraints of the game. This
picture even accords fairly well with the introspective feel of choosing a move,
particularly for less experienced players. The essential insight for AI is that
such roughand-ready ceteris paribus rules can be deterministically programmed.
It all depends on how you look at it. One and the same bit of computer program
can be, from one point of view, a deterministic, infallible procedure for
computing how a given move would change the relative balance of pieces, and
from another, a generally sensible but fallible procedure for estimating how
“good” that move would be. The substantive thesis about intelligence human and artificial alike then is that our powerful but fallible
ability to form “intuitive” hunches, educated guesses, etc., is the result of
largely unconscious search, guided by such heuristic rules. The second phase of
language-inspired AI, dating roughly from the mid-0s, builds on the idea of
heuristic procedure, but dramatically changes the emphasis. The earlier work
was framed by a conception of intelligence as finding solutions to problems
good moves, e.g.. From such a perspective, the specification of the problem the
rules of the game plus the current position and the provision of some heuristic
guides domain-specific rules of thumb are merely a setting of the parameters;
the real work, the real exercise of intelligence, lies in the intensive guided
search undertaken in the specified terms. The later phase, impressed not so
much by our problem-solving prowess as by how well we get along with “simple”
common sense, has shifted the emphasis from search and reasoning to knowledge.
The motivation for this shift can be seen in the following two sentences: We
gave the monkey the banana because it was ripe. We gave the monkey the banana
because it was hungry. artificial intelligence artificial intelligence 55 55 The word ‘it’ is ambiguous, as the
terminal adjectives make clear. Yet listeners effortlessly understand what is
meant, to the point, usually, of not even noticing the ambiguity. The question
is, how? Of course, it is “just common sense” that monkeys don’t get ripe and bananas
don’t get hungry, so . . . But three further observations show that this is not
so much an answer as a restatement of the issue. First, sentences that rely on
common sense to avoid misunderstanding are anything but rare: conversation is
rife with them. Second, just about any odd fact that “everybody knows” can be
the bit of common sense that understanding the next sentence depends on; and
the range of such knowledge is vast. Yet, third, dialogue proceeds in real time
without a hitch, almost always. So the whole range of commonsense knowledge
must be somehow at our mental fingertips all the time. The underlying
difficulty is not with speed or quantity alone, but with relevance. How does a
system, given all that it knows about aardvarks, Alabama, and ax handles, “home
in on” the pertinent fact that bananas don’t get hungry, in the fraction of a
second it can afford to spend on the pronoun ‘it’? The answer proposed is both
simple and powerful: common sense is not just randomly stored information, but
is instead highly organized by topics, with lots of indexes, cross-references,
tables, hierarchies, and so on. The words in the sentence itself trigger the
“articles” on monkeys, bananas, hunger, and so on, and these quickly reveal
that monkeys are mammals, hence animals, that bananas are fruit, hence from
plants, that hunger is what animals feel when they need to eat and that settles it. The amount of search and
reasoning is minimal; the issue of relevance is solved instead by the
antecedent structure in the stored knowledge itself. While this requires larger
and more elaborate systems, the hope is that it will make them faster and more
flexible. The other main orientation toward artificial intelligence, the
pattern-based approach often called
“connectionism” or “parallel distributed processing” reemerged from the shadow of symbol
processing only in the 0s, and remains in many ways less developed. The basic
inspiration comes not from language or any other psychological phenomenon such
as imagery or affect, but from the microstructure of the brain. The components
of a connectionist system are relatively simple active nodes lots of them
and relatively simple connections between those nodes again, lots of them. One important type and
the easiest to visualize has the nodes divided into layers, such that each node
in layer A is connected to each node in layer B, each node in layer B is
connected to each node in layer C, and so on. Each node has an activation
level, which varies in response to the activations of other, connected nodes;
and each connection has a weight, which determines how strongly and in what
direction the activation of one node affects that of the other. The analogy
with neurons and synapses, though imprecise, is intended. So imagine a layered
network with finely tuned connection weights and random or zero activation
levels. Now suppose the activations of all the nodes in layer A are set in some
particular way some pattern is imposed
on the activation state of this layer. These activations will propagate out
along all the connections from layer A to layer B, and activate some pattern
there. The activation of each node in layer B is a function of the activations
of all the nodes in layer A, and of the weights of all the connections to it
from those nodes. But since each node in layer B has its own connections from
the nodes in layer A, it will respond in its own unique way to this pattern of
activations in layer A. Thus, the pattern that results in layer B is a joint
function of the pattern that was imposed on layer A and of the pattern of
connection weights between the two layers. And a similar story can be told
about layer B’s influence on layer C, and so on, until some final pattern is
induced in the last layer. What are these patterns? They might be any number of
things; but two general possibilities can be distinguished. They might be
tantamount to or substrata beneath representations of some familiar sort, such
as sentencelike structures or images; or they might be a kind or kinds of
representation previously unknown. Now, people certainly do sometimes think in
sentences and probably images; so, to the extent that networks are taken as
complete brain models, the first alternative must be at least partly right.
But, to that extent, the models are also more physiological than psychological:
it is rather the implemented sentences or images that directly model the mind.
Thus, it is the possibility of a new genus of representation sometimes called distributed representation that is particularly exciting. On this
alternative, the patterns in the mind represent in some way other than by
mimetic imagery or articulate description. How? An important feature of all
network models is that there are two quite different categories of pattern. On
the one hand, there are the relatively ephemeral patterns of activation in
various artificial intelligence artificial intelligence 56 56 groups of nodes; on the other, there are
the relatively stable patterns of connection strength among the nodes. Since
there are in general many more connections than nodes, the latter patterns are
richer; and it is they that determine the capabilities of the network with
regard to the former patterns. Many of the abilities most easily and
“naturally” realized in networks can be subsumed under the heading pattern
completion: the connection weights are adjusted
perhaps via a training regime
such that the network will complete any of the activation patterns from
a predetermined group. So, suppose some fraction say half of the nodes in the
net are clamped to the values they would have for one of those patterns say P
while the remainder are given random or default activations. Then the network,
when run, will reset the latter activations to the values belonging to P thus “completing” it. If the unclamped
activations are regarded as variations or deviations, pattern completion
amounts to normalization, or grouping by similarity. If the initial or input
nodes are always the same as in layered networks, then we have pattern
association or transformation from input to output. If the input pattern is a
memory probe, pattern completion becomes access by content. If the output
pattern is an identifier, then it is pattern recognition. And so on. Note that,
although the operands are activation patterns, the “knowledge” about them, the
ability to complete them, is contained in the connection patterns; hence, that
ability or know-how is what the network represents. There is no obvious upper
bound on the possible refinement or intricacy of these pattern groupings and
associations. If the input patterns are sensory stimuli and the output patterns
are motor control, then we have a potential model of coordinated and even
skillful behavior. In a system also capable of language, a network model or
component might account for verbal recognition and content association, and
even such “nonliteral” effects as trope and tone. Yet at least some sort of
“symbol manipulation” seems essential for language use, regardless of how
networklike the implementation is. One current speculation is that it might
suffice to approximate a battery of symbolic processes as a special subsystem
within a cognitive system that fundamentally works on quite different
principles. The attraction of the pattern-based approach is, at this point, not
so much actual achievement as it is promise
on two grounds. In the first place, the space of possible models, not
only network topologies but also ways of construing the patterns, is vast.
Those built and tested so far have been, for practical reasons, rather small;
so it is possible to hope beyond their present limitations to systems of
significantly greater capability. But second, and perhaps even more attractive,
those directions in which patternbased systems show the most promise skills, recognition, similarity, and the
like are among the areas of greatest
frustration for languagebased AI. Hence it remains possible, for a while at
least, to overlook the fact that, to date, no connectionist network can perform
long division, let alone play chess or solve symbolic logic problems. Refs.: H.
P. Grice, “Intelligence: natural and non-natural.”
natural life --
artificial life, an interdisciplinary science studying the most general
character of the fundamental processes of life. These processes include
self-organization, self-reproduction, learning, adaptation, and evolution.
Artificial life or ALife is to theoretical biology roughly what artificial
intelligence AI is to theoretical psychology
computer simulation is the methodology of choice. In fact, since the
mind exhibits many of life’s fundamental properties, AI could be considered a
subfield of ALife. However, whereas most traditional AI models are serial
systems with complicated, centralized controllers making decisions based on
global state information, most natural systems exhibiting complex autonomous
behavior are parallel, distributed networks of simple entities making decisions
based solely on their local state information, so typical ALife models have a
corresponding distributed architecture. A computer simulation of evolving
“bugs” can illustrate what ALife models are like. Moving around in a
two-dimensional world periodically laden with heaps of “food,” these bugs eat,
reproduce, and sometimes perish from starvation. Each bug’s movement is genetically
determined by the quantities of food in its immediate neighborhood, and random
mutations and crossovers modify these genomes during reproduction. Simulations
started with random genes show spontaneous waves of highly adaptive genetic
novelties continuously sweeping through the population at precisely
quantifiable rates.C. Langston et al., eds., Artificial Life II 1. artificial
language artificial life 57 57 ALife
science raises and promises to inform many philosophical issues, such as: Is
functionalism the right approach toward life? When, if ever, is a simulation of
life really alive? When do systems exhibit the spontaneous emergence of
properties? Refs.: Grice: “Life: natural
and non-natural.”
naturalism, the twofold
view that 1 everything is composed of natural entities those studied in the sciences on some
versions, the natural sciences whose
properties determine all the properties of things, persons included abstracta
like possibilia and mathematical objects, if they exist, being constructed of
such abstract entities as the sciences allow; and 2 acceptable methods of
justification and explanation are continuous, in some sense, with those in
science. Clause 1 is metaphysical or ontological, clause 2 methodological
and/or epistemological. Often naturalism is formulated only for a specific
subject matter or domain. Thus ethical naturalism holds that moral properties
are equivalent to or at least determined by certain natural properties, so that
moral judgments either form a subclass of, or are non-reductively determined by
the factual or descriptive judgments, and the appropriate methods of moral
justification and explanation are continuous with those in science. Aristotle
and Spinoza sometimes are counted among the ancestors of naturalism, as are
Democritus, Epicurus, Lucretius, and Hobbes. But the major impetus to
naturalism in the last two centuries comes from advances in science and the
growing explanatory power they signify. By the 1850s, the synthesis of urea,
reflections on the conservation of energy, work on “animal electricity,” and
discoveries in physiology suggested to Feuerbach, L. Buchner, and others that
all aspects of human beings are explainable in purely natural terms. Darwin’s
theory had even greater impact, and by the end of the nineteenth century
naturalist philosophies were making inroads where idealism once reigned
unchallenged. Naturalism’s ranks now included H. Spencer, J. Tyndall, T. H.
Huxley, W. K. Clifford, and E. Haeckel. Early in the twentieth century,
Santayana’s naturalism strongly influenced a number of philosophers, as did Dewey’s. Still other
versions of naturalism flourished in America in the 0s and 0s, including those
of R. W. Sellars and M. Cohen. Today most New-World philosophers of mind are
naturalists of some stripe, largely because of what they see as the lessons of
continuing scientific advances, some of them spectacular, particularly in the
brain sciences. Nonetheless, twentieth-century philosophy has been largely
anti-naturalist. Both phenomenology in the Husserlian tradition and analytic
philosophy in the Fregean tradition, together with their descendants, have been
united in rejecting psychologism, a species of naturalism according to which
empirical discoveries about mental processes are crucial for understanding the
nature of knowledge, language, and logic. In order to defend the autonomy of
philosophy against inroads from descriptive science, many philosophers have
tried to turn the tables by arguing for the priority of philosophy over
science, hence over any of its alleged naturalist implications. Many continue
to do so, often on the ground that philosophy alone can illuminate the
normativity and intentionality involved in knowledge, language, and logic; or
on the ground that philosophy can evaluate the normative and regulative
presuppositions of scientific practice which science itself is either blind to
or unequipped to analyze; or on the ground that phi- losophy understands how
the language of science can no more be used to get outside itself than any
other, hence can no more be known to be in touch with the world and ourselves
than any other; or on the ground that would-be justifications of fundamental
method, naturalist method certainly included, are necessarily circular because
they must employ the very method at issue. Naturalists may reply by arguing
that naturalism’s methodological clause 2 entails the opposite of dogmatism,
requiring as it does an uncompromising fallibilism about philosophical matters
that is continuous with the open, selfcritical spirit of science. If evidence
were to accumulate against naturalism’s metaphysical clause 1, 1 would have to
be revised or rejected, and there is no a priori reason such evidence could in
principle never be found; indeed many naturalists reject the a priori
altogether. Likewise, 2 itself might have to be revised or even rejected in
light of adverse argument, so that in this respect 2 is self-referentially
consistent. Until then, 2’s having survived rigorous criticism to date is
justification enough, as is the case with hypotheses in science, which often
are deployed without circularity in the course of their own evaluation, whether
positive or negative H. I. Brown, “Circular Justifications,” 4. So too can
language be used without circularity in expressing hypotheses about the
relations between language and the prelinguistic world as illustrated by R.
Millikan’s Language, Thought and Other Biological Categories, 4; cf. Post,
“Epistemology,” 6. As for normativity and intentionality, naturalism does not entail
materialism or physicalism, according to which everything is composed of the
entities or processes studied in physics, and the properties of these basic
physical affairs determine all the properties of things as in Quine. Some
naturalists deny this, holding that more things than are dreamt of in physics
are required to account for normativity and intentionality and consciousness. Nor need naturalism be
reductive, in the sense of equating every property with some natural property.
Indeed many physicalists themselves explain how the physical, hence natural,
properties of things might determine other, non-natural properties without
being equivalent to them G. Hellman, T. Horgan, D. Lewis; see J. Post, The
Faces of Existence, 7. Often the determining physical properties are not all
properties of the thing x that has the non-natural properties, but include
properties of items separated from x in space and time or in some cases bearing
no physical relation to x that does any work in determining x’s properties Post,
“ ‘Global’ Supervenient Determination: Too Permissive?” 5. Thus naturalism
allows a high degree of holism and historicity, which opens the way for a
non-reductive naturalist account of intentionality and normativity, such as
Millikan’s, that is immune to the usual objections, which are mostly objections
to reduction. The alternative psychosemantic theories of Dretske and Fodor,
being largely reductive, remain vulnerable to such objections. In these and
other ways non-reductive naturalism attempts to combine a monism of
entities the natural ones of which
everything is composed with a pluralism
of properties, many of them irreducible or emergent. Not everything is nothing
but a natural thing, nor need naturalism accord totalizing primacy to the
natural face of existence. Indeed, some naturalists regard the universe as
having religious and moral dimensions that enjoy a crucial kind of primacy; and
some offer theologies that are more traditionally theist as do H. N. Wieman, C.
Hardwick, J. Post. So far from exhibiting “reptilian indifference” to humans
and their fate, the universe can be an enchanted place of belonging. Refs.: H.
P. Grice: “My labour against Naturalism.”
naturalistic
epistemology, an approach to epistemology that views the human subject as a
natural phenomenon and uses empirical science to study epistemic activity. The
phrase was introduced by Quine “Epistemology Naturalized,” in Ontological
Relativity and Other Essays, 9, who proposed that epistemology should be a
chapter of psychology. Quine construed classical epistemology as Cartesian
epistemology, an attempt to ground all knowledge in a firmly logical way on
immediate experience. In its twentieth-century embodiment, it hoped to give a
translation of all discourse and a deductive validation of all science in terms
of sense experience, logic, and set theory. Repudiating this dream as forlorn,
Quine urged that epistemology be abandoned and replaced by psychology. It would
be a scientific study of how the subject takes sensory stimulations as input
and delivers as output a theory of the three-dimensional world. This
formulation appears to eliminate the normative mission of epistemology. In
later writing, however, Quine has suggested that normative epistemology can be
naturalized as a chapter of engineering: the technology of predicting
experience, or sensory stimulations. Some theories of knowledge are
naturalistic in their depiction of knowers as physical systems in causal
interaction with the environment. One such theory is the causal theory of
knowing, which says that a person knows that p provided his belief that p has a
suitable causal connection with a corresponding state of affairs. Another
example is the information-theoretic approach developed by Dretske Knowledge
and the Flow of Information, 1. This says that a person knows that p only if
some signal “carries” this information that p to him, where information is
construed as an objective commodity that can be processed and transmitted via
instruments, gauges, neurons, and the like. Information is “carried” from one
site to another when events located at those sites are connected by a suitable
lawful dependence. The normative concept of justification has also been the
subject of naturalistic construals. Whereas many theories of justified belief
focus on logical or probabilistic relations between evidence and hypothesis,
naturalistic theories focus on the psychological processes causally responsible
for the belief. The logical status of a belief does not fix its justificational
status. Belief in a tautology, for instance, is not justified if it is formed
by blind trust in an ignorant guru. According to Goldman Epistemology and
Cognition, 6, a belief qualifies as justified only if it is produced by
reliable belief-forming processes, i.e., processes that generally have a high
truth ratio. Goldman’s larger program for naturalistic epistemology is called
“epistemics,” an interdisciplinary enterprise in which cognitive science would
play a major role. Epistemics would seek to identify the subset of cognitive
operations available to the human cognizer that are best from a truth-bearing
standpoint. Relevant truth-linked properties include problem-solving power and
speed, i.e., the abilities to obtain correct answers to questions of interest
and to do so quickly. Close connections between epistemology and artificial
intelligence have been proposed by Clark Glymour, Gilbert Harman, John Pollock,
and Paul Thagard. Harman stresses that principles of good reasoning are not
directly given by rules of logic. Modus ponens, e.g., does not tell you to
infer q if you already believe p and ‘if p then q’. In some cases it is better
to subtract a belief in one of the premises rather than add a belief in q.
Belief revision also requires attention to the storage and computational
limitations of the mind. Limits of memory capacity, e.g., suggest a principle
of clutter avoidance: not filling one’s mind with vast numbers of useless
beliefs Harman, Change in View, 6. Other conceptions of naturalistic
epistemology focus on the history of science. Larry Laudan conceives of
naturalistic epistemology as a scientific inquiry that gathers empirical
evidence concerning the past track records of various scientific methodologies,
with the aim of determining which of these methodologies can best advance the
chosen cognitive ends. Naturalistic epistemology need not confine its attention
to individual epistemic agents; it can also study communities of agents. This
perspective invites contributions from sciences that address the social side of
the knowledge-seeking enterprise. If naturalistic epistemology is a normative
inquiry, however, it must not simply naturalism, biological naturalistic
epistemology 598 598 describe social
practices or social influences; it must analyze the impact of these factors on
the attainment of cognitive ends. Philosophers such as David Hull, Nicholas
Rescher, Philip Kitcher, and Alvin Goldman have sketched models inspired by
population biology and economics to explore the epistemic consequences of
alternative distributions of research activity and different ways that
professional rewards might influence the course of research.
Lockeian ‘sort’ -- natural
kind, a category of entities classically conceived as having modal
implications; e.g., if Socrates is a member of the natural kind human being,
then he is necessarily a human being. The idea that nature fixes certain
sortals, such as ‘water’ and ‘human being’, as correct classifications that
appear to designate kinds of entities has roots going back at least to Plato
and Aristotle. Anil Gupta has argued that sortals are to be distinguished from
properties designated by such predicates as ‘red’ by including criteria for
individuating the particulars bits or amounts for mass nouns that fall under
them as well as criteria for sorting those particulars into the class. Quine is
salient among those who find the modal implications of natural kinds
objectionable. He has argued that the idea of natural kinds is rooted in
prescientific intuitive judgments of comparative similarity, and he has
suggested that as these intuitive classifications are replaced by
classifications based on scientific theories these modal implications drop
away. Kripke and Putnam have argued that science in fact uses natural kind
terms having the modal implications Quine finds so objectionable. They see an
important role in scientific methodology for the capacity to refer
demonstratively to such natural kinds by pointing out particulars that fall
under them. Certain inferences within science
such as the inference to the charge for electrons generally from the
measurement of the charge on one or a few electrons seem to be additional aspects of a role for
natural kind terms in scientific practice. Other roles in the methodology of
science for natural kind concepts have been discussed in recent work by Ian
Hacking and Thomas Kuhn. H. P. Grice: “Lockeian sorts: natural and
non-natural.”
natural law, also called
law of nature, in moral and political philosophy, an objective norm or set of
objective norms governing human behavior, similar to the positive laws of a
human ruler, but binding on all people alike and usually understood as
involving a superhuman legislator. Ancient Grecian and Roman thought,
particularly Stoicism, introduced ideas of eternal laws directing the actions
of all rational beings and built into the very structure of the universe. Roman
lawyers developed a doctrine of a law that all civilized peoples would
recognize, and made some effort to explain it in terms of a natural law common
to animals and humans. The most influential forms of natural law theory,
however, arose from later efforts to use Stoic and legal language to work out a
Christian theory of morality and politics. The aim was to show that the
principles of morals could be known by reason alone, without revelation, so
that the whole human race could know how to live properly. The law of nature
applies, on this understanding, only to rational beings, who can obey or
disobey it deliberately and freely. It is thus different in kind from the laws
God laid down for the inanimate and irrational parts of creation. Natural law
theorists often saw continuities and analogies between natural laws for humans
and those for the rest of creation but did not confuse them. The most enduringly
influential natural law writer was Aquinas. On his view God’s eternal reason
ordains laws directing all things to act for the good of the community of the
universe, the declaration of His own glory. Human reason can participate
sufficiently in God’s eternal reason to show us the good of the human
community. The natural law is thus our sharing in the eternal law in a way
appropriate to our human nature. God lays down certain other laws through
revelation; these divine laws point us toward our eternal goal. The natural law
concerns our earthly good, and needs to be supplemented by human laws. Such
laws can vary from community to community, but to be binding they must always
stay within the limits of the law of nature. God engraved the most basic
principles of the natural law in the minds of all people alike, but their
detailed application takes reasoning powers that not everyone may have.
Opponents of Aquinas called
voluntarists argued that God’s will, not
his intellect, is the source of law, and that God could have laid down
different natural laws for us. Hugo Grotius rejected their position, but unlike
Aquinas he conceived of natural law as meant not to direct us to bring about
some definite common good but to set the limits on the ways in which each of us
could properly pursue our own personal aims. This Grotian outlook was developed
by Hobbes, Pufendorf, and Locke along voluntarist lines. Thomistic views
continued to be expounded by Protestant as well as Roman Catholic writers until
the end of the seventeenth century. Thereafter, while natural law theory
remained central to Catholic teaching, it ceased to attract major new
non-Catholic proponents. Natural law doctrine in both Thomistic and Grotian
versions treats morality as basically a matter of compliance with law.
Obligation and duty, obedience and disobedience, merit and guilt, reward and
punishment, are central notions. Virtues are simply habits of following laws.
Though the law is suited to our distinctive human nature and can be discovered
by the proper use of reason, it is not a self-imposed law. In following it we
are obeying God. Since the early eighteenth century, philosophical discussions
of whether or not there is an objective morality have largely ceased to center
on natural law. The idea remains alive, however, in jurisprudence. Natural law
theories are opposed to legal positivism, the view that the only binding laws
are those imposed by human sovereigns, who cannot be subject to higher legal
constraints. Legal theorists arguing that there are rational objective limits
to the legislative power of rulers often think of these limits in terms of
natural law, even when their theories do not invoke or imply any of the
religious aspects of earlier natural law positions. Refs.: N.
Cartwright-Hampshire, “How the laws of phyiscs lie,” in P. G. R. I. C. E.,
without a response by H. P. Grice. (“That will not be feasible.”)
natural philosophy –
Grice: “It’s funny: there are only three or four chairs of philosophy at Oxford
and one had to be on ‘the trans-natural’ philosophy! Back in the day, I might
just as well have to have attended the ‘natural’ philosophy lectures!” -- the study of nature or of the spatiotemporal
world. This was regarded as a task for philosophy before the emergence of
modern science, especially physics and astronomy, and the term is now only used
with reference to premodern times. Philosophical questions about nature still
remain, e.g., whether materialism is true, but they would usually be placed in
metaphysics or in a branch of it that may be called philosophy of nature.
Natural philosophy is not to be confused with metaphysical naturalism, which is
the metaphysical view no part of science itself that all that there is is the
spatiotemporal world and that the only way to study it is that of the empirical
sciences. It is also not to be confused with natural theology, which also may
be considered part of metaphysics. The Sedleian
Professor of Natural Philosophy is the name of a chair at the Mathematical
Institute of the University of Oxford. The Sedleian Chair was founded by
Sir William Sedley who, by his will dated 20 October 1618, left the sum of
£2,000 to the University of Oxford for purchase of lands for its endowment.
Sedley's bequest took effect in 1621 with the purchase of an estate at
Waddesdon in Buckinghamshire to produce the necessary income. It is
regarded as the oldest of Oxford's scientific chairs. Holders of the Sedleian
Professorship have, since the mid 19th Century, worked in a range of areas of
Applied Mathematics and Mathematical Physics. They are simultaneously elected
to fellowships at Queen's College, Oxford. The Sedleian Professors in the
past century have been Augustus Love (1899-1940), who was distinguished for his
work in the mathematical theory of elasticity, Sydney Chapman (1946-1953), who
is renowned for his contributions to the kinetic theory of gases and
solar-terrestrial physics, George Temple (1953-1968), who made significant
contributions to mathematical physics and the theory of generalized functions,
Brooke Benjamin (1979-1995), who did highly influential work in the areas of
mathematical analysis and fluid mechanics, and Sir John Ball (1996-2019), who
is distinguished for his work in the mathematical theory of elasticity,
materials science, the calculus of variations, and infinite-dimensional
dynamical systems. Refs.: H. P. Grice: “Oxford and the four Ws:
Waynflete, White, Wykeham, and Wilde.”
natural religion, a term
first occurring in the second half of the seventeenth century, used in three
related senses, the most common being 1 a body of truths about God and our duty
that can be discovered by natural reason. These truths are sufficient for salvation
or according to some orthodox Christians would have been sufficient if Adam had
not sinned. Natural religion in this sense should be distinguished from natural
theology, which does not imply this. A natural religion may also be 2 one that
has a human, as distinct from a divine, origin. It may also be 3 a religion of
human nature as such, as distinguished from religious beliefs and practices
that have been determined by local circumstances. Natural religion in the third
sense is identified with humanity’s original religion. In all three senses,
natural religion includes a belief in God’s existence, justice, benevolence,
and providential government; in immortality; and in the dictates of common
morality. While the concept is associated with deism, it is also
sympathetically treated by Christian writers like Clarke, who argues that
revealed religion simply restores natural religion to its original purity and adds
inducements to compliance. The Faculty of Medicine appoints an elector for
the professorship of Human Anatomy and for the professorship of Pathology. The
Board of Natural Science appoints one elector for the professorship of
Pathology and two for the Lee's Readerships. The Board of Modern History
appoints two electors for the Beit professorship and lectureship, and three for
the Ford lectureship. The Board of Theology appoints three of the seven
electors for the Speaker's lectureship in Biblical Studies. Three different
Boards of Faculty appoint electors for the Wilde lectureship in Natural Religion.
Refs.: H. P. Grice, “Natural religion at Oxford – the Wilde and the Wilde.”
Necessitarianism: “An
ugly word once used by Strawson in a tutorial!” – Grice. -- the doctrine that
necessity is an objective feature of the world. Natural language permits
speakers to express modalities: a state of affairs can be actual Paris’s being
in France, merely possible chlorophyll’s making things blue, or necessary 2 ! 2
% 4. Anti-necessitarians believe that these distinctions are not grounded in
the nature of the world. Some of them claim that the distinctions are merely
verbal. Others, e.g., Hume, believed that psychological facts, like our
expectations of future events, explain the idea of necessity. Yet others
contend that the modalities reflect epistemic considerations; necessity
reflects the highest level of an inquirer’s commitment. Some necessitarians
believe there are different modes of metaphysical necessity, e.g., causal and
logical necessity. Certain proponents of idealism believe that each fact is
necessarily connected with every other fact so that the ultimate goal of
scientific inquiry is the discovery of a completely rigorous mathematical
system of the world.
Necessitas – necessarium
-- necessity, a modal property attributable to a whole proposition dictum just
when it is not possible that the proposition be false the proposition being de
dicto necessary. Narrowly construed, a proposition P is logically necessary
provided P satisfies certain syntactic conditions, namely, that P’s denial is
formally self-contradictory. More broadly, P is logically necessary just when P
satisfies certain semantic conditions, namely, that P’s denial is false, and P
true, in all possible worlds. These semantic conditions were first suggested by
Leibniz, refined by Vitters and Carnap, and fully developed as the possible
worlds semantics of Kripke, Hintikka, et al., in the 0s. Previously,
philosophers had to rely largely on intuition to determine the acceptability or
otherwise of formulas involving the necessity operator, A, and were at a loss
as to which of various axiomatic systems for modal logic, as developed in the
0s by C. I. Lewis, best captured the notion of logical necessity. There was
much debate, for instance, over the characteristic NN thesis of Lewis’s system
S4, namely, AP / A AP if P is necessary then it is necessarily necessary. But
given a Leibnizian account of the truth conditions for a statement of the form
Aa namely R1 that Aa is true provided a is true in all possible worlds, and R2
that Aa is false provided there is at least one possible world in which a is
false, a proof can be constructed by reductio ad absurdum. For suppose that AP
/ AAP is false in some arbitrarily chosen world W. Then its antecedent will be
true in W, and hence by R1 it follows a that P will be true in all possible
worlds. But equally its consequent will be false in W, and hence by R2 AP will
be false in at least one possible world, from which again by R2 it follows b
that P will be false in at least one possible world, thus contradicting a. A
similar proof can be constructed for the characteristic thesis of S5, namely,
-A-P / A-A-P if P is possibly true then it is necessarily possible. Necessity
is also attributable to a property F of an object O provided it is not possible
that there is no possible world in which O exists and lacks F F being de re necessary, internal or
essential to O. For instance, the non-repeatable haecceitist property of being
identical to O is de re necessary essential to O, and arguably the repeatable
property of being extended is de re necessary to all colored objects. nĕcesse
(arch. nĕcessum , I.v. infra: NECESVS, S. C. de Bacch. l. 4: necessus , Ter.
Heaut. 2, 3, 119 Wagn. ad loc.; id. Eun. 5, 5, 28; Gell. 16, 8, 1; v. Lachm. ad
Lucr. 6, 815), neutr. adj. (gen. necessis, Lucr. 6, 815 ex conj. Lachm.; cf.
Munro ad loc.; elsewhere only nom. and acc. sing., and with esse or habere)
[perh. Sanscr. naç, obtain; Gr. root ἐνεκ-; cf. ἀνάγκη; v. Georg Curtius Gr.
Etym. 424]. I. Form necesse. A. Unavoidable, inevitable, indispensable,
necessary (class.; cf.: opus, usus est) 1. With esse. a. With subject.-clause:
“edocet quanto detrimento...necesse sit constare victoriam,” Caes. B. G. 7, 19:
“necesse est eam, quae ... timere permultos,” Auct. Her. 4, 16, 23: emas, non
quod opus est, sed quod necesse est, Cato ap. Sen. Ep. 94, 28: “nihil fit, quod
necesse non fuerit,” Cic. Fat. 9, 17: “necesse est igitur legem haberi in rebus
optimis,” id. Leg. 2, 5, 12; id. Verr 2, 3, 29, § 70. — b. With dat. (of the
person, emphatic): nihil necesse est mihi de me ipso dicere, Cic. Sen. 9, 30:
“de homine enim dicitur, cui necesse est mori,” id. Fat. 9, 17.— c. With ut and
subj.: “eos necesse est ut petat,” Auct. Her. 4, 16, 23: “sed ita necesse
fuisse, cum Demosthenes dicturus esset, ut concursus ex totā Graeciā fierent,”
Cic. Brut. 84, 289; Sen. Ep. 78, 15: “hoc necesse est, ut, etc.,” Cic. de Or.
2, 29, 129; Sen. Q. N. 2, 14, 2: “neque necesse est, uti vos auferam,” Gell. 2,
29, 9: “necesse est semper, ut id ... per se significet,” Quint. 8, 6, 43.— d.
With subj. alone: “haec autem oratio ... aut nulla sit necesse est, aut omnium
irrisione ludatur,” Cic. de Or. 1, 12, 50: “istum condemnetis necesse est,”
Cic. Verr. 2, 2, 18, § 45: “vel concidat omne caelum necesse est,” id. Tusc. 1,
23, 54: “si necesse est aliquid ex se magni boni pariat,” Lact. 3, 12, 7.— 2.
With habere (class. only with inf.): “non habebimus necesse semper concludere,”
Cic. Part. Or. 13, 47: “eo minus habeo necesse scribere,” id. Att. 10, 1, 4:
“Oppio scripsi ne necesse habueris reddere,” id. ib. 16, 2, 5: “non verbum pro
verbo necesse habui reddere,” id. Opt. Gen. Or. 5, 14: “non necesse habeo omnia
pro meo jure agere,” Ter. Ad. 1, 1, 26; Quint. 11, 1, 74; Vulg. Matt. 14, 16:
necesse habere with abl. (= egere; “late Lat.): non necesse habent sani
medico,” Vulg. Marc. 2, 17.—In agreement with object of habere: “non habet rex
sponsalia necesse,” Vulg. 1 Reg. 18, 25.— B. Needful, requisite, indispensable,
necessary: “id quod tibi necesse minime fuit, facetus esse voluisti,” Cic. Sull.
7, 22.— II. Form necessum (mostly ante-class.). A. With subject.-clause: “foras
necessum est, quicquid habeo, vendere,” Plaut. Stich. 1, 3, 66: quod sit
necessum scire, Afran. ap. Charis. p. 186 P.: “nec tamen haec retineri hamata
necessumst,” Lucr. 2, 468: “externa corpus de parte necessumst tundier,” id. 4,
933: “necessum est vorsis gladiis depugnarier,” Plaut. Cas. 2, 5, 36: “necessum
est paucis respondere,” Liv. 34, 5: “num omne id aurum in ludos consumi
necessum esset?” id. 39, 5: “tonsorem capiti non est adhibere necessum,” Mart.
6, 57, 3.— B. With dat.: “dicas uxorem tibi necessum esse ducere,” Plaut. Mil.
4, 3, 25.— C. With subj.: “unde anima, atque animi constet natura necessum
est,” Lucr. 4, 120: “quare etiam nativa necessum est confiteare Haec eadem,”
id. 5, 377. Refs.: H. P. Grice, “The may and the must,” “Ichthyological
necessity.”
need – H. P. Grice, “Need,” cf. D. Wiggins, “Need.” “What Toby
needs” Grice was also interested in the modal use of ‘need’. “You need to do
it.” “ ‘Need,’ like ‘ought’ takes ‘to.’” “It’s very Anglo-Saxon.” “Or, rather
non-Indo-European substratum!” As it is attested only
in Germanic, Celtic, and Balto-Slavic, it might be non-PIE, from a regional
substrate language.
abdicatum: negation: H.
P. Grice, “Negation.” the logical operation on propositions that is indicated,
e.g., by the prefatory clause ‘It is not the case that . . .’. Negation is
standardly distinguished sharply from the operation on predicates that is
called complementation and that is indicated by the prefix ‘non-’. Because
negation can also be indicated by the adverb ‘not’, a distinction is often
drawn between external negation, which is indicated by attaching the prefatory
‘It is not the case that . . .’ to an assertion, and internal negation, which
is indicated by inserting the adverb ‘not’ along with, perhaps, nature, right
of negation 601 601 grammatically
necessary words like ‘do’ or ‘does’ into the assertion in such a way as to
indicate that the adverb ‘not’ modifies the verb. In a number of cases, the
question arises as to whether external and internal negation yield logically
equivalent results. For example, ‘It is not the case that Santa Claus exists’
would seem obviously to be true, whereas ‘Santa Claus does not exist’ seems to
some philosophers to presuppose what it denies, on the ground that nothing
could be truly asserted of Santa Claus unless he existed. Refs.: H. P. Grice, “Negation and privation;”
H. P. Grice, “Lectures on negation.”
Nemesius: Grecian
philosopher. His treatise on the soul, On the Nature of Man, tr. from Grecian
into Latin by Alphanus of Salerno and Burgundio of Pisa c.1160, was attributed
to Gregory of Nyssa in the Middle Ages, and enjoyed some authority; the
treatise rejects Plato for underplaying the unity of soul and body, and
Aristotle for making the soul essentially corporeal. The soul is
selfsubsistent, incorporeal, and by nature immortal, but naturally suited for
union with the body. Nemesius draws on Ammonius Saccas and Porphyry, as well as
analogy to the union of divine and human nature in Christ, to explain the
incorruptible soul’s perfect union with the corruptible body. His review of the
powers of the soul draws especially on Galen on the brain. His view that
rational creatures possess free will in virtue of their rationality influenced
Maximus the Confessor and John of Damascus.
neo-Kantianism – as
opposed to ‘palaeo-Kantianism’ -- the diverse Kantian movement that emerged
within G. philosophy in the 1860s, gained a strong academic foothold in the
1870s, reached its height during the three decades prior to World War I, and
disappeared with the rise of Nazism. The movement was initially focused on
renewed study and elaboration of Kant’s epistemology in response to the growing
epistemic authority of the natural sciences and as an alternative to both
Hegelian and speculative idealism and the emerging materialism of, among
others, Ludwig Büchner 182499. Later neo-Kantianism explored Kant’s whole
philosophy, applied his critical method to disciplines other than the natural
sciences, and developed its own philosophical systems. Some originators and/or
early contributors were Kuno Fischer 18247, Hermann von Helmholtz 182,
Friedrich Albert Lange 182875, Eduard Zeller 18148, and Otto Liebmann 18402,
whose Kant und die Epigonen 1865 repeatedly stated what became a neoKantian
motto, “Back to Kant!” Several forms of neo-Kantianism are to be distinguished.
T. K. Oesterreich 09, in Friedrich Ueberwegs Grundriss der Geschichte der
Philosophie “F.U.’s Compendium of the History of Philosophy,” 3, developed the
standard, somewhat chronological, classification: 1 The physiological
neo-Kantianism of Helmholtz and Lange, who claimed that physiology is
“developed or corrected Kantianism.” 2 The metaphysical neo-Kantianism of the
later Liebmann, who argued for a Kantian “critical metaphysics” beyond
epistemology in the form of “hypotheses” about the essence of things. 3 The
realist neo-Kantianism of Alois Riehl 18444, who emphasized the real existence
of Kant’s thing-in-itself. 4 The logistic-methodological neo-Kantianism of the
Marburg School of Hermann Cohen 18428 and Paul Natorp 18544. 5 The axiological
neo-Kantianism of the Baden or Southwest G. School of Windelband 18485 and
Heinrich Rickert 18636. 6 The relativistic neo-Kantianism of Georg Simmel
18588, who argued for Kantian categories relative to individuals and cultures.
7 The psychological neo-Kantianism of Leonard Nelson 27, originator of the
Göttingen School; also known as the neo-Friesian School, after Jakob Friedrich
Fries 17731843, Nelson’s self-proclaimed precursor. Like Fries, Nelson held
that Kantian a priori principles cannot be transcendentally justified, but can
be discovered only through introspection. Oesterreich’s classification has been
narrowed or modified, partly because of conflicting views on how distinctly
“Kantian” a philosopher must have been to be called “neo-Kantian.” The very
term ‘neo-Kantianism’ has even been called into question, as suggesting real
intellectual commonality where little or none is to be found. There is,
however, growing consensus that Marneo-Euclidean geometry neo-Kantianism
603 603 burg and Baden neo-Kantianism
were the most important and influential. Marburg School. Its founder, Cohen,
developed its characteristic Kantian idealism of the natural sciences by
arguing that physical objects are truly known only through the laws of these
sciences and that these laws presuppose the application of Kantian a priori
principles and concepts. Cohen elaborated this idealism by eliminating Kant’s
dualism of sensibility and understanding, claiming that space and time are
construction methods of “pure thought” rather than a priori forms of perception
and that the notion of any “given” perceptual data prior to the “activity” of
“pure thought” is meaningless. Accordingly, Cohen reformulated Kant’s
thing-in-itself as the regulative idea that the mathematical description of the
world can always be improved. Cohen also emphasized that “pure thought” refers
not to individual consciousess on his
account Kant had not yet sufficiently left behind a “subjectobject”
epistemology but rather to the content
of his own system of a priori principles, which he saw as subject to change
with the progress of science. Just as Cohen held that epistemology must be
based on the “fact of science,” he argued, in a decisive step beyond Kant, that
ethics must transcendentally deduce both the moral law and the ideal moral
subject from a humanistic science more
specifically, from jurisprudence’s notion of the legal person. This analysis
led to the view that the moral law demands that all institutions, including
economic enterprises, become democratic
so that they display unified wills and intentions as transcendental
conditions of the legal person and that
all individuals become colegislators. Thus Cohen arrived at his frequently
cited claim that Kant “is the true and real originator of G. socialism.” Other
important Marburg Kantians were Cohen’s colleague Natorp, best known for his
studies on Plato and philosophy of education, and their students Karl Vorländer
18608, who focused on Kantian socialist ethics as a corrective of orthodox
Marxism, and Ernst Cassirer 18745. Baden School. The basic task of philosophy
and its transcendental method is seen as identifying universal values that make
possible culture in its varied expressions. This focus is evident in
Windelband’s influential insight that the natural sciences seek to formulate
general laws nomothetic knowledge while the historical sciences seek to
describe unique events idiographic
knowledge. This distinction is based on the values interests of mastery of
nature and understanding and reliving the unique past in order to affirm our
individuality. Windelband’s view of the historical sciences as idiographic
raised the problem of selection central to his successor Rickert’s writings:
How can historians objectively determine which individual events are
historically significant? Rickert argued that this selection must be based on
the values that are generally recognized within the cultures under
investigation, not on the values of historians themselves. Rickert also
developed the transcendental argument that the objectivity of the historical
sciences necessitates the assumption that the generally recognized values of
different cultures approximate in various degrees universally valid values.
This argument was rejected by Weber, whose methodological work was greatly
indebted to Rickert. Refs.: H. P. Grice, “Kantianism: old and new.”
Neo-platonism – as
opposed to ‘palaeo-Platonism’ -- that period of Platonism following on the new
impetus provided by the philosophical speculations of Plotinus A.D. 20469. It
extends, as a minimum, to the closing of the Platonic School in Athens by
Justinian in 529, but maximally through Byzantium, with such figures as Michael
Psellus 101878 and Pletho c.13601452, the Renaissance Ficino, Pico, and the
Florentine Academy, and the early modern period the Cambridge Platonists,
Thomas Taylor, to the advent of the “scientific” study of the works of Plato
with Schleiermacher 17681834 at the beginning of the nineteenth century. The
term was formerly also used to characterize the whole period from the Old
Academy of Plato’s immediate successors, Speusippus and Xenocrates, through
what is now termed Middle Platonism c.80 B.C.A.D. 220, down to Plotinus. This
account confines itself to the “minimum” interpretation. Neoplatonism proper
may be divided into three main periods: that of Plotinus and his immediate
followers third century; the “Syrian” School of Iamblichus and his followers
fourth century; and the “Athenian” School begun by Plutarch of Athens, and
including Syrianus, Proclus, and their successors, down to Damascius fifthsixth
centuries. Plotinus and his school. Plotinus’s innovations in Platonism
developed in his essays, the Enneads, collected and edited by his pupil
Porphyry after his death, are mainly two: a above the traditional supreme
principle of earlier Platonism and Aristotelianism, a self-thinking intellect,
which was also regarded as true being, he postulated a principle superior to
intellect and being, totally unitary and simple “the One”; b he saw reality as
a series of levels One, Intelligence, Soul, each higher one outflowing or
radiating into the next lower, while still remaining unaffected in itself, and
the lower ones fixing themselves in being by somehow “reflecting back” upon
their priors. This eternal process gives the universe its existence and
character. Intelligence operates in a state of non-temporal simultaneity,
holding within itself the “forms” of all things. Soul, in turn, generates time,
and receives the forms into itself as “reason principles” logoi. Our physical
three-dimensional world is the result of the lower aspect of Soul nature
projecting itself upon a kind of negative field of force, which Plotinus calls
“matter.” Matter has no positive existence, but is simply the receptacle for
the unfolding of Soul in its lowest aspect, which projects the forms in
three-dimensional space. Plotinus often speaks of matter as “evil” e.g. Enneads
II.8, and of the Soul as suffering a “fall” e.g. Enneads V.1, 1, but in fact he
sees the whole cosmic process as an inevitable result of the superabundant
productivity of the One, and thus “the best of all possible worlds.” Plotinus
was himself a mystic, but he arrived at his philosophical conclusions by
perfectly logical means, and he had not much use for either traditional
religion or any of the more recent superstitions. His immediate pupils, Amelius
c.22590 and Porphyry 234c.305, while somewhat more hospitable to these,
remained largely true to his philosophy though Amelius had a weakness for
triadic elaborations in metaphysics. Porphyry was to have wide influence, both
in the Latin West through such men as Marius Victorinus, Augustine, and
Boethius, and in the Grecian East and even, through translations, on medieval
Islam, as the founder of the Neoplatonic tradition of commentary on both Plato
and Aristotle, but it is mainly as an expounder of Plotinus’s philosophy that
he is known. He added little that is distinctive, though that little is
currently becoming better appreciated. Iamblichus and the Syrian School.
Iamblichus c.245325, descendant of an old Syrian noble family, was a pupil of
Porphyry’s, but dissented from him on various important issues. He set up his
own school in Apamea in Syria, and attracted many pupils. One chief point of
dissent was the role of theurgy really just magic, with philosophical
underpinnings, but not unlike Christian sacramental theology. Iamblichus
claimed, as against Porphyry, that philosophical reasoning alone could not
attain the highest degree of enlightenment, without the aid of theurgic rites,
and his view on this was followed by all later Platonists. He also produced a
metaphysical scheme far more elaborate than Plotinus’s, by a Scholastic filling
in, normally with systems of triads, of gaps in the “chain of being” left by
Plotinus’s more fluid and dynamic approach to philosophy. For instance, he
postulated two Ones, one completely transcendent, the other the source of all
creation, thus “resolving” a tension in Plotinus’s metaphysics. Iamblichus was
also concerned to fit as many of the traditional gods as possible into his
system, which later attracted the attention of the Emperor Julian, who based
himself on Iamblichus when attempting to set up a Hellenic religion to rival
Christianity, a project which, however, died with him in 363. The Athenian
School. The precise links between the pupils of Iamblichus and Plutarch d.432,
founder of the Athenian School, remain obscure, but the Athenians always
retained a great respect for the Syrian. Plutarch himself is a dim figure, but
Syrianus c.370437, though little of his writings survives, can be seen from
constant references to him by his pupil Proclus 412 85 to be a major figure,
and the source of most of Proclus’s metaphysical elaborations. The Athenians
essentially developed and systematized further the doctrines of Iamblichus,
creating new levels of divinity e.g. intelligibleintellectual gods, and
“henads” in the realm of the One though
they rejected the two Ones, this process reaching its culmination in the
thought of the last head of the Athenian Academy, Damascius c.456540. The drive
to systematize reality and to objectivize concepts, exhibited most dramatically
in Proclus’s Elements of Theology, is a lasting legacy of the later
Neoplatonists, and had a significant influence on the thought, among others, of
Hegel. Grice: “The implicaturum of ‘everything old is new again’ is that everything
new is old again.” “It’s the older generation, knock-knock-knocking at the
door!” -- Refs.: H. P. Grice, “Everything old is new again – and vice versa.”
neo-scholasticism: as
opposed to palaeo-scholasticism – Grice: “The original name of Oxford was ‘studium
generale’! The mascot was the ox!” --. the movement given impetus Neoplatonism,
Islamic neo-Scholasticism 605 605 by
Pope Leo XIII’s encyclical Aeterni Patris 1879, which, while stressing Aquinas,
was a general recommendation of the study of medieval Scholasticism as a source
for the solution of vexing modern problems. Leo assumed that there was a
doctrine common to Aquinas, Bonaventure, Albertus Magnus, and Duns Scotus, and
that Aquinas was a preeminent spokesman of the common view. Maurice De Wulf
employed the phrase ‘perennial philosophy’ to designate this common medieval
core as well as what of Scholasticism is relevant to later times. Historians
like Mandonnet, Grabmann, and Gilson soon contested the idea that there was a
single medieval doctrine and drew attention to the profound differences between
the great medieval masters. The discussion of Christian philosophy precipitated
by Brehier in 1 generated a variety of suggestions as to what medieval thinkers
and later Christian philosophers have in common, but this was quite different
from the assumption of Aeterni Patris. The pedagogical directives of this and
later encyclicals brought about a revival of Thomism rather than of
Scholasticism, generally in seminaries, ecclesiastical s, and Catholic
universities. Louvain’s Higher Institute of Philosophy under the direction of
Cardinal Mercier and its Revue de Philosophie Néoscolastique were among the
first fruits of the Thomistic revival. The studia generalia of the Dominican
order continued at a new pace, the Saulchoir publishing the Revue thomiste. In
graduate centers in Milan, Madrid, Latin America, Paris, and Rome, men were
trained for the task of teaching in s and seminaries, and scholarly research
began to flourish as well. The Leonine edition of the writings of Aquinas was
soon joined by new critical editions of Bonaventure, Duns Scotus, and Ockham,
as well as Albertus Magnus. Medieval studies in the broader sense gained from
the quest for manuscripts and the growth of paleography and codicology. Besides
the historians mentioned above, Jacques Maritain 23, a layman and convert to
Catholicism, did much both in his native France and in the United States to
promote the study of Aquinas. The Pontifical Institute of Mediaeval Studies at
Toronto, with Gilson regularly and Maritain frequently in residence, became a
source of and teachers in Canada and the United States, as
Louvain and, in Rome, the Jesuit Gregorianum and the Dominican Angelicum
already were. In the 0s s took doctorates in theology and philosophy at Laval
in Quebec and soon the influence of Charles De Koninck was felt. Jesuits at St.
Louis began to publish The Modern
Schoolman, Dominicans in Washington The Thomist, and the Catholic Philosophical Association The New
Scholasticism. The School of Philosophy at Catholic , long the primary domestic
source of professors and scholars, was complemented by graduate programs at St.
Louis, Georgetown, Notre Dame, Fordham, and Marquette. In the golden period of
the Thomistic revival in the United States, from the 0s until the end of the
Vatican Council II in 5, there were varieties of Thomism based on the variety
of views on the relation between philosophy and science. By the 0s Thomistic
philosophy was a prominent part of the curriculum of all Catholic s and
universities. By 0, it had all but disappeared under the mistaken notion that
this was the intent of Vatican II. This had the effect of releasing Aquinas
into the wider philosophical world.
neo-Thomism – as opposed
to palaeo-Thomism --, a philosophical-theological movement in the nineteenth
and twentieth centuries manifesting a revival of interest in Aquinas. It was
stimulated by Pope Leo XIII’s encyclical Aeterni Patris 1879 calling for a
renewed emphasis on the teaching of Thomistic principles to meet the
intellectual and social challenges of modernity. The movement reached its peak
in the 0s, though its influence continues to be seen in organizations such as
the Catholic Philosophical Association.
Among its major figures are Joseph Kleutgen, Désiré Mercier, Joseph Maréchal,
Pierre Rousselot, Réginald Garrigou-LaGrange, Martin Grabmann, M.-D. Chenu,
Jacques Maritain, Étienne Gilson, Yves R. Simon, Josef Pieper, Karl Rahner,
Cornelio Fabro, Emerich Coreth, Bernard Lonergan, and W. Norris Clarke. Few, if
any, of these figures have described themselves as NeoThomists; some explicitly
rejected the designation. Neo-Thomists have little in common except their
commitment to Aquinas and his relevance to the contemporary world. Their
interest produced a more historically accurate understanding of Aquinas and his
contribution to medieval thought Grabmann, Gilson, Chenu, including a
previously ignored use of the Platonic metaphysics of participation Fabro. This
richer understanding of Aquinas, as forging a creative synthesis in the midst
of competing traditions, has made arguing for his relevance easier. Those
Neo-Thomists who were suspicious of modernity produced fresh readings of
Aquinas’s texts applied to contemporary problems Pieper, Gilson. Their influence
can be seen in the revival of virtue theory and the work of Alasdair MacIntyre.
Others sought to develop Aquinas’s thought with the aid of later Thomists
Maritain, Simon and incorporated the interpretations of Counter-Reformation
Thomists, such as Cajetan and Jean Poinsot, to produce more sophisticated, and
controversial, accounts of the intelligence, intentionality, semiotics, and
practical knowledge. Those Neo-Thomists willing to engage modern thought on its
own terms interpreted modern philosophy sympathetically using the principles of
Aquinas Maréchal, Lonergan, Clarke, seeking dialogue rather than confrontation.
However, some readings of Aquinas are so thoroughly integrated into modern
philosophy that they can seem assimilated Rahner, Coreth; their highly
individualized metaphysics inspired as much by other philosophical influences,
especially Heidegger, as Aquinas. Some of the labels currently used among
Neo-Thomists suggest a division in the movement over critical, postKantian
methodology. ‘Existential Thomism’ is used for those who emphasize both the
real distinction between essence and existence and the role of the sensible in
the mind’s first grasp of being. ‘Transcendental Thomism’ applies to figures
like Maréchal, Rousselot, Rahner, and Coreth who rely upon the inherent
dynamism of the mind toward the real, rooted in Aquinas’s theory of the active
intellect, from which to deduce their metaphysics of being.
“Academia Nova” – v.
Grice, “Carneades at Rome, and the beginning of Western philosophy.” New
Academy, the name given the Academy, the school founded by Plato in Athens,
during the time it was controlled by Academic Skeptics. Its principal leaders
in this period were Arcesilaus 315242 and Carneades; our most accessible source
for the New Academy is Cicero’s Academica. A master of logical techniques such
as sorites which he learned from Diodorus, Arcesilaus attempted to revive the
dialectic of Plato, using it to achieve the suspension of belief he learned to
value from Pyrrho. Later, and especially under the leadership of Carneades, the
New Academy developed a special relationship with Stoicism: as the Stoics found
new ways to defend their doctrine of the criterion, Carneades found new ways to
refute it in the Stoics’ own terms. Carneades’ visit to Rome in 155 B.C. with a
Stoic and a Peripatetic marks the beginning of Rome’s interest in Grecian
philosophy. His anti-Stoic arguments were recorded by his successor Clitomachus
d. c.110 B.C., whose work is known to us through summaries in Cicero. Clitomachus
was succeeded by Philo of Larisa c.16079 B.C., who was the teacher of Antiochus
of Ascalon c.130c.67 B.C.. Philo later attempted to reconcile the Old and the
New Academy by softening the Skepticism of the New and by fostering a Skeptical
reading of Plato. Angered by this, Antiochus broke away in about 87 B.C. to
found what he called the Old Academy, which is now considered to be the
beginning of Middle Platonism. Probably about the same time, Aenesidemus dates
unknown revived the strict Skepticism of Pyrrho and founded the school that is
known to us through the work of Sextus Empiricus. Academic Skepticism differed
from Pyrrhonism in its sharp focus on Stoic positions, and possibly in allowing
for a weak assent as opposed to belief, which they suspended in what is
probable; and Pyrrhonians accused Academic Skeptics of being dogmatic in their
rejection of the possibility of knowledge. The New Academy had a major
influence on the development of modern philosophy, most conspicuously through
Hume, who considered that his brand of mitigated skepticism belonged to this
school. Grice: “Western philosophy begins with Carneades lecturing the rough
Romans some philosophy; because Greece is EAST!” – Refs.: H. P. Grice, “The
longitudinal history of philosophy from Carneades’s sojourn at Rome to my
British Academy lecture at London.”
Newcomb’s paradox: a
conflict, which Grice finds fascinating, between two widely accepted principles
of rational decision, arising in the following decision problem, known as
Newcomb’s problem. Two boxes are before you. The first contains either
$1,000,000 or nothing. The second contains $1,000. You may take the first box
alone or both boxes. Someone with uncanny foresight has predicted your choice
and fixed the content of the first box according to his prediction. If he has
predicted that you will take only the first box, he has put $1,000,000 in that
box; and if he has predicted that you will take both boxes, he has left the
first box empty. The expected utility of an option is commonly obtained by
multiplying the utility of its possible outcomes by their probabilities given
the option, and then adding the products. Because the predictor is reliable,
the probability that you receive $1,000,000 given that you take only the first
box is high, whereas the probability that you receive $1,001,000 given that you
take both boxes is low. Accordingly, the expected utility of taking only the
first box is greater than the expected utility of taking both boxes. Therefore
the principle of maximizing expected utility says to take only the first box.
However, the principle of dominance says that if the states determining the
outcomes of options are causally independent of the options, and there is one
option that is better than the others in each state, then you should adopt it.
Since your choice does not causally influence the contents of the first box,
and since choosing both boxes yields $1,000 in addition to the contents of the
first box whatever they are, the principle says to take both boxes. Newcomb’s
paradox is named after its formulator, William Newcomb. Nozick publicized it in
“Newcomb’s Problem and Two Principles of Choice” 9. Many theorists have
responded to the paradox by changing the definition of the expected utility of
an option so that it is sensitive to the causal influence of the option on the
states that determine its outcome, but is insensitive to the evidential bearing
of the option on those states. Refs: H. P. Grice, “Why I love Newcomb.”
Grice, “Oxford’s kindly
light” -- Newman (“Lead Kindly light”) -- English prelate and philosopher of
religion. As fellow at Oriel , Oxford, he was a prominent member of the Anglican
Oxford Movement. He became a Roman Catholic in 1845, took holy orders in 1847,
and was made a cardinal in 1879. His most important philosophical work is the
Grammar of Assent 1870. Here Newman explored the difference between formal
reasoning and the informal or natural movement of the mind in discerning the
truth about the concrete and historical. Concrete reasoning in the mode of
natural inference is implicit and unreflective; it deals not with general
principles as such but with their employment in particular circumstances. Thus
a scientist must judge whether the phenomenon he confronts is a novel
significant datum, a coincidence, or merely an insignificant variation in the
data. The acquired capacity to make judgments of this sort Newman called the illative
sense, an intellectual skill shaped by experience and personal insight and
generally limited for individuals to particular fields of endeavor. The
illative sense makes possible a judgment of certitude about the matter
considered, even though the formal argument that partially outlines the process
possesses only objective probability for the novice. Hence probability is not
necessarily opposed to certitude. In becoming aware of its tacit dimension,
Newman spoke of recognizing a mode of informal inference. He distinguished such
reasoning, which, by virtue of the illative sense, culminates in a judgment of
certitude about the way things are real assent, from formal reasoning
conditioned by the certainty or probability of the premises, which assents to the
conclusion thus conditioned notional assent. In real assent, the proposition
functions to “image” the reality, to make its reality present. In the
Development of Christian Doctrine 1845, Newman analyzed the ways in which some
ideas unfold themselves only through historical development, within a tradition
of inquiry. He sought to delineate the common pattern of such development in
politics, science, philosophy, and religion. Although his focal interest was in
how religious doctrines develop, he emphasizes the general character of such a
pattern of progressive articulation. H. P. Grice, “Oxford’s kindly light.”
New Realism – or
neo-realism – as opposed to “palaeo-realism” -- an early twentieth-century
revival, both in England and in the United States, of various forms of realism
in reaction to the dominant idealisms inherited from the nineteenth century. In
America this revival took a cooperative form when six philosophers Ralph Barton
Perry, Edwin Holt, William Pepperell Montague, Walter Pitkin, Edward Spaulding,
and Walter Marvin published “A Program and First Platform of Six Realists” 0,
followed two years later by the cooperative volume The New Realism, in which
each authored an essay. This volume gave rise to the designation ‘New Realists’
for these six philosophers. Although they clearly disagreed on many
particulars, they concurred on several matters of philosophical style and
epistemological substance. Procedurally they endorsed a cooperative and
piecemeal approach to philosophical problems, and they were constitutionally
inclined to a closeness of analysis that would prepare the way for later
philosophical tendencies. Substantively they agreed on several epistemological
stances central to the refutation of idealism. Among the doctrines in the New
Realist platform were the rejection of the fundamental character of
epistemology; the view that the entities investigated in logic, mathematics,
and science are not “mental” in any ordinary sense; the view that the things
known are not the products of the knowing relation nor in any fundamental sense
conditioned by their being known; and the view that the objects known are
immediately and directly present to consciousness while being independent of
that relation. New Realism was a version of direct realism, which viewed the
notions of mediation and representation in knowledge as opening gambits on the
slippery slope to idealism. Their refutation of idealism focused on pointing
out the fallacy of moving from the truism that every object of knowledge is
known to the claim that its being consists in its being known. That we are
obviously at the center of what we know entails nothing about the nature of
what we know. Perry dubbed this fact “the egocentric predicament,” and
supplemented this observation with arguments to the effect that the objects of
knowledge are in fact independent of the knowing relation. New Realism as a
version of direct realism had as its primary conceptual obstacle “the facts of
relativity,” i.e., error, illusion, perceptual variation, and valuation.
Dealing with these phenomena without invoking “mental intermediaries” proved to
be the stumbling block, and New Realism soon gave way to a second cooperative
venture by another group of philosophers
that came to be known as Critical Realism. The term ‘new realism’ is also
occasionally used with regard to those British philosophers principal among
them Moore and Russell similarly involved in refuting idealism. Although
individually more significant than the
group, theirs was not a cooperative effort, so the group term came to
have primarily an referent.
Newton, -- Grice: “His
surname is a toponymic: it literally means ‘new-town,’ but it implicates, “FROM
new-town.” – “We never knew what ‘old’ town Sir Isaac is implicating, possibly Oldton,
in Cumbria.” -- English physicist and mathematician, one of the greatest
scientists of all time. Born in Woolsthorpe, Lincolnshire, he attended
Cambridge , receiving the B.A. in 1665; he became a fellow of Trinity in New
Realism Newton, Sir Isaac 610 610 1667
and Lucasian Professor of Mathematics in 1669. He was elected fellow of the
Royal Society in 1671 and served as its president from 1703 until his death. In
1696 he was appointed warden of the mint. In his later years he was involved in
political and governmental affairs rather than in active scientific work. A
sensitive, secretive person, he was prone to irascibility most notably in a dispute with Leibniz over
priority of invention of the calculus. His unparalleled scientific
accomplishments overshadow a deep and sustained interest in ancient chronology,
biblical study, theology, and alchemy. In his early twenties Newton’s genius
asserted itself in an astonishing period of mathematical and experimental
creativity. In the years 1664 67, he discovered the binomial theorem; the
“method of fluxions” calculus; the principle of the composition of light; and
fundamentals of his theory of universal gravitation. Newton’s masterpiece,
Philosophiae Naturalis Principia Mathematica “The Mathematical Principles of
Natural Philosophy”, appeared in 1687. This work sets forth the mathematical
laws of physics and “the system of the world.” Its exposition is modeled on
Euclidean geometry: propositions are demonstrated mathematically from
definitions and mathematical axioms. The world system consists of material
bodies masses composed of hard particles at rest or in motion and interacting
according to three axioms or laws of motion: 1 Every body continues in its
state of rest or of uniform motion in a straight line unless it is compelled to
change that state by forces impressed upon it. 2 The change of motion is
proportional to the motive force impressed and is made in the direction of the
straight line in which that force is impressed. [Here, the impressed force
equals mass times the rate of change of velocity, i.e., acceleration. Hence the
familiar formula, F % ma.] 3 To every action there is always opposed an equal
reaction; or, the mutual action of two bodies upon each other is always equal
and directed to contrary parts. Newton’s general law of gravitation in modern
restatement is: Every particle of matter attracts every other particle with a
force varying directly as the product of their masses and inversely as the
square of the distance between them. The statement of the laws of motion is
preceded by an equally famous scholium in which Newton enunciates the ultimate
conditions of his universal system: absolute time, space, place, and motion. He
speaks of these as independently existing “quantities” according to which true
measurements of bodies and motions can be made as distinct from relative
“sensible measures” and apparent observations. Newton seems to have thought
that his system of mathematical principles presupposed and is validated by the
absolute framework. The scholium has been the subject of much critical
discussion. The main problem concerns the justification of the absolute
framework. Newton commends adherence to experimental observation and induction
for advancing scientific knowledge, and he rejects speculative hypotheses. But
absolute time and space are not observable. In the scholium Newton did offer a
renowned experiment using a rotating pail of water as evidence for
distinguishing true and apparent motions and proof of absolute motion. It has
been remarked that conflicting strains of a rationalism anticipating Kant and
empiricism anticipating Hume are present in Newton’s conception of science.
Some of these issues are also evident in Newton’s Optics 1704, especially the
fourth edition, 1730, which includes a series of suggestive “Queries” on the
nature of light, gravity, matter, scientific method, and God. The triumphant
reception given to Newton’s Principia in England and on the Continent led to
idealization of the man and his work. Thus Alexander Pope’s famous epitaph:
Nature and Nature’s laws lay hid in night; God said, “Let Newton be!” and all
was light. The term ‘Newtonian’, then, denoted the view of nature as a
universal system of mathematical reason and order divinely created and
administered. The metaphor of a “universal machine” was frequently applied. The
view is central in the eighteenth-century Enlightenment, inspiring a religion
of reason and the scientific study of society and the human mind. More
narrowly, ‘Newtonian’ suggests a reduction of any subject matter to an ontology
of individual particles and the laws and basic terms of mechanics: mass,
length, and time.
Autrecourt, philosopher,
unimaginatively born in Autrecourt, he was educated at Paris (“but I kept
Autrecourt as my surname, Paris being so common” – “Letter to Matthew Parris”
--) and earned bachelor’s degrees in theology and law and a master’s degree in
arts. After a list of propositions from his writings was condemned in 1346, he
was sentenced to burn his works publicly and recant, which he did in Paris the
following year. He was appointed dean of Metz cathedral in 1350. Nicholas’s
ecclesiastical troubles arose partly from nine letters two of which survive
which reduce to absurdity the view that appearances provide a sufficient basis
for certain and evident knowledge. On the contrary, except for “certitude of
the faith,” we can be certain only of what is equivalent or reducible to the
principle of noncontradiction. He accepts as a consequence of this that we can
never validly infer the existence of one distinct thing from another, including
the existence of substances from qualities, or causes from effects. Indeed, he
finds that “in the whole of his natural philosophy and metaphysics, Aristotle
had such [evident] certainty of scarcely two conclusions, and perhaps not even
of one.” Nicholas devotes another work, the Exigit ordo executionis also known
as The Universal Treatise, to an extended critique of Aristotelianism. It
attacks what seemed to him the blind adherence given by his contemporaries to
Aristotle and Averroes, showing that the opposite of many conclusions alleged
to have been demonstrated by the Philosopher
e.g., on the divisibility of continua, the reality of motion, and the
truth of appearances are just as evident
or apparent as those conclusions themselves. Because so few of his writings are
extant, however, it is difficult to ascertain just what Nicholas’s own views
were. Likewise, the reasons for his condemnation are not well understood,
although recent studies have suggested that his troubles might have been due to
a reaction to certain ideas that he appropriated from English theologians, such
as Adam de Wodeham. Nicholas’s views elicited comment not only from church
authorities, but also from other philosophers, including Buridan, Marsilius of
Inghen, Albert of Saxony, and Nicholas of Oresme. Despite a few surface
similarities, however, there is no evidence that his teachings on certainty or
causality had any influence on modern philosophers, such as Descartes or Hume.
Cusa – “Roman name for
modern Kues, on the Moselle” – Grice.-- also called Nicolaus Cusanus, Nicholas Kryfts
140164, G. philosopher, an important Renaissance Platonist. Born in Kues on the
Moselle, he earned a doctorate in canon law in 1423. He became known for his De
concordantia catholica, written at the Council of Basel in 1432, a work
defending the conciliarist position against the pope. Later, he decided that
only the pope could provide unity for the church in its negotiations with the
East, and allied himself with the papacy. In 143738, returning from a papal
legation to Constantinople, he had his famous insight into the coincidence of
opposites coincidentia oppositorum in the infinite, upon which his On Learned
Ignorance is based. His unceasing labor was chiefly responsible for the Vienna
Concordat with the Eastern church in 1448. He was made cardinal in 1449 as a
reward for his efforts, and bishop of Brixen Bressanone in 1450. He traveled
widely in G.y as a papal legate 145052 before settling down in his see. Cusa’s
central insight was that all oppositions are united in their infinite measure,
so that what would be logical contradictions for finite things coexist without
contradiction in God, who is the measure of i.e., is the form or essence of all
things, and identical to them inasmuch as he is identical with their reality,
quiddity, or essence. Considered as it is contracted to the individual, a thing
is only an image of its measure, not a reality in itself. His position drew on
mathematical models, arguing, for instance, that an infinite straight line
tangent to a circle is the measure of the curved circumference, since a circle
of infinite diameter, containing all the being possible in a circle, would
coincide with the tangent. In general, the measure of a thing must contain all
the possible being of that sort of thing, and so is infinite, or unlimited, in
its being. Cusa attacked Aristotelians for their unwillingness to give up the
principle of non-contradiction. His epistemology is a form of Platonic skepticism.
Our knowledge is never of reality, the infinite measure of things that is their
essence, but only of finite images of reality corresponding to the finite
copies with which we must deal. These images are constructed by our own minds,
and do not represent an immediate grasp of any reality. Their highest form is
found in mathematics, and it is only through mathematics that reason can
understand the world. In relation to the infinite real, these images and the
contracted realities they enable us to know have only an infinitesimal reality.
Our knowledge is only a mass of conjectures, i.e., assertions that are true
insofar as they capture some part of the truth, but never the whole truth, the
infinite measure, as it really is in itself. Cusa was much read in the
Renaissance, and is somethimes said to have had significant influence on G.
thought of the eighteenth century, in particular on Leibniz, and G. idealism,
but it is uncertain, despite the considerable intrinsic merit of his thought,
if this is true.
nietzsche: philosopher,
born in Rocken. Like Grice’s, Nietzsche’s early education emphasized the two classical
language. After a year at the at Bonn he
transferred to Leipzig, where he pursued classical studies. There he happened
upon Schopenhauer’s The World as Will and Representation, which profoundly
influenced his subsequent concerns and early philosophical thinking. It was as
a classical philologist, however, that he was appointed professor at the
Swiss at Basel, before he had even
received his doctorate, at the astonishingly early age of twenty-four. A mere
twenty years of productive life remained to him, ending with a mental and
physical collapse in January 9, from which he never recovered. He held his
position at Basel for a decade, resigning in 1879 owing to the deterioration of
his health from illnesses he had contracted in 1870 as a volunteer medical
orderly in the Franco-Prussian war. At Basel he lectured on a variety of
subjects chiefly relating to classical studies, including Grecian and Roman
philosophy as well as literature. During his early years there he also became
intensely involved with the composer Richard Wagner; and his fascination with
Wagner was reflected in several of his early works most notably his first book, The Birth of Tragedy
1872, and his subsequent essay Richard Wagner in Bayreuth 1876. His later break
with Wagner, culminating in his polemic The Case of Wagner8, was both profound
and painful to him. While at first regarding Wagner as a creative genius
showing the way to a cultural and spiritual renewal, Nietzsche came to see him
and his art as epitomizing and exacerbating the fundamental problem with which
he became increasingly concerned. This problem was the pervasive intellectual
and cultural crisis Nietzsche later characterized in terms of the “death of
God” and the advent of “nihilism.” Traditional religious and metaphysical ways
of thinking were on the wane, leaving a void that modern science could not
fill, and endangering the health of civilization. The discovery of some
life-affirming alternative to Schopenhauer’s radically pessimistic response to
this disillusionment became Nietzsche’s primary concern. In The Birth of
Tragedy he looked to the Grecians for clues and to Wagner for inspiration,
believing that their art held the key to renewed human flourishing for a
humanity bereft both of the consolations of religious faith and of confidence
in reason and science as substitutes for it. In his subsequent series of
Untimely Meditations 187376 he expanded upon his theme of the need to reorient
human thought and endeavor to this end, and criticized a variety of tendencies
detrimental to it that he discerned among his contemporaries. Both the
deterioration of Nietzsche’s health and the shift of his interest away from his
original discipline prevented retention of his position at Basel. In the first
years after his retirement, he completed his transition from philologist to
philosopher and published the several parts of Human, All-Too-Human 187890,
Daybreak 1, and the first four parts of The Gay Science 2. These aphoristic
writings sharpened and extended his analytical and critical assessment of
various human tendencies and social, cultural, and intellectual phenomena.
During this period his thinking became much more sophisticated; and he
developed the philosophical styles and concerns that found mature expression in
the writings of the final years of his brief active life, following the
publication of the four parts of Thus Spoke Zarathustra 385. These last
remarkably productive years saw the appearance of Beyond Good and Evil 6, a
fifth part of The Gay Science, On the Genealogy of Morals 7, The Case of Wagner
8, and a series of prefaces to his earlier works 687, as well as the completion
of several books published after his collapse
Twilight of the Idols 9, The Antichrist 5, and Ecce Homo 8. He was also
amassing a great deal of material in notebooks, of which a selection was later
published under the title The Will to Power. The status and significance of
this mass of Nachlass material are matters of continuing controversy. In the
early 0s, when he wrote Thus Spoke Zarathustra, Nietzsche arrived at a
conception of human life and possibility
and with it, of value and meaning
that he believed could overcome the Schopenhauerian pessimism and
nihilism that he saw as outcomes of the collapse of traditional modes of
religious and philosophical interpretation. He prophesied a period of nihilism
in the aftermath of their decline and fall; but this prospect deeply distressed
him. He was convinced of the untenability of the “God hypothesis,” and indeed
of all religious and metaphysical interpretations of the world and ourselves;
and yet he was well aware that the very possibility of the affirmation of life
was at stake, and required more than the mere abandonment of all such “lies”
and “fictions.” He took the basic challenge of philosophy now to be to
reinterpret life and the world along more tenable lines that would also
overcome nihilism. What Nietzsche called “the death of God” was both a cultural
event the waning and impending demise of
the “Christian-moral” interpretation of life and the world and also a philosophical development: the
abandonment of anything like the God-hypothesis all demidivine absolutes
included. As a cultural event it was a phenomenon to be reckoned with, and a
source of profound concern; for he feared a “nihilistic rebound” in its wake,
and worried about the consequences for human life and culture if no
countermovement to it were forthcoming. As a philosophical development, on the
other hand, it was his point of departure, which he took to call for a radical
reconsideration of everything from life and the world and human existence and
knowledge to value and morality. The “de-deification of nature,” the “translation
of man back into nature,” the “revaluation of values,” the tracing of the
“genealogy of morals” and their critique, and the elaboration of “naturalistic”
accounts of knowledge, value, morality, and our entire “spiritual” nature thus
came to be his main tasks. His published and unpublished writings contain a
wealth of remarks, observations, and suggestions contributing importantly to
them. It is a matter of controversy, even among those with a high regard for
Nietzsche, whether he tried to work out positions on issues bearing any
resemblance to those occupying other philosophers before and after him in the
mainstream of the history of philosophy. He was harshly critical of most of his
predecessors and contemporaries; and he broke fundamentally with them and their
basic ideas and procedures. His own writings, moreover, bear little resemblance
to those of most other philosophers. Those he himself published as well as his
reflections in his notebooks do not systematically set out and develop views.
Rather, they consist for the most part in collections of short paragraphs and
sets of aphorisms, often only loosely if at all connected. Many deal with
philosophical topics, but in very unconventional ways; and because his remarks
about these topics are scattered through many different works, they are all too
easily taken in isolation and misunderstood. On some topics, moreover, much of
what he wrote is found only in his very rough notebooks, which he filled with
thoughts without indicating the extent of his reflected commitment to them. His
language, furthermore, is by turns coolly analytical, heatedly polemical,
sharply critical, and highly metaphorical; and he seldom indicates clearly the
scope of his claims and what he means by his terms. It is not surprising, therefore,
that many philosophers have found it difficult to know what to make of him and
to take him seriously and that some have
taken him to repudiate altogether the traditional philosophical enterprise of
seeking reasoned conclusions with respect to questions of the kind with which
philosophers have long been concerned, heralding the “death” not only of
religious and metaphysical thinking, but also of philosophy itself. Others read
him very differently, as having sought to effect a fundamental reorientation of
philosophical thinking, and to indicate by both precept and example how
philosophical inquiry might better be pursued. Those who regard Nietzsche in
the former way take his criticisms of his philosophical predecessors and
contemporaries to apply to any attempt to address such matters. They seize upon
and construe some of his more sweeping negative pronouncements on truth and
knowledge as indicating that he believed we can only produce fictions and
merely expedient or possibly creative perspectival expressions of our needs and
desires, as groups or as individuals. They thus take him as a radical nihilist,
concerned to subvert the entire philosophical enterprise and replace it with a
kind of thinking more akin to the literary exploration of human possibilities
in the service of life a kind of
artistic play liberated from concern with truth and knowledge. Those who view
him in the latter way, on the other hand, take seriously his concern to find a
way of overcoming the nihilism he believed to result from traditional ways of
thinking; his retention of recast notions of truth and knowledge; and his
evident concern especially in his later
writings to contribute to the comprehension
of a broad range of phenomena. This way of understanding him, like the former,
remains controversial; but it permits an interpretation of his writings that is
philosophically more fruitful. Nietzsche indisputably insisted upon the
interpretive character of all human thought; and he called for “new
philosophers” who would follow him in engaging in more self-conscious and
intellectually responsible attempts to assess and improve upon prevailing
interpretations of human life. He also was deeply concerned with how these
matters might better be evaluated, and with the values by which human beings
live and might better do so. Thus he made much of the need for a revaluation of
all received values, and for attention to the problems of the nature, status,
and standards of value and evaluation. One form of inquiry he took to be of
great utility in connection with both of these tasks is genealogical inquiry
into the conditions under which various modes of interpretation and evaluation
have arisen. It is only one of the kinds of inquiry he considered necessary in
both cases, however, serving merely to prepare for others that must be brought
to bear before any conclusions are warranted. Nietzsche further emphasized the
perspectival character of all thinking and the merely provisional character of
all knowing, rejecting the idea of the very possibility of absolute knowledge
transcending all perspectives. However, because he also rejected the idea that
things and values have absolute existence “in themselves” apart from the
relations in which he supposes their reality to consist, he held that, if viewed
in the multiplicity of perspectives from which various of these relations come
to light, they admit of a significant measure of comprehension. This
perspectivism thus does not exclude the possibility of any sort of knowledge
deserving of the name, but rather indicates how it is to be conceived and
achieved. His kind of philosophy, which he characterizes as fröhliche
Wissenschaft cheerful science, proceeds by way of a variety of such
“perspectival” approaches to the various matters with which he deals. Thus for
Nietzsche there is no “truth” in the sense of the correspondence of anything we
might think or say to “being,” and indeed no “true world of being” to which it
may even be imagined to fail to correspond; no “knowledge” conceived in terms
of any such truth and reality; and, further, no knowledge at all even of ourselves and the world of which we
are a part that is absolute,
non-perspectival, and certain. But that is not the end of the matter. There
are, e.g., ways of thinking that may be more or less well warranted in relation
to differing sorts of interest and practice, not only within the context of
social life but also in our dealings with our environing world. Nietzsche’s
reflections on the reconceptualization of truth and knowledge thus point in the
direction of a naturalistic epistemology that he would have replace the
conceptions of truth and knowledge of his predecessors, and fill the nihilistic
void seemingly left by their bankruptcy. There is, moreover, a good deal about
ourselves and our world that he became convinced we can comprehend. Our
comprehension may be restricted to what life and the world show themselves to
be and involve in our experience; but if they are the only kind of reality,
there is no longer any reason to divorce the notions of truth, knowledge, and
value from them. The question then becomes how best to interpret and assess
what we find as we proceed to explore them. It is to these tasks of
interpretation and “revaluation” that Nietzsche devoted his main efforts in his
later writings. In speaking of the death of God, Nietzsche had in mind not only
the abandonment of the Godhypothesis which he considered to be utterly
“unworthy of belief,” owing its invention and appeal entirely to naïveté,
error, all-too-human need, and ulterior motivation, but also the demise of all
metaphysical substitutes for it. He likewise criticized and rejected the
related postulations of substantial “souls” and self-contained “things,” taking
both notions to be ontological fictions merely reflecting our artificial though
convenient linguistic-conceptual shorthand for functionally unitary products,
processes, and sets of relations. In place of this cluster of traditional
ontological categories and interpretations, he conceived the world in terms of
an interplay of forces without any inherent structure or final end. It
ceaselessly organizes and reorganizes itself, as the fundamental disposition he
called will to power gives rise to successive arrays of power relationships.
“This world is the will to power and
nothing besides,” he wrote; “and you yourselves are also this will to
power and nothing besides!” Nietzsche’s
idea of the eternal return or eternal recurrence underscores this conception of
a world without beginning or end, in which things happen repeatedly in the way
they always have. He first introduced this idea as a test of one’s ability to
affirm one’s own life and the general character of life in this world as they
are, without reservation, qualification, or appeal to anything transcending them.
He later entertained the thought that all events might actually recur eternally
in exactly the same sequence, and experimented in his unpublished writings with
arguments to this effect. For the most part, however, he restricted himself to
less problematic uses of the idea that do not presuppose its literal truth in
this radical form. His rhetorical embellishments and experimental elaborations
of the idea may have been intended to make it more vivid and compelling; but he
employed it chiefly to depict his conception of the radically non-linear
character of events in this world and their fundamental homogeneity, and to
provide a way of testing our ability to live with it. If we are sufficiently
strong and well disposed to life to affirm it even on the supposition that it
will only be the same sequence of events repeated eternally, we have what it
takes to endure and flourish in the kind of world in which Nietzsche believed
we find ourselves in the aftermath of disillusionment. Nietzsche construed
human nature and existence naturalistically, in terms of the will to power and
its ramifications in the establishment and expression of the kinds of complex
systems of dynamic quanta in which human beings consist. “The soul is only a
word for something about the body,” he has Zarathustra say; and the body is
fundamentally a configuration of natural forces and processes. At the same
time, he insisted on the importance of social arrangements and interactions in
the development of human forms of awareness and activity. He also emphasized
the possibility of the emergence of exceptional human beings capable of an
independence and creativity elevating them above the level of the general human
rule. So he stressed the difference between “higher men” and “the herd,” and through
Zarathustra proclaimed the Übermensch ‘overman’ or ‘superman’ to be “the
meaning of the earth,” employing this image to convey the ideal of the
overcoming of the “all-too-human” and the fullest possible creative
“enhancement of life.” Far from seeking to diminish our humanity by stressing
our animality, he sought to direct our efforts to the emergence of a “higher
humanity” capable of endowing existence with a human redemption and
justification, above all through the enrichment of cultural life. Notwithstanding
his frequent characterization as a nihilist, therefore, Nietzsche in fact
sought to counter and overcome the nihilism he expected to prevail in the
aftermath of the collapse and abandonment of traditional religious and
metaphysical modes of interpretation and evaluation. While he was highly
critical of the latter, it was not his intention merely to oppose them; for he
further attempted to make out the possibility of forms of truth and knowledge
to which philosophical interpreters of life and the world might aspire, and
espoused a “Dionysian value-standard” in place of all non-naturalistic modes of
valuation. In keeping with his interpretation of life and the world in terms of
his conception of will to power, Nietzsche framed this standard in terms of his
interpretation of them. The only tenable alternative to nihilism must be based
upon a recognition and affirmation of the world’s fundamental character. This
meant positing as a general standard of value the attainment of a kind of life
in which the will to power as the creative transformation of existence is
raised to its highest possible intensity and qualitative expression. This in
turn led him to take the “enhancement of life” and creativity to be the guiding
ideas of his revaluation of values and development of a naturalistic value
theory. This way of thinking carried over into Nietzsche’s thinking about
morality. Insisting that moralities as well as other traditional modes of
valuation ought to be assessed “in the perspective of life,” he argued that
most of them were contrary to the enhancement of life, reflecting the
all-too-human needs and weaknesses and fears of less favored human groups and
types. Distinguishing between “master” and “slave” moralities, he found the
latter to have become the dominant type of morality in the modern world. He
regarded present-day morality as a “herd-animal morality,” well suited to the
requirements and vulnerabilities of the mediocre who are the human rule, but
stultifying and detrimental to the development of potential exceptions to that
rule. Accordingly, he drew attention to the origins and functions of this type
of morality as a social-control mechanism and device by which the weak defend
and avenge and assert themselves against the actually or potentially stronger.
He further suggested the desirability of a “higher morality” for the
exceptions, in which the contrast of the basic “slave/herd morality” categories
of “good and evil” would be replaced by categories more akin to the “good and
bad” contrast characteristic of “master morality,” with a revised and variable
content better attuned to the conditions and attainable qualities of the
enhanced forms of life such exceptional human beings can achieve. The strongly
creative flavor of Nietzsche’s notions of such a “higher humanity” and
associated “higher morality” reflects his linkage of both to his conception of
art, to which he attached great importance. Art, for Nietzsche, is
fundamentally creative rather than cognitive, serving to prepare for the
emergence of a sensi 616 bility and
manner of life reflecting the highest potentiality of human beings. Art, as the
creative transformation of the world as we find it and of ourselves thereby on
a small scale and in particular media, affords a glimpse of a kind of life that
would be lived more fully in this manner, and constitutes a step toward
emergence. In this way, Nietzsche’s mature thought thus expands upon the idea
of the basic connection between art and the justification of life that was his
general theme in his first major work, The Birth of Tragedy. H. P. Grice, “The
mock turtle: Greek and Latin.”
nihil est in intellectu quod
non prius fuerit in sensu: a principal tenet of empiricism. A weak
interpretation of the principle maintains that all concepts are acquired from
sensory experience; no concepts are innate or a priori. A stronger
interpretation adds that all propositional knowledge is derived from sense
experience. The weak interpretation was held by Aquinas and Locke, who thought
nevertheless that we can know some propositions to be true in virtue of the
relations between the concepts involved. The stronger interpretation was
endorsed by J. S. Mill, who argued that even the truths of mathematics are inductively
based on experience, as Grice tutored R. Wollheim for his PPE at Oxford: “How
did you find that out?” “Multiplication.” “That proves Mill wrong.”
Nihil ex nihilo fit –
Grice: “an intuitive metaphysical principle first enunciated by Parmenides,
often held equivalent to the proposition that nothing arises without a cause.
Creation ex nihilo is God’s production of the world without any natural or
material cause, but involves a supernatural cause, and so it would not violate
the principle.
noetic – the opposite of
the favourite Griceian sub-disipline in philosophy, aesthetics -- from Grecian
noetikos, from noetos, ‘perceiving’, of or relating to apprehension by the
intellect. In a strict sense the term refers to nonsensuous data given to the
cognitive faculty, which discloses their intelligible meaning as distinguished
from their sensible apprehension. We hear a sentence spoken, but it becomes
intelligible for us only when the sounds function as a foundation for noetic
apprehension. For Plato, the objects of such apprehension noetá are the Forms
eide with respect to which the sensible phenomena are only occasions of
manifestation: the Forms in themselves transcend the sensible and have their
being in a realm apart. For empiricist thinkers, e.g., Locke, there is strictly
speaking no distinct noetic aspect, since “ideas” are only faint sense
impressions. In a looser sense, however, one may speak of ideas as independent
of reference to particular sense impressions, i.e. independent of their origin,
and then an idea can be taken to signify a class of objects. Husserl uses the
term to describe the intentionality or dyadic character of consciousness in
general, i.e. including both eidetic or categorial and perceptual knowing. He
speaks of the correlation of noesis or intending and noema or the intended
object of awareness. The categorial or eidetic is the perceptual object as
intellectually cognized; it is not a realm apart, but rather what is disclosed
or made present “constituted” Nihil est in intellectu quod non prius fuerit in
sensu noetic 617 617 when the mode of
appearance of the perceptual object is intended by a categorial noesis.
non-Euclidean geometry:
-- H. P. Grice, “Non-Euclidean implicatura of space” – “Non-Euclidean
geometrical implicatura – None-euclidean geometry refers to any axiomatized
version of geometry in which Euclides’s parallel axiom is rejected, after so
many unsuccessful attempts to prove it. As in so many branches of mathematics, Gauss
had thought out much of the matter first, but he kept most of his ideas to
himself. As a result, credit is given to Bolyai and Lobachevsky. Instead of
assuming that just one line passes through a point in a plane parallel to a
non-coincident co-planar line, Bolyai and Loachevsky offer a geometry in which
a line admits more than one parallel, and the sum of the “angles” between the
“sides” of a “triangle” lies below 180°. Then Riemann conceived of a geometry
in which lines always meet so no parallels, and the sum of the “angles” exceeds
180°. In this connection Riemann distinguishes between the unboundedness of
space as a property of its extent, and the special case of the infinite measure
over which distance might be taken which is dependent upon the curvature of
that space. Pursuing the published insight of Gauss, that the curvature of a
surface could be defined in terms only of properties dependent solely on the
surface itself and later called “intrinsic”, Riemann also defines the metric on
a surface in a very general and intrinsic way, in terms of the differential arc
length. Thereby he clarified the ideas of “distance” that his non-Euclidean
precursors had introduced drawing on trigonometric and hyperbolic functions;
arc length was now understood geodesically as the shortest “distance” between
two “points” on a surface, and was specified independent of any assumptions of
a geometry within which the surface was embedded. Further properties, such as
that pertaining to the “volume” of a three-“dimensional” solid, were also
studied. The two main types of non-Euclidean geometry, and its Euclidean
parent, may be summarized as follows: Reaction to these geometries was slow to
develop, but their impact gradually emerged. As mathematics, their legitimacy
was doubted; but Beltrami produced a model of a Bolyai-type two-dimensional
space inside a planar circle. The importance of this model was to show that the
consistency of this geometry depended upon that of the Euclidean version,
thereby dispelling the fear that it was an inconsistent flash of the
imagination. During the last thirty years of the nineteenth century a variety
of variant geometries were proposed, and the relationships between them were
studied, together with consequences for projective geometry. On the empirical
side, these geometries, and especially Riemann’s approach, affected the
understanding of the relationship between geometry and space; in particular, it
posed the question whether space is curved or not the later being the Euclidean
answer. The geometries thus played a role in the emergence and articulation of
relativity theory, especially the differential geometry and tensorial calculus
within which its mathematical properties could be expressed. Philosophically
the new geometries stressed the hypothetical nature of axiomatizing, in
contrast to the customary view of mathematical theories as true in some usually
unclear sense. This feature led to the name ‘meta-geometry’ for them. It was
intended as an ironical proposal of opponents to be in line with the
hypothetical character of meta-physics (and meta-ethics) in philosophy. They
also helped to encourage conventionalist philosophy of science with Poincaré,
e.g., and put fresh light on the age-old question of the impossibility of a
priori knowledge.
non-monotonic
logic:
a logic that fails to be monotonic, i.e., in proof-theoretic terms, fails to
meet the condition that for all statements u1, . . . un, if f,y, if ‘u1, . . .
un Yf’, for any y, ‘u1 , . . . un, y Y f’. Equivalently, let Γ represent a
collection of statements, u1 . . . un, and say that in a monotonic system, such
as system G (after Grice), if ‘Γ Y f’, for any y, ‘Γ, y Y f’ and similarly in
other cases. A non-monotonic system is any system with the following property:
For some Γ, f, and y, ‘ΓNML f’ but ‘Γ, y K!NML f’. This is a weak non-monotonic
system G-w-n-m. In a strong non-monotonic system – G-s-n-m, we might have,
again for some Γ, f, y, where Γ is consistent and Γ 8 f is consistent: ‘Γ, y
YNML > f’. A primary motivation for Grice for a non-monotonic system or defeasible
reasoning, which is so evident in conversational reasoning, is to produce a representation
for default (ceteris paribus) reasoning or defeasible reasoning. Grice’s interest
in defeasible (or ceteris paribus) reasoning – for conversational implicatura
-- readily spreads to epistemology, logic, and meta-ethics. The exigencies of this
or that practical affair requires leaping to conclusions, going beyond
available evidence, making assumptions. In doing so, Grice often errs and must
leap back from his conclusion, undo his assumption, revise his belief. In Grice’s
standard example, “Tweety is a bird and all birds fly, except penguins and
ostriches. Does Tweety fly?” If pressed, Grice needs to form a belief about
this matter. Upon discovering that Tweety is a penguin, Grice may have to re-tract
his conclusion. Any representation of defeasible (or ceteris paribus) reasoning
must capture the non-monotonicity of this reasoning. A non-monotonic system
G-s-n-m is an attempt to do this by adding this or that rule of inference that
does not preserve monotonicity. Although a practical affair may require Grice
to reason “defeasibly” – an adverb Grice borrowed from Hart -- the best way to
achieve non-monotonicity may not be to add this or that non-monotonic rule of
inference to System G. What one gives up in such system may well not be worth
the cost: loss of the deduction theorem and of a coherent notion of
consistency. Therefore, Grice’s challenge for a non-monotonic system and for defeasible
reasoning, generally is to develop a rigorous way to re-present the structure
of non-monotonic reasoning without losing or abandoning this or that historically
hard-won propertiy of a monotonic system. Refs.: G. P. Baker, “Meaning and
defeasibility,” in festschrift for H. L. A. Hart; R. Hall, “Excluders;” H. P.
Grice, “Ceteris paribus and defeasibility.”
Nonviolence:
H. P. Grice joined the Royal Navy in 1941 – and served till 1945, earning the
degree of captain. He was involved in the North-Atlantic theatre and later at
the Admiralty. Non-violence is the renunciation of violence in personal,
social, or international affairs. It often includes a commitment called active
nonviolence or nonviolent direct action actively to oppose violence and usually
evil or injustice as well by nonviolent means. Nonviolence may renounce
physical violence alone or both physical and psychological violence. It may
represent a purely personal commitment or be intended to be normative for
others as well. When unconditional
absolute 619 norm normative
relativism 620 nonviolence it renounces
violence in all actual and hypothetical circumstances. When conditional conditional nonviolence it concedes the justifiability of violence in
hypothetical circumstances but denies it in practice. Held on moral grounds
principled nonviolence, the commitment belongs to an ethics of conduct or an
ethics of virtue. If the former, it will likely be expressed as a moral rule or
principle e.g., One ought always to act nonviolently to guide action. If the latter,
it will urge cultivating the traits and dispositions of a nonviolent character
which presumably then will be expressed in nonviolent action. As a principle,
nonviolence may be considered either basic or derivative. Either way, its
justification will be either utilitarian or deontological. Held on non-moral
grounds pragmatic nonviolence, nonviolence is a means to specific social,
political, economic, or other ends, themselves held on non-moral grounds. Its
justification lies in its effectiveness for these limited purposes rather than
as a way of life or a guide to conduct in general. An alternative source of
power, it may then be used in the service of evil as well as good. Nonviolent
social action, whether of a principled or pragmatic sort, may include
noncooperation, mass demonstrations, marches, strikes, boycotts, and civil
disobedience techniques explored
extensively in the writings of Gene Sharp. Undertaken in defense of an entire
nation or state, nonviolence provides an alternative to war. It seeks to deny
an invading or occupying force the capacity to attain its objectives by
withholding the cooperation of the populace needed for effective rule and by
nonviolent direct action, including civil disobedience. It may also be used
against oppressive domestic rule or on behalf of social justice. Gandhi’s
campaign against British rule in India, Scandinavian resistance to Nazi
occupation during World War II, and Martin Luther King, Jr.’s actions on behalf
of civil rights in the United States are illustrative. Nonviolence has origins
in Far Eastern thought, particularly Taoism and Jainism. It has strands in the
Jewish Talmud, and many find it implied by the New Testament’s Sermon on the
Mount. Refs.: H. P. Grice, “My Royal Navy days: memoirs of a captain.”
normal
form:
a formula equivalent to a given logical formula, but having special properties.
The main varieties follow. Conjunctive normal form. If D1 . . . Dn are
disjunctions of sentential variables or their negations, such as p 7 -q 7 r,
then a formula F is in conjunctive normal form provided F % D1 & D2 & .
. & Dn. The following are in conjunctive normal form: -p 7 q; p 7 q 7 r
& -p 7 -q 7 -r & -q 7 r. Every formula of sentential logic has an
equivalent conjunctive normal form; this fact can be used to prove the
completeness of sentential logic. Disjunctive normal form. If C1 . . . Cn are
conjunctions of sentential variables or their negations, such as p & -q
& -r, then a formula F is in disjunctive normal form provided F % C1 7 C27
. . Cn. The following are thus in disjunctive normal form: p & -q 7 -p
& q; p & q & -r 7 -p & -q & -r. Every formula of sentential
logic has an equivalent disjunctive normal form. Prenex normal form. A formula
of predicate logic is in prenex normal form if 1 all quantifiers occur at the
beginning of the formula, 2 the scope of the quantifiers extends to the end of
the formula, and 3 what follows the quantifiers contains at least one
occurrence of every variable that appears in the set of quantifiers. Thus,
DxDyFx / Gy and xDyzFxy 7 Gyz / Dxyz are in prenex normal form. The formula may
contain free variables; thus, Dxy Fxyz / Gwyx is also in prenex normal form.
The following, however, are not in prenex normal form: xDy Fx / Gx; xy Fxy /
Gxy. Every formula of predicate logic has an equivalent formula in prenex
normal form. Skolem normal form. A formula F in predicate logic is in Skolem
normal form provided 1 F is in prenex normal form, 2 every existential
quantifier precedes any universal quantifier, 3 F contains at least one existential
quantifier, and 4 F contains no free variables. Thus, DxDy zFxy / Gyz and
DxDyDzwFxy 7 Fyz 7 Fzw are in Skolem normal form; however, Dx y Fxyz and x y
Fxy 7 Gyx are not. Any formula has an equivalent Skolem normal form; this has
implications for the completeness of predicate logic.
notum: Grice was slightly obsessed with “know,” Latin
‘notum – nosco’ -- nosco , nōvi, nōtum, 3 (old form,
GNOSCO, GNOVI, GNOTVM, acc. to Prisc. p. 569 P.; I.inf. pass. GNOSCIER, S. C.
de Bacch.; cf. GNOTV, cognitu, Paul. ex Fest. p. 96 Müll.: GNOT (contr. for
gnovit) οἶδεν, ἐπιγινώσκει; GNOTV, γνῶσιν, διάγνωσιν, Gloss. Labb.—Contr. forms
in class. Lat. are nosti, noram, norim. nosse; nomus for novimus: nomus ambo
Ulixem, Enn. ap. Diom. p. 382 P., or Trag. v. 199 Vahl.), v. a. for gnosco,
from the root gno; Gr. γιγνώσκω, to begin to know, to get a knowledge of,
become acquainted with, come to know a thing (syn.: scio, calleo). I. Lit. 1.
(α). Tempp. praes.: “cum igitur, nosce te, dicit, hoc dicit, nosce animum
tuum,” Cic. Tusc. 1, 22, 52: Me. Sauream non novi. Li. At nosce sane, Plaut.
As. 2, 4, 58; cf.: Ch. Nosce signum. Ni. Novi, id. Bacch. 4, 6, 19; id. Poen.
4, 2, 71: “(Juppiter) nos per gentes alium alia disparat, Hominum qui facta,
mores, pietatem et fidem noscamus,” id. Rud. prol. 12; id. Stich. 1, 1, 4: “id
esse verum, cuivis facile est noscere,” Ter. Ad. 5, 4, 8: “ut noscere possis
quidque,” Lucr. 1, 190; 2, 832; 3, 124; 418; 588; Cic. Rep. 1, 41, 64: deus
ille, quem mente noscimus, id. N. D. 1, 14, 37.—Pass.: “EAM (tabulam) FIGIER
IOVBEATIS, VBEI FACILVMED GNOSCIER POTISIT, S. C. de Bacch.: forma in tenebris
nosci non quita est, Ter Hec. 4, 1, 57 sq.: omnes philosophiae partes tum
facile noscuntur, cum, etc.,” Cic. N. D. 1, 4, 9: philosophiae praecepta
noscenda, id. Fragm. ap. Lact. 3, 14: “nullique videnda, Voce tamen noscar,”
Ov. M. 14, 153: “nec noscitur ulli,” by any one, id. Tr. 1, 5, 29: “noscere
provinciam, nosci exercitui,” by the army, Tac. Agr. 5.— (β). Temppperf., to
have become acquainted with, to have learned, to know: “si me novisti minus,”
Plaut. Aul. 4, 10, 47: “Cylindrus ego sum, non nosti nomen meum?” id. Men. 2,
2, 20: “novi rem omnem,” Ter. And. 4, 4, 50: “qui non leges, non instituta ...
non jura noritis,” Cic. Pis. 13, 30: “plerique neque in rebus humanis quidquam
bonum norunt, nisi, etc.,” id. Lael. 21, 79: “quam (virtutem) tu ne de facie
quidem nosti,” id. Pis. 32, 81; id. Fin. 2, 22, 71: “si ego hos bene novi,” if
I know them well, id. Rosc. Am. 20 fin.: si Caesarem bene novi, Balb. ap. Cic.
Att. 9, 7, B, 2: “Lepidum pulchre noram,” Cic. Fam. 10, 23, 1: “si tuos digitos
novi,” id. Att. 5, 21, 13: “res gestas de libris novisse,” to have learned from
books, Lact. 5, 19, 15: “nosse Graece, etc. (late Lat. for scire),” Aug. Serm.
45, 5; 167, 40 al.: “ut ibi esses, ubi nec Pelopidarum—nosti cetera,” Cic. Fam.
7, 28, 2; Plin. Ep. 3, 9, 11.— 2. To examine, consider: “ad res suas
noscendas,” Liv. 10, 20: “imaginem,” Plaut. Ps. 4, 2, 29.—So esp., to take
cognizance of as a judge: “quae olim a praetoribus noscebantur,” Tac. A. 12,
60.— II. Transf., in the tempp. praes. A. In gen., to know, recognize (rare;
perh. not in Cic.): hau nosco tuom, I know your (character, etc.), i. e. I know
you no longer, Plaut. Trin. 2, 4, 44: “nosce imaginem,” id. Ps. 4, 2, 29; id.
Bacch. 4, 6, 19: “potesne ex his ut proprium quid noscere?” Hor. S. 2, 7, 89;
Tac. H. 1, 90.— B. In partic., to acknowledge, allow, admit of a reason or an
excuse (in Cic.): “numquam amatoris meretricem oportet causam noscere, Quin,
etc.,” Plaut. Truc. 2, 1, 18: “illam partem excusationis ... nec nosco, nec
probo,” Cic. Fam. 4, 4, 1; cf.: “quod te excusas: ego vero et tuas causas
nosco, et, etc.,” id. Att. 11, 7, 4: “atque vereor, ne istam causam nemo
noscat,” id. Leg. 1, 4, 11.— III. Transf. in tempp. perf. A. To be acquainted
with, i. e. to practise, possess: “alia vitia non nosse,” Sen. Q. N. 4 praef. §
9.— B. In mal. part., to know (in paronomasia), Plaut. Most. 4, 2, 13; id.
Pers. 1, 3, 51.— IV. (Eccl. Lat.) Of religious knowledge: “non noverant
Dominum,” Vulg. Judic. 2, 12; ib. 2 Thess. 1, 8: “Jesum novi, Paulum scio,” I
acknowledge, ib. Act. 19, 15.—Hence, nōtus , a, um, P. a., known. A. Lit.:
“nisi rem tam notam esse omnibus et tam manifestam videres,” Cic. Verr. 2, 3,
58, 134: “ejusmodi res ita notas, ita testatas, ita manifestas proferam,” id.
ib. 2, 2, 34, § “85: fingi haec putatis, quae patent, quae nota sunt omnibus,
quae tenentur?” id. Mil. 28, 76: “noti atque insignes latrones,” id. Phil. 11,
5, 10: “habere omnes philosophiae notos et tractatos locos,” id. Or. 33, 118:
“facere aliquid alicui notum,” id. Fam. 5, 12, 7: “tua nobilitas hominibus
litteratis est notior, populo obscurior,” id. Mur. 7, 16: “nullus fuit civis
Romanus paulo notior, quin, etc.,” Caes. B. C. 2, 19: “vita P. Sullae vobis
populoque Romano notissima,” Cic. Sull. 26, 72: “nulli nota domus sua,” Juv. 1,
7.— (β). With gen. (poet.): “notus in fratres animi paterni,” Hor. C. 2, 2, 6:
noti operum Telchines. Stat. Th. 2, 274: “notusque fugarum, Vertit terga,” Sil.
17, 148.— (γ). With subj.-clause: “notum est, cur, etc.,” Juv. 2, 58.— (δ).
With inf. (poet.): “Delius, Trojanos notus semper minuisse labores,” Sil. 12,
331.— 2. In partic. a. Subst.: nōti , acquaintances, friends: “de dignitate M.
Caelius notis ac majoribus natu ... respondet,” Cic. Cael. 2, 3: “hi suos notos
hospitesque quaerebant,” Caes. B. C. 1, 74, 5; Hor. S. 1, 1, 85; Verg. Cir.
259.— b. In a bad sense, notorious: “notissimi latronum duces,” Cic. Fam. 10,
14, 1: “integrae Temptator Orion Dianae,” Hor. C. 3, 4, 70; Ov. M. 1, 198:
“Clodia, mulier non solum nobilis sed etiam nota,” Cic. Cael. 13, 31; cf. Cic.
Verr. 1, 6, 15: “moechorum notissimus,” Juv. 6, 42.— B. Transf., act., knowing,
that knows: novi, notis praedicas, to those that know, Plaut. Ps. 4, 2, 39.Chisholm:
r. m. influential philosopher whose
publications spanned the field, including ethics and the history of philosophy.
He is mainly known as an epistemologist, metaphysician, and philosopher of
mind. In early opposition to powerful forms of reductionism, such as
phenomenalism, extensionalism, and physicalism, Chisholm developed an original
philosophy of his own. Educated at Brown and Harvard Ph.D., 2, he spent nearly
his entire career at Brown. He is known chiefly for the following
contributions. a Together with his teacher and later his colleague at Brown, C.
J. Ducasse, he developed and long defended an adverbial account of sensory
experience, set against the sense-datum act-object account then dominant. b
Based on deeply probing analysis of the free will problematic, he defended a
libertarian position, again in opposition to the compatibilism long orthodox in
analytic circles. His libertarianism had, moreover, an unusual account of
agency, based on distinguishing transeunt event causation from immanent agent
causation. c In opposition to the celebrated linguistic turn of linguistic
philosophy, he defended the primacy of intentionality, a defense made famous
not only through important papers, but also through his extensive and
eventually published correspondence with Wilfrid Sellars. d Quick to recognize
the importance and distinctiveness of the de se, he welcomed it as a basis for
much de re thought. e His realist ontology is developed through an intentional
concept of “entailment,” used to define key concepts of his system, and to
provide criteria of identity for occupants of fundamental categories. f In
epistemology, he famously defended forms of foundationalism and internalism,
and offered a delicately argued dissolution of the ancient problem of the criterion.
The principles of Chisholm’s epistemology and metaphysics are not laid down
antecedently as hard-and-fast axioms. Lacking any inviolable antecedent
privilege, they must pass muster in the light of their consequences and by
comparison with whatever else we may find plausible. In this regard he sharply
contrasts with such epistemologists as Popper, with the skepticism of
justification attendant on his deductivism, and Quine, whose stranded
naturalism drives so much of his radical epistemology and metaphysics. By
contrast, Chisholm has no antecedently set epistemic or metaphysical
principles. His philosophical views develop rather dialectically, with
sensitivity to whatever considerations, examples, or counterexamples reflection
may reveal as relevant. This makes for a demanding complexity of elaboration,
relieved, however, by a powerful drive for ontological and conceptual
economy. notum per se Latin, ‘known
through itself’, self-evident. This term corresponds roughly to the term
‘analytic’. In Thomistic theology, there are two ways for a thing to be
self-evident, secundum se in itself and quoad nos to us. The proposition that
God exists is self-evident in itself, because God’s existence is identical with
his essence; but it is not self-evident to us humans, because humans are not
directly acquainted with God’s essence.Aquinas’s Summa theologiae I, q.2,a.1,c.
For Grice, by uttering “Smith knows that p,” the emisor explicitly conveys, via
semantic truth-conditional entailment, that (1) p; (2) Smith believes that p;
(3) if (1), (2); and conversationally implicates, in a defeasible pragmatic
way, explainable by his adherence to the principle of conversational
co-operation, that Smith is guaranteeing that p.”Refs.: H. P. Grice, “The
monosemy of ‘know’,” H. P. Grice, “The implicatura of ‘know;’” H. P. Grice, “’I
know’ and ‘I guarantee’;” H. P. Grice, “Austin’s performatory fallacy on ‘know’
and ‘guarantee.’”
non-conventional. Unfortunately, Grice never came up
with a word or sobriquet for the non-conventional, and kept using the
‘non-conventional.’ Similarly, he never came up with a positive way to refer to
the non-natural, and non-natural it remained. Luckily, we can take it as a
joke. Convention figures TWICE in Grice’s scheme. For his reductive analysis of
communication, he surely can avoid convention by relying on a self-referring
anti-sneaky clause. But when it comes to the ‘taxonomy’ of the ‘shades’ of
implication, he wants the emissor to implicate that p WITHOUT relying on a
convention. If the emissor RELIES on a convention, there are problems for his
analysis. Why? First, at the explicit level, it can be assumed that conventions
will feature (Smith’s dog is ‘by convention’ called ‘Fido”). At the level of
the implied, there are two ways where convention matters in a wrong way. “My
neighbour’s three-year-old is an adult” FLOUTS a convention – or meaning
postulate. And it corresponds to the entailment. But finally, there is a third
realm of the conventional. For particles like “therefore,” or ‘but.’ “But” Grice
does not care much about, but ‘therefore’ he does. He wants to say that
‘therefore’ is mainly emphatic.The emissor implies a passage from premise to
conclusion. And that implication relies on a convention YET it is not part of
the entailment. So basically, it is an otiose addition. Why would rational
conversationalists rely on them? The rationale for this is that Grice wants to
provide a GENERAL theory of communication that will defeat Austin’s
convention-tied ritualistic view of language. So Grice needs his crucial
philosophical refutations NOT to rely on convention. What relies on convention
cannot be cancellable. What doesn’t can. I an item relies on convention it has
not really redeemed from that part of the communicative act that can not be
explained rationally by argument. There is no way to calculate a conventional
item. It is just a given. And Grice is interested in providing a rationale. His
whole campaign relates to this idea that Austin has rushed, having detected a
nuance in a linguistic phenomenon, to explain it away, without having explored
in detail what kind of nuance it is. For Grice it is NOT a conventional nuance
– it’s a sous-entendu of conversation (as Mill has it), an unnecessary
implication (as Russell has it). Why did Grice chose ‘convention’? The
influence of Lewis seems minor, because he touches on the topic in “Causal
Theory,” before Lewis. The word ‘convention’ does NOT occur in “Causal Theory,”
though. But there are phrasings to that effect. Notably, let us consider his
commentary in the reprint, when he omits the excursus. He says that he presents
FOUR cases: a particularized conversational (‘beautiful handwriting’), a
generalised conversational (“in the kitchen or in the bedroom”), a ‘conventional
implicaturum’ (“She was poor but she was honest”) and a presupposition (“You
have not ceased to eat iron”). So the obvious target for exploration is the
third, where Grice has the rubric ‘convention,’ as per ‘conventional.’ So his
expansion on the ‘but’ example (what Frege has as ‘colouring’ of “aber”) is
interesting to revise. “plied is that Smith has been bcating his
wifc. (2) " She was poor but she was honcst ", whele what is implied
is (vcry roughly) that there is some contrast between poverty and honesty, or
between her poverty and her honesty. The first cxample is a stock case of what
is sometimes called " prcsupposition " and it is often held that here
1he truth of what is irnplicd is a necessary condition of the original
statement's beirrg cither true or false. This might be disputed, but it is at
lcast arguable that it is so, and its being arguable might be enough to
distinguish-this type of case from others. I shall however for convenience
assume that the common view mentioned is correct. This consideration clearly
distinguishes (1) from (2); even if the implied proposition were false, i.e. if
there were no reason in the world to contrast poverty with honesty either in
general or in her case, the original statement could still be false; it would
be false if for example she were rich and dishonest. One might perhaps be less
comfortable about assenting to its truth if the implied contrast did not in
fact obtain; but the possibility of falsity is enough for the immediate
purpose. My next experiment on these examples is to ask what it is in each case
which could properly be said to be the vehicle of implication (to do the
implying). There are at least four candidates, not necessarily mutually
exclusive. Supposing someone to have uttered one or other of my sample
sentences, we may ask whether the vehicle of implication would be (a) what the
speaker said (or asserted), or (b) the speaker (" did he imply that . . .
.':) or (c) the words the speaker used, or (d) his saying that (or again his
saying that in that way); or possibly some plurality of these items. As regards
(a) I think (1) and (2) differ; I think it would be correct to say in the case
of (l) that what he speaker said (or asserted) implied that Smith had been
beating this wife, and incorrect to say in the case of (2) that what te said
(or asserted) implied that there was a contrast between e.g., honesty and
poverty. A test on which I would rely is the following : if accepting that the
implication holds involves one in r27 128 H. P. GRICE accepting an
hypothetical' if p then q ' where 'p ' represents the original statement and '
q' represents what is implied, then what the speaker said (or asserted) is a
vehicle of implication, otherwise not. To apply this rule to the given
examples, if I accepted the implication alleged to hold in the case of (1), I
should feel compelled to accept the hypothetical " If Smith has left off
beating his wife, then he has been beating her "; whereas if I accepted
the alleged implication in the case of (2), I should not feel compelled to
accept the hypothetical " If she was poor but honest, then there is some
contrast between poverty and honesty, or between her poverty and her
honesty." The other candidates can be dealt with more cursorily; I should
be inclined to say with regard to both (l) and (2) that the speaker could be
said to have implied whatever it is that is irnplied; that in the case of (2)
it seems fairly clear that the speaker's words could be said to imply a
contrast, whereas it is much less clear whether in the case of (1) the
speaker's words could be said to imply that Smith had been beating his wife;
and that in neither case would it be evidently appropriate to speak of his
saying that, or of his saying that in that way, as implying what is implied.
The third idea with which I wish to assail my two examples is really a twin
idea, that of the detachability or cancellability of the implication. (These
terms will be explained.) Consider example (1): one cannot fi.nd a form of
words which could be used to state or assert just what the sentence "
Smith has left off beating his wife " might be used to assert such that
when it is used the implication that Smith has been beating his wife is just
absent. Any way of asserting what is asserted in (1) involves the irnplication
in question. I shall express this fact by saying that in the case of (l) the
implication is not detqchable from what is asserted (or simpliciter, is not
detachable). Furthermore, one cannot take a form of words for which both what
is asserted and what is implied is the same as for (l), and then add a further
clause withholding commitment from what would otherwise be implied, with the
idea of annulling the implication without annulling the assertion. One cannot
intelligibly say " Smith has left off beating his wife but I do not mean
to imply that he has been beating her." I shall express this fact by
saying that in the case of (1) the implication is not cancellable (without THE
CAUSAL THEORY OF PERCEPTION r29 cancelling the assertion). If we turn to (2) we
find, I think, that there is quite a strong case for saying that here the
implication ls detachable. Thcrc sccms quitc a good case for maintaining that
if, instead of sayirrg " She is poor but shc is honcst " I were to
say " She is poor and slre is honcst", I would assert just what I
would havc asscrtcct ii I had used thc original senterrce; but there would now
be no irnplication of a contrast between e.g', povery and honesty. But the
question whether, in tl-re case of (2), thc inrplication is cancellable, is
slightly more cornplex. Thcrc is a sonse in which we may say that it is
non-cancellable; if sorncone were to say " She is poor but she is honest,
though of course I do not mean to imply that there is any contrast between
poverty and honesty ", this would seem a puzzling and eccentric thing to
have said; but though we should wish to quarrel with the speaker, I do not
think we should go so far as to say that his utterance was unintelligible; we
should suppose that he had adopted a most peculiar way of conveying the the
news that she was poor and honesl. The fourth and last test that I wish to
impose on my exarnples is to ask whether we would be inclined to regard the
fact that the appropriate implication is present as being a matter of the
meaning of some particular word or phrase occurring in the sentences in
question. I am aware that this may not be always a very clear or easy question
to answer; nevertheless Iwill risk the assertion that we would be fairly happy
to say that, as regards (2), the factthat the implication obtains is a matter
of the meaning of the word ' but '; whereas so far as (l) is concerned we
should have at least some inclination to say that the presence of the
implication was a matter of the meaning of some of the words in the sentence,
but we should be in some difficulty when it came to specifying precisely which
this word, or words are, of which this is true.” Since the actual wording
‘convention’ does not occur it may do to revise how he words ‘convention’ in
Essay 2 of WoW. So here is the way he words it in Essay II.“In some cases the
CONVENTIONAL meaning of the WORDS used will DETERMINE what is impliccated,
besides helping to determine what is said.” Where ‘determine’ is the key word.
It’s not “REASON,” conversational reason that determines it. “If I say
(smugly), ‘He is an Englishman; he is, therefore, brave,’ I have certainly
COMMITTED myself, by virtue of the meaning of my words, to its being the case
that his being brave is a consequence of (follows from) his being an Englishman.
But, while I have said that [or explicitly conveyed THAT] he is an Englishman,
and [I also have] said that [or explicitly conveyed that] he is brave, I do not
want to say [if I may play with what people conventionally understand by
‘convention’] that I have said [or explicitly conveyed] (in the favoured sense)
that [or explicitly conveyed that] it follows from his being an Englishman that
he is brave, though I have certainly INDICATED, and so implicated, that this is
so.” The rationale as to why the label is ‘convention’ comes next. “I do not
want to say that my utterance of this sentence would be, strictly speaking,
FALSE should the consequence in question fail to hold. So some implicaturums
are conventional, unlike the one with which I introduce this discussion of implicaturum.”Grice’s
observation or suggestion then or advise then, in terms of nomenclature. His
utterance WOULD be FALSE if the MEANING of ‘therefore’ were carried as an
ENTAILMENT (rather than emphatic truth-value irrelevant rhetorical emphasis).
He expands on this in The John Lecture, where Jill is challenged. “What do you
mean, “Jack is an Englishman; he is, therefore, brave”?” What is being
challenged is the validity of the consequence. ‘Therefore’ is vague enough NOT
to specify what type of consequence is meant. So, should someone challenge the
consequence, Jill would still be regarded by Grice as having uttered a TRUE
utterance. The metabolism here is complex since it involves assignment of
‘meaning’ to this or that expression (in this case ‘therefore’). In Essay VI he
is perhaps more systematic.The wider programme just mentioned arises out of a
distinction which, for purposes which I need not here specify, I wish to make
within the total signification of a remark: a distinction between what the
speaker has said (in a certain favoured, and maybe in some degree artificial,
sense of 'said'), and what he has 'implicated' (e.g. implied, indicated,
suggested, etc.), taking into account the fact that what he has implicated may
be either conventionally implicated (implicated by virtue of the meaning of
some word or phrase which he has used) or non-conventionally implicated (in
which case the specification of the implicaturum falls [TOTALLY] outside [AND
INDEPENDENTLY, i. e. as NOT DETERMINED BY] the specification of the
conventional meaning of the words used [Think ‘beautiful handwriting,’ think
‘In the kitchen or in the bedroom’). He is clearest in Essay 6 – where he adds
‘=p’ in the symbolization.UTTERER'S MEANING, SENTENCE-MEANING, AND
WORD-MEANINGMy present aim is to throw light on the connection between (a) a
notion of ‘meaning’ which I want to regard as basic, viz. that notion which is
involved in saying of someone that ‘by’ (when) doing SUCH-AND-SUCH he means
THAT SO-AND-SO (in what I have called a non-natural use of 'means'), and (b)
the notions of meaning involved in saying First, that a given sentence means
'so-and-so' Second, that a given word or phrase means 'so-and-so'. What I have
to say on these topics should be looked upon as an attempt to provide a sketch
of what might, I hope, prove to be a viable theory, rather than as an attempt
to provide any part of a finally acceptable theory. The account which I shall
otTer of the (for me) basic notion of meaning is one which I shall not seek now to defend.I should like its
approximate correctness to be assumed, so that attention may be focused on its
utility, if correct, in the explication of other and (I hope) derivative
notions of meaning. This enterprise forms part of a wider programme which I
shall in a moment delineate, though its later stages lie beyond the limits
which I have set for this paper. The wider programme just mentioned arises out
of a distinction which, for purposes which I need not here specify, I wish to
make within the total signification of a remark: a distinction between what the
speaker has said (in a certain favoured, and maybe in some degree artificial,
sense of 'said'), and what he has 'implicated' (e.g. implied, indicated,
suggested, etc.), taking into account the fact that what he has implicated may
be either conventionally implicated (implicated by virtue of the meaning of
some word or phrase which he has used) or non-conventionally implicated (in
which case the specification of the implicaturum falls [TOTALLY] outside [AND
INDEPENDENTLY, i. e. as NOT DETERMINED BY] the specification of the
conventional meaning of the words used [Think ‘beautiful handwriting,’ think
‘In the kitchen or in the bedroom’). The programme is directed towards an
explication of the favoured SENSE of 'say' and a clarification of its relation
to the notion of conventional meaning. The stages of the programme are as
folIows: First, To distinguish between locutions of the form 'U (utterer) meant
that .. .' (locutions which specify what rnight be called 'occasion-meaning')
and locutions of the From Foundalions oJ Language. 4 (1968), pp. 1-18.
Reprinted by permission of the author and the editor of Foundations oJ
Language. I I hope that material in this paper, revised and re·arranged, will
form part of a book to be published by the Harvard University Press. form 'X (utterance-type) means H ••• "'.
In locutions of the first type, meaning is specified without the use of
quotation-marks, whereas in locutions of the second type the meaning of a
sentence, word or phrase is specified with the aid of quotation marks. This
difference is semantically important. Second, To attempt to provide a definiens
for statements of occasion-meaning; more precisely, to provide a definiens for
'By (when) uttering x, U meant that *p'. Some explanatory comments are needed
here. First, I use the term 'utter' (together with 'utterance') in an
artificially wide sense, to cover any case of doing x or producing x by the
performance of which U meant that so-and-so. The performance in question need
not be a linguistic or even a conventionalized performance. A specificatory
replacement of the dummy 'x' will in some cases be a characterization of a
deed, in others a characterization of a product (e.g. asound). (b) '*' is a
dummy mood-indicator, distinct from specific mood-indicators like 'I-'
(indicative or assertive) or '!' (imperative). More precisely, one may think of
the schema 'Jones meant that *p' as yielding a full English sentence after two
transformation al steps: (i) replace '*' by a specific mood-indicator and
replace 'p' by an indicative sentence. One might thus get to 'Jones meant that
I- Smith will go home' or to 'Jones meant that! Smith will go horne'. (ii)
replace the sequence following the word 'that' by an appropriate clause in
indirect speech (in accordance with rules specified in a linguistic theory).
One might thus get to 'Jones meant that Srnith will go horne' 'Jones meant that
Srnith is to go horne'. Third, To attempt to elucidate the notion of the
conventional meaning of an utterance-type; more precisely, to explicate
sentences which make claims of the form 'X (utterance-type) means "*''',
or, in case X is a non-scntcntial utterancctype, claims of the form 'X means H
••• "', where the location is completed by a nonsentential expression.
Again, some explanatory comments are required. First, It will be convenient to
recognize that what I shall call statements of timeless meaning (statements of
the type 'X means " ... "', in which the ~pecification of meaning
involves quotation-marks) may be subdivided into (i) statements of timeless
'idiolect-meaning', e.g. 'For U (in U's idiolect) X means " ... '"
and (ü) statements of timeless 'Ianguage meaning', e.g. 'In L (language) X
means " ... "'. It will be convenient to handle these separately, and
in the order just given. (b) The truth of a statement to the effect that X
means ' .. .' is of course not incompatible with the truth of a further
statement to the effect that X me ans '--", when the two lacunae are quite
differently completed. An utterance-type rriay have more than one conventional
meaning, and any definiens which we offer must allow fOT this fact. 'X means
" ... '" should be understood as 'One of the meanings of X is "
... " '. (IV) In view of the possibility of multiplicity in the timeless
meaning of an utterance-type, we shall need to notice, and to provide an
explication of, what I shall call the applied timeless meaning of an
utterance-type. That is to say, we need a definiens for the schema 'X
(utterance-type) meant here " ... "', a schema the specifications of
which announce the correct reading of X for a given occasion of utterance.
Comments. (a) We must be careful to distinguish the applied timeless meaning of
X (type) with respecf to a particular token x (belonging to X) from the
occasionmeaning of U's utterance of x. The following are not equivalent: (i)
'When U uttered it, the sentence "Palmer gave Nickiaus quite a
beating" meant "Palmer vanquished Nickiaus with some ease"
[rather than, say, "Palmer administered vigorous corporal punishment to
NickIaus."]' (ii) 'When U uttered the sentence "Palmer gave NickIaus
quite a beating" U meant that Palmer vanquished NickIaus with some ease.'
U might have been speaking ironically, in which case he would very likely have meant
that NickIaus vanquished Palmer with some ease. In that case (ii) would c1early
be false; but nevertheless (i) would still have been true. Second, There is
some temptation to take the view that the conjunction of One, 'By uttering X, U
meant that *p' and (Two, 'When uttered by U, X meant "*p'" provides a
definiens for 'In uttering X, U said [OR EXPLICITLY CONVEYED] that *p'. Indeed,
ifwe give consideration only to utterance-types for which there are available
adequate statements of time1ess meaning taking the exemplary form 'X meant
"*p'" (or, in the case of applied time1ess meaning, the form 'X meant
here "*p" '), it may even be possible to uphold the thesis that such
a coincidence of occasion-meaning and applied time1ess meaning is a necessary and
sufficient condition for saying that *p. But a litde refiection should convince
us of the need to recognize the existence of statements of timeless meaning
which instantiate forms other than the cited exemplary form. There are, I
think, at least some sentences whose ‘timeless’ meaning is not adequately
specifiable by a statement of the exemplary form. Consider the sentence 'Bill
is a philosopher and he is, therefore, brave' (S ,). Or Jill:
“Jack is an Englishman; he is, therefore, brave.”It would be appropriate, I think, to make a partial specification of the timeless meaning of S, by saying 'Part of one meaning of S, is "Bill is occupationally engaged in philosophical studies" '. One might, indeed, give a full specifu::ation of timeless meaning for S, by saying 'One meaning of S, inc1udes "Bill is occupationally engaged in philosophie al studies" and "Bill is courageous" and "[The fact] That Bill is courageous follows from his being occupationally engaged in philosophical studies", and that is all that is included'. We might re-express this as 'One meaning of S, comprises "Bill is occupationally engaged (etc)", "Bill is courageous", and "That Bill is eourageous follows (ete .)".'] It will be preferable to speeify the timeless meaning of S I in this way than to do so as folIows: 'One meaning of S I is "Bill is occupationally engaged (etc.) and Bill is courageous and that Bill is eourageous follows (ete.)" '; for this latter formulation at least suggests that SI is synonymous with the conjunctive sentence quoted in the formulation, whieh does not seem to be the case. Since it is true that another meaning of SI inc1udes 'Bill is addicted to general reftections about life' (vice 'Bill is occupationally engaged (etc.)'), one could have occasion to say (truly), with respect to a given utterance by U of SI' 'The meaning of SI HERE comprised "Bill is oecupationally engaged (ete.)", "Bill is eourageous", and "That Bill is courageous follows (ete.)"', or to say 'The meaning of S I HERE included "That Bill is courageous follows (etc.)" '. It could also be true that when U uttered SI he meant (part of what he meant was) that that Bill is eourageous follows (ete.). Now I do not wish to allow that, in my favoured sense of'say', one who utters SI will have said [OR EXPLICITLY CONVEYED ] that Bill's being courageous follows from his being a philosopher, though he may weil have said that Bill is a philosopher and that Bill is courageous. I would wish to maintain that the SEMANTIC FUNCTION of the 'therefore' is to enable a speaker to indicate, though not to say [or explicitly convey], that a certain consequenee holds. Mutatis mutandis, I would adopt the same position with regard to words like 'but' and 'moreover'. In the case of ‘but’ – contrast.In the case of ‘moreover,’ or ‘furthermore,’ the speaker is not explicitly conveying that he is adding; he is implicitly conveying that he is adding, and using the emphatic, colloquial, rhetorical, device. Much favoured by rhetoricians. To start a sentence with “Furthermore” is very common. To start a sentence, or subsentence with, “I say that in addition to the previous, the following also holds, viz.”My primary reason for opting for this partieular sense of'say' is that I expect it to be of greater theoretical utility than some OTHER sense of'say' [such as one held, say, by L. J. Cohen at Oxford] would be. So I shall be committed to the view that applied timeless meaning and occasion=meaning may coincide, that is to say, it may be true both First, that when U uttered X the meaning of X inc1uded '*p' and Second, that part of what U meant when he uttered X was that *p, and yet be false that U has said, among other things, that *p. “I would like to use the expression 'conventionally meant that' in such a way that the fulfilment of the two conditions just mentioned, while insufficient for the truth of 'U said that *p' will be suffieient (and neeessary) for the truth of 'U conventionally meant that *p'.”The above is important because Grice is for the first time allowing the adverb ‘conventionally’ to apply not as he does in Essay I to ‘implicate’ but to ‘mean’ in general – which would INCLUDE what is EXPLICITLY CONVEYED. This will not be as central as he thinks he is here, because his exploration will be on the handwave which surely cannot be specified in terms of that the emissor CONVENTIONALLY MEANS.(V) This distinction between what is said [or explicity conveyed] and what is conventionally meant [or communicated, or conveyed simpliciter] creates the task of specifying the conditions in which what U conventionally means by an utterance is also part of what U said [or explicitly conveyed].I have hopes of being able to discharge this task by proceeding along the following lines.First, To specify conditions which will be satisfied only by a limited range of speech-acts, the members of which will thereby be stamped as specially central or fundamental. “Adding, contrasting, and reasoning” will not. Second, To stipulate that in uttering X [utterance type], U will have said [or explicitly conveyed] that *p, if both First, U has 1stFLOOR-ed that *p, where 1stFloor-ing is a CENTRAL speech-act [not adding, contrasting, or reasoning], and Second, X [the utterance type] embodies some CONVENTIONAL device [such as the mode of the copula] the meaning of which is such that its presence in X [the utterance type] indicates that its utterer is FIRST-FLOOR -ing that *p. Third, To define, for each member Y of the range of central speech-aets, 'U has Y -ed that *p' in terms of occasion-meaning (meaning that ... ) or in terms of some important elements) involved in the already provided definition of occasion-meaning. (VI) The fulfilment of the task just outlined will need to be supplemented by an account of this or that ELEMENT in the CONVENTIONAL MEANING of an utterance (such as one featuring ‘therefore,’ ‘but,’ or ‘moreover’) which is NOT part of what has been said [or explicitly conveyed].This account, at least for an important sub-class of such elements, might take the following shape: First, this or that problematic element is linked with this or that speech-act which is exhibited as posterior to, and such that their performance is dependent upon, some member or disjunction of members of the central, first-floor range; e. g. the meaning of 'moreover' would be linked with the speech-act of adding, the performance of which would require the performance of one or other of the central speech-acts. – [and the meaning of ‘but’ with contrasting, and the meaning of ‘therefore’ with reasoning, or inferring].Second, If SECOND-FLOOR-ing is such a non-central speech-act [such as inferring/reasoning, contrasting, or adding], the dependence of SECOND-FLOOR-ing that *p upon the performance of some central FIRST-FLOOR speech-act [such as stating or ordering] would have to be shown to be of a nature which justifies a RELUCTANCE to treat SECOND-FLOOR-ing (e. g. inferring, contrasting, adding) that *p as a case not merely of saying that *p, but also of saying that = p, or of saying that = *p (where' = p', or ' = *p', is a representation of one or more sentential forms specifically associated with SECOND-FLOOR-ing). Z Third, The notion of SECOND-FLOOR-ing (inferring, contrasting, adding) that *p (where Z-ing is non-central) would be explicated in terms of the nation of meaning that (or in terms of some important elements) in the definition of that notion). When Grice learned that that brilliant Harvardite, D. K. Lewis, was writing a dissertation under Quine on ‘convention’ he almost fainted! When he noticed that Lewis was relying rightly on Schelling and mainly restricting the ‘conventionality’ to the ‘arbitrariness,’ which Grice regarded as synonym with ‘freedom’ (Willkuere, liber arbitrium), he recovered. For Lewis, a two-off predicament occurs when you REPEAT. Grice is not interested. When you repeat, you may rely on some ‘arbitrariness.’ This is usually the EMISSOR’s auctoritas. As when Humptyy Dumpty was brought to Davidson’s attention. “Impenetrability!” “I don’t know what that means.” “Well put, Alice, if that is your name, as you said it was. What I mean by ‘impenetrability’ is that we rather change the topic, plus it’s tea time, and I feel like having some eggs.” Grice refers to this as the ‘idion.’ He reminisces when he was in the bath and designed a full new highway code (“Nobody has yet used it – but the pleasure was in the semiotic design.”). A second reminiscence pertains to his writing a full grammar of “Deutero-Esperanto.” “I loved it – because I had all the power a master needs! I decide what it’s proper!” In the field of the implicatura, Grice uses ‘convention’ casually, mainly to contrast it with HIS field, the non-conventional. One should not attach importance to this. On occasion Grice used Frege’s “Farbung,” just to confuse. The sad story is that Strawson was never convinced by the non-conventional. Being a conventionalist at heart (vide his “Intention and convention in speech acts,”) and revering Austin, Strawson opposes Grice’s idea of the ‘non-conventional.’ Note that in Grice’s general schema for the communicatum, the ‘conventional’ is just ONE MODE OF CORRELATION between the signum and the signatum, or the communicatum and the intentum. The ‘conventional’ can be explained, unlike Lewis, in mere terms of the validatum. Strawson and Wiggins “Cogito; ergo, sum”: What is explicitly conveyed is: “cogito” and “sum”. The conjunction “cogito” and “sum” is not made an ‘invalidatum’ if the implicated consequence relation, emotionally expressed by an ‘alas’-like sort of ejaculation, ‘ergo,’ fails to hold. Strawson and Wiggins give other examples. For some reason, Latin ‘ergo’ becomes the more structured, “therefore,” which is a composite of ‘there’ and ‘fore.’ Then there’s the very Hun, “so,” (as in “so so”). Then there’s the “Sie schoene aber poor,” discussed by Frege --“but,” – and Strawson and Wiggins add a few more that had Grice elaborating on first-floor versus second-floor. Descartes is on the first floor. He states “cogito” and he states “sum.” Then he goes to the second floor, and the screams, “ergo,” or ‘dunc!’” The examples Strawson and Wiggins give are: “although” (which looks like a subordinating dyadic connector but not deemed essential by Gazdar’s 16 ones). Then they give an expression Grice quite explored, “because,” or “for”as Grice prefers (‘since it improves on Stevenson), the ejaculation “alas,” and in its ‘misusage,’ “hopefully.” This is an adverbial that Grice loved: “Probably, it will rains,” “Desirably, there is icecream.” There is a confusing side to this too. “intentions are to be recognized, in the normal case, by virtue of a knowledge of the conventional use of the sentence (indeed my account of "non-conventional implicaturum" depends on this idea).” So here we may disregard the ‘bandaged leg case’ and the idea that there is implicaturum in art, etc. If we take the sobriquet ‘non-conventional’ seriously, one may be led to suggest that the ‘non-conventional’ DEPENDS on the conventional. One distinctive feature – the fifth – of the conversational implicaturum is that it is partly generated as partly depending on the ‘conventional’ “use.” So this is tricky. Grice’s anti-conventionalism -- conventionalism, the philosophical doctrine that logical truth and mathematical truth are created by our choices, not dictated or imposed on us by the world. The doctrine is a more specific version of the linguistic theory of logical and mathematical truth, according to which the statements of logic and mathematics are true because of the way people use language. Of course, any statement owes its truth to some extent to facts about linguistic usage. For example, ‘Snow is white’ is true in English because of the facts that 1 ‘snow’ denotes snow, 2 ‘is white’ is true of white things, and 3 snow is white. What the linguistic theory asserts is that statements of logic and mathematics owe their truth entirely to the way people use language. Extralinguistic facts such as 3 are not relevant to the truth of such statements. Which aspects of linguistic usage produce logical truth and mathematical truth? The conventionalist answer is: certain linguistic conventions. These conventions are said to include rules of inference, axioms, and definitions. The idea that geometrical truth is truth we create by adopting certain conventions received support by the discovery of non-Euclidean geometries. Prior to this discovery, Euclidean geometry had been seen as a paradigm of a priori knowledge. The further discovery that these alternative systems are consistent made Euclidean geometry seem rejectable without violating rationality. Whether we adopt the Euclidean system or a non-Euclidean system seems to be a matter of our choice based on such pragmatic considerations as simplicity and convenience. Moving to number theory, conventionalism received a prima facie setback by the discovery that arithmetic is incomplete if consistent. For let S be an undecidable sentence, i.e., a sentence for which there is neither proof nor disproof. Suppose S is true. In what conventions does its truth consist? Not axioms, rules of inference, and definitions. For if its truth consisted in these items it would be provable. Suppose S is not true. Then its negation must be true. In what conventions does its truth consist? Again, no answer. It appears that if S is true or its negation is true and if neither S nor its negation is provable, then not all arithmetic truth is truth by convention. A response the conventionalist could give is that neither S nor its negation is true if S is undecidable. That is, the conventionalist could claim that arithmetic has truth-value gaps. As to logic, all truths of classical logic are provable and, unlike the case of number theory and geometry, axioms are dispensable. Rules of inference suffice. As with geometry, there are alternatives to classical logic. The intuitionist, e.g., does not accept the rule ‘From not-not-A infer A’. Even detachment ’From A, if A then B, infer B’ is rejected in some multivalued systems of logic. These facts support the conventionalist doctrine that adopting any set of rules of inference is a matter of our choice based on pragmatic considerations. But the anti-conventionalist might respond consider a simple logical truth such as ‘If Tom is tall, then Tom is tall’. Granted that this is provable by rules of inference from the empty set of premises, why does it follow that its truth is not imposed on us by extralinguistic facts about Tom? If Tom is tall the sentence is true because its consequent is true. If Tom is not tall the sentence is true because its antecedent is false. In either case the sentence owes its truth to facts about Tom. -- convention T, a criterion of material adequacy of proposed truth definitions discovered, formally articulated, adopted, and so named by Tarski in connection with his 9 definition of the concept of truth in a formalized language. Convention T is one of the most important of several independent proposals Tarski made concerning philosophically sound and logically precise treatment of the concept of truth. Various of these proposals have been criticized, but convention T has remained virtually unchallenged and is regarded almost as an axiom of analytic philosophy. To say that a proposed definition of an established concept is materially adequate is to say that it is “neither too broad nor too narrow,” i.e., that the concept it characterizes is coextensive with the established concept. Since, as Tarski emphasized, for many formalized languages there are no criteria of truth, it would seem that there can be no general criterion of material adequacy of truth definitions. But Tarski brilliantly finessed this obstacle by discovering a specification that is fulfilled by the established correspondence concept of truth and that has the further property that any two concepts fulfilling it are necessarily coextensive. Basically, convention T requires that to be materially adequate a proposed truth definition must imply all of the infinitely many relevant Tarskian biconditionals; e.g., the sentence ‘Some perfect number is odd’ is true if and only if some perfect number is odd. Loosely speaking, a Tarskian biconditional for English is a sentence obtained from the form ‘The sentence ——— is true if and only if ——’ by filling the right blank with a sentence and filling the left blank with a name of the sentence. Tarski called these biconditionals “equivalences of the form T” and referred to the form as a “scheme.” Later writers also refer to the form as “schema T.”
“Jack is an Englishman; he is, therefore, brave.”It would be appropriate, I think, to make a partial specification of the timeless meaning of S, by saying 'Part of one meaning of S, is "Bill is occupationally engaged in philosophical studies" '. One might, indeed, give a full specifu::ation of timeless meaning for S, by saying 'One meaning of S, inc1udes "Bill is occupationally engaged in philosophie al studies" and "Bill is courageous" and "[The fact] That Bill is courageous follows from his being occupationally engaged in philosophical studies", and that is all that is included'. We might re-express this as 'One meaning of S, comprises "Bill is occupationally engaged (etc)", "Bill is courageous", and "That Bill is eourageous follows (ete .)".'] It will be preferable to speeify the timeless meaning of S I in this way than to do so as folIows: 'One meaning of S I is "Bill is occupationally engaged (etc.) and Bill is courageous and that Bill is eourageous follows (ete.)" '; for this latter formulation at least suggests that SI is synonymous with the conjunctive sentence quoted in the formulation, whieh does not seem to be the case. Since it is true that another meaning of SI inc1udes 'Bill is addicted to general reftections about life' (vice 'Bill is occupationally engaged (etc.)'), one could have occasion to say (truly), with respect to a given utterance by U of SI' 'The meaning of SI HERE comprised "Bill is oecupationally engaged (ete.)", "Bill is eourageous", and "That Bill is courageous follows (ete.)"', or to say 'The meaning of S I HERE included "That Bill is courageous follows (etc.)" '. It could also be true that when U uttered SI he meant (part of what he meant was) that that Bill is eourageous follows (ete.). Now I do not wish to allow that, in my favoured sense of'say', one who utters SI will have said [OR EXPLICITLY CONVEYED ] that Bill's being courageous follows from his being a philosopher, though he may weil have said that Bill is a philosopher and that Bill is courageous. I would wish to maintain that the SEMANTIC FUNCTION of the 'therefore' is to enable a speaker to indicate, though not to say [or explicitly convey], that a certain consequenee holds. Mutatis mutandis, I would adopt the same position with regard to words like 'but' and 'moreover'. In the case of ‘but’ – contrast.In the case of ‘moreover,’ or ‘furthermore,’ the speaker is not explicitly conveying that he is adding; he is implicitly conveying that he is adding, and using the emphatic, colloquial, rhetorical, device. Much favoured by rhetoricians. To start a sentence with “Furthermore” is very common. To start a sentence, or subsentence with, “I say that in addition to the previous, the following also holds, viz.”My primary reason for opting for this partieular sense of'say' is that I expect it to be of greater theoretical utility than some OTHER sense of'say' [such as one held, say, by L. J. Cohen at Oxford] would be. So I shall be committed to the view that applied timeless meaning and occasion=meaning may coincide, that is to say, it may be true both First, that when U uttered X the meaning of X inc1uded '*p' and Second, that part of what U meant when he uttered X was that *p, and yet be false that U has said, among other things, that *p. “I would like to use the expression 'conventionally meant that' in such a way that the fulfilment of the two conditions just mentioned, while insufficient for the truth of 'U said that *p' will be suffieient (and neeessary) for the truth of 'U conventionally meant that *p'.”The above is important because Grice is for the first time allowing the adverb ‘conventionally’ to apply not as he does in Essay I to ‘implicate’ but to ‘mean’ in general – which would INCLUDE what is EXPLICITLY CONVEYED. This will not be as central as he thinks he is here, because his exploration will be on the handwave which surely cannot be specified in terms of that the emissor CONVENTIONALLY MEANS.(V) This distinction between what is said [or explicity conveyed] and what is conventionally meant [or communicated, or conveyed simpliciter] creates the task of specifying the conditions in which what U conventionally means by an utterance is also part of what U said [or explicitly conveyed].I have hopes of being able to discharge this task by proceeding along the following lines.First, To specify conditions which will be satisfied only by a limited range of speech-acts, the members of which will thereby be stamped as specially central or fundamental. “Adding, contrasting, and reasoning” will not. Second, To stipulate that in uttering X [utterance type], U will have said [or explicitly conveyed] that *p, if both First, U has 1stFLOOR-ed that *p, where 1stFloor-ing is a CENTRAL speech-act [not adding, contrasting, or reasoning], and Second, X [the utterance type] embodies some CONVENTIONAL device [such as the mode of the copula] the meaning of which is such that its presence in X [the utterance type] indicates that its utterer is FIRST-FLOOR -ing that *p. Third, To define, for each member Y of the range of central speech-aets, 'U has Y -ed that *p' in terms of occasion-meaning (meaning that ... ) or in terms of some important elements) involved in the already provided definition of occasion-meaning. (VI) The fulfilment of the task just outlined will need to be supplemented by an account of this or that ELEMENT in the CONVENTIONAL MEANING of an utterance (such as one featuring ‘therefore,’ ‘but,’ or ‘moreover’) which is NOT part of what has been said [or explicitly conveyed].This account, at least for an important sub-class of such elements, might take the following shape: First, this or that problematic element is linked with this or that speech-act which is exhibited as posterior to, and such that their performance is dependent upon, some member or disjunction of members of the central, first-floor range; e. g. the meaning of 'moreover' would be linked with the speech-act of adding, the performance of which would require the performance of one or other of the central speech-acts. – [and the meaning of ‘but’ with contrasting, and the meaning of ‘therefore’ with reasoning, or inferring].Second, If SECOND-FLOOR-ing is such a non-central speech-act [such as inferring/reasoning, contrasting, or adding], the dependence of SECOND-FLOOR-ing that *p upon the performance of some central FIRST-FLOOR speech-act [such as stating or ordering] would have to be shown to be of a nature which justifies a RELUCTANCE to treat SECOND-FLOOR-ing (e. g. inferring, contrasting, adding) that *p as a case not merely of saying that *p, but also of saying that = p, or of saying that = *p (where' = p', or ' = *p', is a representation of one or more sentential forms specifically associated with SECOND-FLOOR-ing). Z Third, The notion of SECOND-FLOOR-ing (inferring, contrasting, adding) that *p (where Z-ing is non-central) would be explicated in terms of the nation of meaning that (or in terms of some important elements) in the definition of that notion). When Grice learned that that brilliant Harvardite, D. K. Lewis, was writing a dissertation under Quine on ‘convention’ he almost fainted! When he noticed that Lewis was relying rightly on Schelling and mainly restricting the ‘conventionality’ to the ‘arbitrariness,’ which Grice regarded as synonym with ‘freedom’ (Willkuere, liber arbitrium), he recovered. For Lewis, a two-off predicament occurs when you REPEAT. Grice is not interested. When you repeat, you may rely on some ‘arbitrariness.’ This is usually the EMISSOR’s auctoritas. As when Humptyy Dumpty was brought to Davidson’s attention. “Impenetrability!” “I don’t know what that means.” “Well put, Alice, if that is your name, as you said it was. What I mean by ‘impenetrability’ is that we rather change the topic, plus it’s tea time, and I feel like having some eggs.” Grice refers to this as the ‘idion.’ He reminisces when he was in the bath and designed a full new highway code (“Nobody has yet used it – but the pleasure was in the semiotic design.”). A second reminiscence pertains to his writing a full grammar of “Deutero-Esperanto.” “I loved it – because I had all the power a master needs! I decide what it’s proper!” In the field of the implicatura, Grice uses ‘convention’ casually, mainly to contrast it with HIS field, the non-conventional. One should not attach importance to this. On occasion Grice used Frege’s “Farbung,” just to confuse. The sad story is that Strawson was never convinced by the non-conventional. Being a conventionalist at heart (vide his “Intention and convention in speech acts,”) and revering Austin, Strawson opposes Grice’s idea of the ‘non-conventional.’ Note that in Grice’s general schema for the communicatum, the ‘conventional’ is just ONE MODE OF CORRELATION between the signum and the signatum, or the communicatum and the intentum. The ‘conventional’ can be explained, unlike Lewis, in mere terms of the validatum. Strawson and Wiggins “Cogito; ergo, sum”: What is explicitly conveyed is: “cogito” and “sum”. The conjunction “cogito” and “sum” is not made an ‘invalidatum’ if the implicated consequence relation, emotionally expressed by an ‘alas’-like sort of ejaculation, ‘ergo,’ fails to hold. Strawson and Wiggins give other examples. For some reason, Latin ‘ergo’ becomes the more structured, “therefore,” which is a composite of ‘there’ and ‘fore.’ Then there’s the very Hun, “so,” (as in “so so”). Then there’s the “Sie schoene aber poor,” discussed by Frege --“but,” – and Strawson and Wiggins add a few more that had Grice elaborating on first-floor versus second-floor. Descartes is on the first floor. He states “cogito” and he states “sum.” Then he goes to the second floor, and the screams, “ergo,” or ‘dunc!’” The examples Strawson and Wiggins give are: “although” (which looks like a subordinating dyadic connector but not deemed essential by Gazdar’s 16 ones). Then they give an expression Grice quite explored, “because,” or “for”as Grice prefers (‘since it improves on Stevenson), the ejaculation “alas,” and in its ‘misusage,’ “hopefully.” This is an adverbial that Grice loved: “Probably, it will rains,” “Desirably, there is icecream.” There is a confusing side to this too. “intentions are to be recognized, in the normal case, by virtue of a knowledge of the conventional use of the sentence (indeed my account of "non-conventional implicaturum" depends on this idea).” So here we may disregard the ‘bandaged leg case’ and the idea that there is implicaturum in art, etc. If we take the sobriquet ‘non-conventional’ seriously, one may be led to suggest that the ‘non-conventional’ DEPENDS on the conventional. One distinctive feature – the fifth – of the conversational implicaturum is that it is partly generated as partly depending on the ‘conventional’ “use.” So this is tricky. Grice’s anti-conventionalism -- conventionalism, the philosophical doctrine that logical truth and mathematical truth are created by our choices, not dictated or imposed on us by the world. The doctrine is a more specific version of the linguistic theory of logical and mathematical truth, according to which the statements of logic and mathematics are true because of the way people use language. Of course, any statement owes its truth to some extent to facts about linguistic usage. For example, ‘Snow is white’ is true in English because of the facts that 1 ‘snow’ denotes snow, 2 ‘is white’ is true of white things, and 3 snow is white. What the linguistic theory asserts is that statements of logic and mathematics owe their truth entirely to the way people use language. Extralinguistic facts such as 3 are not relevant to the truth of such statements. Which aspects of linguistic usage produce logical truth and mathematical truth? The conventionalist answer is: certain linguistic conventions. These conventions are said to include rules of inference, axioms, and definitions. The idea that geometrical truth is truth we create by adopting certain conventions received support by the discovery of non-Euclidean geometries. Prior to this discovery, Euclidean geometry had been seen as a paradigm of a priori knowledge. The further discovery that these alternative systems are consistent made Euclidean geometry seem rejectable without violating rationality. Whether we adopt the Euclidean system or a non-Euclidean system seems to be a matter of our choice based on such pragmatic considerations as simplicity and convenience. Moving to number theory, conventionalism received a prima facie setback by the discovery that arithmetic is incomplete if consistent. For let S be an undecidable sentence, i.e., a sentence for which there is neither proof nor disproof. Suppose S is true. In what conventions does its truth consist? Not axioms, rules of inference, and definitions. For if its truth consisted in these items it would be provable. Suppose S is not true. Then its negation must be true. In what conventions does its truth consist? Again, no answer. It appears that if S is true or its negation is true and if neither S nor its negation is provable, then not all arithmetic truth is truth by convention. A response the conventionalist could give is that neither S nor its negation is true if S is undecidable. That is, the conventionalist could claim that arithmetic has truth-value gaps. As to logic, all truths of classical logic are provable and, unlike the case of number theory and geometry, axioms are dispensable. Rules of inference suffice. As with geometry, there are alternatives to classical logic. The intuitionist, e.g., does not accept the rule ‘From not-not-A infer A’. Even detachment ’From A, if A then B, infer B’ is rejected in some multivalued systems of logic. These facts support the conventionalist doctrine that adopting any set of rules of inference is a matter of our choice based on pragmatic considerations. But the anti-conventionalist might respond consider a simple logical truth such as ‘If Tom is tall, then Tom is tall’. Granted that this is provable by rules of inference from the empty set of premises, why does it follow that its truth is not imposed on us by extralinguistic facts about Tom? If Tom is tall the sentence is true because its consequent is true. If Tom is not tall the sentence is true because its antecedent is false. In either case the sentence owes its truth to facts about Tom. -- convention T, a criterion of material adequacy of proposed truth definitions discovered, formally articulated, adopted, and so named by Tarski in connection with his 9 definition of the concept of truth in a formalized language. Convention T is one of the most important of several independent proposals Tarski made concerning philosophically sound and logically precise treatment of the concept of truth. Various of these proposals have been criticized, but convention T has remained virtually unchallenged and is regarded almost as an axiom of analytic philosophy. To say that a proposed definition of an established concept is materially adequate is to say that it is “neither too broad nor too narrow,” i.e., that the concept it characterizes is coextensive with the established concept. Since, as Tarski emphasized, for many formalized languages there are no criteria of truth, it would seem that there can be no general criterion of material adequacy of truth definitions. But Tarski brilliantly finessed this obstacle by discovering a specification that is fulfilled by the established correspondence concept of truth and that has the further property that any two concepts fulfilling it are necessarily coextensive. Basically, convention T requires that to be materially adequate a proposed truth definition must imply all of the infinitely many relevant Tarskian biconditionals; e.g., the sentence ‘Some perfect number is odd’ is true if and only if some perfect number is odd. Loosely speaking, a Tarskian biconditional for English is a sentence obtained from the form ‘The sentence ——— is true if and only if ——’ by filling the right blank with a sentence and filling the left blank with a name of the sentence. Tarski called these biconditionals “equivalences of the form T” and referred to the form as a “scheme.” Later writers also refer to the form as “schema T.”
nonsense: Grice:
“One has to be very careful. For Grice, “You’re the cream in my coffee”
involves a category mistake, it’s nonsense, and neither true nor false. For me,
it involves categorial falsity; therefore, it is analytically false, and
therefore, meaningful, in its poor own ways!” – “”You’re the cream in my
coffee” compares with a not that well known ditty by Freddie Ayer, and the
Ambassadors, “Saturday is in bed – but Garfield isn’t.”” – “ “Saturday is in
bed” involves categorial falsity but surely only Freddie would use it
metaphorically – not all categorial falsities pass the Richards test --. Grice:
“ “It is not the case that you’re the cream in my coffee” is a truism” – But
cf. “You haven’t been cleaning the Aegean stables – because you’ve just said
you spent the summer in Hull, and the stables are in Greece.” Cf. “Grice: “
‘You’re the cream in my coffee’ is literally, a piece of nonsense – it involves
a categorial falsity.” “Sentences involving categorial falsity nonsense are the
specialty of Ryle, our current Waynflete!” -- Sense-nonsense -- demarcation,
the line separating empirical science from mathematics and logic, from
metaphysics, and from pseudoscience. Science traditionally was supposed to rely
on induction, the formal disciplines including metaphysics on deduction. In the
verifiability criterion, the logical positivists identified the demarcation of
empirical science from metaphysics with the demarcation of the cognitively
meaningful from the meaningless, classifying metaphysics as gibberish, and
logic and mathematics, more charitably, as without sense. Noting that, because
induction is invalid, the theories of empirical science are unverifiable,
Popper proposed falsifiability as their distinguishing characteristic, and
remarked that some metaphysical doctrines, such as atomism, are obviously
meaningful. It is now recognized that science is suffused with metaphysical
ideas, and Popper’s criterion is therefore perhaps a rather rough criterion of
demarcation of the empirical from the nonempirical rather than of the
scientific from the non-scientific. It repudiates the unnecessary task of demarcating
the cognitively meaningful from the cognitively meaningless. There are cases in which a denial has
to be interpreted as the denial of an implicature. “She is not the cream in my.
Grice: "There
may be an occasion when the denial of a metaphor -- any absurd utterance when taken
literally, e. g., 'You're the cream in my coffee' -- may be
interpreted *not* as, strictly, denying that you're *literally* the cream
in my coffee, but, in a jocular, transferred -- and strictly illogical --
way, as the denying the implicaturum, or metaphorical interpretant, viz.'It is
not the case that that you're the salt in my stew,". Grice was
interested in how ‘absurdum’ became ‘nonsense’ -- absurdum, adj. ab, mis-, and Sanscr. svan = “sonare;” cf.
susurrus, and σῦριγξ, = a pipe; cf. also absonus.” Lewis and Short render
‘absurdum’’ as ‘out of tune, hence giving a disagreeable sound, harsh, rough.’
I. Lit.: “vox absona et absurda,” Cic. de Or. 3, 11, 41; so of the croaking of
frogs: absurdoque sono fontes et stagna cietis, Poët. ap. Cic. Div. 1, 9, 15.—
II. Fig., -- Short and Lewis this ‘absurd’ transferred usage: ‘absurd,’ which
is not helpful -- “of persons and things, irrational, incongruous, absurd,
silly, senseless, stupid.” They give a few quotes: “ratio inepta atque
absurda,” – The reason is inept and absurd” Ter. Ad. 3, 3, 22: “hoc pravum,
ineptum, absurdum atque alienum a vitā meā videtur,” id. ib. 5, 8, 21: “carmen
cum ceteris rebus absurdum tum vero in illo,” Cic. Mur. 26: “illud quam
incredibile, quam absurdum!” “How incredible! How absurd!” -- id. Sull. 20:
“absurda res est caveri,” id. Balb. 37: bene dicere haud absurdum est, is not
inglorious, per litotem for, is praiseworthy, glorious, Sall. C. 3 Kritz.—Homo
absurdus, a man who is fit or good for nothing: “sin plane abhorrebit et erit
absurdus,” Cic. de Or. 2, 20, 85: “absurdus ingenio,” Tac. H. 3, 62; cf.:
“sermo comis, nec absurdum ingenium,” id. A. 13, 45.—Comp., Cic. Phil. 8, 41;
id. N. D. 1, 16; id. Fin. 2, 13.—Sup., Cic. Att. 7, 13.—Adv.: absurdē . 1. Lit.,
discordantly: “canere,” Cic. Tusc. 2, 4, 12.— 2. Fig., irrationally, absurdly,
Plaut. Ep. 3, 1, 6; Cic. Rep. 2, 15; id. Div. 2, 58, 219 al.—Comp., Cic. Phil.
8, 1, 4.—Sup., Aug. Trin. 4 fin. Cf. Tertullian, “Credo quia absurdum est.” –
an answer to “Quam incredible, quam absurdum!” -- Refs.:
H. P. Grice, “Ryle and categorial nonsense;” “The absurdity of ‘You’re the
cream in my coffee.’”
NOTUM -- divided line,
one of three analogies with the sun and cave offered in Plato’s Republic VI,
509d 511e as a partial explanation of the Good. Socrates divides a line into
two unequal segments: the longer represents the intelligible world and the
shorter the sensible world. Then each of the segments is divided in the same
proportion. Socrates associates four mental states with the four resulting
segments beginning with the shortest: eikasia, illusion or the apprehension of
images; pistis, belief in ordinary physical objects; dianoia, the sort of
hypothetical reasondispositional belief divided line 239 239 ing engaged in by mathematicians; and
noesis, rational ascent to the first principle of the Good by means of
dialectic. Grice read Austin’s essay on this with interest. Refs.: J. L.
Austin, “Plato’s Cave,” in Philosophical Papers.
noûs:
Grice uses ‘nous’ and ‘noetic’ when he is feeling very Grecian. Grecian term
for mind or the faculty of reason. Noûs is the highest type of thinking, the
kind a god would do. Sometimes called the faculty of intellectual intuition, it
is at work when someone understands definitions, concepts, and anything else
that is grasped all at once. Noûs stands in contrast with another intellectual
faculty, dianoia. When we work through the steps of an argument, we exercise
dianoia; to be certain the conclusion is true without argument to just “see” it, as, perhaps, a god
might is to exercise noûs. Just which
objects could be apprehended by noûs was controversial.
novalis: pseudonym
of Friedrich von Hardenberg, philosopher of early G. Romanticism. His starting point
was Fichte’s reflective type of transcendental philosophy; he attempted to
complement Fichte’s focus on philosophical speculation by including other forms
of intellectual experience such as faith, love, poetry, and religion, and
exhibit their equally autonomous status of existence. Of special importance in
this regard is his analysis of the imagination in contrast to reason, of the
poetic power in distinction from the reasonable faculties. Novalis insists on a
complementary interaction between these two spheres, on a union of philosophy
and poetry. Another important aspect of his speculation concerns the relation
between the inner and the outer world, subject and object, the human being and
nature. Novalis attempted to reveal the correspondence, even unity between
these two realms and to present the world as a “universal trope” or a “symbolic
image” of the human mind and vice versa. He expressed his philosophical thought
mostly in fragments.
nowell-smithianism. “The Nowell is redundant,” Grice
would say. P. H. Nowell-Smith adopted the “Nowell” after his father’s first
name. In “Ethics,” he elaborates on what he calls ‘contextual implication.’ The
essay was widely read, and has a freshness that other ‘meta-ethicist’ at Oxford
seldom display. His ‘contextual implication’ compares of course to Grice’s
‘conversational implicaturum.’ Indeed, by using ‘conversational implicaturum,’
Grice is following an Oxonian tradition started with C. K. Grant and his
‘pragmatic implication,’ and P. H. Nowell-Smith and his ‘contextual
implication.’ At Oxford, they were obsessed with these types of ‘implicatura,’
because it was the type of thing that a less subtle philosopher would ignore.
Grice’s cancellability priority for his type of implicatura hardly applies to
Nowell-Smith. Nowell-Smith never displays the ‘rationalist’ bent that Grice
wants to endow to his principle of conversational co-operation. Nowell-Smith,
rather, calls his ‘principles’ “rules of conversational etiquette.” If you
revise the literature, you will see that things like “avoid ambiguity,” “don’t
play unnecessary with words,” are listed indeed in what is called a
‘conversational manual,’ of ‘conversational etiquette,’ that is. In his
rationalist bent, Grice narrows down the use of ‘conversational’ to apply to
‘conversational maxim,’ which is only a UNIVERSALISABLE one, towards the
overarching goal of rational co-operation. In this regard, many of the rules of
‘conversational etiquette’ (Grice even mentions ‘moral rules,’ and a rule like
‘be polite’) to fall outside the principle of conversational helpfulness, and
thus, not exactly generating a ‘conversational implicaturum.’ While Grice gives
room to allow such non-conversational non-conventional implicatura to be
‘calculable,’ that is, ‘rationalizable, by ‘argument,’ he never showed any
interest in giving one example – for the simple reason that none of those
‘maxims’ generated the type of ‘mistake’ on the part of this or that
philosopher, as he was interested in rectifying.
nozick: Grice’s tutee at
St. John’s – philosopher. Nozick quotes Grice profusely. And Grice – Grice:
“That is, Nozick quotes Grice and Grice – that is, H. P. Grice, and G. R.
Grice!” – Nozick quotes Grice in connection with ‘re-distributive punishmet’,
which is a ‘communicative act’ alla Grice, “the Griceian message being sent via
the recognition of the intention. Harvard , best known for his essay, “Anarchy,
State, and Utopia,” which defends the libertarian position that only a minimal
state limited to protecting rights is just. Nozick argues that a minimal state,
but not a more extensive state, could arise without violating rights. Drawing
on Kant’s dictum that people may not be used as mere means, Nozick says that
people’s rights are inviolable, no matter how useful violations might be to the
state. Nozick criticizes principles of re-distributive justice on which
theorists base defenses of extensive states, such as the principle of utility,
and Rawls’s principle that goods should be distributed in favour of the least
well-off. Enforcing these principles requires eliminating the cumulative effect
of a free exchange, which violates permanent, bequeathable property rights.
Nozick’s own entitlement theory says that a distribution of holdings is just (or
fair) if people under that distribution are entitled to what they hold. An
entitlement, in turn, would be clarified using this or that principle of
justice in acquisition, transfer, and rectification. Nozick’s other oeuvre include
Philosophical Explanations 1, The Examined Life 9, The Nature of Rationality 3,
and Socratic Puzzles. These are contributions to rational choice theory,
epistemology, metaphysics, philosophy of mind, philosophy of religion, and
ethics. Philosophical Explanations features two especially important
contributions. The first is Nozick’s reliabilist, causal view that a belief
that constitutes knowledge must track the truth. My belief that say the cat sat
on the mat (or that Fido is shaggy) tracks the truth only if I would not
believe this if the cat did not sit on the mat (or that Fido is not shaggy),
and I would believe this if the cat sat on the mat, or Fido is shaggy. The
tracking account positions Nozick to reject the principle that people know all
of the things they believe via deductions from things they know, and to reject
versions of scepticism based on this principle of closure. The second is
Nozick’s closest continuer theory of identity, according to which Grice’s identity
at a later time can depend on facts about other existing things, for it depends
on what continues Grice closely enough
to be Grice and what continues Grice more
closely than any other existing thing. Nozick’s essay “Newcomb’s Problem and
Two Principles of Choice” is another important contribution. It is the first
discussion of Newcomb’s problem, a problem in decision theory, and presents
many positions prominent in subsequent debate.
Numenius: Grecian
Platonist philosopher of neoPythagorean tendencies. Very little is known of his
life, but his philosophical importance is considerable. His system of three
levels of spiritual reality a primal god
the Good, the Father, who is almost supra-intellectual; a secondary, creator
god the demiurge of Plato’s Timaeus; and a world soul largely anticipates that of Plotinus in the
next century, though he was more strongly dualist than Plotinus in his attitude
to the physical world and matter. He was much interested in religion. His most
important work, fragments of which are preserved by Eusebius, is a dialogue On
the Good, but he also wrote a polemic work On the Divergence of the Academics
from Plato, which shows him to be a lively controversialist. J
O:
particularis abdicativa. See Grice, “Circling the Square of Opposition.”
Oakeshott, M.: H. P.
Grice, “Oakeshott’s conversational implicaturum,” English philosopher and
political theorist trained at Cambridge and in G.y. He taught first at
Cambridge and Oxford; from 1 he was professor of political science at the
London School of Economics and Political Science. His works include Experience
and Its Modes 3, Rationalism in Politics 2, On Human Conduct 5, and On History
3. Oakeshott’s misleading general reputation, based on Rationalism in Politics,
is as a conservative political thinker. Experience and Its Modes is a
systematic work in the tradition of Hegel. Human experience is exclusively of a
world of ideas intelligible insofar as it is coherent. This world divides into
modes historical, scientific, practical, and poetic experience, each being
partly coherent and categorially distinct from all others. Philosophy is the
never entirely successful attempt to articulate the coherence of the world of
ideas and the place of modally specific experience within that whole. His later
works examine the postulates of historical and practical experience,
particularly those of religion, morality, and politics. All conduct in the
practical mode postulates freedom and is an “exhibition of intelligence” by
agents who appropriate inherited languages and ideas to the generic activity of
self-enactment. Some conduct pursues specific purposes and occurs in
“enterprise associations” identified by goals shared among those who
participate in them. The most estimable forms of conduct, exemplified by “conversation,”
have no such purpose and occur in “civil societies” under the purely
“adverbial” considerations of morality and law. “Rationalists” illicitly use
philosophy to dictate to practical experience and subordinate human conduct to
some master purpose. Oakeshott’s distinctive achievement is to have melded
holistic idealism with a morality and politics radical in their affirmation of
individuality. Refs.: H. P. Grice, “The Oxbridge conversation,” H. P. Grice,
“The ancient stone walls of Oxford.”
objectivum
– Grice: “Kant thought he was being witty when he speaks of the Copernican
revolution – While I prefer ‘subjectification’ for what he meant, Strawson
likes ‘category shift.’ At Oxford, we never took good care of Number One!” -- Grice reads Meinong on objectivity and finds
it funny! Meinong distinguishes four classes of objects: ‘Objekt,’ simpliciter,
which can be real (like horses) or ideal (like the concepts of difference,
identity, etc.) and “Objectiv,” e.g. the affirmation of the being (Sein) or
non-being (Nichtsein), of a being-such (Sosein), or a being-with (Mitsein) -
parallel to existential, categorical and hypothetical judgements. An “Objectiv”
is close to what contemporary philosophers call states of affairs (where these
may be actual—may obtain—or not). The third class is the dignitative, e.g. the
true, the good, the beautiful. Finally, there is the desiderative, e.g. duties,
ends, etc. To these four classes of objects correspond four classes of
psychological acts: (re)presentation
(das Vorstellen), for objects thought (das Denken), for the objectives feeling
(das Fühlen), for dignitatives desire (das Begehren), for the desideratives.
Grice starts with subjectivity. Objectivity can be constructed as
non-relativised subjectivity. Grice discusses of Inventing right and wrong
by Mackie. In the proceedings, Grice quotes the artless sexism of Austin
in talking about the trouser words in Sense and Sensibilia. Grice tackles all
the distinctions Mackie had played with: objective/Subjectsive, absolute/relative,
categorical/hypothetical or suppositional. Grice quotes directly from Hare:
Think of one world into whose fabric values are objectively built; and think of
another in which those values have been annihilated. And remember that in both
worlds the people in them go on being concerned about the same things—there is
no difference in the Subjectsive value. Now I ask, what is the difference
between the states of affairs in these two worlds? Can any answer be given
except, none whatever? Grice uses the Latinate objective (from objectum). Cf.
Hare on what he thinks the oxymoronic sub-jective value. Grice considered more
seriously than Barnes did the systematics behind Nicolai Hartmanns
stratification of values. Refs.: the most explicit allusion is a specific essay
on “objectivity” in The H. P. Grice Papers. Most of the topic is covered in “Conception,”
Essay 1. BANC.
objectivum.
Here the contrast is what what is subjective, or subjectivum. Notably value.
For Hartmann and Grice, a value is rational, objective and absolute, and
categorical (not relative).
objectum. For Grice the subjectum is prior. While ‘subject’ and
‘predicate’ are basic Aristotelian categories, the idea of the direct object or
indirect object seems to have little philosophical relevance. (but cf. “What is
the meaning of ‘of’? Genitivus subjectivus versus enitivus objectivus. The
usage that is more widespread is a misnomer for ‘thing’. When an empiricist
like Grice speaks of an ‘obble’ or an ‘object,’ he means a thing. That is
because, since Hume there’s no such thing as a ‘subject’ qua self. And if there
is no subject, there is no object. No Copernican revolution for empiricists.
the
obiectum-quo/obiectum quod distinction: obiectum quo:
Griceian for “the object by which an object is known.” Grice: “A sort of
meta-object, if you press me.” -- It should be understood in contrast with “obiectum
quod,” -- the object that is known. E. g. when Grice’s son knows WHAT ‘a shaggy
thing’ is, the shaggy thing is the obiectum quod and Grice’s son’s concept of
the shaggy thing is the obiectum quo. The concept (‘shaggy’) is thus instrumental
to knowing a shaggy thing, but the concept ‘shaggy’ is not itself what is
known. A human needs a concept in order to have knowledge, because a human’s
knowledge is receptive, in contrast with God’s which is productive. God creates
what he knows. Human knowledge is mediated; divine knowledge is immediate. J.
C. Wilson famously believed that the distinction between obiectum quod and
obiectum quo exposes the crucial mistake of Bradley’s neo-Hegelian idealism –
“that is destroying the little that’s left of philosophy at Oxford.” According
to an idealist such as Bradley, the object of knowledge, i.e., what Bradley
knows, is an idea. In contrast, the Scholastics maintain that an idealist such
as Bradley conflate the object of knowledge with the *means* (the obiectum quo)
by which human knowledge is made possible. Humans must be connected to the
object of knowledge by something obiectum quo, but what connects them is not
that to which they are connected – “autem natura est terminus ut quo, 3°
Obiectum ut qu9 l esi illud ipsum, ad quod potentia, vel scientia
spectat.Obiectiim ;t quo est propria raiio , propter qnam potentia, vel
scientia circa aliquid versatur. Vel obiectum quod cst illud , quod in scientia
demonstratur.0biectum quo consistit in mediis, quibus probantur conclusiones in
eadem scientia *, 4* l't quod significat subiecium , cui proprie convenit
aliquod attributurn , vel quaedam denominatio: ut quo indicat rationem ,
propter quam subiectum cst, vel denominatur tale ; e. g., hic terminus albus ,
si accipiatur sit quod, significal parietem, vel aliud, quod dicitur album; sin
autem ut quo denotat ipsam albitudinem. Hoc sensu terminus acceptus ut, quod
dicitur etiam usurpari in recto , ut quo, in obliquo *. 5° Denique: Species,
per quam fit cognitio alicuius rei, est obiectum, quo illa cognoscitur; res
antem a specie repraesentata est obiectum quod : « Species visibilis, ait s.
Thomas, non se habet, ut quod videtur, sed ut quo videtur *». Et alibi : «
Species intelligibiles, quibus intellectus possibilis fit in actu, non sunt
obiectum intelleclus, non enim se habent ad intellectum, sicut quod
intelligitur, sed sicut quo intelligit * ». Sane, species non est terminus, in
quem cognitio fertur , sed dumlaxat principium, ex quo facultas cognitrix
determinatur ad I .*, q. n,l;un r m ab ipsa specie repraesentatam, Quarc , etsi
auima cognoseat res pcr species, tamen illas in seipsis cognoscit : « ('ognoscere
res per earum similitudines im cognoscente existentes, est cognoscere eas in
seipsis * ». Et B. Albcrtus M. • Sensus [*r hoc, quod species est sensibilium,
sensibilia imin-diato arripit.” Refs.: H. P. Grice: The obiectum-quo/obiectum
quod distinction: and what to do with it.”
objective rightness. In
meta-ethics, an action is objectively right for a person to perform on some
occasion if the agent’s performing it on that occasion really is right, whether
or not the agent, or anyone else, believes it is. An action is subjectively
right for a person to perform on some occasion if the agent believes, or
perhaps justifiably believes, of that action that it is objectively right. For
example, according to a version of utilitarianism, an action is objectively
right provided the action is optimific in the sense that the consequences that
would result from its per624 O 624
formance are at least as good as those that would result from any alternative
action the agent could instead perform. Were this theory correct, then an
action would be an objectively right action for an agent to perform on some
occasion if and only if that action is in fact optimific. An action can be both
objectively and subjectively right or neither. But an action can also be
subjectively right, but fail to be objectively right, as where the action fails
to be optimific again assuming that a utilitarian theory is correct, yet the
agent believes the action is objectively right. And an action can be
objectively right but not subjectively right, where, despite the objective
rightness of the action, the agent has no beliefs about its rightness or
believes falsely that it is not objectively right. This distinction is
important in our moral assessments of agents and their actions. In cases where
we judge a person’s action to be objectively wrong, we often mitigate our
judgment of the agent when we judge that the action was, for the agent,
subjectively right. This same objectivesubjective distinction applies to other
ethical categories such as wrongness and obligatoriness, and some philosophers
extend it to items other than actions, e.g., emotions.
obligatum -- Deontology -- duty, what a
person is obligated or required to do. Duties can be moral, legal, parental,
occupational, etc., depending on their foundations or grounds. Because a duty
can have several different grounds, it can be, say, both moral and legal,
though it need not be of more than one type. Natural duties are moral duties
people have simply in virtue of being persons, i.e., simply in virtue of their
nature. There is a prima facie duty to do something if and only if there is an
appropriate basis for doing that thing. For instance, a prima facie moral duty
will be one for which there is a moral basis, i.e., some moral grounds. This conDutch
book duty 248 248 trasts with an
all-things-considered duty, which is a duty one has if the appropriate grounds
that support it outweigh any that count against it. Negative duties are duties
not to do certain things, such as to kill or harm, while positive duties are
duties to act in certain ways, such as to relieve suffering or bring aid. While
the question of precisely how to draw the distinction between negative and
positive duties is disputed, it is generally thought that the violation of a negative
duty involves an agent’s causing some state of affairs that is the basis of the
action’s wrongness e.g., harm, death, or the breaking of a trust, whereas the
violation of a positive duty involves an agent’s allowing those states of
affairs to occur or be brought about. Imperfect duties are, in Kant’s words,
“duties which allow leeway in the interest of inclination,” i.e., that permit
one to choose among several possible ways of fulfilling them. Perfect duties do
not allow that leeway. Thus, the duty to help those in need is an imperfect
duty since it can be fulfilled by helping the sick, the starving, the
oppressed, etc., and if one chooses to help, say, the sick, one can choose
which of the sick to help. However, the duty to keep one’s promises and the
duty not to harm others are perfect duties since they do not allow one to
choose which promises to keep or which people not to harm. Most positive duties
are imperfect; most negative ones, perfect. obligationes, the study of
inferentially inescapable, yet logically odd arguments, used by late medieval
logicians in analyzing inferential reasoning. In Topics VIII.3 Aristotle
describes a respondent’s task in a philosophical argument as providing answers
so that, if they must defend the impossible, the impossibility lies in the
nature of the position, and not in its logical defense. In Prior Analytics I.13
Aristotle argues that nothing impossible follows from the possible. Burley,
whose logic exemplifies early fourteenth-century obligationes literature, described
the resulting logical exercise as a contest between interlocutor and
respondent. The interlocutor must force the respondent into maintaining
contradictory statements in defending a position, and the respondent must avoid
this while avoiding maintaining the impossible, which can be either a position
logically incompatible with the position defended or something impossible in
itself. Especially interesting to Scholastic logicians were the paradoxes of
disputation inherent in such disputes. Assuming that a respondent has
successfully defended his position, the interlocutor may be able to propose a
commonplace position that the respondent can neither accept nor reject, given
the truth of the first, successfully defended position. Roger Swineshead
introduced a controversial innovation to obligationes reasoning, later rejected
by Paul of Venice. In the traditional style of obligation, a premise was
relevant to the argument only if it followed from or was inconsistent with
either a the proposition defended or b all the premises consequent to the
former and prior to the premise in question. By admitting any premise that was
either consequent to or inconsistent with the proposition defended alone,
without regard to intermediate premises, Swineshead eliminated concern with the
order of sentences proposed by the interlocutor, making the respondent’s task
harder.
casus obliquum -- oblique
context. As explained by Frege in “Über Sinn und Bedeutung” 2, a linguistic
context is oblique ungerade if and only if an expression e.g., proper name,
dependent clause, or sentence in that context does not express its direct
customary sense. For Frege, the sense of an expression is the mode of
presentation of its nominatum, if any. Thus in direct speech, the direct
customary sense of an expression designates its direct customary nominatum. For
example, the context of the proper name ‘Kepler’ in 1 Kepler died in misery. is
non-oblique i.e., direct since the proper name expresses its direct customary
sense, say, the sense of ‘the man who discovered the elliptical planetary
orbits’, thereby designating its direct customary nominatum, Kepler himself.
Moreover, the entire sentence expresses its direct sense, namely, the
proposition that Kepler died in misery, thereby designating its direct
nominatum, a truth-value, namely, the true. By contrast, in indirect speech an
expression neither expresses its direct sense nor, therefore, designates its
direct nominatum. One such sort of oblique context is direct quotation, as in 2
‘Kepler’ has six letters. The word appearing within the quotation marks neither
expresses its direct customary sense nor, therefore, designates its direct
customary nominatum, Kepler. Rather, it designates a word, a proper name.
Another sort of oblique context is engendered by the verbs of propositional
attitude. Thus, the context of the proper name ‘Kepler’ in 3 Frege believed
Kepler died in misery. is oblique, since the proper name expresses its indirect
sense, say, the sense of the words ‘the man widely known as Kepler’, thereby
designating its indirect nominatum, namely, the sense of ‘the man who
discovered the elliptical planetary orbits’. Note that the indirect nominatum
of ‘Kepler’ in 3 is the same as the direct sense of ‘Kepler’ in 1. Thus, while
‘Kepler’ in 1 designates the man Kepler, ‘Kepler’ in 3 designates the direct
customary sense of the word ‘Kepler’ in 1. Similarly, in 3 the context of the
dependent clause ‘Kepler died in misery’ is oblique since the dependent clause
expresses its indirect sense, namely, the sense of the words ‘the proposition
that Kepler died in misery’, thereby designating its indirect nominatum, namely,
the proposition that Kepler died in misery. Note that the indirect nominatum of
‘Kepler died in misery’ in 3 is the same as the direct sense of ‘Kepler died in
misery’ in 1. Thus, while ‘Kepler died in misery’ in 1 designates a truthvalue,
‘Kepler died in misery’ in 3 designates a proposition, the direct customary
sense of the words ‘Kepler died in misery’ in 1.
obversum: a sort of
immediate inference that allows a transformation of affirmative categorical
A-propositions and I-propositions into the corresponding negative
E-propositions and O-propositions, and of E- and O-propositions into the
corresponding A- and I-propositions, keeping in each case the order of the
subject and predicate terms, but changing the original predicate into its
complement, i.e., into a negated term. E. g. ‘Every man is mortal’ ’No man is non-mortal’; ‘Some students are
happy’ ‘Some students are not
non-happy’; ‘No dogs are jealous’ ‘All
dogs are non-jealous’; and ‘Some bankers are not rich’ ‘Some bankers are not non-rich’. .
occasionalism: a theory
of causation held by a number of important seventeenth-century Cartesian
philosophers, including Johannes Clauberg, Géraud de Cordemoy, Arnold Geulincx,
Louis de la Forge, and Nicolas Malebranche. In its most extreme version, occasionalism
is the doctrine that all finite created entities are devoid of causal efficacy,
and that God is the only true causal agent. Bodies do not cause effects in
other bodies nor in minds; and minds do not cause effects in bodies nor even
within themselves. God is directly, immediately, and solely responsible for
bringing about all phenomena. When a needle pricks the skin, the physical event
is merely an occasion for God to cause the relevant mental state pain; a
volition in the soul to raise an arm or to think of something is only an
occasion for God to cause the arm to rise or the ideas to be present to the
mind; and the impact of one billiard ball upon another is an occasion for God
to move the second ball. In all three contexts
mindbody, bodybody, and mind alone
God’s ubiquitous causal activity proceeds in accordance with certain
general laws, and except for miracles he acts only when the requisite material
or psychic conditions obtain. Less thoroughgoing forms of occasionalism limit
divine causation e.g., to mindbody or bodybody alone. Far from being an ad hoc
solution to a Cartesian mindbody problem, as it is often considered,
occasionalism is argued for from general philosophical considerations regarding
the nature of causal relations considerations that later appear, modified, in
Hume, from an analysis of the Cartesian concept of matoblique intention
occasionalism 626 626 ter and of the
necessary impotence of finite substance, and, perhaps most importantly, from
theological premises about the essential ontological relation between an
omnipotent God and the created world that he sustains in existence.
Occasionalism can also be regarded as a way of providing a metaphysical
foundation for explanations in mechanistic natural philosophy. Occasionalists
are arguing that motion must ultimately be grounded in something higher than
the passive, inert extension of Cartesian bodies emptied of the substantial
forms of the Scholastics; it needs a causal ground in an active power. But if a
body consists in extension alone, motive force cannot be an inherent property
of bodies. Occasionalists thus identify force with the will of God. In this
way, they are simply drawing out the implications of Descartes’s own metaphysics
of matter and motion. Refs: H. P. Grice, “What’s the case – and occasionalism.”
occam: see H. P. Grice,
“Modified Occam’s Razor” -- known as the More than Subtle Doctor, English
Scholastic philosopher known equally as the father of nominalism and for his
role in the Franciscan dispute with Pope John XXII over poverty. Born at Occam
in Surrey, he entered the Franciscan order at an early age and studied at
Oxford, attaining the rank of a B. A., i. e. a “baccalarius formatus.” His
brilliant but controversial career is cut short when Lutterell, chancellor of
Oxford, presented the pope with a list of 56 allegedly heretical theses extracted
from Occam (Grice: “One was, ‘Senses are not be multipled beyond necessity.’).
The papal commission studies them for two years and find 51 open to censure –
“while five are ‘o-kay.’”-- , but none was formally condemned. While in
Avignon, Occam researches previous papal concessions to the Franciscans
regarding collective poverty, eventually concluding that John XXII contradicted
his predecessors and hence was ‘no pope,’ or “no true pope.” After committing these
charges to writing, Occam flees with Cesena, then minister general of the
order, first to Pisa and ultimately to Munich, where he composes many treatises
about church-state relations. Although departures from his eminent predecessors
have combined with ecclesiastical difficulties to make Occam unjustly
notorious, his thought remains, by current lights, philosophically conservative
– or as he would expand, “irreverent, dissenting, rationalist conservative.” On
most metaphysical issues, Occam fancies himself the true interpreter of
Aristotle. Rejecting the doctrine that the universalse is a real thing other
than a name (‘flatus vocis’) or a concept as “the worst error of philosophy,”
Occam dismisses not only Platonism, but also “modern realist” doctrines
according to which a nature enjoys a double mode of existence and is universal
in the intellect but numerically multiplied in this or that particulare. Occam
argues that everything real is individual and particular. Universality is a
property pertaining only to the expression, sign, or name and that by virtue of
its signification (semantic) relation. Because Occam understands a ‘primary’
name to be ‘psychological’, and thus a ‘naturally’ significant concept, his own
theory of the universale is best classified as a form of conceptualism. Occam
rejects atomism, and defends Aristotelian hylomorphism in physics and
metaphysics, complete with its distinction between substantial form and
accidental form. Yet, Occam opposes the reifying tendency of the “moderns”
unnamed contemporary opponents, who posited a distinct kind of ‘res’ for each
of Aristotle’s ten categories. Occam agues that from a purely philosophical
point of view it is indefensible to
posit anything besides this or that particular substance and this or that
particular quality. Occam follows the Franciscan school in recognizing a
plurality of substantial forms in living things in humans, the forms of
corporeity, sensory soul, and intellectual soul. Occam diverges from Duns
Scotus in asserting a real, not a formal, distinction among them. Aristotle had
reached behind regular correlations in nature to posit substance-things and
accident-things as primitive explanatory entities that essentially are or give
rise to powers virtus that produce the regularities. Similarly, Occam
distinguishes efficient causality properly speaking from sine qua non
causality, depending on whether the correlation between A’s and B’s is produced
by the power of A or by the will of another, and explicitly denies the
existence of any sine qua non causation in nature. Further, Ocam insists, in
Aristotelian fashion, that created substance- and accident-natures are
essentially the causal powers they are in and of themselves and hence
independently of their relations to anything else; so that not even God can
make heat naturally a coolant. Yet, if God cannot change, He shares with
created things the ability to obstruct such “Aristotelian” productive powers
and prevent their normal operation. Ockham’s nominalistic conceptualism about
universals does not keep him from endorsing the uniformity of nature principle,
because he holds that individual natures are powers and hence that co-specific
things are maximally similar powers. Likewise, he is conventional in appealing
to several other a priori causal principles: “Everything that is in motion is
moved by something,” “Being cannot come from non-being,” “Whatever is produced
by something is really conserved by something as long as it exists.” Occam even
recognizes a kind of necessary connection between created causes and
effects e.g., while God could act alone
to produce any created effect, a particular created effect could not have had
another created cause of the same species instead. Ockham’s main innovation on
the topic of causality is his attack on Duns Scotus’s distinction between
“essential” and “accidental” orders and contrary contention that every genuine
efficient cause is an immediate cause of its effects. Ockham is an Aristotelian
reliabilist in epistemology, taking for granted as he does that human cognitive
faculties the senses and intellect work always or for the most part. Occam
infers that since we have certain knowledge both of material things and of our
own mental acts, there must be some distinctive species of acts of awareness
intuitive cognitions that are the power to produce such evident judgments.
Ockham is matter-of-fact both about the disruption of human cognitive functions
by created obstacles as in sensory illusion and about divine power to intervene
in many ways. Such facts carry no skeptical consequences for Ockham, because he
defines certainty in terms of freedom from actual doubt and error, not from the
logical, metaphysical, or natural possibility of error. In action theory,
Ockham defends the liberty of indifference or contingency for all rational
beings, created or divine. Ockham shares Duns Scotus’s understanding of the
will as a self-determining power for opposites, but not his distaste for causal
models. Thus, Ockham allows that 1 unfree acts of will may be necessitated,
either by the agent’s own nature, by its other acts, or by an external cause;
and that 2 the efficient causes of free acts may include the agent’s
intellectual and sensory cognitions as well as the will itself. While
recognizing innate motivational tendencies in the human agent e.g., the inclination to seek sensory
pleasure and avoid pain, the affectio commodi tendency to seek its own
advantage, and the affectio iustitiae inclination to love things for their own
intrinsic worth he denies that these
limit the will’s scope. Thus, Ockham goes beyond Duns Scotus in assigning the
will the power, with respect to any option, to will for it velle, to will
against it nolle, or not to act at all. In particular, Ockham concludes that
the will can will against nolle the good, whether ignorantly or perversely by hating God or by willing against its own
happiness, the good-in-general, the enjoyment of a clear vision of God, or its
own ultimate end. The will can also will velle evils the opposite of what right reason dictates,
unjust deeds qua unjust, dishonest, and contrary to right reason, and evil
under the aspect of evil. Ockham enforces the traditional division of moral
science into non-positive morality or ethics, which directs acts apart from any
precept of a superior authority and draws its principles from reason and
experience; and positive morality, which deals with laws that oblige us to
pursue or avoid things, not because they are good or evil in themselves, but
because some legitimate superior commands them. The notion that Ockham sponsors
an unmodified divine command theory of ethics rests on conflation and
confusion. Rather, in the area of non-positive morality, Ockham advances what
we might label a “modified right reason theory,” which begins with the
Aristotelian ideal of rational self-government, according to which morally
virtuous action involves the agent’s free coordination of choice with right
reason. He then observes that suitably informed right reason would dictate that
God, as the infinite good, ought to be loved above all and for his own sake,
and that such love ought to be expressed by the effort to please him in every
way among other things, by obeying all his commands. Thus, if right reason is the
primary norm in ethics, divine commands are a secondary, derivative norm. Once
again, Ockham is utterly unconcerned about the logical possibility opened by
divine liberty of indifference, that these twin norms might conflict say, if
God commanded us to act contrary to right reason; for him, their de facto
congruence suffices for the moral life. In the area of soteriological merit and
demerit a branch of positive morality, things are the other way around: divine
will is the primary norm; yet because God includes following the dictates of
right reason among the criteria for divine acceptance thereby giving the moral
life eternal significance, right reason becomes a secondary and derivative norm
there. Refs.: H. P. Grice, “Why I love Occam,” H. P. Grice, “Comments on
Occam’s ‘Summa Totius Logicae,’” H. P. Grice, “Occam on ‘significare.’”
occam’s
razor:
H. P. Grice, “Modified Occam’s Razor.” Also called the principle of parsimony,
a methodological principle commending a bias toward simplicity in the
construction of theories. The parameters whose simplicity is singled out for
attention have varied considerably, from kinds of entities to the number of
presupposed axioms to the nature of the curve drawn between data points. Found
already in Aristotle, the tag “entities should not be multiplied beyond
necessity” became associated with William Ockham although he never states that
version, and even if non-contradiction rather than parsimony is his favorite
weapon in metaphysical disputes, perhaps because it characterized the spirit of
his philosophical conclusions. Opponents, who thought parsimony was being
carried too far, formulated an “anti-razor”: where fewer entities do not
suffice, posit more!
olivi:
philosopher whose views on the theory and practice of Franciscan poverty led to
a long series of investigations of his orthodoxy. Olivi’s preference for
humility, as well as the suspicion with which he was regarded, prevented his
becoming a master of theology at Paris. After 1285, he was effectively
vindicated and permitted to teach at Florence and Montpellier. But after his
death, probably in part because his remains were venerated and his views were
championed by the Franciscan Spirituals, his orthodoxy was again examined. The
Council of Vienne 131112 condemned three unrelated tenets associated with
Olivi. Finally, in 1326, Pope John XXII condemned a series of statements based
on Olivi’s Apocalypse commentary. Olivi thought of himself chiefly as a
theologian, writing copious biblical commentaries; his philosophy of history
was influenced by Joachim of Fiore. His views on poverty inspired the leader of
the Franciscan Observant reform movement, St. Bernardino of Siena. Apart from
his views on poverty, Olivi is best known for his philosophical independence
from Aristotle, whom he condemned as a materialist. Contrary to Aristotle’s
theory of projectile motion, Olivi advocated a theory of impetus. He undermined
orthodox views on Aristotelian categories. His attack on the category of
relation was thought to have dangerous implications in Trinitarian theology.
Ockham’s theory of quantity is in part a defense of views presented by Olivi.
Olivi was critical of Augustinian as well as Aristotelian views; he abandoned
the theories of seminal reason and divine illumination. He also argued against
positing impressed sensible and intelligible species, claiming that only the
soul, not perceptual objects, played an active role in perception. Bold as his
philosophical views were, he presented them tentatively. A voluntarist, he
emphasized the importance of will. He claimed that an act of understanding was
not possible in the absence of an act of will. He provided an important
experiential argument for the freedom of the will. His treatises on contracts
revealed a sophisticated understanding of economics. His treatise on
evangelical poverty includes the first defense of a theory of papal
infallibility.
omega: the
last letter of the Grecian alphabet w. Following Canto,, it is used in
lowercase as a proper name for the first infinite ordinal number, which is the
ordinal of the natural ordering of the set of finite ordinals. By extension it
is also used as a proper name for the set of finite ordinals itself or even for
the set of natural numbers. Following Gödel 678, it is used as a prefix in names
of various logical properties of sets of sentences, most notably
omega-completeness and omega-consistency. Omega-completeness, in the original
sense due to Tarski, is a syntactical property of sets of sentences in a formal
arithmetic language involving a symbol ‘0’ for the number zero and a symbol ‘s’
for the so-called successor function, resulting in each natural number being
named by an expression, called a numeral, in the following series: ‘0’, ‘s0’,
‘ss0’, and so on. For example, five is denoted by ‘sssss0’. A set of sentences
is said to be omegacomplete if it deductively yields every universal sentence
all of whose singular instances it yields. In this framework, as usual, every
universal sentence, ‘for every n, n has P’ yields each and every one of its
singular instances, ‘0 has P’, ‘s0 has P’, ‘ss0 has P’, etc. However, as had
been known by logicians at least since the Middle Ages, the converse is not
true, i.e., it is not in general the case that a universal sentence is
deducible from the set of its singular instances. Thus one should not expect to
find omega-completeness except in exceptional sets. The set of all true
sentences of arithmetic is such an exceptional set; the reason is the semantic
fact that every universal sentence whether or not in arithmetic is materially
equivalent to the set of all its singular instances. A set of sentences that is
not omega-complete is said to be omega-incomplete. The existence of
omega-incomplete sets of sentences is a phenomenon at the core of the 1 Gödel
incompleteness result, which shows that every “effective” axiom set for
arithmetic is omega-incomplete and thus has as theorems all singular instances
of a universal sentence that is not one of its theorems. Although this is a
remarkable fact, the existence of omega-incomplete sets per se is far from
remarkable, as suggested above. In fact, the empty set and equivalently the set
of all tautologies are omega-incomplete because each yields all singular
instances of the non-tautological formal sentence, here called FS, that
expresses the proposition that every number is either zero or a successor.
Omega-consistency belongs to a set that does not yield the negation of any
universal sentence all of whose singular instances it yields. A set that is not
omega-consistent is said to be omega-inconsistent. Omega-inconsistency of
course implies consistency in the ordinary sense; but it is easy to find
consistent sets that are not omega-consistent, e.g., the set whose only member
is the negation of the formal sentence FS mentioned above. Corresponding to the
syntactical properties just mentioned there are analogous semantic properties
whose definitions are obtained by substituting ‘semantically implies’ for
‘deductively yields’. The Grecian letter omega and its English name have many
other uses in modern logic. Carnap introduced a non-effective, non-logical
rule, called the omega rule, for “inferring” a universal sentence from its
singular instances; adding the omega rule to a standard axiomatization of
arithmetic produces a complete but non-effective axiomatization. An
omega-valued logic is a many-valued logic whose set of truth-values is or is
the same size as the set of natural numbers. Refs.: H. P. Grice, “I know that
there are infinitely many stars.”
one-at-a-time-sailor. He is loved by the altogether nice girl. Or grasshopper:
Grice’s one-at-a-time grasshopper. His rational reconstruction of ‘some’ and
‘all.’ “A simple proposal for the treatment of the two quantifiers, rendered
otiosely in English by “all” and “some (at least one),” – “the” is definable in
terms of “all” -- would call for the assignment to a predicate such as that of
‘being a grasshopper,” symbolized by “G,” besides its normal or standard
EXtension, two special things (or ‘object,’ if one must use Quine’s misnomer),
associated with quantifiers, an 'altogether' ‘substitute’, thing or object and
a 'one-at-a-time' non-substitute thing or object.”“To the predicate
'grasshopper' is assigned not only an individual, viz. a grasshopper, but also
what I call ‘The All-Together Grass-Hopper,’
or species-1and ‘The One-At-A-Time Grass-Hopper,’ or species-2. “I now
stipulate that an 'altogether' item satisfies such a predicate as “being a
grasshopper,” or G, just in case every normal or standard item associated with
“the all-to-gether” grasshopper satisfies the predicate in question. Analogously,
a 'one-at-a-time' item satisfies a predicate just in case “SOME (AT LEAST ONE)”
of the associated standard items satisfies that predicate.”“So ‘The
All-To-Gether Grass-Hopper izzes green just in case every individual
grasshopper is green.The one-at-a-time grasshopper izzes green just in case some
(at least one) individual grasshopper izzes green.”“We can take this pair of
statements about these two special grasshoppers as providing us with
representations of (respectively) the statements, ‘Every grass-hopper is
green,’ and ‘Some (at least one) grasshopper is green.’“The apparatus which
Grice sketched is plainly not, as it stands, adequate to provide a comprehensive
treatment of quantification.”“It will not, e. g. cope with well-known problems of
multiple quantification,” as in “Every Al-Together Nice Grass-Hopper Loves A
Sailing Grass-Hopper.”“It will not deliver for us distinct representations of
the two notorious (alleged) readings of ‘Every nice girl loves a sailor,” in
one of which (supposedly) the universal quantifier is dominant with respect to
scope, and in the other of which the existential quantifier is dominant.”The
ambiguity was made ambiguous by Marie Lloyd. For every time she said “a
sailor,” she pointed at herself – thereby disimplicating the default implicaturum
that the universal quantifier be dominant. “To cope with Marie Lloyd’s problem
it might be sufficient to explore, for semantic purposes, the device of
exportation, and to distinguish between, 'There exists a sailor such that every
nice girl loves him', which attributes a certain property to the one-at-a-time
sailor, and (ii) 'Every nice girl is such that she loves some sailor', which
attributes a certain (and different) property to the altogether nice girl.Note
that, as one makes this move, that though exportation, when applied to
statements about individual objects, seems not to affect truth-value, whatever
else may be its semantic function, when it is applied to sentences about
special objects it may, and sometimes will, affect truth-value.”“But however
effective this particular shift may be, it is by no means clear that there are
not further demands to be met which would overtax the strength of the envisaged
apparatus.It is not, for example, clear whether it could be made adequate to
deal with indefinitely long strings of 'mixed' quantifiers.”“The proposal might
also run into objections of a more conceptual character from those who would
regard the special objects which it invokes as metaphysically disreputable –
for where would an ‘altogether sailor” sail?, or an one-at-a-time grasshopper
hop?“Should an alternative proposal be reached or desired, one (or, indeed,
more than one) is available.”“One may be regarded as a replacement for, an
extension of, or a reinterpretation of the scheme just outlined, in accordance
with whatever view is finally taken of the potency and respectability of the ideas
embodied in that scheme.” “This proposal treats a propositional complexum as a
sequence, indeed as ordered pairs containing a subject-item and a
predicate-item.It thus offers a subject-predicate account of quantification (as
opposed to what?, you may wonder). However, it will not allow an individual, i.
e. a sailor, or a nice girl, to appear as COMPONENTS in a propositional
complexum.The sailor and the nice girl will always be reduced, ‘extensionally,’
or ‘extended,’ if you wish, as a set or an attribute.“According to the class-theoretic
version, we associate with the subject-expression of a canonically formulated
sentence a class of (at least) a second order. If the subject expression is a
singular name, like “Grice,” its ontological correlatum will be the singleton
of the singleton of the entity which bears the name Grice, or Pop-Eye.” “The
treatment of a singular terms which are not names – e. g. ‘the sailor’ -- will
be parallel, but is here omitted. It involves the iota operator, about which
Russell would say that Frege knew a iota. If the subject-expression is an
indefinite quantificational phrase, like 'some (at least one) sailor’ ‘or some
(at least one) grasshopper', its ontological correlatum will be the set of all
singletons whose sole member is a member belonging to the extension of the
predicate to which the indefinite modifier “some (at least one)” is attached.So
the ontological correlatum of the phrase ‘some (at least one) sailor’ or 'some (at
least one) grasshopper' will be the class of all singletons whose sole member
is an individuum (sailor, grasshopper). If the subject expression is a universal
quantificational phrase, like ‘every nice girl’ its ontological correlatum will
be the singleton whose sole member is the class which forms the extension of
the predicate to which the universal modifier (‘every’) is attached.Thus, the correlate of the phrase 'every nice girl' will
be the singleton of the class of nice girls.The song was actually NOT written
by a nice girl – but by a bad boy.A predicate of a canonically formulated
sentence is correlated with the classes which form its extension.As for the
predication-relation, i. e., the relation which has to obtain between
subject-element and predicate-element in a propositional complex for that
complex to be factive, a propositional complexum is factive or
value-satisfactory just in case its subject-element contains as a member at least
one item which is a sub-class of the predicate-element.”If the ontological
correlatum of 'a sailor,’ or, again, of 'every nice girl') contains as a member
at least one subset of the ontological correlata of the dyadic predicate ' …
loves … ' (viz. the class of love), the propositional complexum directly
associated with the sentence ‘A sailor loves every nice girl’ is factive, as is
its converse“Grice devotes a good deal of energy to the ‘one-at-a-time-sailor,’
and the ‘altogether nice girl’ and he convinced himself that it offered a
powerful instrument which, with or without adjustment, is capable of handling
not only indefinitely long sequences of ‘mixed’ quantificational phrases, but
also some other less obviously tractable problems, such as the ‘ground’ for
this being so: what it there about a sailor – well, you know what sailors are.
When the man o' war or merchant ship comes sailing into port/The jolly tar with
joy, will sing out, Land Ahoy!/With his pockets full of money and a parrot in a
cage/He smiles at all the pretty girls upon the landing stage/All the nice
girls love a sailor/All the nice girls love a tar/For there's something about a
sailor/(Well you know what sailors are!)/Bright and breezy, free and easy,/He's
the ladies' pride and joy!/He falls in love with Kate and Jane, then he's off
to sea again,/Ship ahoy! Ship ahoy!/He will spend his money freely, and he's
generous to his pals,/While Jack has got a sou, there's half of it for you,/And
it's just the same in love and war, he goes through with a smile,/And you can
trust a sailor, he's a white man (meaning: honest man) all the while!“Before
moving on, however, I might perhaps draw attention to three features of the
proposal.”“First, employing a strategy which might be thought of as Leibnizian,
it treats a subject-element (even a lowly tar) as being of an order HIGHER than,
rather than an order LOWER than, the predicate element.”“Second, an individual
name, such as Grice, is in effect treated like a universal quantificational
phrase, thus recalling the practice of old-style traditionalism.“Third, and
most importantly, the account which is offered is, initially, an account of
propositional complexes, not of propositions; as I envisage them, propositions
will be regarded as families of propositional complexes.”“Now the propositional
complexum directly associated with the sentence “Every nice girl loves a
sailor” (WoW: 34) will be both logically equivalent to and numerically distinct
from the propositional complex directly associated with ‘It is not the case
that no nice girl loves no sailor.’ Indeed for any given propositional complex
there will be indefinitely many propositional complexes which are both
equipolent to yet numerically distinct from the original complexum. Strawson
used to play with this. The question of how tight or how relaxed are to be the
family ties which determine the IDENTITY of propositio 1 with propositio 2 remains to be decided. Such conditions will vary
according to context or purpose. Refs.: H. P. Grice, “Every nice girl loves a
sailor: the implicatura.”
occam : a picturesque village in Surrey. His most notable
resident is William. When William left Occam, he was often asked, “Where are
you from?” In the vernacular, he would make an effort to aspirate the ‘h’
Ock-Home.’ His French friends were unable to aspirate, and he ended up
accepting that perhaps he WAS from “Occam.” Vide Modified Occam’s Razor.
occamism
-- Occamism:
d’Ailly, P.: Ockhamist philosopher, prelate, and writer. Educated at the
Collège de Navarre, he was promoted to doctor in the Sorbonne in 1380,
appointed chancellor of Paris in 1389,
consecrated bishop in 1395, and made a cardinal in 1411. He was influenced by
John of Mirecourt’s nominalism. He taught Gerson. At the Council of Constance
141418, which condemned Huss’s teachings, d’Ailly upheld the superiority of the
council over the pope conciliarism. The relation of astrology to history and
theology figures among his primary interests. His 1414 Tractatus de Concordia
astronomicae predicted the 1789
Revolution. He composed a De anima, a commentary on Boethius’s
Consolation of Philosophy, and another on Peter Lombard’s Sentences. His early
logical work, Concepts and Insolubles c.1472, was particularly influential. In
epistemology, d’Ailly contradistinguished “natural light” indubitable knowledge
from reason relative knowledge, and emphasized thereafter the uncertainty of
experimental knowledge and the mere probability of the classical “proofs” of
God’s existence. His doctrine of God differentiates God’s absolute power
potentia absoluta from God’s ordained power on earth potentia ordinata. His
theology anticipated fideism Deum esse sola fide tenetur, his ethics the spirit
of Protestantism, and his sacramentology Lutheranism.
occasion:
Grice struggled with the lingo and he not necessarily arrived at the right
choice. Occasion he uses in the strange phrase “occasion-meaning” (sic). Surely
not ‘occasional meaning.’ What is an occasion? Surely it’s a context. But Grice
would rather be seen dead than using a linguistic turn of phrase like Firth’s
context-of-utterance! So there you have the occasion-meaning. Basically, it’s
the PARTICULARISED implicaturum. On occasion o, E communicates that p. Grice
allows that there is occasion-token and occasion-type.
one-off communicatum. The
condition for an action to be taken in a specific way in cases where the
audience must recognize the utterer’s intention (a ‘one-off predicament’). The
recognition of the C-intention does not have to occur ‘once we have habits of
taking utterances one way or another.’
Blackburn: From one-off AIIBp to
one-off GAIIB. Surely we have to generalise the B into the PSI. Plus,
'action' is too strong, and should be replaced by 'emitting'This
yields From EIIψp GEIIψp. According to this
assumption, an emissor who is not assuming his addressee shares any system of
communication is in the original situation that S. W. Blackburn, of Pembroke,
dubbs “the one-off
predicament, and one can provide a scenario where the Griciean conditions, as
they are meant to hold, do hold, and emissor E communicates that p i. e. C1,
C2, and C3, are fulfilled, be accomplished in the "one-off predicament" (in
which no linguistic or other conventional ...The Gricean mechanism with
its complex communicative intentions has a clear point in what Blackburn calls
“a one-off predicament”
- a . Simon
Blackburn's "one-off
predicament" of communicating without a shared language
illustrates how Grice's theory can be applied to iconic signals such as
the ...Blackburn's
"one-off predicament" of communicating without a shared language
illustrates how Grice's theory can be applied to iconic signals such as the
drawing of a skull to wam of danger. See his Spreading the Word. III. 112.Thus S may draw a pic- "one-off predicament"). ... Clarendon, 1976); and Simon Blackburn, Spreading the Word
(Oxford: Clarendon, 1984) ...by
Blackburn in “Spreading the word.” Since Grice’s main motivation is to progress
from one-off to philosophers’s mistakes, he does not explore the situation. He
gets close to it in “Meaning Revisited,” when proposing a ‘rational
reconstruction,’ FROM a one-off to a non-iconic system of communication, where
you can see his emphasis and motivation is in the last stage of the progress.
Since he is having the ‘end result,’ sometimes he is not careful in the
description of the ‘one-off,’ or dismissive of it. But as Blackburn notes, it
is crucial that Grice provides the ‘rudiments’ for a ‘meaning-nominalism,’
where an emissor can communicate that p in a one-off scenario. This is all
Grice needs to challenge those accounts based on ‘convention,’ or the idea of a
‘system’ of communication. There is possibly an implicaturum to the effect that
if something is a device is not a one-off, but that is easily cancellable. “He
used a one-off device, and it worked.”
one-piece-repertoire: of hops and rye, and he told me that in twenty-two years
neither the personnel of the three-piece band nor its one-piece
repertoire had undergone a change.
one-many problem: also
called one-and-many problem, the question whether all things are one or many.
According to both Plato and Aristotle this was the central question for
pre-Socratic philosophers. Those who answered “one,” the monists, ascribed to
all things a single nature such as water, air, or oneness itself. They appear
not to have been troubled by the notion that numerically many things would have
this one nature. The pluralists, on the other hand, distinguished many
principles or many types of principles, though they also maintained the unity
of each principle. Some monists understood the unity of all things as a denial
of motion, and some pluralists advanced their view as a way of refuting this
denial. To judge from our sources, early Grecian metaphysics revolved around
the problem of the one and the many. In the modern period the dispute between
monists and pluralists centered on the question whether mind and matter
constitute one or two substances and, if one, what its nature is.
one over many, a
universal; especially, a Platonic Form. According to Plato, if there are, e.g.,
many large things, there must be some one largeness itself in respect of which
they are large; this “one over many” hen epi pollon is an intelligible entity,
a Form, in contrast with the sensible many. Plato himself recognizes
difficulties explaining how the one character can be present to the many and
why the one and the many do not together constitute still another many e.g.,
Parmenides 131a133b. Aristotle’s sustained critique of Plato’s Forms
Metaphysics A 9, Z 1315 includes these and other problems, and it is he, more
than Plato, who regularly uses ‘one over many’ to refer to Platonic Forms.
ontogenesis. Grice taught his children “not to tell lies” – “as my
father and my mother taught me.” One of his favourite paintings was “When did
you last see your father?” “I saw him in my dreams,” – “Not a lie, you see.” it
is interesting that Grice was always enquiring his childrens playmates: Can a
sweater be red and green all over? No stripes allowed! One found a
developmental account of the princile of conversational helpfulness boring, or
as he said, "dull." Refs.: There is an essay on the semantics of
children’s language, BANC.
ontological
marxism: As opposed to
‘ontological laisssez-faire’ Note the use of ‘ontological’ in ‘ontological’
Marxism. Is not metaphysical Marxism, so Grice knows what he is talking about.
Many times when he uses ‘metaphysics,’ he means ‘ontological.’ Ontological for Grice is at least liberal. He is
hardly enamoured of some of the motivations which prompt the advocacy of
psycho-physical identity. He has in mind a concern to exclude an entity such as
as a ‘soul,’ an event of the soul, or a property of the soul. His taste is for
keeping open house for all sorts of conditions of entities, just so long as
when the entity comes in it helps with the housework, i. e., provided that
Grice see the entity work, and provided that it is not detected in illicit
logical behaviour, which need not involve some degree of indeterminacy, The
entity works? Ergo, the entity exists. And, if it comes on the recommendation
of some transcendental argument the entity may even qualify as an entium
realissimum. To exclude an honest working entitiy is metaphysical snobbery, a
reluctance to be seen in the company of any but the best. A category, a
universalium plays a role in Grice’s meta-ethics. A principles or laws
of psychology may be self-justifying, principles connected with the
evaluation of ends. If these same principles play a role in determining
what we count as entia realissima, metaphysics, and an abstractum would be
grounded in part in considerations about value (a not unpleasant
project). This ontological Marxism is latter day. In “Some remarks,” he
expresses his disregard for what he calls a “Wittgensteinian” limitation in
expecting behavioural manifestation of an ascription about a soul. Yet in
“Method” he quotes almost verbatim from Witters, “No psychological postulation
without the behaviour the postulation is meant to explain.” It was possibly D.
K. Lewis who made him change his mind. Grice was obsessed with Aristotle on
‘being,’ and interpreted Aristotle as holding a thesis of unified semantic
‘multiplicity.’ This is in agreement with the ontological Marxism, in more than
one ways. By accepting a denotatum for a praedicatum like ‘desideratum,’ Grice
is allowing the a desideratum may be the subject of discourse. It is an
‘entity’ in this fashion. Marxism and laissez-faire both
exaggerate the role of the economy. Society needs a safety net to soften the
rough edges of free enterprise. Refs.: H. P. Grice, “Ontological Marxism
and ontological laissez-faire.” Engels – studied by Grice for his “Ontological
Marxism” -- F, G. socialist and economist who, with Marx, was the founder of
what later was called Marxism. Whether there are significant differences
between Marx and Engels is a question much in dispute among scholars of
Marxism. Certainly there are differences in emphasis, but there was also a
division of labor between them. Engels, and not Marx, presented a Marxist
account of natural science and integrated Darwinian elements in Marxian theory.
But they also coauthored major works, including The Holy Family, The G.
Ideology 1845, and The Communist Manifesto 1848. Engels thought of himself as
the junior partner in their lifelong collaboration. That judgment is correct,
but Engels’s work is both significant and more accessible than Marx’s. He gave
popular articulations of their common views in such books as Socialism: Utopian
and Scientific and AntiDühring 1878. His work, more than Marx’s, was taken by
the Second International and many subsequent Marxist militants to be definitive
of Marxism. Only much later with some Western Marxist theoreticians did his
influence decline. Engels’s first major work, The Condition of the Working
Class in England 1845, vividly depicted workers’ lives, misery, and systematic
exploitation. But he also saw the working class as a new force created by the
industrial revolution, and he developed an account of how this new force would
lead to the revolutionary transformation of society, including collective
ownership and control of the means of production and a rational ordering of
social life; all this would supersede the waste and disparity of human
conditions that he took to be inescapable under capitalism. The G. Ideology,
jointly authored with Marx, first articulated what was later called historical
materialism, a conception central to Marxist theory. It is the view that the
economic structure of society is the foundation of society; as the productive
forces develop, the economic structure changes and with that political, legal,
moral, religious, and philosophical ideas change accordingly. Until the
consolidation of socialism, societies are divided into antagonistic classes, a
person’s class being determined by her relationship to the means of production.
The dominant ideas of a society will be strongly conditioned by the economic
structure of the society and serve the class interests of the dominant class.
The social consciousness the ruling ideology will be that which answers to the
interests of the dominant class. From the 1850s on, Engels took an increasing
interest in connecting historical materialism with developments in natural
science. This work took definitive form in his Anti-Dühring, the first general
account of Marxism, and in his posthumously published Dialectics of Nature. AntiDühring
also contains his most extensive discussion of morality. It was in these works
that Engels articulated the dialectical method and a systematic communist
worldview that sought to establish that there were not only social laws
expressing empirical regularities in society but also universal laws of nature
and thought. These dialectical laws, Engels believed, reveal that both nature
and society are in a continuous process of evolutionary though conflict-laden
development. Engels should not be considered primarily, if at all, a
speculative philosopher. Like Marx, he was critical of and ironical about
speculative philosophy and was a central figure in the socialist movement.
While always concerned that his account be warrantedly assertible, Engels sought
to make it not only true, but also a finely tuned instrument of working-class
emancipation which would lead to a world without classes. Refs.: H. P. Grice,
“Ontological Marxism.”
ontological
commitment: the object or objects common to the ontology fulfilling
some regimented theory a term fashioned by Quine. The ontology of a regimented
theory consists in the objects the theory assumes there to be. In order to show
that a theory assumes a given object, or objects of a given class, we must show
that the theory would be true only if that object existed, or if that class is
not empty. This can be shown in two different but equivalent ways: if the
notation of the theory contains the existential quantifier ‘Ex’ of first-order
predicate logic, then the theory is shown to assume a given object, or objects
of a given class, provided that object is required among the values of the
bound variables, or additionally is required among the values of the domain of
a given predicate, in order for the theory to be true. Thus, if the theory
entails the sentence ‘Exx is a dog’, then the values over which the bound
variable ‘x’ ranges must include at least one dog, in order for the theory to
be true. Alternatively, if the notation of the theory contains for each
predicate a complementary predicate, then the theory assumes a given object, or
objects of a given class, provided some predicate is required to be true of
that object, in order for the theory to be true. Thus, if the theory contains
the predicate ‘is a dog’, then the extension of ‘is a dog’ cannot be empty, if
the theory is to be true. However, it is possible for different, even mutually
exclusive, ontologies to fulfill a theory equally well. Thus, an ontology
containing collies to the exclusion of spaniels and one containing spaniels to
the exclusion of collies might each fulfill a theory that entails ‘Ex x is a
dog’. It follows that some of the objects a theory assumes in its ontology may
not be among those to which the theory is ontologically committed. A theory is
ontologically committed to a given object only if that object is common to all
of the ontologies fulfilling the theory. And the theory is ontologically
committed to objects of a given class provided that class is not empty
according to each of the ontologies fulfilling the theory.
casus obliquum – casus rectum (orthe ptosis) vs. ‘casus obliquus – plagiai
ptoseis – genike, dotike, aitiatike. “ptosis” is not
attested in Grecian before Plato. A noun of action based on the radical of
πίπτω, to fall, ptôsis means literally a fall: the fall of a die Plato,
Republic, X.604c, or of lightning Aristotle, Meteorology, 339a Alongside this
basic value and derived metaphorical values: decadence, death, and so forth, in
Aristotle the word receives a linguistic specification that was to have great
influence: retained even in modern Grecian ptôsê πτώση, its Roman Tr. casus allowed it to designate grammatical
case in most modern European languages. In fact, however, when it first appears
in Aristotle, the term does not initially designate the noun’s case inflection.
In the De Int. chaps. 2 and 3, it qualifies the modifications, both semantic
and formal casual variation of the verb and those of the noun: he was well, he
will be well, in relation to he is well; about Philo, to Philo, in relation to
Philo. As a modification of the noun—that is, in Aristotle, of its basic form,
the nominative—the case ptôsis differs from the noun insofar as, associated
with is, was, or will be, it does not permit the formation of a true or false statement.
As a modification of the verb, describing the grammatical tense, it is
distinguished from the verb that oversignifies the present: the case of the
verb oversignifies the time that surrounds the present. From this we must
conclude that to the meaning of a given verb e.g., walk the case of the verb
adds the meaning prossêmainei πϱοσσημαίνει of its temporal modality he will
walk. Thus the primacy of the present over the past and the future is affirmed,
since the present of the verb has no case. But the Aristotelian case is a still
broader, vaguer, and more elastic notion: presented as part of expression in
chapter 20 of the Poetics, it qualifies variation in number and modality. It
further qualifies the modifications of the noun, depending on the gender ch.21
of the Poetics; Top. as well as adverbs
derived from a substantive or an adjective, like justly, which is derived from
just. The notion of case is thus essential for the characterization of
paronyms. Aristotle did not yet have specialized names for the different cases
of nominal inflection. When he needs to designate them, he does so in a
conventional manner, usually by resorting to the inflected form of a pronoun—
τούτου, of this, for the genitive, τούτῳ, to this, for the dative, and so on —
and sometimes to that of a substantive or adjective. In the Prior Analytics,
Aristotle insists on distinguishing between the terms ὅϱοι that ought always to
be stated in the nominative ϰλῆσεις, e.g. man, good, contraries, but the
premisses ought to be understood with reference to the cases of each
term—either the dative, e.g. ‘equal to this’ toutôi, dative, or the genitive,
e.g. ‘double of this’ toutou, genitive, or the accusative, e.g. ‘that which
strikes or v.s this’ τούτο, accusative, or the nominative, e.g. ‘man is an
animal’ οὗτος, nominative, or in whatever other way the word falls πίπτει in
the premiss Anal. Post., I.36, 48b, 4 In the latter expression, we may find the
origin of the metaphor of the fall—which remains controversial. Some
commentators relate the distinction between what is direct and what is oblique
as pertains to grammatical cases, which may be direct orthê ptôsis or oblique
plagiai ptôseis, but also to the grand metaphoric and conceptual register that
stands on this distinction to falling in the game of jacks, it being possible
that the jack could fall either on a stable side and stand there—the direct
case—or on three unstable sides— the oblique cases. In an unpublished
dissertation on the principles of Stoic grammar, Hans Erich Müller proposes to
relate the Stoic theory of cases to the theory of causality, by trying to
associate the different cases with the different types of causality. They would
thus correspond in the utterance to the different causal postures of the body
in the physical field. For the Stoics, predication is a matter not of
identifying an essence ousia οὖσια and its attributes in conformity with the
Aristotelian categories, but of reproducing in the utterance the causal
relations of action and passion that bodies entertain among themselves. It was
in fact with the Stoics that cases were reduced to noun cases—in Dionysius
Thrax TG, 13, the verb is a word without cases lexis aptôton, and although
egklisis means mode, it sometimes means inflection, and then it covers the variations
of the verb, both temporal and modal. If Diogenes Laertius VII.192 is to be
believed, Chrysippus wrote a work On the Five Cases. It must have included, as
Diogenes VII.65 tells us, a distinction between the direct case orthê
ptôsis—the case which, constructed with a predicate, gives rise to a
proposition axiôma, VII.64—and oblique cases plagiai ptseis, which now are
given names, in this order: genitive genikê, dative dôtikê, and accusative
aitiatikê. A classification of predicates is reported by Porphyry, cited in
Ammonius Commentaire du De Int. d’Aristote, 44, 19f.. Ammonius 42, 30f. reports
a polemic between Aristotle and the Peripatetics, on the one hand, and the
Stoics and grammarians associated with them, on the other. For the former, the
nominative is not a case, it is the noun itself from which the cases are
declined; for the latter, the nominative is a full-fledged case: it is the
direct case, and if it is a case, that is because it falls from the concept,
and if it is direct, that is because it falls directly, just as the stylus can,
after falling, remain stable and straight. Although ptôsis is part of the
definition of the predicate—the predicate is what allows, when associated with
a direct case, the composition of a proposition—and figures in the part of
dialectic devoted to signifieds, it is neither defined nor determined as a
constituent of the utterance alongside the predicate. In Stoicism, ptôsis v.ms
to signify more than grammatical case alone. Secondary in relation to the
predicate that it completes, it is a philosophical concept that refers to the
manner in which the Stoics v.m to have criticized the Aristotelian notion of
substrate hupokeimenon ὑποϰειμένον as well as the distinction between substance
and accidents. Ptôsis is the way in which the body or bodies that our
representation phantasia φαντασία presents to us in a determined manner appear
in the utterance, issuing not directly from perception, but indirectly, through
the mediation of the concept that makes it possible to name it/them in the form
of an appellative a generic concept, man, horse or a name a singular concept,
Socrates. Cases thus represent the diverse ways in which the concept of the
body falls in the utterance though Stoic nominalism does not admit the
existence of this concept—just as here there is no Aristotelian category
outside the different enumerated categorial rubrics, there is no body outside a
case position. However, caring little for these subtleties, the scholiasts of
Technê v.m to confirm this idea in their own context when they describe the
ptôsis as the fall of the incorporeal and the generic into the specific ἔϰ τοῦ
γενιϰοῦ εἰς τὸ εἰδιϰόν. In the work of the grammarians, case is reduced to the
grammatical case, that is, to the morphological variation of nouns, pronouns,
articles, and participles, which, among the parts of speech, accordingly
constitute the subclass of casuels, a parts of speech subject to case-based
inflection πτωτιϰά. The canonical list of cases places the vocative klêtikê ϰλητιϰή
last, after the direct eutheia εὐθεῖα case and the three oblique cases, in
their Stoic order: genitive, dative, accusative. This order of the oblique
cases gives rise, in some commentators eager to rationalize Scholia to the
Technê, 549, 22, to a speculation inspired by localism: the case of the PARONYM
743 place from which one comes in Grecian , the genitive is supposed naturally
to precede that of the place where one is the dative, which itself naturally
precedes that of the place where one is going the accusative. Apollonius’s
reflection on syntax is more insightful; in his Syntax III.15888 he presents,
in this order, the accusative, the genitive, and the dative as expressing three
degrees of verbal transitivity: conceived as the distribution of activity and passivity
between the prime actant A in the direct case and the second actant B in one of
the three oblique cases in the process expressed by a biactantial verb, the
transitivity of the accusative corresponds to the division A all active—B all
passive A strikes B; the transitivity of the genitive corresponds to the
division A primarily active/passive to a small degree—B primarily
passive/active to a small degree A listens to B; and the transitivity of the
dative, to the division A and B equally active-passive A fights with The direct
case, at the head of the list, owes its prmacy to the fact that it is the case
of nomination: names are given in the direct case. The verbs of existence and
nomination are constructed solely with the direct case, without the function of
the attribute being thematized as such. Although Chrysippus wrote about five
cases, the fifth case, the vocative, v.ms to have escaped the division into
direct and oblique cases. Literally appelative prosêgorikon πϱοσηγοϱιϰόν, it
could refer not only to utterances of address but also more generally to
utterances of nomination. In the grammarians, the vocative occupies a marginal
place; whereas every sentence necessarily includes a noun and a verb, the
vocative constitutes a complete sentence by itself. Frédérique Ildefonse REFS.:
Aristotle. Analytica priorTr. J.
Jenkinson. In the Works of Aristotle, vol. 1, ed. and Tr.
W. D. Ross, E. M. Edghill, J. Jenkinson, G.R.G. Mure, and Wallace
Pickford. Oxford: Oxford , 192 . Poetics. Ed.
and Tr. Stephen Halliwell.
Cambridge: Harvard / Loeb Classical
Library, . Delamarre, Alexandre. La notion de ptōsis chez Aristote et les
Stoïciens. In Concepts et Catégories dans la pensée antique, ed. by Pierre Aubenque, 3214 : Vrin, . Deleuze,
Gilles. Logique du sens. : Minuit, . Tr.
Mark Lester with Charles Stivale: The Logic of Sense. Ed. by Constantin V. Boundas. : Columbia , .
Dionysius Thrax. Technē grammatikē. Book I, vol. 1 of Grammatici Graeci,
ed. by Gustav Uhlig. Leipzig: Teubner,
188 Eng. Tr. T. D. son: The Grammar. St. Louis, 187 Fr. Tr. J.
Lallot: La grammaire de Denys le Thrace. 2nd rev. and expanded ed. : CNRS
Éditions, . Frede, Michael. The Origins of Traditional Grammar. In Historical
and Philosophical Dimensions of Logic, Methodology, and Phil. of Science, ed. by E. H. Butts and J. Hintikka, 517
Dordrecht, Neth.: Reiderl, . Reprinted, in M. Frede, Essays in Ancient Phil. ,
3385 Minneapolis: University of Minnesota Press, . . The Stoic Notion of a
Grammatical Case. Bulletin of the Institute of Classical Studies of the
University of 39 : 132 Hadot, Pierre. La notion de ‘cas’ dans la logique
stoïcienne. Pp. 10912 in Actes du XIIIe Congrès des sociétés de philosophie en
langue française. Geneva: Baconnière, . Hiersche, Rolf. Entstehung und Entwicklung
des Terminus πτῶσις, ‘Fall.’ Sitzungsberichte der deutschen Akademie der
Wissenschaften zu Berlin: Klasse für Sprachen, Literatur und Kunst 3 1955: 51
Ildefonse, Frédérique. La naissance de la grammaire dans l’Antiquité grecque. :
Vrin, . Imbert, Claude. Phénoménologies et langues formularies. : Presses
Universitaires de France, . Pinborg, Jan. Classical Antiquity: Greece. In
Current Trends in Linguistics, ed. by
Th. Sebeok. Vol. 13 in Historiography of Linguistics series. The Hague and :
Mouton, .-- oratio obliqua: The idea of
‘oratio’ is central. Grice’s sentence. It expresses ‘a thought,’ a
‘that’-clause. Oratio recta is central, too. Grice’s example is “The dog is
shaggy.” The use of ‘oratio’ here Grice disliked. One can see a squarrel
grabbing a nut, Toby judges that a nut is to eat. So we would have a
‘that’-clause, and in a way, an ‘oratio obliqua,’ which is what the UTTERER
(not the squarrel) would produce as ‘oratio recta,’ ‘A nut is to eat,’ should
the circumstance obtains. At some points he allows things like “Snow is white”
means that snow is white. Something at the Oxford Philosohical Society he would
not. Grice is vague in this. If the verb is a ‘verbum dicendi,’ ‘oratio
obliqua’ is literal. If it’s a verbum sentiendi or percipiendi, volendi, credendi,
or cognoscenti, the connection is looser. Grice was especially concerned that
buletic verbs usually do not take a that-clause (but cf. James: I will that the
distant table sides over the floor toward me. It does not!). Also that seems
takes a that-clause in ways that might not please Maucalay. Grice had explored
that-clauses with Staal. He was concerned about the viability of an initially
appealing etymological approach by Davidson to the that-clause in terms of
demonstration. Grice had presupposed the logic of that-clauses from a much
earlier stage, Those spots mean that he has measles.The f. contains a copy of
Davidsons essay, On saying that, the that-clause, the that-clause, with Staal .
Davidson quotes from Murray et al. The Oxford English Dictionary, Oxford.
Cf. Onions, An Advanced English Syntax, and remarks that first learned
that that in such contexts evolved from an explicit demonstrative from
Hintikkas Knowledge and Belief. Hintikka remarks that a similar development has
taken place in German Davidson owes the reference to the O.E.D. to Stiezel.
Indeed Davidson was fascinated by the fact that his conceptual inquiry repeated
phylogeny. It should come as no surprise that a that-clause
utterance evolves through about the stages our ruminations have just
carried us. According to the Oxford English Dictionary, the use of that in a
that-clause is generally held to have arisen out of the demonstrative pronoun
pointing to the clause which it introduces. The sequence goes as follows. He
once lived here: we all know that; that, now this, we all know: he once lived
here; we all know that, or this: he once lived here; we all know that he once
lived here. As Hintikka notes, some pedants trying to display their knowledge
of German, use a comma before that: We all know, that he once lived here, to
stand for an earlier :: We all know: that he once lived here. Just like
the English translation that, dass can be omitted in a
sentence. Er glaubt, dass die Erde eine
Scheibe sei. He believes that the Earth is a disc. Er
glaubt, die Erde sei eine Scheibe. He believes the Earth is a disc. The
that-clause is brought to the fore by Davidson, who, consulting the OED,
reminds philosophers that the English that is very cognate with the German
idiom. More specifically, that is a demonstrative, even if the syntax, in
English, hides this fact in ways which German syntax doesnt. Grice needs
to rely on that-clauses for his analysis of mean, intend, and notably
will. He finds that Prichards genial discovery was the license to use
willing as pre-facing a that-clause. This allows Grice to deals with
willing as applied to a third person. I will that he wills that he wins the
chess match. Philosophers who disregard this third-person use may indulge in
introspection and Subjectsivism when they shouldnt! Grice said that Prichard
had to be given great credit for seeing that the accurate specification of
willing should be willing that and not willing to. Analogously, following
Prichard on willing, Grice does not
stipulate that the radix for an intentional (utterer-oriented or
exhibitive-autophoric-buletic) incorporate a reference to the utterer (be in
the first person), nor that the radix for an imperative (addressee-oriented or
hetero-phoric protreptic buletic) or desiderative in general, incorporate a
reference of the addressee (be in the second person). They shall not pass is a
legitimate intentional as is the ‘you shall not get away with it,’either
involves Prichards wills that, rather than wills to). And the sergeant is to
muster the men at dawn (uttered by a captain to a lieutenant) is a perfectly
good imperative, again involving Prichards wills that, rather than wills to. Refs.:
The allusions are scattered, but there are specific essays, one on the
‘that’-clause, and also discussions on Davidson on saying that. There is a
reference to ‘oratio obliqua’ and Prichard in “Uncertainty,” BANC.
open formula: also called
open sentence, a sentence with a free occurrence of a variable. A closed
sentence, sometimes called a ‘statement,’ has no free occurrences of variables.
In a language whose only variable-binding operators are quantifiers, an
occurrence of a variable in a formula is bound provided that occurrence either
is within the scope of a quantifier employing that variable or is the occurrence
in that quantifier. An occurrence of a variable in a formula is free provided
it is not bound. The formula ‘xy O’ is
open because both ‘x’ and ‘y’ occur as free variables. In ‘For some real number
y, xy O’, no occurrence of ‘y’ is free;
but the occurrence of ‘x’ is free, so the formula is open. The sentence ‘For
every real number x, for some real number y, xy
O’ is closed, since none of the variables occur free. Semantically, an
open formula such as ‘xy 0’ is neither
true nor false but rather true of or false of each assignment of values to its
free-occurring variables. For example, ‘xy
0’ is true of each assignment of two positive or two negative real
numbers to ‘x’ and to ‘y’ and it is false of each assignment of 0 to either and
false at each assignment of a positive real to one of the variables and a
negative to the other. Refs.: H. P. Grice, “Implicatura of free-variable
utterances.”
porosität: porosity
-- open texture, the possibility of vagueness. Waismann “Verifiability,”
Proceedings of the Aristotelian Society, introduced the metaphor, claiming that
open texture is a universal property of empirical terms. Waismann claims that
an inexhaustible source of vagueness remains even after measures are taken to
make an expression precise. His grounds were, first, that there are an
indefinite number of possibilities for which it is indeterminate whether the
expression applies i.e., for which the expression is vague. There is, e.g., no
definite answer whether a catlike creature that repeatedly vanishes into thin
air, then reappears, is a cat. Waismann’s explanation is that when we define an
empirical term, we frame criteria of its applicability only for foreseeable
circumstances. Not all possible situations in which we may use the term,
however, can be foreseen. Thus, in unanticipated circumstances, real or merely
possible, a term’s criteria of applicability may yield no definite answer to
whether it applies. Second, even for terms such as ‘gold’, for which there are
several precise criteria of application specific gravity, X-ray spectrograph,
solubility in aqua regia, applying different criteria can yield divergent
verdicts, the result being vagueness. Waismann uses the concept of open texture
to explain why experiential statements are not conclusively verifiable, and why
phenomenalist attempts to translate material object statements fail. Waismanns Konzept
der offenen Struktur oder Porosität, hat in der ... πόρος , ὁ, (πείρω,
περάω) A.means of passing a river, ford, ferry, Θρύον Ἀλφειοῖο π. Thryum the ford
of the Alphëus, Il.2.592, h.Ap.423, cf. h.Merc.398; “πόρον ἷξον Ξάνθου”
Il.14.433; “Ἀξίου π.” A.Pers.493; ἀπικνέεται ἐς τὸν π.τῆς διαβάσιος to the
place of the passage, Hdt.8.115; “π. διαβὰς Ἅλυος” A.Pers.864(lyr.); “τοῦ κατ᾽ Ὠρωπὸν
π. μηδὲν πραττέσθω” IG12.40.22. 2. narrow part of the sea, strait, “διαβὰς
πόρον Ὠκεανοῖο” Hes.Th.292; “παρ᾽ Ὠκεανοῦ . . ἄσβεστον π.” A.Pr.532 (lyr.); π. Ἕλλης
(Dor. Ἕλλας), = Ἑλλήσποντος, Pi.Fr.189, A.Pers. 875(lyr.), Ar.V.308(lyr.); Ἰόνιος
π. the Ionian Sea which is the passage-way from Greece to Italy, Pi.N.4.53;
“πέλαγος αἰγαίου πόρου” E.Hel.130; Εὔξεινος, ἄξενος π. (cf. “πόντος” 11),
Id.Andr.1262, IT253; διάραντες τὸν π., i.e. the sea between Sicily and Africa,
Plb.1.37.1; ἐν πόρῳ in the passage-way (of ships), in the fair-way, Hdt.7.183,
Th. 1.120, 6.48; “ἐν π. τῆς ναυμαχίης” Hdt.8.76; “ἕως τοῦ π. τοῦ κατὰ τὸν ὅρμον
τὸν Ἀφροδιτοπολίτην” PHib.1.38.5(iii B.C.). 3. periphr., πόροι ἁλός the paths
of the sea, i.e. the sea, Od.12.259; “Αἰγαίου πόντοιο πλατὺς π.” D.P.131; “ἐνάλιοι
π.” A.Pers.453; π.ἁλίρροθοι ib.367, S.Aj.412(lyr.); freq. of rivers, π. Ἀλφεοῦ,
Σκαμάνδρου, i.e. the Alphëus, Scamander, etc., Pi.O.1.92, A.Ch.366(lyr.), etc.;
“ῥυτοὶ π.” Id.Eu.452, cf.293; Πλούτωνος π. the river Pluto, Id.Pr.806: metaph.,
βίου π. the stream of life, Pi.I.8(7).15; “π. ὕμνων” Emp.35.1. 4. artificial
passage over a river, bridge, Hdt.4.136,140, 7.10.“γ́;” aqueduct,
IG7.93(Megara, V A.D., restd.), Epigr.Gr.1073.4 (Samos). 5. generally, pathway,
way, A.Ag. 910, S.Ph.705(lyr.), etc.; track of a wild beast, X.Cyr.1.6.40; αἰθέρα
θ᾽ ἁγνὸν πόρον οἰωνῶν their pathway, A.Pr.284(anap.); ἐν τῷ π.εἶναι to be in
the way, Sammelb.7356.11(ii A.D.): metaph., “πραπίδων πόροι” A.Supp.94(lyr.).
6. passage through a porous substance, opening, Epicur.Ep.1pp.10,18 U.; esp.
passage through the skin, οἱ πόροι the pores or passages by which the ἀπορροαί
passed, acc. to Empedocles, “πόρους λέγετε εἰς οὓς καὶ δι᾽ ὧν αἱ ἀπορροαὶ
πορεύονται” Pl.Men.76c, cf. Epicur. Fr.250, Metrod. Fr.7,Ti.Locr.100e; “νοητοὶ
π.” S.E.P.2.140; opp. ὄγκοι, Gal. 10.268; so of sponges, Arist. HA548b31; of
plants, Id.Pr. 905b8, Thphr.CP1.2.4, HP1.10.5. b. of other ducts or openings of
the body, π. πρῶτος, of the womb, Hp. ap. Poll.2.222; πόροι σπερματικοί, θορικοὶ
π., Arist.GA716b17, 720b13; π. “ὑστερικοί” the ovaries. Id.HA570a5, al.; τροφῆς
π., of the oesophagus, Id.PA650a15, al.; of the rectum, Id.GA719b29; of the
urinal duct, ib.773a21; of the arteries and veins, Id.HA510a14, etc. c.
passages leading from the organs of sensation to the brain, “ψυχὴ παρεσπαρμένη
τοῖς π.” Pl.Ax.366a; “οἱ π. τοῦ ὄμματος” Arist.Sens.438b14, cf. HA495a11, PA
656b17; ὤτων, μυκτήρων, Id.GA775a2, cf. 744a2; of the optic nerves, Heroph. ap.
Gal.7.89. II. c. gen. rei, way or means of achieving, accomplishing, discovering,
etc., “οὐκ ἐδύνατο π. οὐδένα τούτου ἀνευρεῖν” Hdt.2.2; “οὐδεὶς π. ἐφαίνετο τῆς ἁλώσιος”
Id.3.156; “τῶν ἀδοκήτων π. ηὗρε θεός” E.Med.1418 (anap.); π. ὁδοῦ a means of
performing the journey, Ar.Pax124; “π. ζητήματος” Pl.Tht.191a; but also π. κακῶν
a means of escaping evils, a way out of them, E.Alc.213 (lyr.): c. inf., “πόρος
νοῆσαι” Emp.4.12; “π. εὐθαρσεῖν” And.2.16; “π. τις μηχανή τε . . ἀντιτείσασθαι”
E.Med.260: with Preps., “π. ἀμφί τινος” A.Supp.806 codd. (lyr.); περί τινος
dub. in Ar.Ec.653; “πόροι πρὸς τὸ πολεμεῖν” X. An.2.5.20. 2. abs., providing,
means of providing, opp. ἀπορία, Pl. Men.78d sq.; contrivance, device, “οἵας
τέχνας τε καὶ π. ἐμησάμην” A.Pr. 477; δεινὸς γὰρ εὑρεῖν κἀξ ἀμηχάνων πόρον
ib.59, cf. Ar.Eq.759; “μέγας π.” A.Pr.111; “τίνα π. εὕρω πόθεν;” E.IA356
(troch.). 3. π. χρημάτων a way of raising money, financial provision,
X.Ath.3.2, HG1.6.12, D.1.19, IG7.4263.2 (Oropus, iii B.C.), etc.; “ὁ π. τῶν
χρ.” D.4.29, IG12(5).1001.1 (Ios, iv B.C.); without χρημάτων, SIG284.23
(Erythrae, iv B.C.), etc.; “μηχανᾶσθαι προσόδου π.” X.Cyr.1.6.10, cf. PTeb.75.6
(ii B.C.): in pl., 'ways and means', resources, revenue, “πόροι χρημάτων” D.
18.309: abs., “πόρους πορίζειν” Hyp.Eux.37, cf. X.Cyr.1.6.9 (sg.), Arist.
Rh.1359b23; πόροι ἢ περὶ προσόδων, title of work by X.: sg., source of revenue,
endowment, OGI544.24 (Ancyra, ii A.D.), 509.12,14 (Aphrodisias, ii A.D.), etc.
b. assessable income or property, taxable estate, freq. in Pap., as BGU1189.11
(i A.D.), etc.; liability, PHamb.23.29 (vi A.D.), etc. III. journey, voyage,
“μακρᾶς κελεύθου π.” A. Th. 546; “παρόρνιθας π. τιθέντες” Id.Eu.770, cf.
E.IT116, etc.; ἐν τῷ π. πλοῖον ἀνατρέψαι on its passage, Aeschin.3.158. IV. Π
personified as father of Ἔρως, Pl.Smp.203b.
operationalism: a program
in philosophy of science that aims to interpret scientific concepts via
experimental procedures and observational outcomes. P. W. Bridgman introduced
the terminology when he required that theoretical concepts be identified with
the operations used to measure them. Logical positivism’s criteria of cognitive
significance incorporated the notion: Bridgman’s operationalism was assimilated
to the positivistic requirement that theoretical terms T be explicitly defined
via logically equivalent to directly observable conditions O. Explicit
definitions failed to accommodate alternative measurement procedures for the
same concept, and so were replaced by reduction sentences that partially
defined individual concepts in observational terms via sentences such as ‘Under
observable circumstances C, x is T if and only if O’. Later this was weakened
to allow ensembles of theoretical concepts to be partially defined via
interpretative systems specifying collective observable effects of the concepts
rather than effects peculiar to single concepts. These cognitive significance
notions were incorporated into various behaviorisms, although the term
‘operational definition’ is rarely used by scientists in Bridgman’s or the
explicit definition senses: intervening variables are theoretical concepts
defined via reduction sentences and hypothetical constructs are definable by
interpretative systems but not reduction sentences. In scientific contexts
observable terms often are called dependent or independent variables. When, as
in science, the concepts in theoretical assertions are only partially defined,
observational consequences do not exhaust their content, and so observational
data underdetermines the truth of such assertions in the sense that more than
one theoretical assertion will be compatible with maximal observational
data.
operator: a one-place
sentential connective; i.e., an expression that may be prefixed to an open or
closed sentence to produce, respectively, a new open or closed sentence. Thus
‘it is not the case that’ is a truth-functional operator. The most thoroughly
investigated operators are the intensional ones; an intensional operator O,
when prefixed to an open or closed sentence E, produces an open or closed
sentence OE, whose extension is determined not by the extension of E but by
some other property of E, which varies with the choice of O. For example, the
extension of a closed sentence is its truth-value A, but if the modal operator
‘it is necessary that’ is prefixed to A, the extension of the result depends on
whether A’s extension belongs to it necessarily or contingently. This property
of A is usually modeled by assigning to A a subset X of a domain of possible
worlds W. If X % W then ‘it is necessary that A’ is true, but if X is a proper
subset of W, it is false. Another example involves the epistemic operator ‘it
is plausible that’. Since a true sentence may be either plausible or
implausible, the truth-value of ‘it is plausible that A’ is not fixed by the
truth-value of A, but rather by the body of evidence that supports A relative
to a thinker in a given context. This may also be modeled in a possible worlds
framework, by operant conditioning operator 632 632 stipulating, for each world, which
worlds, if any, are plausible relative to it. The topic of intensional
operators is controversial, and it is even disputable whether standard examples
really are operators at the correct level of logical form. For instance, it can
be argued that ‘it is necessary that’, upon analysis, turns out to be a universal
quantifier over possible worlds, or a predicate of expressions. On the former
view, instead of ‘it is necessary that A’ we should write ‘for every possible
world w, Aw’, and, on the latter, ‘A is necessarily true’.
operator theory of
adverbs, a theory that treats adverbs and other predicate modifiers as
predicate-forming operators on predicates. The theory expands the syntax of
first-order logic by adding operators of various degrees, and makes
corresponding additions to the semantics. Romane Clark, Terence Parsons, and
Richard Montague with Hans Kamp developed the theory independently in the early
0s. For example: ‘John runs quickly through the kitchen’ contains a simple
one-place predicate, ‘runs’ applied to John; a zero-place operator, ‘quickly’, and
a one-place operator, ‘through ’ with ‘the kitchen’ filling its place. The
logical form of the sentence becomes [O1 1a [O2 0 [Pb]]], which can be read:
[through the kitchen [quickly [runs John]]]. Semantically ‘quickly’ will be
associated with an operation that takes us from the extension of ‘runs’ to a
subset of that extension. ‘John runs quickly’ will imply ‘John runs’. ‘Through
the kitchen’ and other operators are handled similarly. The wide variety of
predicate modifiers complicates the inferential conditions and semantics of the
operators. ‘John is finally done’ implies ‘John is done’. ‘John is nearly done’
implies ‘John is not done’. Clark tries to distinguish various types of
predicate modifiers and provides a different semantic analysis for operators of
different sorts. The theory can easily characterize syntactic aspects of
predicate modifier iteration. In addition, after being modified the original
predicates remain as predicates, and maintain their original degree. Further,
there is no need to force John’s running into subject position as might be the
case if we try to make ‘quickly’ an ordinary predicate.
optimum. If (a) S accepts at t an alethic acceptability-conditional
C 1 , the antecedent of which favours, to degree d, the consequent of C 1 , (b)
S accepts at t the antecedent of C 1 , end p.81 (c) after due search by S for
such a (further) conditional, there is no conditional C 2 such that (1) S
accepts at t C 2 and its antecedent, (2) and the antecedent of C 2 is an
extension of the antecedent of C 1 , (3) and the consequent of C 2 is a rival
(incompatible with) of the consequent of C 1 , (4) and the antecedent of C 2
favours the consequent of C 2 more than it favours the consequent of C 1 : then
S may judge (accept) at t that the consequent of C 1 is acceptable to degree d.
For convenience, we might abbreviate the complex clause (C) in the antecedent
of the above rule as 'C 1 is optimal for S at t'; with that abbreviation, the
rule will run: "If S accepts at t an alethic acceptability-conditional C 1
, the antecedent of which favours its consequent to degree d, and S accepts at
t the antecedent of C 1 , and C 1 is optimal for S at C 1 , then S may accept
(judge) at t that the consequent of C 1 is acceptable to degree d." Before
moving to the practical dimension, I have some observations to make.See validum. For
Grice, the validum can attain different shapes or guises. One is the optimum.
He uses it for “Emissor E communicates thata p” which ends up denotating an
‘ideal,’ that can only be deemed, titularily, to be present ‘de facto.’ The
idea is that of the infinite, or rather self-reference regressive closure. Vide
Blackburn on “open GAIIB.” Grice uses ‘optimality’ as one guise of value.
Obviously, it is, as Short and Lewis have it, the superlative of ‘bonum,’ so
one has to be careful. Optimum is used in value theory and decision theory,
too. Cf. Maximum, and minimax. In terms
of the principle of least conversational effort, the optimal move is the least
costly. To utter, “The pillar box seems red” when you can utter, “The pillar
box IS red” is to go into the trouble when you shouldn’t. So this maximin
regulates the conversational exchange. The utterer is meant to be optimally
efficient, and the addressee is intended to recognise that.
order:
the level of a system as determined by the type of entity over which the free
variables of that logic range. Entities of the lowest type, usually called type
O, are known as individuals, and entities of higher type are constructed from
entities of lower type. For example, type 1 entities are i functions from
individuals or n-tuples of individuals to individuals, and ii n-place relations
on individuals. First-order logic is that logic whose variables range over
individuals, and a model for first-order logic includes a domain of
individuals. The other logics are known as higher-order logics, and the first
of these is second-order logic, in which there are variables that range over
type 1 entities. In a model for second-order logic, the first-order domain determines
the second-order domain. For every sentence to have a definite truth-value,
only totally defined functions are allowed in the range of second-order
function variables, so these variables range over the collection of total
functions from n-tuples of individuals to individuals, for every value of n.
The second-order predicate variables range over all subsets of n-tuples of
individuals. Thus if D is the domain of individuals of a model, the type 1
entities are the union of the two sets {X: Dn: X 0 Dn$D}, {X: Dn: X 0 Dn}.
Quantifiers may bind second-order variables and are subject to introduction and
elimination rules. Thus whereas in first-order logic one may infer ‘Someone is
wise, ‘DxWx’, from ‘Socrates is wise’, ‘Ws’, in second-order logic one may also
infer ‘there is something that Socrates is’, ‘DXXs’. The step from first- to
second-order logic iterates: in general, type n entities are the domain of n !
1thorder variables in n ! 1th order logic, and the whole hierarchy is known as
the theory of types.
ordering: an
arrangement of the elements of a set so that some of them come before others.
If X is a set, it is useful to identify an ordering R of X with a subset R of
X$X, the set of all ordered pairs with members in X. If ‹ x,y 1 R then x comes before y in the ordering of
X by R, and if ‹ x,y 2 R and ‹ y,x 2 R, then x and y are incomparable. Orders on
X are therefore relations on X, since a relation on a set X is any subset of X
$ X. Some minimal conditions a relation must meet to be an ordering are i
reflexivity: ExRxx; ii antisymmetry: ExEyRxy & Ryx / x % y; and iii
transitivity: ExEyEzRxy & Ryz / Rxz. A relation meeting these three
conditions is known as a partial order also less commonly called a semi-order,
and if reflexivity is replaced by irreflexivity, Ex-Rxx, as a strict partial
order. Other orders are strengthenings of these. Thus a tree-ordering of X is a
partial order with a distinguished root element a, i.e. ExRax, and that
satisfies the backward linearity condition that from any element there is a
unique path back to a: ExEyEzRyx & Rzx / Ryz 7 Rzy. A total order on X is a
partial order satisfying the connectedness requirement: ExEyRxy 7 Ryx. Total
orderings are sometimes known as strict linear orderings, contrasting with weak
linear orderings, in which the requirement of antisymmetry is dropped. The
natural number line in its usual order is a strict linear order; a weak linear
ordering of a set X is a strict linear order of levels on which various members
of X may be found, while adding antisymmetry means that each level contains
only one member. Two other important orders are dense partial or total orders,
in which, between any two elements, there is a third; and well-orders. A set X
is said to be well-ordered by R if R is total and every non-empty subset of Y
of X has an R-least member: EY 0 X[Y & / / Dz 1 YEw 1 YRzw]. Well-ordering
rules out infinite descending sequences, while a strict well-ordering, which is
irreflexive rather than reflexive, rules out loops. The best-known example is
the membership relation of axiomatic set theory, in which there are no loops
such as x 1 y 1 x or x 1 x, and no infinite descending chains . . . x2 1 x1 1
x0.
order type omega: in
mathematics, the order type of the infinite set of natural numbers. The last
letter of the Grecian alphabet, w, is used to denote this order type; w is thus
the first infinite ordinal number. It can be defined as the set of all finite
ordinal numbers ordered by magnitude; that is, w % {0,1,2,3 . . . }. A set has
order type w provided it is denumerably infinite, has a first element but not a
last element, has for each element a unique successor, and has just one element
with no immediate predecessor. The set of even numbers ordered by magnitude,
{2,4,6,8 . . . }, is of order type w. The set of natural numbers listing first
all even numbers and then all odd numbers, {2,4,6,8 . . .; 1,3,5,7 . . . }, is
not of order type w, since it has two elements, 1 and 2, with no immediate
predecessor. The set of negative integers ordered by magnitude, { . . . 3,2,1},
is also not of order type w, since it has no first element. V.K. ordinal logic,
any means of associating effectively and uniformly a logic in the sense of a
formal axiomatic system Sa with each constructive ordinal notation a. This notion
and term for it was introduced by Alan Turing in his paper “Systems of Logic
Based on Ordinals” 9. Turing’s aim was to try to overcome the incompleteness of
formal systems discovered by Gödel in 1, by means of the transfinitely
iterated, successive adjunction of unprovable but correct principles. For
example, according to Gödel’s second incompleteness theorem, for each
effectively presented formal system S containing a modicum of elementary number
theory, if S is consistent then S does not prove the purely universal
arithmetical proposition Cons expressing the consistency of S via the
Gödelnumbering of symbolic expressions, even though Cons is correct. However,
it may be that the result S’ of adjoining Cons to S is inconsistent. This will
not happen if every purely existential statement provable in S is correct; call
this condition E-C. Then if S satisfies E-C, so also does S; % S ! Cons ; now
S; is still incomplete by Gödel’s theorem, though it is more complete than S.
Clearly the passage from S to S; can be iterated any finite number of times,
beginning with any S0 satisfying E-C, to form S1 % S; 0, S2 % S; 1, etc. But
this procedure can also be extended into the transfinite, by taking Sw to be
the union of the systems Sn for n % 0,1, 2 . . . and then Sw!1 % S;w, Sw!2 %
S;w!1, etc.; condition EC is preserved throughout. To see how far this and
other effective extension procedures of any effectively presented system S to
another S; can be iterated into the transfinite, one needs the notion of the
set O of constructive ordinal notations, due to Alonzo Church and Stephen C.
Kleene in 6. O is a set ordering ordinal logic 634 634 of natural numbers, and each a in O
denotes an ordinal a, written as KaK. There is in O a notation for 0, and with
each a in O is associated a notation sca in O with KscaK % KaK ! 1; finally, if
f is a number of an effective function {f} such that for each n, {f}n % an is
in O and KanK < Kan!1K, then we have a notation øf in O with KøfK %
limnKanK. For quite general effective extension procedures of S to S; and for
any given S0, one can associate with each a in O a formal system Sa satisfying
Ssca % S;a and Søf % the union of the S{f}n for n % 0,1, 2. . . . However, as
there might be many notations for each constructive ordinal, this ordinal logic
need not be invariant, in the sense that one need not have: if KaK % KbK then
Sa and Sb have the same consequences. Turing proved that an ordinal logic
cannot be both complete for true purely universal statements and invariant.
Using an extension procedure by certain proof-theoretic reflection principles,
he constructed an ordinal logic that is complete for true purely universal
statements, hence not invariant. The history of this and later work on ordinal
logics is traced by the undersigned in “Turing in the Land of Oz,” in The
Universal Turing Machine: A Half Century Survey, edited by Rolf Herken.
‘ordinary’-language
philosophy: vide, H. P. Grice, “Post-War Oxford Philosophy,” a
loosely structured philosophical movement holding that the significance of
concepts, including those central to traditional philosophy e.g., the concepts of truth and
knowledge is fixed by linguistic
practice. Philosophers, then, must be attuned to the actual uses of words
associated with these concepts. The movement enjoyed considerable prominence
chiefly among English-speaking philosophers between the mid-0s and the early
0s. It was initially inspired by the work of Vitters, and later by John Wisdom,
Gilbert Ryle, Norman Malcolm, J. L. Austin and H. P. Grice, though its roots go
back at least to Moore and arguably to Socrates. ‘Ordinary’-language
philosophers do not mean to suggest that, to discover what truth is, we are to
poll our fellow speakers or consult dictionaries (“Naess philosopher is not” –
Grice). Rather, we are to ask how the word ‘truth’ functions in everyday,
nonphilosophical settings. A philosopher whose theory of truth is at odds with
ordinary usage has simply misidentified the concept. Philosophical error,
ironically, was thought by Vitters to arise from our “bewitchment” by language.
When engaging in philosophy, we may easily be misled by superficial linguistic
similarities. We suppose minds to be special sorts of entity, for instance, in
part because of grammatical parallels between ‘mind’ and ‘body’. When we fail
to discover any entity that might plausibly count as a mind, we conclude that
minds must be nonphysical entities. The cure requires that we remind ourselves
how ‘mind’ and its cognates are actually used by ordinary speakers. Refs.: H.
P. Grice, “Post-war Oxford philosophy,” “Conceptual analysis and the province
of philosophy.”
organic: having parts
that are organized and interrelated in a way that is the same as, or analogous
to, the way in which the parts of a living animal or other biological organism
are organized and interrelated. Thus, an organic unity or organic whole is a
whole that is organic in the above sense. These terms are primarily used of
entities that are not literally organisms but are supposedly analogous to them.
Among the applications of the concept of an organic unity are: to works of art,
to the state e.g., by Hegel, and to the universe as a whole e.g., in absolute
idealism. The principal element in the concept is perhaps the notion of an
entity whose parts cannot be understood except by reference to their
contribution to the whole entity. Thus to describe something as an organic
unity is typically to imply that its properties cannot be given a reductive
explanation in terms of those of its parts; rather, at least some of the
properties of the parts must themselves be explained by reference to the
properties of the whole. Hence it usually involves a form of holism. Other
features sometimes attributed to organic unities include a mutual dependence
between the existence of the parts and that of the whole and the need for a
teleological explanation of properties of the parts in terms of some end or
purpose associated with the whole. To what extent these characteristics belong
to genuine biological organisms is disputed.
organicism, a theory that
applies the notion of an organic unity, especially to things that are not
literally organisms. G. E. Moore, in Principia Ethica, proposed a principle of
organic unities, concerning intrinsic value: the intrinsic value of a whole need
not be equivalent to the sum of the intrinsic values of its parts. Moore
applies the principle in arguing that there is no systematic relation between
the intrinsic value of an element of a complex whole and the difference that
the presence of that element makes to the value of the whole. E.g., he holds
that although a situation in which someone experiences pleasure in the
contemplation of a beautiful object has far greater intrinsic goodness than a
situation in which the person contemplates the same object without feeling
pleasure, this does not mean that the pleasure itself has much intrinsic value.
organism, a carbon-based
living thing or substance, e.g., a paramecium, a tree, or an ant.
Alternatively, ‘organism’ can mean a hypothetical living thing of another
natural kind, e.g., a silicon-based living thing. Defining conditions of a
carbon-based living thing, x, are as follows. 1 x has a layer made of
m-molecules, i.e., carbonbased macromolecules of repeated units that have a
high capacity for selective reactions with other similar molecules. x can
absorb and excrete through this layer. 2 x can metabolize m-molecules. 3 x can
synthesize m-molecular parts of x by means of activities of a proper part of x
that is a nuclear molecule, i.e., an m-molecule that can copy itself. 4 x can
exercise the foregoing capacities in such a way that the corresponding
activities are causally interrelated as follows: x’s absorption and excretion
causally contribute to x’s metabolism; these processes jointly causally contribute
to x’s synthesizing; and x’s synthesizing causally contributes to x’s
absorption, excretion, and metabolism. 5 x belongs to a natural kind of
compound physical substance that can have a member, y, such that: y has a
proper part, z; z is a nuclear molecule; and y reproduces by means of z’s
copying itself. 6 x is not possibly a proper part of something that satisfies
16. The last condition expresses the independence and autonomy of an organism.
For example, a part of an organism, e.g., a heart cell, is not an organism. It
also follows that a colony of organisms, e.g., a colony of ants, is not an
organism.
Origen: he became head of
the catechetical school in Alexandria. Like his mentor, Clement of Alexandria,
he was influenced by Middle Platonism. His principal works were Hexapla, On
First Principles, and Contra Celsum. The Hexapla, little of which survives,
consisted of six Hebrew and two Grecian versions of the Old Testament with
Origen’s commentary. On First Principles sets forth the most systematic Christian
theology of the early church, including some doctrines subsequently declared
heretical, such as the subordination of the Son “a secondary god” and Spirit to
the Father, preexisting human souls but not their transmigration, and a
premundane fall from grace of each human soul. The most famous of his views was
the notion of apocatastasis, universal salvation, the universal restoration of
all creation to God in which evil is defeated and the devil and his minions
repent of their sins. He interpreted hell as a temporary purgatory in which
impure souls were purified and made ready for heaven. His notion of
subordination of the Son of God to the Father was condemned by the church in
533. Origen’s Contra Celsum is the first sustained work in Christian apologetics.
It defends Christianity before the pagan world. Origen was a leading exponent
of the allegorical interpretation of the Scriptures, holding that the text had
three levels of meaning corresponding to the three parts of human nature: body,
soul, and spirit. The first was the historical sense, sufficient for simple
people; the second was the moral sense; and the third was the mystical sense,
open only to the deepest souls.
orphism: a
religious movement in ancient Greece that may have influenced Plato and some of
the pre-Socratics. Neither the nature of the movement nor the scope of its
influence is adequately understood: ancient sources and modern scholars tend to
confuse Orphism with Pythagoreanism and with ancient mystery cults, especially
the Bacchic or Dionysiac mysteries. “Orphic poems,” i.e., poems attributed to
Orpheus a mythic figure, circulated as early as the mid-sixth century B.C. We
have only indirect evidence of the early Orphic poems; but we do have a sizable
body of fragments from poems composed in later antiquity. Central to both early
and later versions is a theogonic-cosmogonic narrative that posits Night as the
primal entity ostensibly a revision of
the account offered by Hesiod and gives
major emphasis to the birth, death through dismemberment, and rebirth of the
god Dionysus. Plato gives us clear evidence of the existence in his time of
itinerant religious teachers who, drawing on the “books of Orpheus,” performed
and taught rituals of initiation and purification intended to procure divine
favor either in this life or in an afterlife. The extreme skepticism of such
scholars as Ulrich von Wilamowitz-Moellendorff and I. M. Linforth concerning
the importance of early Orphism for Grecian religion and Grecian philosophy has
been undermined by archaeological findings in recent decades: the Derveni
papyrus, which is a fragment of a philosophical commentary on an Orphic
theogony; and inscriptions with Orphic instructions for the dead, from funerary
sites in southern Italy, mainland Greece, and the Crimea.
Ortega: philosopher, studied
at Leipzig, Berlin, and Marburg. In 0 he was named professor of metaphysics at
the of Madrid and taught there until 6,
when he was forced to leave because of his political involvement in and support
for the Republic. He returned to Spain
in 5. Ortega was a prolific writer whose works fill nine thick volumes. Among
his most influential books are Meditaciones del Quijote “Meditations on the
Quixote,” 4, El tema de nuestro tiempo “The Modern Theme,” 3, La revolución de
las masas “The Revolt of the Masses,” 2, La deshumanización del arte “The
Dehumanization of Art,” 5, Historia como sistema “History as a System,” 1, and
the posthumously published El hombre y la gente “Man and People,” 7 and La idea
de principio en Leibniz“The Idea of Principle in Leibniz,” 8. His influence in
Spain and Latin America was enormous, in part because of his brilliant style of
writing and lecturing. He avoided jargon and rejected systematization; most of
his works were first written as articles for newspapers and magazines. In 3 he
founded the Revista de Occidente, a cultural magazine that helped spread his
ideas and introduced G. thought into Spain and Latin America. Ortega ventured
into nearly every branch of philosophy, but the kernel of his views is his
metaphysics of vital reason rasón vital and his perspectival epistemology. For
Ortega, reality is identified with “my life”; something is real only insofar as
it is rooted and appears in “my life.” “My life” is further unpacked as “myself”
and “my circumstances” “yo soy yo y mi circumstancia“. The self is not an
entity separate from what surrounds it; there is a dynamic interaction and
interdependence of self and things. These and the self together constitute
reality. Because every life is the result of an interaction between self and
circumstances, every self has a unique perspective. Truth, then, is
perspectival, depending on the unique point of view from which it is
determined, and no perspective is false except one that claims exclusivity.
This doctrine is known as Ortega’s perspectivism.
ostensum: In his analysis of the two basic
procedures, one involving the subjectum, and another the praedicatum, Grice
would play with the utterer OSTENDING that p. This relates to his semiotic
approach to communication, and avoiding to the maximum any reference to a
linguistic rule or capacity or faculty as different from generic rationality. In
WoW:134 Grice explores what he calls ‘ostensive correlation.’ He is exploring
communication scenarios where the Utterer is OSTENDING that p, or in predicate
terms, that the A is B. He is not so much concerned with the B, but with the
fact that “B” is predicated of a particular denotatum of “the A,” and by what
criteria. He is having in mind his uncle’s dog, Fido, who is shaggy, i.e. fairy
coated. So he is showing to Strawson that that dog over there is the one that
belongs to his uncle, and that, as Strawson can see, is a shaggy dog, by which
Grice means hairy coated. That’s the type of ‘ostensive correlation’ Grice is
having in mind. In an attempted ostensive correlation of the predicate B
(‘shaggy’) with the feature or property of being hairy coated, as per a
standard act of communication in which Grice, uttering, “Fido is shaggy’ will
have Strawson believe that Uncle Grice’s dog is hairy coated – (1) U will
perform a number of acts in each of which he ostends a thing (a1, a2, a3, etc.). (2) Simultaneously with
each ostension, he utters a token of the predicate “shaggy.” (3) It is his
intention TO OSTEND, and to be recognised as ostending, only things which are
either, in his view, plainly hairy-coated, or are, in his view, plainly NOT hairy-coated.
(4) In a model sequence these intentions are fulfilled. Grice grants that this
does not finely distinguish between ‘being hairy-coated’ from ‘being such that
the UTTERER believes to be unmistakenly hairy coated.’ But such is a problem of
any explicit correlation, which are usually taken for granted – and deemed
‘implicit’ in standard acts of communication. In
primo actu non indiget volunta* diiectivo , sed sola_» objecti ostensio ... non potest
errar* ciica finem in universali ostensum , potest tamen secundum eos
merton: Oxford
Calculators, a group of philosophers who flourished at Oxford. The name derives
from the “Liber calculationum.”. The author of this work, often called
“Calculator” by later Continental authors, is Richard Swineshead. The “Liber
calculationum” discussed a number of issues related to the quantification or
measurement of local motion, alteration, and augmentation for a fuller description
– v. Murdoch and Sylla, “Swineshead” in Dictionary of Scientific Biography. The
“Liber calculationum” has been studied mainly by historians of science and
grouped together with a number of other works discussing natural philosophical
topics by such authors as Bradwardine, Heytesbury, and Dumbleton. In earlier
histories many of the authors now referred to as Oxford Calculators are
referred to as “The Merton School,” since many of them were fellows of Merton .
But since some authors whose oeuvre appears to fit into the same intellectual
tradition e.g., Kilvington, whose “Sophismata” represents an earlier stage of
the tradition later epitomized by Heytesbury’s Sophismata have no known
connection with Merton , ‘Oxford Calculators’ would appear to be a more
accurate appellation. The works of the Oxford Calculators or Mertonians –
Grice: “I rather deem Kilvington a Mertonian than change the name of his
school!” -- were produced in the context of education in the Oxford arts
faculty – Sylla -- “The Oxford
Calculators,” in Kretzmann, Kenny, and Pinborg, eds., The Cambridge History of
Later Medieval Philosophy. At Oxford semantics is the centerpiece of the Lit.
Hum. curriculum. After semantics, Oxford came to be known for its work in
mathematics, astronomy, and natural philosophy. Students studying under the
Oxford faculty of arts not only heard lectures on the seven liberal arts and on
natural philosophy, moral philosophy, and metaphysics. They were also required
to take part in disputations. Heytesbury’s “Regule solvendi sophismatum” explicitly
and Swineshead’s “Liber calculationum” implicitly are written to prepare
students for these disputations. The three influences most formative on the
work of the Oxford Calculators were the tradition of commentaries on the works
of Aristotle; the developments in semantics, particularly the theories of
categorematic and syncategorematic terms and the theory of conseequentia,
implicate, and supposition; and and the theory of ratios as developed in
Bradwardine’s De proportionibus velocitatum in motibus. In addition to Swineshead,
Heytesbury, Bradwardine, Dumbleton, and Kilvington, other authors and works
related to the work of the Oxford Calculators are Burleigh, “De primo et ultimo
instanti, Tractatus Primus De formis accidentalibus, Tractatus Secundus De
intensione et remissione formarum; Swineshead, Descriptiones motuum; and Bode, “A
est unum calidum.” These and other works had a considerable later influence on
the Continent. Refs.: H. P. Grice,
“Sophismata in the Liber calculationum,” H. P. Grice, “My days at Merton.” – H.
P. Grice, “Merton made me.” – H. P. Grice, “Merton and post-war Oxford
philosophy.”
ousia:
The abstractum behind Grice’s ‘izz’ --. Grecian term traditionally tr. as
‘substance,’ although the strict transliteration is ‘essentia,’ a feminine
abstract noun out of the verb ‘esse.’ Formed from the participle for ‘being’,
the term ousia refers to the character of being, beingness, as if this were
itself an entity. Just as redness is the character that red things have, so
ousia is the character that beings have. Thus, the ousia of something is the
character that makes it be, its nature. But ousia also refers to an entity that
possesses being in its own right; for consider a case where the ousia of
something is just the thing itself. Such a thing possesses being by virtue of
itself; because its being depends on nothing else, it is self-subsistent and
has a higher degree of being than things whose being depends on something else.
Such a thing would be an ousia. Just which entities meet the criteria for ousia
is a question addressed by Aristotle. Something such as redness that exists
only as an attribute would not have being in its own right. An individual
person is an ousia, but Aristotle also argues that his form is more properly an
ousia; and an unmoved mover is the highest type of ousia. The traditional
rendering of the term into Latin as substantia and English as ‘substance’ is
appropriate only in contexts like Aristotle’s Categories where an ousia “stands
under” attributes. In his Metaphysics, where Aristotle argues that being a
substrate does not characterize ousia, and in other Grecian writers,
‘substance’ is often not an apt translation.
outweighed
rationality – the grammar – rationality of the end, not just the means –
extrinsic rationality – not intrinsic to the means. -- The intrinsic-extrinsic –
outweigh -- extrinsic desire, a desire of something for its conduciveness to something
else that one desires. An extrinsic desire is distinguished from an intrinsic
desire, a desire of items for their own sake, or as an end. Thus, an individual
might desire financial security extrinsically, as a means to her happiness, and
desire happiness intrinsically, as an end. Some desires are mixed: their
objects are desired both for themselves and for their conduciveness to something
else. Jacques may desire to jog, e.g., both for its own sake as an end and for
the sake of his health. A desire is strictly intrinsic if and only if its
object is desired for itself alone. A desire is strictly extrinsic if and only
if its object is not desired, even partly, for its own sake. Desires for “good
news” e.g., a desire to hear that one’s
child has survived a car accident are
sometimes classified as extrinsic desires, even if the information is desired
only because of what it indicates and not for any instrumental value that it
may have. Desires of each kind help to explain action. Owing partly to a mixed
desire to entertain a friend, Martha might acquire a variety of extrinsic
desires for actions conducive to that goal. Less happily, intrinsically
desiring to be rid of his toothache, George might extrinsically desire to
schedule a dental appointment. If all goes well for Martha and George, their
desires will be satisfied, and that will be due in part to the effects of the
desires upon their behavior.
oxonian dialectic, or
rather Mertonian dialectic – (“You need to go to Merton to do dialectic” –
Grice).- dialectic: H. P. Grice, “Athenian dialectic and Oxonian dialectic,” an
argumentative exchange involving contradiction or a technique or method
connected with such exchanges. The word’s origin is the Grecian dialegein, ‘to
argue’ or ‘converse’; in Aristotle and others, this often has the sense ‘argue
for a conclusion’, ‘establish by argument’. By Plato’s time, if not earlier, it
had acquired a technical sense: a form of argumentation through question and
answer. The adjective dialektikos, ‘dialectical’, would mean ‘concerned with
dialegein’ or of persons ‘skilled in dialegein’; the feminine dialektike is
then ‘the art of dialegein’. Aristotle says that Zeno of Elea invented
diagonalization dialectic 232 232
dialectic. He apparently had in mind Zeno’s paradoxical arguments against
motion and multiplicity, which Aristotle saw as dialectical because they rested
on premises his adversaries conceded and deduced contradictory consequences
from them. A first definition of dialectical argument might then be: ‘argument
conducted by question and answer, resting on an opponent’s concessions, and
aiming at refuting the opponent by deriving contradictory consequences’. This
roughly fits the style of argument Socrates is shown engaging in by Plato. So
construed, dialectic is primarily an art of refutation. Plato, however, came to
apply ‘dialectic’ to the method by which philosophers attain knowledge of
Forms. His understanding of that method appears to vary from one dialogue to
another and is difficult to interpret. In Republic VIVII, dialectic is a method
that somehow establishes “non-hypothetical” conclusions; in the Sophist, it is
a method of discovering definitions by successive divisions of genera into
their species. Aristotle’s concept of dialectical argument comes closer to
Socrates and Zeno: it proceeds by question and answer, normally aims at
refutation, and cannot scientifically or philosophically establish anything.
Aristotle differentiates dialectical arguments from demonstration apodeixis, or
scientific arguments, on the basis of their premises: demonstrations must have
“true and primary” premises, dialectical arguments premises that are
“apparent,” “reputable,” or “accepted” these are alternative, and disputed,
renderings of the term endoxos. However, dialectical arguments must be valid,
unlike eristic or sophistical arguments. The Topics, which Aristotle says is
the first art of dialectic, is organized as a handbook for dialectical debates;
Book VIII clearly presupposes a ruledirected, formalized style of disputation
presumably practiced in the Academy. This use of ‘dialectic’ reappears in the
early Middle Ages in Europe, though as Aristotle’s works became better known
after the twelfth century dialectic was increasingly associated with the
formalized disputations practiced in the universities recalling once again the
formalized practice presupposed by Aristotle’s Topics. In his Critique of Pure
Reason, Kant declared that the ancient meaning of ‘dialectic’ was ‘the logic of
illusion’ and proposed a “Transcendental Dialectic” that analyzed the
“antinomies” deductions of contradictory conclusions to which pure reason is
inevitably led when it extends beyond its proper sphere. This concept was
further developed by Fichte and Schelling into a traidic notion of thesis,
opposing antithesis, and resultant synthesis. Hegel transformed the notion of
contradiction from a logical to a metaphysical one, making dialectic into a
theory not simply of arguments but of historical processes within the
development of “spirit”; Marx transformed this still further by replacing
‘spirit’ with ‘matter’.
oxonian Epicureanism, --
Walter Pater, “Marius, The Epicurean” -- one of the three leading movements
constituting Hellenistic philosophy. It was founded by Epicurus 341271 B.C.,
together with his close colleagues Metrodorus c.331 278, Hermarchus Epicurus’s
successor as head of the Athenian school, and Polyaenus d. 278. He set up
Epicurean communities at Mytilene, Lampsacus, and finally Athens 306 B.C.,
where his school the Garden became synonymous with Epicureanism. These groups
set out to live the ideal Epicurean life, detached from political society
without actively opposing it, and devoting themselves to philosophical
discussion and the cult of friendship. Their correspondence was anthologized
and studied as a model of the philosophical life by later Epicureans, for whom
the writings of Epicurus and his three cofounders, known collectively as “the
Men,” held a virtually biblical status. Epicurus wrote voluminously, but all
that survives are three brief epitomes the Letter to Herodotus on physics, the
Letter to Pythocles on astronomy, etc., and the Letter to Menoeceus on ethics, a
group of maxims, and papyrus fragments of his magnum opus On Nature. Otherwise,
we are almost entirely dependent on secondary citations, doxography, and the
writings of his later followers. The Epicurean physical theory is atomistic,
developed out of the fifth-century system of Democritus. Per se existents are
divided into bodies and space, each of them infinite in quantity. Space is, or
includes, absolute void, without which motion would be impossible, while body
is constituted out of physically indivisible particles, “atoms.” Atoms are
themselves further analyzable as sets of absolute “minima,” the ultimate quanta
of magnitude, posited by Epicurus to circumvent the paradoxes that Zeno of Elea
had derived from the hypothesis of infinite divisibility. Atoms themselves have
only the primary properties of shape, size, and weight. All secondary
properties, e.g. color, are generated out of atomic compounds; given their
dependent status, they cannot be added to the list of per se existents, but it
does not follow, as the skeptical tradition in atomism had held, that they are
not real either. Atoms are in constant rapid motion, epapoge Epicureanism
269 269 at equal speed since in the
pure void there is nothing to slow them down. Stability emerges as an overall property
of compounds, which large groups of atoms form by settling into regular
patterns of complex motion, governed by the three motive principles of weight,
collisions, and a minimal random movement, the “swerve,” which initiates new
patterns of motion and blocks the danger of determinism. Our world itself, like
the countless other worlds, is such a compound, accidentally generated and of
finite duration. There is no divine mind behind it, or behind the evolution of
life and society: the gods are to be viewed as ideal beings, models of the
Epicurean good life, and therefore blissfully detached from our affairs.
Canonic, the Epicurean theory of knowledge, rests on the principle that “all
sensations are true.” Denial of empirical cognition is argued to amount to
skepticism, which is in turn rejected as a self-refuting position. Sensations
are representationally not propositionally true. In the paradigm case of sight,
thin films of atoms Grecian eidola, Latin simulacra constantly flood off
bodies, and our eyes mechanically report those that reach them, neither
embroidering nor interpreting. Inference from these guaranteed photographic, as
it were data to the nature of external objects themselves involves judgment,
and there alone error can occur. Sensations thus constitute one of the three
“criteria of truth,” along with feelings, a criterion of values and
introspective information, and prolepseis, or naturally acquired generic
conceptions. On the basis of sense evidence, we are entitled to infer the
nature of microscopic or remote phenomena. Celestial phenomena, e.g., cannot be
regarded as divinely engineered which would conflict with the prolepsis of the
gods as tranquil, and experience supplies plenty of models that would account
for them naturalistically. Such grounds amount to consistency with directly
observed phenomena, and are called ouk antimarturesis “lack of
counterevidence”. Paradoxically, when several alternative explanations of the
same phenomenon pass this test, all must be accepted: although only one of them
can be true for each token phenomenon, the others, given their intrinsic
possibility and the spatial and temporal infinity of the universe, must be true
for tokens of the same type elsewhere. Fortunately, when it comes to the basic
tenets of physics, it is held that only one theory passes this test of
consistency with phenomena. Epicurean ethics is hedonistic. Pleasure is our
innate natural goal, to which all other values, including virtue, are
subordinated. Pain is the only evil, and there is no intermediate state.
Philosophy’s task is to show how pleasure can be maximized, as follows: Bodily
pleasure becomes more secure if we adopt a simple way of life that satisfies
only our natural and necessary desires, with the support of like-minded friends.
Bodily pain, when inevitable, can be outweighed by mental pleasure, which
exceeds it because it can range over past, present, and future. The highest
pleasure, whether of soul or body, is a satisfied state, “katastematic
pleasure.” The pleasures of stimulation “kinetic pleasures”, including those
resulting from luxuries, can vary this state, but have no incremental value:
striving to accumulate them does not increase overall pleasure, but does
increase our vulnerability to fortune. Our primary aim should instead be to
minimize pain. This is achieved for the body through a simple way of life, and
for the soul through the study of physics, which achieves the ultimate
katastematic pleasure, ”freedom from disturbance” ataraxia, by eliminating the
two main sources of human anguish, the fears of the gods and of death. It
teaches us a that cosmic phenomena do not convey divine threats, b that death
is mere disintegration of the soul, with hell an illusion. To fear our own
future non-existence is as irrational as to regret the non-existence we enjoyed
before we were born. Physics also teaches us how to evade determinism, which
would turn moral agents into mindless fatalists: the swerve doctrine secures
indeterminism, as does the logical doctrine that future-tensed propositions may
be neither true nor false. The Epicureans were the first explicit defenders of
free will, although we lack the details of their positive explanation of it.
Finally, although Epicurean groups sought to opt out of public life, they took
a keen and respectful interest in civic justice, which they analyzed not as an
absolute value, but as a contract between humans to refrain from harmful
activity on grounds of utility, perpetually subject to revision in the light of
changing circumstances. Epicureanism enjoyed widespread popularity, but unlike
its great rival Stoicism it never entered the intellectual bloodstream of the
ancient world. Its stances were dismissed by many as philistine, especially its
rejection of all cultural activities not geared to the Epicurean good life. It
was also increasingly viewed as atheistic, and its ascetic hedonism was
misrepresented as crude sensualism hence the modern use of ‘epicure’. The
school nevertheless continued to flourish down to and well beyond the end of the
Hellenistic age. In the first century B.C. its exponents Epicureanism
Epicureanism 270 270 included
Philodemus, whose fragmentarily surviving treatise On Signs attests to
sophisticated debates on induction between Stoics and Epicureans, and
Lucretius, the Roman author of the great Epicurean didactic poem On the Nature
of Things. In the second century A.D. another Epicurean, Diogenes of Oenoanda,
had his philosophical writings engraved on stone in a public colonnade, and
passages have survived. Thereafter Epicureanism’s prominence declined. Serious
interest in it was revived by Renaissance humanists, and its atomism was an
important influence on early modern physics, especially through Gassendi.
oxonianism: Grice was “university lecturer in philosophy” and
“tutorial fellow in philosophy” – that’s why he always saw philosophy, like
virtue, as entire. He would never accept a post like “professor of moral
philosophy” or “professor of logic,” or “professor of metaphysical philosophy,”
or “reader in natural theology,” or “reader in mental philosophy.” So he felt a
responsibility towards ‘philosophy undepartmentilised’ and he succeded in never
disgressing from this gentlemanly attitude to philosophy as a totum, and not a
technically specified field of ‘expertise.’ See playgroup. The playgroup was
Oxonian. There are aspects of Grice’s philosophy which are Oxonian but not
playgroup-related, and had to do with his personal inclinations. The fact that
it was Hardie who was his tutor and instilled on him a love for Aristotle.
Grice’s rapport with H. A. Prichard. Grice would often socialize with members
of Ryle’s group, such as O. P. Wood, J. D. Mabbott, and W. C. Kneale. And of
course, he had a knowleddge of the history of Oxford philosophy, quoting from
J. C. Wilson, G. F. Stout, H. H. Price, Bosanquet, Bradley. He even had his
Oxonian ‘enemies,’ Dummett, Anscombe. And he would quote from independents,
like A. J. P. Kenny. But if he had to quote someone first, it was a member of
his beloved playgroup: Austin, Strawson, Warnock, Urmson, Hare, Hart,
Hampshire. Grice cannot possibly claim to talk about post-war Oxford
philosophy, but his own! Cf. Oxfords post-war philosophy. What were
Grices first impressions when arriving at Oxford. He was going to learn. Only
the poor learn at Oxford was an adage he treasured, since he wasnt
one! Let us start with an alphabetical listing of Grices play Group
companions: Austin, Butler, Flew, Gardiner, Grice, Hare, Hampshire, Hart,
Nowell-Smith, Parkinson, Paul, Pears, Quinton, Sibley, Strawson, Thomson,
Urmson, and Warnock. Grices main Oxonian association is St.
Johns, Oxford. By Oxford Philosophy, Grice notably refers to Austins Play
Group, of which he was a member. But Grice had Oxford associations
pre-war, and after the demise of Austin. But back to the Play Group, this, to
some, infamous, playgroup, met on Saturday mornings at different venues at
Oxford, including Grices own St. John’s ‒ apparently, Austins favourite
venue. Austin regarded himself and his kindergarten as linguistic or
language botanists. The idea was to list various ordinary uses of this or that
philosophical notion. Austin: They say philosophy is about language; well,
then, let’s botanise! Grices involvement with Oxford philosophy of course
predated his associations with Austins play group. He always said he was
fortunate of having been a tutee to Hardie at Corpus. Corpus, Oxford.
Grice would occasionally refer to the emblematic pelican, so prominently
displayed at Corpus. Grice had an interim association with the venue one
associates most directly with philosophy, Merton ‒: Grice, Merton,
Oxford. While Grice loved to drop Oxonian Namess, notably his rivals, such
as Dummett or Anscombe, he knew when not to. His Post-war Oxford philosophy, as
opposed to more specific items in The Grice Collection, remains general in
tone, and intended as a defense of the ordinary-language approach to
philosophy. Surprisingly, or perhaps not (for those who knew Grice), he takes a
pretty idiosyncratic characterisation of conceptual analysis. Grices
philosophical problems emerge with Grices idiosyncratic use of this or that
expression. Conceptual analysis is meant to solve his problems, not others, repr.
in WOW . Grice finds it important to reprint this since he had updated
thoughts on the matter, which he displays in his Conceptual analysis and the
province of philosophy. The topic represents one of the strands he
identifies behind the unity of his philosophy. By post-war Oxford
philosophy, Grice meant the period he was interested in. While he had been
at Corpus, Merton, and St. Johns in the pre-war days, for some reason, he felt
that he had made history in the post-war period. The historical reason
Grice gives is understandable enough. In the pre-war days, Grice was the
good student and the new fellow of St. Johns ‒ the other one was
Mabbott. But he had not been able to engage in philosophical discussion
much, other than with other tutees of Hardie. After the war, Grice indeed joins
Austins more popular, less secretive Saturday mornings. Indeed, for Grice,
post-war means all philosophy after the war (and not just say, the forties!)
since he never abandoned the methods he developed under Austin, which were
pretty congenial to the ones he had himself displayed in the pre-war days, in
essays like Negation and Personal identity. Grice is a bit of an expert on
Oxonian philosophy. He sees himself as a member of the school of analytic
philosophy, rather than the abused term ordinary-language philosophy. This
is evident by the fact that he contributed to such polemic ‒ but
typically Oxonian ‒ volumes such as Butler, Analytic Philosophy,
published by Blackwell (of all publishers). Grice led a very social life
at Oxford, and held frequent philosophical discussions with the Play group
philosophers (alphabetically listed above), and many others, such as Wood.
Post-war Oxford philosophy, miscellaneous, Oxford philosophy, in WOW, II,
Semantics and Met. , Essay. By Oxford philosophy, Grice means his own. Grice
went back to the topic of philosophy and ordinary language, as one of his
essays is precisely entitled, Philosophy and ordinary language, philosophy and
ordinary language, : ordinary-language philosophy, linguistic botanising. Grice
is not really interested in ordinary language as a philologist might. He spoke
ordinary language, he thought. The point had been brought to the fore by
Austin. If they think philosophy is a play on words, well then, lets play
the game. Grices interest is methodological. Malcolm had been claiming
that ordinary language is incorrigible. While Grice agreed that language can be
clever, he knew that Aristotle was possibly right when he explored ta
legomena in terms of the many and the selected wise, philosophy and
ordinary language, philosophy and ordinary language, : philosophy, ordinary
language. At the time of writing, ordinary-language philosophy had become,
even within Oxford, a bit of a term of abuse. Grice tries to defend
Austins approach to it, while suggesting ideas that Austin somewhat ignored,
like what an utterer implies by the use of an ordinary-language expression,
rather than what the expression itself does. Grice is concerned, contra
Austin, in explanation (or explanatory adequacy), not taxonomy (or descriptive
adequacy). Grice disregards Austins piecemeal approach to ordinary
language, as Grice searches for the big picture of it all. Grice never used
ordinary language seriously. The phrase was used, as he explains, by those who
HATED ordinary-language philosophy. Theres no such thing as ordinary language.
Surely you cannot fairly describe the idiosyncratic linguistic habits of an Old
Cliftonian as even remotely ordinary. Extra-ordinary more likely! As far as the
philosophy bit goes, this is what Bergmann jocularly described as the
linguistic turn. But as Grice notes, the linguistic turn involves both the
ideal language and the ordinary language. Grice defends the choice by Austin of
the ordinary seeing that it was what he had to hand! While Grice seems to be in
agreement with the tone of his Wellesley talk, his idioms there in. Youre
crying for the moon! Philosophy need not be grand! These seem to contrast with
his more grandiose approach to philosophy. His struggle was to defend the
minutiæ of linguistic botanising, that had occupied most of his professional
life, with a grander view of the discipline. He blamed Oxford for that. Never
in the history of philosophy had philosophers shown such an attachment to
ordinary language as they did in post-war Oxford, Grice liked to say.
Having learned Grecian and Latin at Clifton, Grice saw in Oxford a way to go
back to English! He never felt the need to explore Continental modern languages
like German or French. Aristotle was of course cited in Greek, but Descartes is
almost not cited, and Kant is cited in the translation available to Oxonians
then. Grice is totally right that never has philosophy experienced such a
fascination with ordinary use except at Oxford. The ruthless and unswerving
association of philosophy with ordinary language has been peculiar to the
Oxford scene. While many found this attachment to ordinary usage insidious, as
Warnock put it, it fit me and Grice to a T, implicating you need a sort of
innate disposition towards it! Strawson perhaps never had it! And thats why
Grices arguments contra Strawson rest on further minutiæ whose detection by
Grice never ceased to amaze his tutee! In this way, Grice felt he WAS Austins
heir! While Grice is associated with, in chronological order, Corpus, Merton,
and St. Johns, it is only St. Johns that counts for the Griceian! For it is at
St. Johns he was a Tutorial Fellow in Philosophy! And we love him as a
philosopher. Refs.: The obvious keyword is “Oxford.” His essay in WoW on
post-war Oxford philosophy is general – the material in the H. P. Grice papers
is more anecdotic. Also “Reply to Richards,” and references above under
‘linguistic botany’ and ‘play group,’ in BANC.
pacifism: Grice fought in
the second world war with the Royal Navy and earned the rank of captain. 1
opposition to war, usually on moral or religious grounds, but sometimes on the
practical ground pragmatic pacifism that it is wasteful and ineffective; 2
opposition to all killing and violence; 3 opposition only to war of a specified
kind e.g., nuclear pacifism. Not to be confused with passivism, pacifism
usually involves actively promoting peace, understood to imply cooperation and
justice among peoples and not merely absence of war. But some usually religious
pacifists accept military service so long as they do not carry weapons. Many
pacifists subscribe to nonviolence. But some consider violence and/or killing
permissible, say, in personal self-defense, law enforcement, abortion, or
euthanasia. Absolute pacifism rejects war in all circumstances, hypothetical
and actual. Conditional pacifism concedes war’s permissibility in some
hypothetical circumstances but maintains its wrongness in practice. If at least
some hypothetical wars have better consequences than their alternative,
absolute pacifism will almost inevitably be deontological in character, holding
war intrinsically wrong or unexceptionably prohibited by moral principle or
divine commandment. Conditional pacifism may be held on either deontological or
utilitarian teleological or sometimes consequentialist grounds. If
deontological, it may hold war at most prima facie wrong intrinsically but
nonetheless virtually always impermissible in practice because of the absence
of counterbalancing right-making features. If utilitarian, it will hold war
wrong, not intrinsically, but solely because of its consequences. It may say
either that every particular war has worse consequences than its avoidance act
utilitarianism or that general acceptance of or following or compliance with a
rule prohibiting war will have best consequences even if occasional particular
wars have best consequences rule utilitarianism.
paine, T.: philosopher,
revolutionary defender of democracy and human rights, and champion of popular
radicalism in three countries. Born in Thetford, England, he emigrated to
the colonies in 1774; he later moved to
France, where he was made a citizen in
1792. In 1802 he returned to the United States, where he was rebuffed by the
public because of his support for the
Revolution. Paine was the bestknown polemicist for the Revolution. In many incendiary pamphlets, he
called for a new, more democratic republicanism. His direct style and
uncompromising egalitarianism had wide popular appeal. In Common Sense 1776
Paine asserted that commoners were the equal of the landed aristocracy, thus
helping to spur colonial resentments sufficiently to support independence from
Britain. The sole basis of political legitimacy is universal, active consent;
taxation without representation is unjust; and people have the right to resist
when the contract between governor and governed is broken. He defended the Revolution in The Rights of Man 179, arguing
against concentrating power in any one individual and against a property
qualification for suffrage. Since natural law and right reason as conformity to
nature are accessible to all rational persons, sovereignty resides in human
beings and is not bestowed by membership in class or nation. Opposed to the
extremist Jacobins, he helped write, with Condorcet, a constitution to secure
the Revolution. The Age of Reason 1794, Paine’s most misunderstood work, sought
to secure the social cohesion necessary to a well-ordered society by grounding
it in belief in a divinity. But in supporting deism and attacking established
religion as a tool of enslavement, he alienated the very laboring classes he
sought to enlighten. A lifelong adversary of slavery and supporter of universal
male suffrage, Paine argued for redistributing property in Agrarian Justice
1797.
No comments:
Post a Comment