29.1: The Century of Peace
29.1.1: The European Continent After Vienna
Post-Napoleonic Europe was characterized by a general lack of major conflict between the great powers, with Great Britain as the major hegemonic power bringing relative balance to European politics.
Learning Objective
Compare post-Napoleonic Europe to the pre-French Revolution continent
Key Points
- At the end of the Napoleonic Wars, the European powers came together at the Congress of Vienna in 1815 to reorganize the political map of Europe and develop a system of conflict resolution aiming at preserving peace and balance of power, termed the Concert of Europe.
- From this point until the outbreak of World War I, there was relative peace and a lack of major conflict between the major powers, with wars generally localized and short-lived.
- The British and Russian empires expanded significantly and became the world’s leading powers. Britain’s navy had supremacy for most of the century, leading to the period often called the Pax Britannica (British Peace).
- From the 1870s onward, many nations experienced a sort of “golden age,” known as the Belle Époque, which coincided with the Gilded Age in the U.S.
- European politics saw very few regime changes during this period; however, tensions between working-class socialist parties, bourgeois liberal parties, and landed or aristocratic conservative parties increased in many countries. Some historians claim that profound political instability belied the calm surface of European politics in the era.
Key Terms
- hegemonic
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The political, economic, or military predominance or control of one state over others.
- Concert of Europe
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Also known as the Congress System or the Vienna System after the Congress of Vienna, a system of dispute resolution adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power. It is suggested that it operated in Europe from the end of the Napoleonic Wars (1815) to the early 1820s, while some see it as lasting until the outbreak of the Crimean War, 1853-1856.
- Belle Époque
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A period of Western European history conventionally dated from the end of the Franco-Prussian War in 1871 to the outbreak of World War I around 1914. Occurring during the era of the French Third Republic (beginning 1870), it was characterized by optimism, regional peace, economic prosperity and technological, scientific and cultural innovations. In the climate of the period, especially in Paris, the arts flourished.
- Pax Britannica
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The period of relative peace in Europe (1815–1914) during which the British Empire became the global hegemonic power and adopted the role of a global police force.
The 19th century was the century marked by the collapse of the Spanish, Napoleonic, Holy Roman, and Mughal empires. This paved the way for the growing influence of the British Empire, the Russian Empire, the United States, the German Empire, the French colonial empire, and Meiji Japan, with the British boasting unchallenged dominance after 1815. After the defeat of the French Empire and its allies in the Napoleonic Wars, the European powers came together at the Congress of Vienna in 1815 to reorganize the political map of Europe to preserve peace and balance of power, termed the Concert of Europe.
The British and Russian empires expanded significantly and became the world’s leading powers. The Russian Empire expanded in central and far eastern Asia. The British Empire grew rapidly in the first half of the century, especially with the expansion of vast territories in Canada, Australia, South Africa, and heavily populated India, and in the last two decades of the century in Africa. By the end of the century, the British Empire controlled a fifth of the world’s land and one-quarter of the world’s population. During the post-Napoleonic era, it enforced what became known as the Pax Britannica, which had ushered in unprecedented globalization, industrialization, and economic integration on a massive scale.
At the beginning of this period, there was an informal convention recognizing five Great Powers in Europe: the French Empire, the British Empire, the Russian Empire, the Austrian Empire (later Austria-Hungary), and the Kingdom of Prussia (later the German Empire). In the late 19th century, the newly united Italy was added to this group. By the early 20th century, two non-European states, Japan and the United States, would come to be respected as fellow Great Powers.
The entire era lacked major conflict between these powers, with most skirmishes taking place between belligerents within the borders of individual countries. In Europe, wars were much smaller, shorter, and less frequent than ever before. The quiet century was shattered by World War I (1914–18), which was unexpected in its timing, duration, casualties, and long-term impact.
Pax Britannica
Pax Britannica (Latin for “British Peace,” modeled after Pax Romana) was the period of relative peace in Europe (1815–1914) during which the British Empire became the global hegemonic power and adopted the role of a global police force.
Between 1815 and 1914, a period referred to as Britain’s “imperial century,” around 10 million square miles of territory and roughly 400 million people were added to the British Empire. Victory over Napoleonic France left the British without any serious international rival, other than perhaps Russia in central Asia. When Russia tried expanding its influence in the Balkans, the British and French defeated it in the Crimean War (1854–56), thereby protecting the by-then feeble Ottoman Empire.
Britain’s Royal Navy controlled most of the key maritime trade routes and enjoyed unchallenged sea power. Alongside the formal control it exerted over its own colonies, Britain’s dominant position in world trade meant that it effectively controlled access to many regions, such as Asia and Latin America. British merchants, shippers, and bankers had such an overwhelming advantage over everyone else that in addition to its colonies it had an informal empire.
The global superiority of British military and commerce was aided by a divided and relatively weak continental Europe and the presence of the Royal Navy on all of the world’s oceans and seas. Even outside its formal empire, Britain controlled trade with countries such as China, Siam, and Argentina. Following the Congress of Vienna, the British Empire’s economic strength continued to develop through naval dominance and diplomatic efforts to maintain a balance of power in continental Europe.
In this era, the Royal Navy provided services around the world that benefited other nations, such as the suppression of piracy and blocking the slave trade. The Slave Trade Act 1807 banned the trade across the British Empire, after which the Royal Navy established the West Africa Squadron and the government negotiated international treaties under which they could enforce the ban. Sea power, however, did not project on land. Land wars fought between the major powers include the Crimean War, the Franco-Austrian War, the Austro-Prussian War, and the Franco-Prussian War, as well as numerous conflicts between lesser powers. The Royal Navy prosecuted the First Opium War (1839–1842) and Second Opium War (1856–1860) against Imperial China. The Royal Navy was superior to any other two navies in the world, combined. Between 1815 and the passage of the German naval laws of 1890 and 1898, only France was a potential naval threat.
The Pax Britannica was weakened by the breakdown of the continental order established by the Congress of Vienna. Relations between the Great Powers of Europe were strained to breaking by issues such as the decline of the Ottoman Empire, which led to the Crimean War, and later the emergence of new nation states of Italy and Germany after the Franco-Prussian War. Both wars involved Europe’s largest states and armies. The industrialization of Germany, the Empire of Japan, and the United States contributed to the relative decline of British industrial supremacy in the early 20th century.
Pax Britannica
Map of the world from 1897. The British Empire (marked in pink) was the superpower of the 19th century.
Belle Époque
The Belle Époque (French for “Beautiful Era”) was a period of Western European history conventionally dated from the end of the Franco-Prussian War in 1871 to the outbreak of World War I in around 1914. Occurring during the era of the French Third Republic (beginning 1870), it was a period characterized by optimism, regional peace, economic prosperity, and technological, scientific and cultural innovations. In the climate of the period, especially in Paris, the arts flourished. Many masterpieces of literature, music, theater, and visual art gained recognition. The Belle Époque was named, in retrospect, when it began to be considered a “Golden Age” in contrast to the horrors of World War I.
In the United Kingdom, the Belle Époque overlapped with the late Victorian era and the Edwardian era. In Germany, the Belle Époque coincided with the Wilhelminism; in Russia with the reigns of Alexander III and Nicholas II. In the newly rich United States emerging from the Panic of 1873, the comparable epoch was dubbed the Gilded Age. In Brazil it started with the end of the Paraguayan War, and in Mexico the period was known as the Porfiriato.
The years between the Franco-Prussian War and World War I were characterized by unusual political stability in western and central Europe. Although tensions between the French and German governments persisted as a result of the French loss of Alsace-Lorraine to Germany in 1871, diplomatic conferences, including the Congress of Berlin in 1878, the Berlin Congo Conference in 1884, and the Algeciras Conference in 1906, mediated disputes that threatened the general European peace. For many Europeans in the Belle Époque period, transnational, class-based affiliations were as important as national identities, particularly among aristocrats. An upper-class gentleman could travel through much of Western Europe without a passport and even reside abroad with minimal bureaucratic regulation. World War I, mass transportation, the spread of literacy, and various citizenship concerns changed this.
European politics saw very few regime changes, the major exception being Portugal, which experienced a republican revolution in 1910. However, tensions between working-class socialist parties, bourgeois liberal parties, and landed or aristocratic conservative parties increased in many countries, and some historians claim that profound political instability belied the calm surface of European politics in the era. In fact, militarism and international tensions grew considerably between 1897 and 1914, and the immediate prewar years were marked by a general armaments competition in Europe. Additionally, this era was one of massive overseas colonialism known as the New Imperialism. The most famous portion of this imperial expansion was the Scramble for Africa.
29.1.2: Diplomacy in the 19th Century
The Congress of Vienna established many of the diplomatic norms of the 19th century and created an informal system of diplomatic conflict resolution aimed at maintaining a balance of power among nations, which contributed to the relative peace of the century.
Learning Objective
Describe the role diplomacy played on the European continent after Napoleon
Key Points
- Although the notion of diplomacy has existed since ancient times, the forms and practices of modern diplomacy were established at the Congress of Vienna in 1815.
- The Congress of Vienna was a meeting of the major powers of Europe aimed at providing a long-term peace plan for Europe by settling critical issues arising from the French Revolutionary Wars and the Napoleonic Wars.
- The goal was not simply to restore old boundaries but to resize the main powers so they could balance each other and remain at peace. Another goal was to develop a system of diplomatic conflict resolution called the Concert of Europe, whereby at times of crisis any of the member countries could propose a conference.
- Meetings of the Great Powers during this period included: Aix-la-Chapelle (1818), Carlsbad (1819), Troppau (1820), Laibach (1821), Verona (1822), London (1832), and Berlin (1878).
- The Concert’s effectiveness ended with the rise of nationalism, the 1848 Revolutions, the Crimean War, the unification of Germany, and the Eastern Question, among other factors.
- Later in the century, German Chancellor Otto von Bismarck, through juggling a complex interlocking series of conferences, negotiations, and alliances, used his diplomatic skills to maintain the balance of power in Europe to keep it at peace in the 1870s and 1880s.
Key Terms
- Concert of Europe
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A system of dispute resolution adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power. It is suggested that it operated in Europe from the end of the Napoleonic Wars (1815) to the early 1820s, while some see it as lasting until the outbreak of the Crimean War, 1853-1856.
- Congress of Vienna
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A conference of ambassadors of European states chaired by Austrian statesman Klemens von Metternich and held in Vienna from November 1814 to June 1815, though the delegates had arrived and were already negotiating by late September 1814. The objective was to provide a long-term peace plan for Europe by settling critical issues arising from the French Revolutionary Wars and the Napoleonic Wars. The goal was not simply to restore old boundaries but to resize the main powers so they could balance each other and remain at peace.
- Charles Maurice de Talleyrand-Périgord
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A French bishop, politician, and diplomat. He worked at the highest levels of successive French governments, most commonly as foreign minister or in some other diplomatic capacity. His career spanned the regimes of Louis XVI, the years of the French Revolution, Napoleon, Louis XVIII, and Louis-Philippe.
Development of Modern Diplomacy
In Europe, early modern diplomacy’s origins are often traced to the states of Northern Italy in the early Renaissance, where the first embassies were established in the 13th century. Milan played a leading role especially under Francesco Sforza, who established permanent embassies to the other city states of Northern Italy. Tuscany and Venice were also flourishing centers of diplomacy from the 14th century onward. It was in the Italian Peninsula that many of the traditions of modern diplomacy began, such as the presentation of an ambassador’s credentials to the head of state. From Italy, the practice spread across Europe.
The elements of modern diplomacy arrived in Eastern Europe and Russia by the early 18th century. The entire edifice would be greatly disrupted by the French Revolution and the subsequent years of warfare. The revolution would see commoners take over the diplomacy of the French state and of those conquered by revolutionary armies. Ranks of precedence were abolished. Napoleon also refused to acknowledge diplomatic immunity, imprisoning several British diplomats accused of scheming against France.
After the fall of Napoleon, the Congress of Vienna of 1815 established an international system of diplomatic rank with ambassadors at the top, as they were considered personal representatives of their sovereign. Disputes on precedence among nations (and therefore the appropriate diplomatic ranks used) were first addressed at the Congress of Aix-la-Chapelle in 1818, but persisted for over a century until after World War II, when the rank of ambassador became the norm. In between, figures such as the German Chancellor Otto von Bismarck were renowned for international diplomacy.
Congress of Vienna and the Concert of Europe
The Congress of Vienna of 1815 established many of the diplomatic norms for the 19th century. The objective of the Congress was to provide a long-term peace plan for Europe by settling critical issues arising from the French Revolutionary Wars and the Napoleonic Wars. The goal was not simply to restore old boundaries but to resize the main powers so they could balance each other and remain at peace. The Concert of Europe, also known as the Congress System or the Vienna System after the Congress of Vienna, was a system of dispute resolution adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power. It is suggested that it operated in Europe from the end of the Napoleonic Wars (1815) to the early 1820s, while some see it as lasting until the outbreak of the Crimean War, 1853-1856.
At first, the leading personalities of the system were British foreign secretary Lord Castlereagh, Austrian Chancellor Klemens von Metternich, and Tsar Alexander I of Russia. Charles Maurice de Talleyrand-Périgord played a major role at the Congress of Vienna in 1814–1815, where he negotiated a favorable settlement for France while undoing Napoleon’s conquests. Talleyrand polarizes scholarly opinion. Some regard him as one of the most versatile, skilled, and influential diplomats in European history, and some believe that he was a traitor, betraying in turn the Ancien Régime, the French Revolution, Napoleon, and the Restoration. Talleyrand worked at the highest levels of successive French governments, most commonly as foreign minister or in some other diplomatic capacity. His career spanned the regimes of Louis XVI, the years of the French Revolution, Napoleon, Louis XVIII, and Louis-Philippe. Those he served often distrusted Talleyrand but like Napoleon, found him extremely useful. The name “Talleyrand” has become a byword for crafty, cynical diplomacy.
Talleyrand
French diplomat Charles Maurice de Talleyrand-Périgord is considered one of the most skilled diplomats of all time.
The Concert of Europe had no written rules or permanent institutions, but at times of crisis any of the member countries could propose a conference. Diplomatic meetings of the Great Powers during this period included: Aix-la-Chapelle (1818), Carlsbad (1819), Troppau (1820), Laibach (1821), Verona (1822), London (1832), and Berlin (1878).
The Congress of Aix-la-Chapelle (1818) resolved the issues of Allied occupation of France and restored that country to equal status with Britain, Prussia, Austria, and Russia. The congress, which broke up at the end of November, is of historical importance mainly as marking the highest point reached during the 19th century in the attempt to govern Europe by an international committee of the powers. The detailed study of its proceedings is highly instructive in revealing the almost insurmountable obstacles to any truly effective international diplomatic system prior to the creation of the League of Nations after the First World War.
The territorial boundaries laid down at the Congress of Vienna were maintained; even more importantly, there was an acceptance of the theme of balance with no major aggression. Otherwise, the Congress system, says historian Roy Bridge, “failed” by 1823. In 1818, the British decided not to become involved in continental issues that did not directly affect them. They rejected the plan of Alexander I to suppress future revolutions. The Concert system fell apart as the common goals of the Great Powers were replaced by growing political and economic rivalries. There was no Congress called to restore the old system during the great revolutionary upheavals of 1848 with their demands for revision of the Congress of Vienna’s frontiers along national lines.
The Congress of Vienna was frequently criticized by 19th-century and more recent historians for ignoring national and liberal impulses and imposing a stifling reaction on the Continent. It was an integral part of what became known as the Conservative Order, in which the liberties and civil rights associated with the American and French Revolutions were de-emphasized so that a fair balance of power, peace and stability might be achieved.
In the 20th century, however, many historians came to admire the statesmen at the Congress, whose work prevented another widespread European war for nearly a hundred years (1815–1914). Historian Mark Jarrett argues that the Congress of Vienna and the Congress System marked “the true beginning of our modern era.” He says the Congress System was deliberate conflict management and the first genuine attempt to create an international order based upon consensus rather than conflict. “Europe was ready,” Jarrett states, “to accept an unprecedented degree of international cooperation in response to the French Revolution.” It served as a model for later organizations such as the League of Nations in 1919 and the United Nations in 1945. Prior to the opening of the Paris peace conference of 1918, the British Foreign Office commissioned a history of the Congress of Vienna to serve as an example to its own delegates of how to achieve an equally successful peace.
Otto von Bismarck: Balance of Power Diplomacy
Otto von Bismarck was a conservative Prussian statesman and diplomat who dominated German and European affairs from the 1860s until 1890. He skillfully used balance of power diplomacy to maintain Germany’s position in a Europe which, despite many disputes and war scares, remained at peace. For historian Eric Hobsbawm, it was Bismarck who “remained undisputed world champion at the game of multilateral diplomatic chess for almost twenty years after 1871, [and] devoted himself exclusively, and successfully, to maintaining peace between the powers.”
In 1862, King Wilhelm I appointed Bismarck as Minister President of Prussia, a position he would hold until 1890 (except for a short break in 1873). He provoked three short, decisive wars against Denmark, Austria, and France, aligning the smaller German states behind Prussia in its defeat of France. In 1871, he formed the German Empire with himself as Chancellor while retaining control of Prussia. His diplomacy of pragmatic realpolitik and powerful rule at home gained him the nickname the “Iron Chancellor.” German unification and its rapid economic growth was the foundation to his foreign policy. He disliked colonialism but reluctantly built an overseas empire when demanded by both elite and mass opinion. Juggling a very complex interlocking series of conferences, negotiations and alliances, he used his diplomatic skills to maintain Germany’s position and used the balance of power to keep Europe at peace in the 1870s and 1880s.
29.1.3: The World Fairs
World fairs during the late 19th century and early 20th centuries showcased the technological, industrial, and cultural achievements of nations around the world, sometimes displaying cultural superiority over colonized nations through human exhibits.
Learning Objective
Assess the World Fairs and their purpose in the late 19th and early 20th centuries
Key Points
- World fairs are international exhibits displaying the achievements of nations, largely focused on technological and industrial developments.
- World fairs originated in the French tradition of national exhibitions that culminated with the French Industrial Exposition of 1844 held in Paris.
- The Great Exhibition held in London in 1851 established many of the familiar components of world fairs and is usually considered to be the first international exhibition of manufactured products.
- Since their inception, the character of world expositions has evolved and is sometimes categorized into three eras: industrialization, cultural exchange, and nation branding.
- Also present in many world fairs at the time as well as in smaller local fairs were exhibits of people from the colonized world in their native environments, often with an explicit narrative of European superiority.
Key Terms
- The Great Exhibition
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An international exhibition that took place in Hyde Park, London, from May 1 to October 11, 1851. It was the first in a series of world fairs, exhibitions of culture and industry that became popular in the 19th century, and was a much anticipated event. It was organized by Henry Cole and Prince Albert, husband of the reigning monarch Queen Victoria. It was attended by numerous notable figures of the time, including Charles Darwin, Samuel Colt, members of the Orléanist Royal Family, and the writers Charlotte Brontë, Charles Dickens, Lewis Carroll, George Eliot, and Alfred Tennyson.
- human zoos
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Public exhibitions of humans, usually in a so-called natural or primitive state. The displays often emphasized the cultural differences between Europeans of Western civilization and non-European peoples or other Europeans with a lifestyle deemed primitive. Some placed indigenous Africans in a continuum somewhere between the great apes and the white man.
A world’s fair, world fair, world exposition, or universal exposition (sometimes expo for short), is a large international exhibition designed to showcase achievements of nations. These exhibitions vary in character and are held in various parts of the world.
World fairs originated in the French tradition of national exhibitions that culminated with the French Industrial Exposition of 1844 held in Paris. This fair was followed by other national exhibitions in continental Europe and the United Kingdom.
The best-known “first World Expo” was held in The Crystal Palace in Hyde Park, London, United Kingdom, in 1851, under the title “Great Exhibition of the Works of Industry of All Nations.” The Great Exhibition, as it is often called, was an idea of Prince Albert, Queen Victoria’s husband, and is usually considered to be the first international exhibition of manufactured products. It was arguably a response to the highly successful French Industrial Exposition of 1844; indeed, its prime motive was for Britain to display itself as an industrial leader. It influenced the development of several aspects of society, including art-and-design education, international trade and relations, and tourism. This expo was the most obvious precedent for the many international exhibitions considered world fairs.
Since their inception in 1851, the character of world expositions has evolved. Three eras can be distinguished: industrialization, cultural exchange, and nation branding.
The first era could be called the era of “industrialization” and covered roughly the period from 1800 to 1938. In these days, world expositions were especially focused on trade and were famous for the display of technological inventions and advancements. World expositions were the platforms where the state-of-the-art in science and technology from around the world were brought together. The world expositions of 1851 London, 1853 New York, 1862 London, 1876 Philadelphia, 1889 Paris, 1893 Chicago, 1897 Brussels, 1900 Paris, 1901 Buffalo, 1904 St. Louis, 1915 San Francisco, and 1933–34 Chicago were landmarks in this respect. Inventions such as the telephone were first presented during this era.
The 1939–40 New York World’s Fair diverged from the original focus of the world fair expositions. From then on, world fairs adopted specific cultural themes forecasting a better future for society. Technological innovations were no longer the primary exhibits at fairs.
From Expo ’88 in Brisbane onward, countries such as Finland, Japan, Canada, France, and Spain started to use world expositions as platforms to improve their national images.
World Fairs
A poster advertising the Brussels International Exposition.
Colonialism on Display
Human zoos, also called ethnological expositions, were 19th-, 20th-, and 21st-century public exhibitions of humans, usually in a so-called natural or primitive state. The displays often emphasized the cultural differences between Europeans of Western civilization and non-European peoples or other Europeans with a lifestyle deemed primitive. Some of them placed indigenous Africans in a continuum somewhere between the great apes and the white man. Ethnological expositions have since been criticized as highly degrading and racist.
The notion of human curiosity and exhibition has a history at least as long as colonialism. In the 1870s, exhibitions of exotic populations became popular in various countries. Human zoos could be found in Paris, Hamburg, Antwerp, Barcelona, London, Milan, and New York City. Carl Hagenbeck, a merchant in wild animals and future entrepreneur of many European zoos, decided in 1874 to exhibit Samoan and Sami people as “purely natural” populations. In 1876, he sent a collaborator to the Egyptian Sudan to bring back some wild beasts and Nubians. The Nubian exhibit was very successful in Europe and toured Paris, London, and Berlin.
Both the 1878 and the 1889 Parisian World’s Fair presented a Negro Village (village nègre). Visited by 28 million people, the 1889 World’s Fair displayed 400 indigenous people as the major attraction. The 1900 World’s Fair presented the famous diorama living in Madagascar, while the Colonial Exhibitions in Marseilles (1906 and 1922) and in Paris (1907 and 1931) also displayed humans in cages, often nude or semi-nude. The 1931 exhibition in Paris was so successful that 34 million people attended it in six months, while a smaller counter-exhibition entitled The Truth on the Colonies, organized by the Communist Party, attracted very few visitors—in the first room, it recalled Albert Londres and André Gide’s critiques of forced labor in the colonies. Nomadic Senegalese Villages were also presented.
In 1904, Apaches and Igorots (from the Philippines) were displayed at the Saint Louis World Fair in association with the 1904 Summer Olympics. The U.S. had just acquired, following the Spanish–American War, new territories such as Guam, the Philippines, and Puerto Rico, allowing them to “display” some of the native inhabitants. According to the Rev. Sequoyah Ade:
To further illustrate the indignities heaped upon the Philippine people following their eventual loss to the Americans, the United States made the Philippine campaign the centrepoint of the 1904 World’s Fair held that year in St. Louis, MI [sic]. In what was enthusiastically termed a “parade of evolutionary progress,” visitors could inspect the “primitives” that represented the counterbalance to “Civilisation” justifying Kipling’s poem “The White Man’s Burden.” Pygmies from New Guinea and Africa, who were later displayed in the Primate section of the Bronx Zoo, were paraded next to American Indians such as Apache warrior Geronimo, who sold his autograph. But the main draw was the Philippine exhibition complete with full size replicas of Indigenous living quarters erected to exhibit the inherent backwardness of the Philippine people. The purpose was to highlight both the “civilising” influence of American rule and the economic potential of the island chains’ natural resources on the heels of the Philippine–American War. It was, reportedly, the largest specific Aboriginal exhibition displayed in the exposition. As one pleased visitor commented, the human zoo exhibition displayed “the race narrative of odd peoples who mark time while the world advances, and of savages made, by American methods, into civilized workers.”
Ota Benga at the Bronx Zoo
From a sign outside the primate house at the Bronx Zoo, September 1906: “Ota Benga, a human exhibit, in 1906. Age, 23 years. Height, 4 feet 11 inches (150 cm). Weight, 103 pounds (47 kg). Brought from the Kasai River, Congo Free State, South Central Africa, by Dr. Samuel P. Verner. Exhibited each afternoon during September.”
29.2: The Coming of War
29.2.1: The Sick Man of Europe
The “Eastern Question” refers to the strategic competition and political considerations of the European Great Powers in light of the political and economic instability of the Ottoman Empire, named the “Sick Man of Europe.”
Learning Objective
Evaluate the claim that the Ottoman Empire was the “Sick Man of Europe”
Key Points
- Throughout the 19th century, the Ottoman Empire underwent major changes, first through a series of modernizing efforts that strengthened its power, but ultimately to its decline in terms of military prestige, territory, and wealth.
- The Ottoman state, which took on debt with the Crimean War, was forced to declare bankruptcy in 1875.
- By 1881, the Ottoman Empire agreed to have its debt controlled by an institution known as the Ottoman Public Debt Administration, a council of European men with presidency alternating between France and Britain.
- In response to these changes and crises in the Ottoman Empire, the Major Powers of Europe, especially Russia and Britain, began referring to the Empire as the “Sick Man of Europe,” with various ideas as to how best serve their own interests as this major empire began to collapse.
- In diplomatic history, this issue is referred to as the “Eastern Question” and encompasses the strategic competition and political considerations of the European Great Powers in light of the political and economic instability in the Ottoman Empire, which in part led to outbreak of World War I.
Key Terms
- Concert of Europe
-
Also known as the Congress System or the Vienna System after the Congress of Vienna, a system of dispute resolution adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power. It is suggested that it operated in Europe from the end of the Napoleonic Wars (1815) to the early 1820s, while some see it as lasting until the outbreak of the Crimean War, 1853-1856.
- sick man of Europe
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A label given to a European country experiencing a time of economic difficulty or impoverishment. The term was first used in the mid-19th century to describe the Ottoman Empire, but has since been applied at one time or another to nearly every other major country in Europe.
- Eastern Question
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In diplomatic history, this refers to the strategic competition and political considerations of the European Great Powers in light of the political and economic instability in the Ottoman Empire from the late 18th to early 20th centuries.
The Eastern Question
In diplomatic history, the “Eastern Question” refers to the strategic competition and political considerations of the European Great Powers in light of the political and economic instability in the Ottoman Empire from the late 18th to early 20th centuries. Characterized as the “sick man of Europe,” the relative weakening of the empire’s military strength in the second half of the 18th century threatened to undermine the fragile balance of power system largely shaped by the Concert of Europe. The Eastern Question encompassed myriad interrelated elements: Ottoman military defeats, Ottoman institutional insolvency, the ongoing Ottoman political and economic modernization programs, the rise of ethno-religious nationalism in its provinces, and Great Power rivalries.
The Eastern Question is normally dated to 1774, when the Russo-Turkish War (1768–74) ended in defeat for the Ottomans. As the dissolution of the Ottoman Empire was believed to be imminent, the European powers engaged in a power struggle to safeguard their military, strategic, and commercial interests in the Ottoman domains. Imperial Russia stood to benefit from the decline of the Ottoman Empire; on the other hand, Austria-Hungary and Great Britain deemed the preservation of the Empire to be in their best interests. The Eastern Question was put to rest after World War I, one of the outcomes of which was the collapse and division of the Ottoman holdings.
A book by Harold Temperley quotes Nicholas I of Russia as saying in 1853, “Turkey seems to be falling to pieces, the fall will be a great misfortune. It is very important that England and Russia should come to a perfectly good understanding… and that neither should take any decisive step of which the other is not apprized…We have a sick man on our hands, a man gravely ill, it will be a great misfortune if one of these days he slips through our hands, especially before the necessary arrangements are made.”
In the 1870s the “Eastern Question” focused on the mistreatment of Christians in the Balkans by the Ottoman Empire and what the European great powers ought to do about it.
In 1876 Serbia and Montenegro declared war on Turkey and were badly defeated, notably at the battle of Alexinatz (Sept. 1, 1876). Gladstone published an angry pamphlet on “The Bulgarian Horrors and the Question of the East,” which aroused enormous agitation in Britain against Turkish misrule and complicated the Disraeli government’s policy of supporting Turkey against Russia. Russia, which supported Serbia, threatened war against Turkey. In August 1877, Russia declared war on Turkey and steadily defeated its armies. In early January 1878 Turkey asked for an armistice, but the British fleet arrived at Constantinople too late. Russia and Turkey on March 3 signed the Treaty of San Stefano, which was highly advantageous to Russia, Serbia, and Montenegro as well as Romania and Bulgaria.
Britain, France, and Austria opposed the Treaty of San Stefano because it gave Russia too much influence in the Balkans, where insurrections were frequent. War threatened. After numerous attempts, a grand diplomatic settlement was reached at the Congress of Berlin (June–July 1878). The new Treaty of Berlin revised the earlier treaty. Germany’s Otto von Bismarck (1815–98) presided over the congress and brokered the compromises. One result was that Austria took control of the provinces of Bosnia and Herzegovina, intending to eventually merge them into the Austro-Hungarian Empire. When they finally tried to do that in 1914, local Serbs assassinated Austria’s Archduke and the result was the First World War.
“Sick Man of Europe”
Caricature from Punch magazine dated November 28, 1896. It shows Sultan Abdul Hamid II in front of a poster that announces the reorganization of the Ottoman Empire. The empire’s value is estimated at 5 million pounds. Russia, France, and England are listed as the directors of the reorganization. The caricature refers to the Ottoman Empire, which was increasingly falling under the financial control of the European powers and had lost territory.
Ottoman Decline Up to World War I
Beginning from the late 18th century, the Ottoman Empire faced challenges defending itself against foreign invasion and occupation. In response to foreign threats, the empire initiated a period of tremendous internal reform that came to be known as the Tanzimat, which succeeded in significantly strengthening the Ottoman central state despite the empire’s precarious international position. Over the course of the 19th century, the Ottoman state became increasingly powerful and rationalized, exercising a greater degree of influence over its population than in any previous era.
As the Ottoman state attempted to modernize its infrastructure and army in response to threats from the outside, it also opened itself up to a different kind of threat: that of creditors. Indeed, as the historian Eugene Rogan has written, “the single greatest threat to the independence of the Middle East” in the 19th century “was not the armies of Europe but its banks.” The Ottoman state, which had begun taking on debt with the Crimean War, was forced to declare bankruptcy in 1875. By 1881, the Ottoman Empire agreed to have its debt controlled by an institution known as the Ottoman Public Debt Administration, a council of European men with presidency alternating between France and Britain. The body controlled swaths of the Ottoman economy and used its position to insure that European capital continued to penetrate the empire, often to the detriment of local Ottoman interests.
The defeat and dissolution of the Ottoman Empire (1908–1922) began with the Second Constitutional Era, a moment of hope and promise established with the Young Turk Revolution. It restored the Ottoman constitution of 1876 and brought in multi-party politics with a two-stage electoral system (electoral law) under the Ottoman parliament. The constitution offered hope by freeing the empire’s citizens to modernize the state’s institutions, rejuvenate its strength, and enable it to hold its own against outside powers. Its guarantee of liberties promised to dissolve inter-communal tensions and transform the empire into a more harmonious place.
Instead, this period became the story of the twilight struggle of the Empire. A proliferation of conflicting political parties created discord and confusion. Profiting from the civil strife, Austria-Hungary officially annexed Bosnia and Herzegovina in 1908. Ottoman military reforms resulted in a modern army which engaged in the Italo-Turkish War (1911) that ended in the loss of the North African territories and the Dodecanese, the Balkan Wars (1912–1913) that ended in the loss of almost all of the Empire’s European territories. In addition, the Empire faced continuous civil and political unrest with several military coups leading up to World War I.
29.2.2: Militarism and Jingoism
During the 1870s and 1880s, all major powers were preparing for a large-scale war by increasing the sizes of their armies and navies. This led to increased political tensions that many historians consider a major factor in the outbreak of World War I.
Learning Objective
Assess the rise of militarism in the years preceding WWI
Key Points
- During the second half of the 19th century, all major world powers began increasing the sizes and scopes of their military forces, although a conflict on the scale of WWI was not expected by anyone.
- Germany, France, Austria, Italy, Russia, and some smaller countries set up conscription systems whereby young men served from one to three years in the army, then spent the next 20 years in the reserves with annual summer training.
- Germany struggled to achieve parity with the British navy in a tense arms race, but in the end fell short with Britain remaining the dominant naval power.
- Many historians point to this increased military preparedness as the major factor that led to the outbreak of WWI, contending that had the assassination of Archduke Ferdinand happened a decade before, war would probably have been avoided.
- Jingoism is nationalism in the form of aggressive foreign policy, whereby a nation advocates for the use of threats or actual force as opposed to peaceful relations to safeguard what it perceives as its national interests.
Key Terms
- militarism
-
The belief or the desire of a government or people that a country should maintain a strong military capability and be prepared to use it aggressively to defend or promote national interests. It may also imply the glorification of the military, the ideals of a professional military class, and the “predominance of the armed forces in the administration or policy of the state.”
- conscription
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The compulsory enlistment of people in a national service, most often military service. The practice dates back to antiquity and continues in some countries to the present day under various names. The modern system dates to the French Revolution in the 1790s, where it became the basis of a very large and powerful military. Most European nations later copied the system in peacetime so that men at a certain age would serve one to eight years on active duty and then transfer to the reserve force.
- jingoism
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A form of nationalism characterized by aggressive foreign policy. It refers to a country’s advocacy for the use of threats or actual force as opposed to peaceful relations to safeguard what it perceives as its national interests.
Rise of Militarism Prior to World War I
The main causes of World War I, which broke out unexpectedly in central Europe in summer 1914, comprised all the conflicts and hostility of the four decades leading up to the war. Militarism, alliances, imperialism, and ethnic nationalism played major roles.
During the 1870s and 1880s, all major world powers were preparing for a large-scale war, although none expected one. Britain focused on building up its Royal Navy, already stronger than the next two navies combined. Germany, France, Austria, Italy, Russia, and some smaller countries set up conscription systems whereby young men would serve from one to three years in the army, then spend the next 20 years or so in the reserves with annual summer training. Men from higher social classes became officers. Each country devised a mobilization system so the reserves could be called up quickly and sent to key points by rail. Every year the plans were updated and expanded in terms of complexity. Each country stockpiled arms and supplies for an army that ran into the millions.
Germany in 1874 had a regular professional army of 420,000 with an additional 1.3 million reserves. By 1897 the regular army was 545,000 strong and the reserves 3.4 million. The French in 1897 had 3.4 million reservists, Austria 2.6 million, and Russia 4.0 million. The various national war plans had been perfected by 1914, albeit with Russia and Austria trailing in effectiveness. Recent wars (since 1865) had typically been short—a matter of months. All the war plans called for a decisive opening and assumed victory would come after a short war; no one planned for or was ready for the food and munitions needs of a long stalemate as actually happened in 1914–18.
As David Stevenson has put it, “A self-reinforcing cycle of heightened military preparedness … was an essential element in the conjuncture that led to disaster … The armaments race … was a necessary precondition for the outbreak of hostilities.” If Archduke Franz Ferdinand had been assassinated in 1904 or even in 1911, Herrmann speculates, there might have been no war. It was “… the armaments race … and the speculation about imminent or preventive wars” that made his death in 1914 the trigger for war.
This increase in militarism coincided with the rise of jingoism, a term for nationalism in the form of aggressive foreign policy. Jingoism also refers to a country’s advocacy for the use of threats or actual force, as opposed to peaceful relations, to safeguard what it perceives as its national interests. Colloquially, it refers to excessive bias in judging one’s own country as superior to others—an extreme type of nationalism. The term originated in reference to the United Kingdom’s pugnacious attitude toward Russia in the 1870s, and appeared in the American press by 1893.
Probably the first uses of the term in the U.S. press occurred in connection with the proposed annexation of Hawaii in 1893. A coup led by foreign residents, mostly Americans, and assisted by the U.S. Minister in Hawaii, overthrew the Hawaiian constitutional monarchy and declared a Republic. Republican president Benjamin Harrison and Republicans in the Senate were frequently accused of jingoism in the Democratic press for supporting annexation.
The term was also used in connection with the foreign policy of Theodore Roosevelt. In an October 1895 New York Times article, Roosevelt stated, “There is much talk about ‘jingoism’. If by ‘jingoism’ they mean a policy in pursuance of which Americans will with resolution and common sense insist upon our rights being respected by foreign powers, then we are ‘jingoes’.”
One of the aims of the First Hague Conference of 1899, held at the suggestion of Emperor Nicholas II, was to discuss disarmament. The Second Hague Conference was held in 1907. All signatories except for Germany supported disarmament. Germany also did not want to agree to binding arbitration and mediation. The Kaiser was concerned that the United States would propose disarmament measures, which he opposed. All parties tried to revise international law to their own advantage.
Anglo-German Naval Race
Historians have debated the role of the German naval build-up as the principal cause of deteriorating Anglo-German relations. In any case, Germany never came close to catching up with Britain.
Supported by Wilhelm II’s enthusiasm for an expanded German navy, Grand Admiral Alfred von Tirpitz championed four Fleet Acts from 1898 to 1912, and from 1902 to 1910, the Royal Navy embarked on its own massive expansion to keep ahead of the Germans. This competition came to focus on the revolutionary new ships based on the Dreadnought, launched in 1906, awhich gave Britain a battleship that far outclassed any other in Europe.
The overwhelming British response proved to Germany that its efforts were unlikely to equal those of the Royal Navy. In 1900, the British had a 3.7:1 tonnage advantage over Germany; in 1910 the ratio was 2.3:1 and in 1914, 2.1:1. Ferguson argues that, “So decisive was the British victory in the naval arms race that it is hard to regard it as in any meaningful sense a cause of the First World War.” This ignores the fact that the Kaiserliche Marine had narrowed the gap by nearly half, and that the Royal Navy had long intended to be stronger than any two potential opponents; the United States Navy was in a period of growth, making the German gains very ominous.
In Britain in 1913, there was intense internal debate about new ships due to the growing influence of John Fisher’s ideas and increasing financial constraints. In early to mid-1914 Germany adopted a policy of building submarines instead of new dreadnoughts and destroyers, effectively abandoning the race, but kept this new policy secret to delay other powers following suit.
The Germans abandoned the naval race before the war broke out. The extent to which the naval race was one of the chief factors in Britain’s decision to join the Triple Entente remains a key controversy. Historians such as Christopher Clark believe it was not significant, with Margaret Moran taking the opposite view.
Naval Arms Race
1909 cartoon in Puck shows the United States, Germany, Britain, France, and Japan engaged in naval race in a “no limit” game.
29.2.3: The Balkan Powder Keg
The continuing collapse of the Ottoman Empire coincided with the rise of nationalism in the Balkans, which led to increased tensions and conflicts in the region. This “powder keg” was thus a major catalyst for the outbreak of World War I.
Learning Objective
Define the Balkan Powder Keg
Key Points
- By the early 20th century, Bulgaria, Greece, Montenegro, and Serbia had achieved independence from the Ottoman Empire, but large elements of their ethnic populations remained under Ottoman rule. In 1912 these countries formed the Balkan League and declared war on the Ottomans to reclaim territory.
- Four Balkan states defeated the Ottoman Empire in the first war; one of the four, Bulgaria, suffered defeat in the second war.
- The tensions and conflicts in this are often referred to as the “Balkan powder keg” and had implications beyond the region.
- There were a number of overlapping claims to territories and spheres of influence between the major European powers, such as the Russian Empire, the Austro-Hungarian Empire, the German Empire and, to a lesser degree, the Ottoman Empire, the United Kingdom, and Kingdom of Italy.
- Relations between Austria and Serbia became increasingly bitter and Russia felt humiliated after Austria and Germany prevented it from helping Serbia.
- The powder keg eventually “exploded” causing the First World War, which began with a conflict between imperial Austria-Hungary and Pan-Slavic Serbia.
Key Terms
- irredentism
-
Any political or popular movement intended to reclaim and reoccupy a “lost” or “unredeemed” area; territorial claims are justified on the basis of real or imagined national and historic (an area formerly part of that state) or ethnic (an area inhabited by that nation or ethnic group) affiliations. It is often advocated by nationalist and pan-nationalist movements and has been a feature of identity politics and cultural and political geography.
- Balkans
-
A peninsula and a cultural area in Southeastern Europe with various and disputed borders. The region takes its name from the Balkan Mountains that stretch from the Serbia-Bulgaria border to the Black Sea. Conflicts here were a major contributing factor to the outbreak of WWI.
- Pan-Slavism
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A movement which crystallized in the mid-19th century concerned with the advancement of integrity and unity for the Slavic people. Its main impact occurred in the Balkans, where non-Slavic empires—the Byzantine Empire, Austria-Hungary, the Ottoman Empire, and Venice—had ruled the South Slavs for centuries.
The “Balkan powder keg,” also termed the “powder keg of Europe,” refers to the Balkans in the early part of the 20th century preceding World War I. There were a number of overlapping claims to territories and spheres of influence between the major European powers, such as the Russian Empire, the Austro-Hungarian Empire, the German Empire and, to a lesser degree, the Ottoman Empire, the United Kingdom, and Kingdom of Italy.
In addition to the imperialistic ambitions and interests in this region, there was a growth in nationalism among the indigenous peoples, leading to the formation of the independent states of Greece, Serbia, Montenegro, Bulgaria, Romania, and Albania.
Within these nations, there were movements to create “greater” nations: to enlarge the boundaries of the state beyond those areas where the national ethnic group was in the majority (termed irredentism). This led to conflict between the newly independent nations and the empire from which they split, the Ottoman Empire. Additionally, it led to differences between the Balkan nations who wished to gain territory at the expense of their neighbors. Both the conflict with the Ottoman Empire and between the Balkan nations led to the Balkan Wars, discussed below.
In a different vein, the ideology of Pan-Slavism in Balkans gained popularity; the movement built around it in the region sought to unite all of the Slavs of the Balkans into one nation, Yugoslavia. This, however, would require the union of several Balkan states and territory that was part of Austria-Hungary. For this reason, Pan-Slavism was strongly opposed by Austria-Hungary, while it was supported by Russia which viewed itself as leader of all Slavic nations.
To complicate matters, in the years preceding World War I, there existed a tangle of Great Power alliances, both formal and informal, public and secret. Following the Napoleonic Wars, there existed a “balance of power” to prevent major wars. This theory held that opposing combinations of powers in Europe would be evenly matched, entailing that any general war would be far too costly to risk entering. This system began to fall apart as the Ottoman Empire, seen as a check on Russian power, began to crumble, and as Germany, a loose confederation of minor states, was united into a major power. Not only did these changes lead to a realignment of power, but of interests as well.
All these factors and many others conspired to bring about the First World War. As is insinuated by the name “the powder keg of Europe,” the Balkans were not the major issue at stake in the war, but were the catalyst that led to the conflagration. The Chancellor of Germany in the late 19th century, Otto von Bismarck, correctly predicted it would be the source of major conflict in Europe.
The powder keg “exploded” causing the First World War, which began with a conflict between imperial Austria-Hungary and Pan-Slavic Serbia.
Balkan Troubles
Germany, France, Russia, Austria-Hungary, and Britain attempting to keep the lid on the simmering cauldron of imperialist and nationalist tensions in the Balkans to prevent a general European war. They were successful in 1912 and 1913 but did not succeed in 1914, resulting in the outbreak of World War I.
Balkan Wars
The continuing collapse of the Ottoman Empire led to two wars in the Balkans, in 1912 and 1913, which was a prelude to world war. By 1900 nation states had formed in Bulgaria, Greece, Montenegro and Serbia. Nevertheless, many of their ethnic compatriots lived under the control of the Ottoman Empire. In 1912, these countries formed the Balkan League. There were three main causes of the First Balkan War. The Ottoman Empire was unable to reform itself, govern satisfactorily, or deal with the rising ethnic nationalism of its diverse peoples. Secondly, the Great Powers quarreled among themselves and failed to ensure that the Ottomans would carry out the needed reforms. This led the Balkan states to impose their own solution. Most importantly, the members of the Balkan League were confident that it could defeat the Turks, which would prove to be the case.
The First Balkan War broke out when the League attacked the Ottoman Empire on October 8, 1912, and was ended seven months later by the Treaty of London. After five centuries, the Ottoman Empire lost virtually all of its possessions in the Balkans. The Treaty had been imposed by the Great Powers, dissatisfying the victorious Balkan states. Bulgaria was dissatisfied over the division of the spoils in Macedonia, made in secret by its former allies, Serbia and Greece, and attacked to force them out of Macedonia, starting the Second Balkan War. The Serbian and Greek armies repulsed the Bulgarian offensive and counter-attacked into Bulgaria, while Romania and the Ottoman Empire also attacked Bulgaria and gained (or regained) territory. In the resulting Treaty of Bucharest, Bulgaria lost most of the territories it had gained in the First Balkan War.
The long-term result was heightened tension in the Balkans. Relations between Austria and Serbia became increasingly bitter. Russia felt humiliated after Austria and Germany prevented it from helping Serbia. Bulgaria and Turkey were also dissatisfied, and eventually joined Austria and Germany in the First World War.
29.2.4: Archduke Franz Ferdinand
On June 28, 1914, Archduke Franz Ferdinand of Austria was shot dead in Sarajevo by Gavrilo Princip, one of a group of six assassins coordinated by Danilo Ilić, a Bosnian Serb and a member of the Black Hand secret society. This event led to a diplomatic crisis and the outbreak of World War I.
Learning Objective
Discuss Archduke Franz Ferdinand
Key Points
- Archduke Franz Ferdinand of Austria, a member of the Austrian royal family and heir presumptive to the Austrian throne, was assassinated by Gavrilo Princip, a member of the Young Bosnia movement connected to the Blank Hand secret society.
- The political objective of the assassination was to break off Austria-Hungary’s South Slav provinces so they could be combined into Yugoslavia.
- The assassination of Archduke Franz Ferdinand sent deep shock waves through Austrian elites. The murder was described by Christopher Clark as “a terrorist event charged with historic meaning, transforming the political chemistry in Vienna.”
- The assassination triggered the July Crisis, a series of tense diplomatic maneuverings that led to an ultimatum from Austria-Hungary to the Kingdom of Serbia, who rejected some of these conditions as a violation of their sovereignty. This led to Austria-Hungary invading Serbia.
- The system of European alliances led to a series of escalating Austrian and Russian mobilizations. Eventually, Britain and France were also obliged to mobilize and declare war, beginning World War I.
Key Terms
- Black Hand
-
A secret military society formed on May 9, 1911, by officers in the Army of the Kingdom of Serbia, originating in the conspiracy group that assassinated the Serbian royal couple (1903) led by captain Dragutin Dimitrijević “Apis.”
- irredentism
-
Any political or popular movement intended to reclaim and reoccupy a “lost” or “unredeemed” area; territorial claims are justified on the basis of real or imagined national and historic (an area formerly part of that state) or ethnic (an area inhabited by that nation or ethnic group) affiliations. It is often advocated by nationalist and pan-nationalist movements and has been a feature of identity politics and cultural and political geography.
- July Crisis
-
A diplomatic crisis among the major powers of Europe in the summer of 1914 that led to World War I. Immediately after Gavrilo Princip, a Yugoslav nationalist, assassinated Archduke Franz Ferdinand, heir presumptive to the Austro-Hungarian throne, in Sarajevo, a series of diplomatic maneuverings led to an ultimatum from Austria-Hungary to the Kingdom of Serbia and eventually to war.
- Young Bosnia
-
A revolutionary movement active in the Condominium of Bosnia and Herzegovina before World War I. The members were predominantly school students, primarily Serbs but also Bosniaks and Croats. There were two key ideologies promoted among the members of the group: the Yugoslavist (unification into a Yugoslavia) and the Pan-Serb (unification into Serbia).
Franz Ferdinand was an Archduke of Austria-Este, Austro-Hungarian and Royal Prince of Hungary and of Bohemia and, from 1896 until his death, heir presumptive to the Austro-Hungarian throne. His assassination in Sarajevo precipitated Austria-Hungary’s declaration of war against Serbia. This caused the Central Powers (including Germany and Austria-Hungary) and Serbia’s allies to declare war on each other, starting World War I.
Franz Ferdinand was born in Graz, Austria, the eldest son of Archduke Karl Ludwig of Austria (younger brother of Franz Joseph and Maximilian) and his second wife, Princess Maria Annunciata of Bourbon-Two Sicilies. In 1875, when he was only 11 years old, his cousin Duke Francis V of Modena died, naming Franz Ferdinand his heir on condition that he add the name Este to his own. Franz Ferdinand thus became one of the wealthiest men in Austria.
In 1889, Franz Ferdinand’s life changed dramatically. His cousin Crown Prince Rudolf committed suicide at his hunting lodge in Mayerling. This left Franz Ferdinand’s father, Karl Ludwig, first in line to the throne. Ludwig died of typhoid fever in 1896. Henceforth, Franz Ferdinand was groomed to succeed him.
Assassination of Archduke Ferdinand
The assassination of Archduke Franz Ferdinand of Austria, heir presumptive to the Austro-Hungarian throne, and his wife Sophie, Duchess of Hohenberg, occurred on June 28, 1914, in Sarajevo when they were shot dead by Gavrilo Princip. Princip was one of a group of six assassins (five Serbs and one Bosniak) coordinated by Danilo Ilić, a Bosnian Serb and a member of the Black Hand secret society. The political objective of the assassination was to break off Austria-Hungary’s South Slav provinces so they could be combined into Yugoslavia. The Black Hand, formally Unification or Death, was a secret military society formed on May 9, 1911, by officers in the Army of the Kingdom of Serbia. with the aim of uniting all of the territories with a South Slavic majority not ruled by either Serbia or Montenegro. Its inspiration was primarily the unification of Italy in 1859–70, but also that of Germany in 1871.
The assassins’ motives were consistent with Young Bosnia, a revolutionary movement active in the Condominium of Bosnia and Herzegovina (ruled by Austria-Hungary) before World War I. The members were predominantly school students, primarily Serbs but also Bosniaks and Croats. There were two key ideologies promoted among the members of the group: the Yugoslavist (unification into a Yugoslavia), and the Pan-Serb (unification into Serbia). Young Bosnia was inspired from a variety of ideas, movements, and events, such as German romanticism, anarchism, Russian revolutionary socialism, Fyodor Dostoyevsky, Friedrich Nietzsche, and the Battle of Kosovo.
In 1913, Emperor Franz Joseph commanded Archduke Franz Ferdinand to observe the military maneuvers in Bosnia scheduled for June 1914. Following the maneuvers, Ferdinand and his wife planned to visit Sarajevo to open the state museum in its new premises there. Duchess Sophie, according to their oldest son, Duke Maximilian, accompanied her husband out of fear for his safety.
Franz Ferdinand was an advocate of increased federalism and widely believed to favor trialism, under which Austria-Hungary would be reorganized by combining the Slavic lands within the Austro-Hungarian empire into a third crown. A Slavic kingdom could have been a bulwark against Serb irredentism, and Ferdinand was therefore perceived as a threat by those same irredentists. Princip later stated to the court that preventing Ferdinand’s planned reforms was one of his motivations.
The day of the assassination, June 28, is the feast of St. Vitus. In Serbia, it is called Vidovdan and commemorates the 1389 Battle of Kosovo against the Ottomans, at which the Sultan was assassinated in his tent by a Serb.
The assassination of Ferdinand led directly to the First World War when Austria-Hungary subsequently issued an ultimatum to the Kingdom of Serbia, which was partially rejected. Austria-Hungary then declared war.
The assassins, the key members of the clandestine network, and the key Serbian military conspirators who were still alive were arrested, tried, convicted, and punished. Those who were arrested in Bosnia were tried in Sarajevo in October 1914. The other conspirators were arrested and tried before a Serbian court on the French-controlled Salonika Front in 1916–1917 on unrelated false charges; Serbia executed three of the top military conspirators. Much of what is known about the assassinations comes from these two trials and related records.
Assassination of Archduke Ferdinand
The first page of the edition of the Domenica del Corriere, an Italian paper, with a drawing by Achille Beltrame depicting Gavrilo Princip killing Archduke Franz Ferdinand of Austria in Sarajevo.
Consequences
The murder of the heir to the Austro-Hungarian Empire and his wife produced widespread shock across Europe, and there was initially much sympathy for the Austrian position. Within two days of the assassination, Austria-Hungary and Germany advised Serbia that it should open an investigation, but Secretary General to the Serbian Ministry of Foreign Affairs Slavko Gruic, replied “Nothing had been done so far and the matter did not concern the Serbian Government.” An angry exchange followed between the Austrian Chargé d’Affaires at Belgrade and Gruic.
After conducting a criminal investigation, verifying that Germany would honor its military alliance, and persuading the skeptical Hungarian Count Tisza, Austria-Hungary issued a formal letter to the government of Serbia. The letter reminded Serbia of its commitment to respect the Great Powers’ decision regarding Bosnia-Herzegovina and maintain good relations with Austria-Hungary. The letter contained specific demands aimed at preventing the publication of propaganda advocating the violent destruction of Austria-Hungary, removing the people behind this propaganda from the Serbian Military, arresting the people on Serbian soil who were involved in the assassination plot, and preventing the clandestine shipment of arms and explosives from Serbia to Austria-Hungary.
This letter became known as the July Ultimatum, and Austria-Hungary stated that if Serbia did not accept all of the demands in total within 48 hours, it would recall its ambassador from Serbia. After receiving a telegram of support from Russia, Serbia mobilized its army and responded to the letter by completely accepting point #8 demanding an end to the smuggling of weapons and punishment of the frontier officers who had assisted the assassins, and completely accepting point #10 which demanded Serbia report the execution of the required measures as they were completed. Serbia partially accepted, finessed, disingenuously answered, or politely rejected elements of the preamble and enumerated demands #1–7 and #9. The shortcomings of Serbia’s response were published by Austria-Hungary. Austria-Hungary responded by breaking diplomatic relations. This diplomatic crisis is known as the July Crisis.
The next day, Serbian reservists transported on tramp steamers on the Danube crossed onto the Austro-Hungarian side of the river at Temes-Kubin and Austro-Hungarian soldiers fired into the air to warn them off. The report of this incident was initially sketchy and reported to Emperor Franz-Joseph as “a considerable skirmish.” Austria-Hungary then declared war and mobilized the portion of its army that would face the (already mobilized) Serbian Army on July 28, 1914. Under the Secret Treaty of 1892 Russia and France were obliged to mobilize their armies if any of the Triple Alliance mobilized. Russia’s mobilization set off full Austro-Hungarian and German mobilizations. Soon all the Great Powers except Italy had chosen sides and gone to war.
Serbia Must Die!
Serbien muss sterbien! (“Serbia must die!”) This political cartoon shows an Austrian hand crushing a Serb.
29.3: Events of World War I
29.3.1: The Alliances
During the 19th century, the major European powers went to great lengths to maintain a balance of power throughout Europe, resulting in the existence of a complex network of political and military alliances throughout the continent leading up to World War I. According to some historians, this caused a localized conflict to escalate into a global war.
Learning Objective
Name the members of the two alliances that clashed in WWI
Key Points
- Starting directly after the Congress of Vienna in 1815, the Great Powers of Europe began to forge complex alliances to maintain a balance of power and peace.
- This process began with the Holy Alliance between Prussia, Russia, and Austria and the Quadruple Alliance signed by United Kingdom, Austria, Prussia, and Russia, both formed in 1815 and aimed at maintaining a stable and conservative vision for Europe.
- Throughout the rest of the 19th century, various treaties and alliances were formed, including the German-Austrian treaty (1879) or Dual Alliance; the addition of Italy to the Germany and Austrian alliance in 1882, forming the “Triple Alliance”; the Franco-Russian Alliance (1894); and the “Entente Cordiale” between Britain and France (1904), which eventually included Russia and formed the Triple Entente.
- The Triple Alliance and the Triple Entente, which were renewed several times leading up to World War I, formed the two opposing sides of the war, with Italy moving over to ally with the Triple Entente after the start of the war and other nations pulled in over time.
- Historians debate how much these complex alliances contributed to the outbreak of the World War I, as the crisis between Austria-Hungary and Serbia could have been localized but quickly escalated into a global conflict despite the fact that some of the alliances, notably the Triple Entente, did not stipulate mutual defense in the case of an attack.
Key Terms
- Central Powers
-
Consisting of Germany, Austria-Hungary, the Ottoman Empire, and Bulgaria, this was one of the two main factions during World War I (1914–18). It faced and was defeated by the Allied Powers that formed around the Triple Entente, after which it was dissolved.
- Triple Entente
-
The informal understanding linking the Russian Empire, the French Third Republic, and the United Kingdom of Great Britain and Ireland after the signing of the Anglo-Russian Entente on August 31, 1907. The understanding between the three powers, supplemented by agreements with Japan and Portugal, constituted a powerful counterweight to the Triple Alliance of Germany, Austria-Hungary, and the Kingdom of Italy.
- Triple Alliance
-
A secret agreement between Germany, Austria-Hungary, and Italy formed on May 20, 1882, and renewed periodically until World War I. Germany and Austria-Hungary had been closely allied since 1879. Italy sought support against France shortly after it lost North African ambitions to the French. Each member promised mutual support in the event of an attack by any other great power.
During the 19th century, the major European powers went to great lengths to maintain a balance of power throughout Europe, resulting in the existence of a complex network of political and military alliances throughout the continent by 1900. These began in 1815 with the Holy Alliance between Prussia, Russia, and Austria. When Germany was united in 1871, Prussia became part of the new German nation. In October 1873, German Chancellor Otto von Bismarck negotiated the League of the Three Emperors between the monarchs of Austria-Hungary, Russia, and Germany. This agreement failed because Austria-Hungary and Russia could not agree over Balkan policy, leaving Germany and Austria-Hungary in an alliance formed in 1879 called the Dual Alliance. This was a method of countering Russian influence in the Balkans as the Ottoman Empire continued to weaken. This alliance expanded in 1882 to include Italy, in what became the Triple Alliance.
Bismarck held Russia at Germany’s side to avoid a two-front war with France and Russia. When Wilhelm II ascended to the throne as German Emperor (Kaiser), Bismarck was compelled to retire and his system of alliances was gradually de-emphasized. For example, the Kaiser refused in 1890 to renew the Reinsurance Treaty with Russia. Two years later, the Franco-Russian Alliance was signed to counteract the force of the Triple Alliance. In 1904, Britain signed a series of agreements with France, the Entente Cordiale, and in 1907, Britain and Russia signed the Anglo-Russian Convention. While these agreements did not formally ally Britain with France or Russia, they made British entry into any future conflict involving France or Russia a possibility, and the system of interlocking bilateral agreements became known as the Triple Entente.
Interestingly, family connections pervaded these alliances, some crossing the boundaries of opposition. Kaiser Wilhelm II of Germany, King George V of England, and Tsar Nicholas II of Russia were cousins.
Central Powers
The Central Powers, consisting of Germany, Austria-Hungary, the Ottoman Empire, and Bulgaria – hence also known as the Quadruple Alliance – was one of the two main factions during World War I (1914–18). It faced and was defeated by the Allied Powers that formed around the Triple Entente, after which it was dissolved.
The Central Powers consisted of the German Empire and the Austro-Hungarian Empire at the beginning of the war. The Ottoman Empire joined the Central Powers later in 1914. In 1915, the Kingdom of Bulgaria joined the alliance. The name “Central Powers” is derived from the location of these countries; all four (including the other groups that supported them except for Finland and Lithuania) were located between the Russian Empire in the east and France and the United Kingdom in the west. Finland, Azerbaijan, and Lithuania joined them in 1918 before the war ended and after the Russian Empire collapsed.
The Central Powers’ origin was the Triple Alliance. Also known as the Triplice, this was a secret agreement between Germany, Austria-Hungary, and Italy formed on May 20, 1882, and renewed periodically until World War I. Germany and Austria-Hungary had been closely allied since 1879. Italy sought support against France shortly after it lost North African ambitions to the French. Each member promised mutual support in the event of an attack by any other great power. The treaty provided that Germany and Austria-Hungary would assist Italy if it was attacked by France without provocation. In turn, Italy would assist Germany if attacked by France. In the event of a war between Austria-Hungary and Russia, Italy promised to remain neutral.
Shortly after renewing the Alliance in June 1902, Italy secretly extended a similar guarantee to France. By a particular agreement, neither Austria-Hungary nor Italy would change the status quo in the Balkans without previous consultation. On November 1, 1902, five months after the Triple Alliance was renewed, Italy reached an understanding with France that each would remain neutral in the event of an attack on the other.
When Austria-Hungary found itself at war in August 1914 with the rival Triple Entente, Italy proclaimed its neutrality, considering Austria-Hungary the aggressor and defaulting on the obligation to consult and agree compensations before changing the status quo in the Balkans as agreed in 1912 renewal of the Triple Alliance. Following parallel negotiation with both Triple Alliance, aimed to keep Italy neutral, and the Triple Entente, aimed to make Italy enter the conflict, Italy declared war on Austria-Hungary. Carol I of Romania, through his Prime Minister Ion I. C. Brătianu, also secretly pledged to support the Triple Alliance, but he remained neutral since Austria-Hungary started the war.
Allies of WWI
The Allies of World War I were the countries that opposed the Central Powers in the First World War.
The members of the original Entente Alliance of 1907 were the French Republic, the British Empire, and the Russian Empire. Italy ended its alliance with the Central Powers, arguing that Germany and Austria-Hungary started the war and that the alliance was only defensive in nature; it entered the war on the side of the Entente in 1915. Japan was another important member. Belgium, Serbia, Greece, Montenegro, and Romania were affiliated members of the Entente.
The 1920 Treaty of Sèvres defines the Principal Allied Powers as the British Empire, French Republic, Italy, and Japan. The Allied Powers comprised, together with the Principal Allied Powers, Armenia, Belgium, Greece, Hejaz, Poland, Portugal, Romania, Serb-Croat-Slovene state, and Czechoslovakia.
The U.S. declaration of war on Germany in April 1917 was on the grounds that Germany had violated its neutrality by attacking international shipping and the Zimmermann Telegram sent to Mexico. It declared war on Austria-Hungary in December 1917. The U.S. entered the war as an “associated power,” rather than as a formal ally of France and the United Kingdom to avoid “foreign entanglements.” Although the Ottoman Empire and Bulgaria severed relations with the United States, neither declared war.
Web of Alliances
European diplomatic alignments shortly before the outbreak of WWI.
29.3.2: The Schlieffen Plan
The Schlieffen Plan was a deployment plan and operational guide for a decisive initial offensive campaign in a one-front war against the French Third Republic. In 1914 it was deployed against two fronts with major changes by Commander-in-Chief Moltke the Younger, resulting in a failure to achieve the decisive victory Schlieffen had planned.
Learning Objective
Describe the Schlieffen Plan
Key Points
- Alfred von Schlieffen was a German field marshal and strategist who served as Chief of the Imperial German General Staff from 1891 to 1906.
- Throughout his career, he developed several war plans for defensive, offensive, and counter-offensive campaigns, particularly with the French.
- The offensive campaign against France developed in 1905-06, later termed the “Schleiffen Plan,” focused on a brute force attack with sufficient soldiers.
- When Schlieffen retired, Helmuth von Moltke the Younger took over a Commander-in-Chief of the German army and at the outbreak of WWI, deployed a modified version of Schlieffen’s plan against the latter’s advice, which failed to achieve the decisive victory it promised.
- Various historians have contended that Moltke the Younger’s failure to follow the blueprint rather than German strategic miscalculation condemned the belligerents to four years of attrition warfare.
Key Terms
- counter-offensive
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A term used by the military to describe large-scale, usually strategic offensive operations by forces that successfully halt the enemy’s offensive while occupying defensive positions. It is executed after exhausting the enemy’s front line troops when their reserves are committed to combat and incapable of breaching defenses, but before the enemy has had the opportunity to assume new defensive positions.
- Alfred von Schlieffen
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A German field marshal and strategist who served as Chief of the Imperial German General Staff from 1891 to 1906. His name lived on in the 1905-06 Schlieffen Plan, then Aufmarsch I, a deployment plan and operational guide for a decisive initial offensive campaign in a one-front war against the French Third Republic.
The Schlieffen Plan was the strategy for the German invasion of France and Belgium in August 1914. Field Marshal Alfred von Schlieffen was the Chief of the Imperial Army German General Staff from 1891 to 1906 and in 1905-06 devised a deployment plan for a winning offensive in a one-front war against the French Third Republic. After the war, German historians and other writers described the plan as a blueprint for victory. Some claimed the plan was ruined by Colonel-General Helmuth von Moltke the Younger, the Commander-in-Chief of the German army after Schlieffen retired in 1906 who was dismissed after the First Battle of the Marne (September 5-12, 1914).
Alfred von Schlieffen’s War Planning
The cornerstone of Schlieffen’s war planning was undoubtedly the strategic counter-offensive. Schlieffen was a great believer in the power of the attack in the context of the defensive operation. Germany’s smaller forces relative to the Franco-Russian Entente meant that an offensive posture against one or both was basically suicidal. On the other hand, Schlieffen placed great faith in Germany’s ability to use railways to launch a counter-offensive against a hypothetical French or Russian invasion force, defeat it, then quickly regroup and launch a counter-offensive.
Schlieffen also recognized the need for offensive planning, as failing to do so would limit the German Army’s capabilities. In 1897, Schlieffen developed a tactical plan that – acknowledging the German army’s limited offensive power and capacity for strategic maneuvers – basically amounted to using brute force to advance beyond the French defenses on the Franco-German border.
In 1905, Schlieffen developed what was truly his first plan for a strategic offensive operation, the Schlieffen plan Denkschrift (Schlieffen plan memorandum). This was designed for an isolated Franco-German war that would not involve Russia, calling for Germany to attack France.
However, the bulk of Schlieffen’s planning followed his personal preferences for the counter-offensive. Schlieffen’s war plans by the name of Aufmarsch II and Aufmarsch Ost continued to stress that Germany’s best hope for survival in a war with the Franco-Russian entente was a defensive strategy. This was reconciled with a very offensive tactical posture as Schlieffen held that the destruction of an attacking force required that it be surrounded and attacked from all sides until surrender, not merely repulsed as in a passive defense.
In August 1905 Schlieffen was kicked by a companion’s horse, rendering him incapable of battle at age 72. He began planning his retirement, but his successor was undetermined. A favourite of the Emperor was Helmuth von Moltke the Younger, who became Chief of Staff after Schlieffen retired.
Moltke went on to devise Aufmarsch II Ost, a variant on Schlieffen’s Aufmarsch Ost designed for an isolated Russo-German war. Schlieffen seemingly tried to impress upon Moltke that an offensive strategy against France could only work in the event of an isolated Franco-German war, as German forces would otherwise be too weak to implement it. Knowing this, Moltke still attempted to apply the offensive strategy of Aufmarsch I West to the two-front war Germany faced in 1914 and Schlieffen’s defensive plan Aufmarsch II West. With too few troops to cross west of Paris let alone attempt a crossing of the Seine, Moltke’s campaign failed to breach the French “second defensive sector” and his troops were pushed back in the Battle of the Marne.
Post-war writing by senior German officers like Hermann von Kuhl, Gerhard Tappen, Wilhelm Groener, and official historians led by the former Lieutenant-Colonel Wolfgang Förster established a commonly accepted narrative that it was Moltke the Younger’s failure to follow the blueprint rather than German strategic miscalculation that condemned the belligerents to four years of attrition warfare instead of the quick, decisive conflict it could have been.
Deployment of the Schlieffen Plan
At the outbreak of World War I, 80% of the German army was deployed as seven field armies in the west according to the plan Aufmarsch II West. However, they were then assigned to execute the retired deployment plan Aufmarsch I West, from the Schlieffen Plan. This would march German armies through northern Belgium and into France in an attempt to encircle the French army and breach the “second defensive area” of the fortresses of Verdun and Paris and the Marne river.
Aufmarsch I West was one of four deployment plans available to the German General Staff in 1914. Each favored certain operations but did not specify exactly how those operations would be carried out, leaving the commanding officers to do so at their own initiative with minimal oversight. Aufmarsch I West, designed for a one-front war with France, was retired once it became clear it was irrelevant to the wars Germany could expect to face. Both Russia and Britain were expected to help France with no possibility of assistance from Italian or Austro-Hungarian troops. But despite its unsuitability and the availability of more sensible and decisive options, it retained a certain allure due to its offensive nature and the pessimism of pre-war thinking, which expected offensive operations to be short-lived, costly in casualties, and unlikely to be decisive. Accordingly, the Aufmarsch II West deployment was changed for the offensive of 1914, despite its unrealistic goals and the insufficient forces Germany had available for decisive success. Moltke took Schlieffen’s plan and modified the deployment of forces on the western front by reducing the right wing, the one to advance through Belgium, from 85% to 70%. In the end, the Schlieffen plan was so radically modified by Moltke that it could be more properly called the Moltke Plan.
Germany attacked Luxembourg on August 2 and on August 3 declared war on France. On August 4, after Belgium refused to permit German troops to cross its borders into France, Germany declared war on Belgium as well. Britain declared war on Germany on the same day following an “unsatisfactory reply” to the British ultimatum that Belgium must be kept neutral.
In the end, Germany failed to avoid a long, two-front war, but had fought its way into a good defensive position inside France and effectively halved France’s supply of coal. It had also killed or permanently crippled 230,000 more French and British troops than it itself had lost. Despite this, communications problems and questionable command decisions cost Germany the chance of a more decisive outcome.
Schlieffen Plan
One historian’s depiction of the Schlieffen Plan in red dotted lines.
29.3.3: Early Battles
Following the outbreak of war in August 1914, the German Army opened the Western Front by invading Luxembourg and Belgium, but were forced back with the Battle of the Marne.
Learning Objective
Summarize the general trends of the early battles of World War I
Key Points
- The Western Front was the main theatre of war during World War I.
- Following the outbreak of war in August 1914, the German Army opened the Western Front by invading Luxembourg and Belgium, then gained military control of important industrial regions in France.
- These early German offensives include the Battle of Liège and the Battle of the Frontiers at the border of France.
- The tide of the advance was dramatically turned with the Battle of the Marne, in which French and British troops were able to force a German retreat by exploiting a gap between the 1st and 2nd Armies, ending the German advance into France.
- The resulting “Race to the Sea” had both sides establishing a meandering line of fortified trenches stretching from the North Sea to the Swiss frontier with France in an attempt to outflank the opposition.
- This line remained essentially unchanged for most of the war.
Key Terms
- Battle of the Frontiers
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A series of battles along the eastern frontier of France and in southern Belgium shortly after the outbreak of World War I. The battles resolved the military strategies of the French Chief of Staff General Joseph Joffre with Plan XVII and an offensive interpretation of the German Aufmarsch II deployment plan by Helmuth von Moltke the Younger. The Franco-British forces were driven back by the Germans, who were able to invade northern France. French and British rearguard actions delayed the German advance and thus allowed the French time to transfer their forces to the west to defend Paris, resulting in the First Battle of the Marne.
- First Battle of the Marne
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Also known as the Miracle of the Marne, this World War I battle fought in September 1914 resulted in an Allied victory against the German Army. The battle was the culmination of the German advance into France and pursuit of the Allied armies that followed the Battle of the Frontiers in August and reached the eastern outskirts of Paris. A counter-attack by six French field armies and the British Expeditionary Force (BEF) along the Marne River forced the Imperial German Army to retreat northwest, leading to the Battle of the Aisne and the “Race to the Sea.” The battle was a victory for the Allies, but also set the stage for four years of trench warfare stalemate on the Western Front.
- Siege of Liège
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The opening engagement of the German invasion of Belgium and the first battle of World War I. The attack on Liège city began on August 5, 1914, and lasted until August 16 when the last fort surrendered. The length of the siege of Liège may have delayed the German invasion of France by 4–5 days.
Battle of Liège
At the outbreak of the First World War, the German Army (consisting in the west of seven field armies) executed a modified version of the Schlieffen Plan, designed to quickly attack France through neutral Belgium before turning southwards to encircle the French Army on the German border. Belgium’s neutrality was guaranteed by Britain under the 1839 Treaty of London; this caused Britain to join the war at the expiration of its ultimatum at 11 p.m. GMT on August 4, 1914, when armies under German generals Alexander von Kluck and Karl von Bülow attacked Belgium. Luxembourg had been occupied without opposition on August 2. The first battle in Belgium was the Siege of Liège, which lasted from August 5-16. Liège was well-fortified and surprised the German Army under von Bülow with its level of resistance. Nonetheless, German heavy artillery was able to demolish the main forts within a few days. Following the fall of Liège, most of the Belgian field army retreated to Antwerp, leaving the garrison of Namur isolated, with the Belgian capital, Brussels, falling to the Germans on August 20. Although the German army bypassed Antwerp, it remained a threat to their flank. Another siege followed at Namur, lasting from about August 20-23.
For their part, the French had five armies deployed on their borders. The pre-war French offensive plan, Plan XVII, intended to capture Alsace-Lorraine following the outbreak of hostilities. On August 7 the VII Corps attacked Alsace with the objective to capture Mulhouse and Colmar. The main offensive was launched on August 14 with 1st and 2nd Armies attacking toward Sarrebourg-Morhange in Lorraine. In keeping with the Schlieffen Plan, the Germans withdrew slowly while inflicting severe losses upon the French. The French advanced the 3rd and 4th Armies toward the Saar River and attempted to capture Saarburg, attacking Briey and Neufchateau, before being driven back. The French VII Corps captured Mulhouse after a brief engagement on August 7, but German reserve forces engaged them in the Battle of Mulhouse and forced a French retreat.
Battle of the Frontiers
The German Army swept through Belgium, executing civilians and razing villages. The application of “collective responsibility” against a civilian population further galvanized the allies, and newspapers condemned the German invasion and the army’s violence against civilians and property, together called the “Rape of Belgium.” After marching through Belgium, Luxembourg, and the Ardennes, the German Army advanced in the latter half of August into northern France, where they met the French Army under Joseph Joffre and the initial six divisions of the British Expeditionary Force under Sir John French. A series of engagements known as the Battle of the Frontiers ensued, which included the Battle of Charleroi and the Battle of Mons. In the former battle the French Fifth Army was almost destroyed by the German 2nd and 3rd Armies and the latter delayed the German advance by a day. A general Allied retreat followed, resulting in more clashes at the Battle of Le Cateau, the Siege of Maubeuge, and the Battle of St. Quentin (also called the First Battle of Guise).
First Battle of the Marne
The German Army came within 43 miles of Paris but at the First Battle of the Marne (September 6-12), French and British troops were able to force a German retreat by exploiting a gap that appeared between the 1st and 2nd Armies, ending the German advance into France. The German Army retreated north of the Aisne River, establishing the beginnings of a static western front that would last for the next three years. Following this German retirement, the opposing forces made reciprocal outflanking maneuvers known as the Race for the Sea and quickly extended their trench systems from the Swiss frontier to the North Sea. The territory occupied by Germany held 64 percent of French pig-iron production, 24 percent of its steel manufacturing, and 40 percent of the coal industry, dealing a serious blow to French industry.
Laying Trenches and the First Battle of Ypres
On the Entente side (those countries opposing the German alliance), the final lines were occupied by the armies of the Allied countries, with each nation defending a part of the front. From the coast in the north, the primary forces were from Belgium, the British Empire, and France. Following the Battle of the Yser in October, the Belgian army controlled a 22-mile length of West Flanders along the coast known as the Yser Front, along the Yser river and the Yperlee canal from Nieuwpoort to Boesinghe. Stationed to the south was the sector of the British Expeditionary Force (BEF).
From October 19 until November 22, the German forces made their final breakthrough attempt of 1914 during the First Battle of Ypres. Heavy casualties were suffered on both sides but no breakthrough occurred. After the battle, Erich von Falkenhayn judged that it was no longer possible for Germany to win the war and on November 18 called for a diplomatic solution, but Chancellor Theobald von Bethmann-Hollweg, Paul von Hindenburg and Erich Ludendorff disagreed.
Stabilization of the Western Front WWI
Map of the Western Front and the Race to the Sea, 1914
29.3.4: Trench Warfare
After the German march on Paris was halted at the First Battle of the Marne, both sides dug in along a meandering line of fortified trenches stretching from the North Sea to the Swiss frontier with France. The Western Front settled into a battle of attrition, with a trench line that changed little until 1917.
Learning Objective
Analyze why trench warfare became such a defining feature of World War I
Key Points
- Trench warfare is a type of land warfare with occupied fighting lines consisting largely of trenches in which troops are significantly protected from the enemy’s small arms fire and sheltered from artillery. The most famous use of trench warfare is the Western Front in World War I.
- Trench warfare occurs when a revolution in firepower is not matched by similar advances in mobility, as in the first two decades of the 20th century when advances allowed the creation of strong defensive systems that out-of-date military tactics could not break through for most of the war.
- Barbed wire was a significant hindrance to massed infantry advances. Artillery vastly more lethal than in the 1870s, coupled with machine guns, made crossing open ground extremely difficult.
- Commanders on both sides failed to develop tactics for breaching entrenched positions without heavy casualties, resulting in such major battles as the Battle of the Somme, which cost the British Army some 420,000 casualties, the French an estimated 200,000 casualties, and the Germans an estimated 500,000.
- In time, however, technology began to produce new offensive weapons, such as gas warfare and the tank, but it was only after the adoption of improved tactics that some degree of mobility was restored.
Key Terms
- Race to the Sea
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The term described reciprocal attempts by the Franco-British and German armies to envelop the northern flank of the opposing army through Picardy, Artois, and Flanders, rather than an attempt to advance northwards to the sea. The “race” ended on the North Sea coast of Belgium around October 19, when the last open area from Dixmude to the North Sea was occupied by Belgian troops who had been withdrawn from the Siege of Antwerp (September 28 – October 10). The outflanking attempts resulted in a number of encounter battles, but neither side was able to gain a decisive victory.
- Battle of the Somme
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A battle of the First World War fought by the armies of the British and French empires against the German Empire. It took place between July 1 and November 18, 1916, on both sides of the upper reaches of the River Somme in France. The battle was intended to hasten a victory for the Allies and was the largest battle of the First World War on the Western Front. More than one million were wounded or killed, making it one of the bloodiest battles in human history.
- Trench warfare
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A type of land warfare using occupied fighting lines consisting largely of trenches, in which troops are significantly protected from the enemy’s small arms fire and sheltered from artillery.
Trench Warfare in World War I
Trench warfare occurs when a revolution in firepower is not matched by similar advances in mobility, resulting in a grueling form of warfare in which the defender holds the advantage. Military tactics developed before World War I failed to keep pace with advances in technology and became obsolete. These advances had allowed the creation of strong defensive systems, which out-of-date military tactics could not break through for most of the war. Barbed wire was a significant hindrance to massed infantry advances, while artillery vastly more lethal than in the 1870s, coupled with machine guns, made crossing open ground extremely difficult. Commanders on both sides failed to develop tactics for breaching entrenched positions without heavy casualties. In time, however, technology began to produce new offensive weapons, such as gas warfare and the tank.
On the Western Front in 1914–18, both sides constructed elaborate trench and dugout systems opposing each other along a front, protected from assault by barbed wire, mines, and other obstacles. The area between opposing trench lines (known as “no man’s land”) was fully exposed to artillery fire from both sides. Attacks, even if successful, often sustained severe casualties.
Just after the First Battle of the Marne (September 5-12, 1914), Entente and German forces repeatedly attempted maneuvering to the north in an effort to outflank each other, a strategy that became known as the “Race to the Sea.” When these outflanking efforts failed, the opposing forces soon found themselves facing an uninterrupted line of entrenched positions from Lorraine to Belgium’s coast Britain. France sought to take the offensive while Germany defended the occupied territories. Consequently, German trenches were much better constructed than those of their enemy; Anglo-French trenches were only intended to be “temporary” before their forces broke through the German defenses.
Trench warfare prevailed on the Western Front from late 1914 until the Germans launched their Spring Offensive on March 21, 1918. After the buildup of forces in 1915, the Western Front became a stalemated struggle between equals to be decided by attrition. The small, improvised trenches of the first few months grew deeper and more complex, gradually becoming vast areas of interlocking defensive works. They resisted both artillery bombardment and mass infantry assault. Shell-proof dugouts became a high priority. Frontal assaults and their associated casualties became inevitable because the continuous trench lines had no open flanks. Casualties of the defenders matched those of the attackers, as vast reserves were expended in costly counter-attacks or exposed to the attacker’s massed artillery. There were periods in which rigid trench warfare broke down, such as during the Battle of the Somme, but the lines never moved very far. The war would be won by the side able to commit the last reserves to the Western Front.
Neither side delivered a decisive blow for the next two years. Throughout 1915–17, the British Empire and France suffered more casualties than Germany because of the strategic and tactical stances chosen by the sides. Strategically, while the Germans only mounted one major offensive, the Allies made several attempts to break through the German lines.
In February 1916 the Germans attacked the French defensive positions at Verdun. Lasting until December 1916, the battle saw initial German gains before French counter-attacks returned them near their starting point. Casualties were greater for the French, but the Germans bled heavily as well, with anywhere from 700,000 to 975,000 casualties suffered between the two combatants. Verdun became a symbol of French determination and self-sacrifice.
The Battle of the Somme was an Anglo-French offensive of July to November 1916. The opening of this offensive (July 1, 1916) saw the British Army endure the bloodiest day in its history, suffering 57,470 casualties, including 19,240 dead, on the first day alone. The entire Somme offensive cost the British Army some 420,000 casualties. The French suffered another estimated 200,000 casualties and the Germans an estimated 500,000.
The last large-scale offensive of this period was a British attack (with French support) at Passchendaele (July–November 1917). This offensive opened with great promise for the Allies before bogging down in the October mud. Casualties, though disputed, were roughly equal at some 200,000–400,000 per side.
These years of trench warfare in the West saw no major exchanges of territory and, as a result, are often thought of as static and unchanging. However, throughout this period, British, French, and German tactics constantly evolved to meet new battlefield challenges.
Trench Warfare
Trenches of the 11th Cheshire Regiment at Ovillers-la-Boisselle, on the Somme, July 1916. One sentry keeps watch while the others sleep. Photo by Ernest Brooks.
Development of Advanced Weaponry
Both sides tried to break the trench stalemate using scientific and technological advances. On April 22, 1915, at the Second Battle of Ypres, the Germans (violating the Hague Convention) used chlorine gas for the first time on the Western Front. After a two-day bombardment, the Germans released a cloud of 171 tons of chlorine gas onto the battlefield. Though primarily a powerful irritant, it can asphyxiate in high concentrations or prolonged exposure. The gas crept across no man’s land and drifted into the French trenches. The green-yellow cloud killed some defenders and those in the rear fled in panic, creating an undefended 3.7 mile gap in the Allied line. The Germans were unprepared for the level of their success and lacked sufficient reserves to exploit the opening. Canadian troops on the right drew back their left flank and repelled the German advance.
The success of this attack would not be repeated, as the Allies countered by introducing gas masks and other countermeasures. The British retaliated, developing their own chlorine gas and using it at the Battle of Loos in September 1915. Fickle winds and inexperience led to more British casualties from the gas than German. Several types of gas soon became widely used by both sides, and though it never proved a decisive, battle-winning weapon, poison gas became one of the most-feared and best-remembered horrors of the war. French, British, and German forces all escalated the use of gas attacks through the rest of the war, developing the more deadly phosgene gas in 1915, then the infamous mustard gas in 1917, which could linger for days and kill slowly and painfully. Countermeasures also improved and the stalemate continued.
Tanks were developed by Britain and France, and were first used in combat by the British during the Battle of Flers–Courcelette (part of the Battle of the Somme) on September 15, 1916, with only partial success. However, their effectiveness would grow as the war progressed; the Allies built tanks in large numbers, whilst the Germans employed only a few of their own design supplemented by captured Allied tanks.
29.4: The End of World War I
29.4.1: American Entry into WWI
The American entry into World War I came in April 1917, after two and a half years of efforts by President Woodrow Wilson to keep the United States neutral.
Learning Objective
Explain why the United States entered WWI
Key Points
- After World War I began in 1914, the United States proclaimed a policy of strict neutrality, with President Wilson trying to broker peace.
- American public opinion was strongly divided, with most Americans until early 1917 supporting the United States staying out of the war.
- When the German U-boat U-20 sank the British liner Lusitania on May 7, 1915, with 128 U.S. citizens aboard, Wilson demanded an end to attacks on passenger ships as they were in violation of international law and of human rights; Germany complied.
- Wilson came under pressure from war hawks led by former president Theodore Roosevelt, who denounced German acts as “piracy.” Public opinion, angry over the sinking of the Lusitania, began to sway in favor of entering the war.
- In January 1917, Germany resumed unrestricted submarine warfare against their 19155 agreement with the U.S.
- The German Foreign minister, Arthur Zimmermann, invited revolution-torn Mexico to join the war as Germany’s ally against the United States in the Zimmermann Telegram. This was intercepted by the British and given to the Americans, who saw it as a cause for war.
- The United States declared war on the German Empire on April 6, 1917, and immediately began sending troops to France.
Key Terms
- casus belli
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A Latin expression meaning “an act or event that provokes or is used to justify war” (literally, “a case of war”). It involves direct offenses or threats against the nation declaring the war, whereas a casus foederis involves offenses or threats against its ally—usually one bound by a mutual defense pact. Either may be considered an act of war.
- Zimmermann Telegram
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A secret diplomatic communication issued from the German Foreign Office in January 1917 that proposed a military alliance between Germany and Mexico in the event of the United States entering World War I against Germany. The proposal was intercepted and decoded by British intelligence. Revelation of the contents enraged American public opinion, especially after the German Foreign Secretary Arthur Zimmermann publicly admitted the telegram was genuine on March 3, and helped generate support for the United States declaration of war on Germany in April.
- sinking of the Lusitania
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On May 7, 1915, during the First World War, as Germany waged submarine warfare against the United Kingdom of Great Britain and Ireland, the Lusitania was identified and torpedoed by the German U-boat U-20 and sank in 18 minutes. The vessel went down 11 miles off the Old Head of Kinsale, Ireland, killing 1,198 and leaving 761 survivors. The sinking turned public opinion in many countries against Germany, contributed to the American entry into World War I, and became an iconic symbol in military recruiting campaigns.
American Neutrality and the Lusitania
At the outbreak of World War I, the United States pursued a policy of non-intervention, avoiding conflict while trying to broker a peace. When the German U-boat U-20 sank the British liner RMS Lusitania on May 7, 1915, with 128 Americans among the dead, President Woodrow Wilson insisted that “America is too proud to fight” but demanded an end to attacks on passenger ships. Germany complied, and Wilson unsuccessfully tried to mediate a settlement. However, he also repeatedly warned that the United States would not tolerate unrestricted submarine warfare, which was in violation of international law. Former president Theodore Roosevelt denounced German acts as “piracy.” Wilson was narrowly reelected in 1916 as his supporters emphasized “he kept us out of war.”
American public opinion was divided, with most before early 1917 strongly of the opinion that the United States should stay out of the war. Opinion changed gradually, partly in response to German actions in Belgium and the sinking of the Lusitania, partly as German Americans lost influence, and partly in response to Wilson’s position that America had to play a role in making the world safe for democracy.
The general public showed little support for entering the war on the side of Germany. The great majority of German Americans and Scandinavian Americans, wanted the United States to remain neutral; however, at the outbreak of war, thousands of U.S. citizens tried to enlist in the German army. The Irish Catholic community, based in the large cities and often in control of the Democratic Party apparatus, was strongly hostile to helping Britain in any way, especially after the Easter uprising of 1916 in Ireland. Most Protestant church leaders in the United States, regardless of their theology, favored pacifistic solutions. Most of the leaders of the women’s movement, typified by Jane Addams, likewise sought brokerage of peace. The most prominent opponent of war was industrialist Henry Ford, who personally financed and led a peace ship to Europe to try to negotiate among the belligerents; no negotiations resulted.
Sinking of the Lusitania
A 1915 painting of the sinking of the passenger ship Lusitania, an event which shifted American public opinion toward entering WWI and became a symbol for the fight against Germany.
The Zimmermann Telegram and Declaration of War
In January 1917, Germany resumed unrestricted submarine warfare, realizing it would mean American entry. The German Foreign Minister, in the Zimmermann Telegram, invited Mexico to join the war as Germany’s ally against the United States. In return, the Germans would finance Mexico’s war and help it recover the territories of Texas, New Mexico, and Arizona. The United Kingdom intercepted the message and presented it to the U.S. embassy in the UK. From there it made its way to President Wilson, who released it to the public. Americans considered the Zimmermann Telegram casus belli.
Popular sentiment in the United States at that time was anti-Mexican as well as anti-German, while in Mexico there was considerable anti-American sentiment. General John J. Pershing had long been chasing the revolutionary Pancho Villa and carried out several cross-border raids. News of the telegram further inflamed tensions between the United States and Mexico.
Wilson asked Congress for “a war to end all wars” that would “make the world safe for democracy” and eliminate militarism from the globe. He argued that the war was important and the U.S. thus must have a voice in the peace conference. After the sinking of seven U.S. merchant ships by submarines and the publication of the Zimmermann telegram, Wilson called for war on Germany, which the U.S. Congress declared on April 6, 1917.
The United States was never formally a member of the Allies but became a self-styled “Associated Power.” It initially had a small army, but after the passage of the Selective Service Act drafted 2.8 million men, and by summer 1918 was sending 10,000 fresh soldiers to France every day. In 1917, the U.S. Congress gave citizenship to Puerto Ricans drafted to participate in World War I as part of the Jones Act. If Germany believed it would be many more months before American soldiers would arrive and that their arrival could be stopped by U-boats, it had miscalculated.
The United States Navy sent a battleship group to Scapa Flow to join the British Grand Fleet, destroyers to Queenstown, Ireland, and submarines to help guard convoys. Several regiments of U.S. Marines were also dispatched to France. The British and French wanted American units to reinforce their troops already on the battle lines and not waste scarce shipping on supplies. General John J. Pershing, American Expeditionary Forces (AEF) commander, refused to break up American units to be used as filler material. As an exception, he did allow African-American combat regiments to be used in French divisions. The Harlem Hellfighters fought as part of the French 16th Division and earned a unit Croix de Guerre for their actions at Château-Thierry, Belleau Wood, and Sechault. AEF doctrine called for the use of frontal assaults, which had long since been discarded by British Empire and French commanders due to the large loss of life that resulted.
America Enters WWI
President Wilson before Congress, announcing the break in official relations with the German Empire on February 3, 1917. Two months later, the U.S. declared war on Germany.
29.4.2: The Treaty of Brest-Litovsk
The Russian government collapsed in March 1917. The subsequent October Revolution followed by a further military defeat brought the Russians to terms with the Central Powers via the Treaty of Brest-Litovsk, which granted the Germans a significant victory and resulted in Russia exiting the war and breaking ties with the Allied Powers.
Learning Objective
State the consequences of the Treaty of Brest-Litovsk
Key Points
- In March 1917, demonstrations in Russia culminated in the abdication of Tsar Nicholas II and the appointment of a weak provisional government that shared power with the Petrograd Soviet socialists.
- This arrangement led to confusion and chaos both at the front and at home, with the Russian army becoming increasingly ineffective.
- Discontent and the weaknesses of the provisional government led to a rise in the popularity of the Bolshevik Party led by Vladimir Lenin, which demanded an immediate end to the war.
- The October Revolution, which put the Bolsheviks into power, was followed in December by an armistice and negotiations with Germany.
- At first, the Bolsheviks refused the German terms, but when German troops began marching across Ukraine unopposed, the new government acceded to the Treaty of Brest-Litovsk on March 3, 1918.
- The treaty ceded vast territories, including Finland, the Baltic provinces, parts of Poland, and Ukraine, to the Central Powers.
- The treaty was effectively terminated in November 1918 when Germany surrendered to the Allies.
Key Terms
- Eastern Front of World War I
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A theater of operations that encompassed at its greatest extent the entire frontier between the Russian Empire and Romania on one side and the Austro-Hungarian Empire, Bulgaria, the Ottoman Empire, and the German Empire on the other. It stretched from the Baltic Sea in the north to the Black Sea in the south, included most of Eastern Europe, and stretched deep into Central Europe as well. The term contrasts with “Western Front,” which was fought in Belgium and France.
- October Revolution
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A seizure of state power instrumental in the larger Russian Revolution of 1917. It took place with an armed insurrection in Petrograd on October 25, 1917, and followed and capitalized on the February Revolution of the same year, which overthrew the Tsarist autocracy and resulted in a provisional government. During this time, urban workers began to organize into councils (Russian: soviet) wherein revolutionaries criticized the provisional government and its actions. This uprising overthrew the provisional government and gave the power to the local soviets.
- Russian Civil War
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A multi-party war in the former Russian Empire immediately after the Russian Revolutions of 1917, as many factions vied to determine Russia’s political future. The two largest combatant groups were the Red Army, fighting for the Bolshevik form of socialism, and the loosely allied forces known as the White Army, which included diverse interests favoring monarchism, capitalism, and alternative forms of socialism, each with democratic and antidemocratic variants. In addition, rival militant socialists and non-ideological Green armies fought against both the Bolsheviks and the Whites. The Red Army defeated the White Armed Forces of South Russia in Ukraine and the army led by Admiral Aleksandr Kolchak in Siberia in 1919. The remains of the White forces commanded by Pyotr Nikolayevich Wrangel were beaten in Crimea and evacuated in late 1920. Lesser battles continued on the periphery for two more years, and minor skirmishes with the remnants of the White forces in the Far East continued well into 1923.
- Treaty of Brest-Litovsk
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A peace treaty signed on March 3, 1918, between the new Bolshevik government of Soviet Russia and the Central Powers (Germany, Austria-Hungary, Bulgaria, and the Ottoman Empire), that ended Russia’s participation in World War I.
The Treaty of Brest-Litovsk was a peace treaty signed on March 3, 1918, between the new Bolshevik government of Soviet Russia and the Central Powers (Germany, Austria-Hungary, Bulgaria, and the Ottoman Empire), that ended Russia’s participation in World War I. The treaty was signed at Brest-Litovsk after two months of negotiations and was forced on the Bolshevik government by the threat of further advances by German and Austrian forces. According to the treaty, Soviet Russia defaulted on all of Imperial Russia’s commitments to the Triple Entente alliance.
The treaty was effectively terminated in November 1918 when Germany surrendered to the Allies. However, in the meantime it provided some relief to the Bolsheviks, already fighting the Russian Civil War, by the renouncement of Russia’s claims on Poland, Finland, Estonia, Latvia, Belarus, Ukraine, and Lithuania.
Background
By 1917, Germany and Imperial Russia were in a stalemate on the Eastern Front of World War I. At the time, the Russian economy nearly collapsed under the strain of the war effort. The large numbers of war casualties and persistent food shortages in the major urban centers brought about civil unrest, known as the February Revolution, that forced Tsar Nicholas II to abdicate. The Russian provisional government that replaced the Tsar (initially presided by prince Georgy Lvov, later by Alexander Kerensky), decided to continue the war on the Entente side. Foreign Minister Pavel Milyukov sent the Entente Powers a telegram, known as the Milyukov note, affirming that the provisional government would continue the war with the same aims as Imperial Russia.
The pro-war provisional government was opposed by the self-proclaimed Petrograd Soviet of Workers’ and Soldiers’ Deputies, dominated by leftist parties. Its Order No. 1 called for an overriding mandate to soldier committees rather than army officers. The Soviet started to form its own paramilitary power, the Red Guards, in March 1917.
The position of the provisional government led the Germans to offer support to the Russian opposition, the Communist Party (Bolsheviks) in particular, who were proponents of Russia’s withdrawal from the war. In April 1917, Germany allowed Bolshevik leader Vladimir Lenin to return to Russia from his exile in Switzerland and offered him financial help. Upon his arrival in Petrograd, Lenin proclaimed his April Theses, which included a call to turn all political power over to workers’ and soldiers’ soviets (councils) and an immediate withdrawal of Russia from the war. Throughout 1917, Bolsheviks spread defeatist and revolutionary propaganda calling for the overthrow of the provisional government and an end to the war. Following the disastrous failure of the Kerensky Offensive, discipline in the Russian army deteriorated completely. Soldiers would disobey orders, often under the influence of Bolshevik agitation, and allowed soldiers’ committees to take control of their units after deposing the officers. Russian and German soldiers occasionally left their positions and fraternized.
The defeat and ongoing hardships of war led to anti-government riots in Petrograd headed by the Bolsheviks, the “July Days” of 1917. Several months later on November 7 , Red Guards seized the Winter Palace and arrested the provisional government in what is known as the October Revolution.
The newly established Soviet government decided to end Russia’s participation in the war with Germany and its allies. On October 26, 1917, Vladimir Lenin signed the Decree on Peace, which was approved by the Second Congress of the Soviet of Workers’, Soldiers’, and Peasants’ Deputies. The Decree called “upon all the belligerent nations and their governments to start immediate negotiations for peace” and proposed an immediate withdrawal of Russia from World War I. Leon Trotsky was appointed Commissar of Foreign Affairs in the new Bolshevik government. In preparation for peace talks with the representatives of the German government and other Central Powers, Leon Trotsky appointed his good friend Adolph Joffe to represent the Bolsheviks at the peace conference.
Terms of the Treaty and its Effects
On December 15, 1917, an armistice between Soviet Russia and the Central Powers was concluded and fighting stopped. On December 22, peace negotiations began at Brest-Litovsk. The Treaty of Brest-Litovsk was signed on March 3, 1918. The signatories were Bolshevik Russia signed by Grigori Yakovlovich Sokolnikov on the one side and the German Empire, Austria-Hungary, Bulgaria, and Ottoman Empire on the other. The treaty marked Russia’s final withdrawal from World War I as an enemy of her co-signatories, on unexpectedly humiliating terms.
Treaty of Brest-Litovsk
A photo of the signing of armistice between Russia and Germany on March 3, 1918. The treaty marked Russia’s final withdrawal from World War I and resulted in Russia losing major territorial holdings.
In the treaty, Bolshevik Russia ceded the Baltic States to Germany; they were meant to become German vassal states under German princelings. Russia ceded its province of Kars Oblast in the South Caucasus to the Ottoman Empire and recognized the independence of Ukraine. Further, Russia agreed to pay six billion German gold marks in reparations. Historian Spencer Tucker says, “The German General Staff had formulated extraordinarily harsh terms that shocked even the German negotiator.” Congress Poland was not mentioned in the treaty, as Germans refused to recognize the existence of any Polish representatives, which in turn led to Polish protests. When Germans later complained that the Treaty of Versailles of 1919 was too harsh, the Allies (and historians favorable to the Allies) responded that it was more benign than Brest-Litovsk.
With the adoption of the Treaty of Brest-Litovsk, the Entente no longer existed. Despite this enormous apparent German success, the manpower required for German occupation of former Russian territory may have contributed to the failure of the Spring Offensive and secured relatively little food or other material for the Central Powers war effort. The Allied powers led a small-scale invasion of Russia, partly to stop Germany from exploiting Russian resources, and to a lesser extent, to support the “Whites” (as opposed to the “Reds”) in the Russian Civil War. Allied troops landed in Arkhangelsk and in Vladivostok as part of the North Russia Intervention.
The Treaty of Brest-Litovsk lasted just over eight months. Germany renounced the treaty and broke diplomatic relations with Soviet Russia on November 5. The Ottoman Empire broke the treaty after just two months by invading the newly created First Republic of Armenia in May 1918. In the Armistice of November 11, 1918, that ended World War I, one of the first conditions was the complete abrogation of the Brest-Litovsk treaty. Following the German capitulation, the Bolshevik legislature annulled the treaty on November 13, 1918. In the year after the armistice, the German Army withdrew its occupying forces from the lands gained in Brest-Litovsk, leaving behind a power vacuum that various forces subsequently attempted to fill. In the Treaty of Rapallo, concluded in April 1922, Germany accepted the Treaty’s nullification, and the two powers agreed to abandon all war-related territorial and financial claims against each other.
The Treaty of Brest-Litovsk marked a significant contraction of the territory controlled by the Bolsheviks or that they could lay claim to as effective successors of the Russian Empire. While the independence of Finland and Poland was already accepted in principle, the loss of Ukraine and the Baltics created, from the Bolshevik perspective, dangerous bases of anti-Bolshevik military activity in the subsequent Russian Civil War (1918–1922). Indeed, many Russian nationalists and some revolutionaries were furious at the Bolsheviks’ acceptance of the treaty and joined forces to fight them. Non-Russians who inhabited the lands lost by Bolshevik Russia in the treaty saw the changes as an opportunity to set up independent states not under Bolshevik rule. Immediately after the signing of the treaty, Lenin moved the Soviet Russian government from Petrograd to Moscow.
The fate of the region and the location of the eventual western border of the Soviet Union was settled in violent and chaotic struggles over the course of the next three-and-a-half years.
29.4.3: The British Naval Blockade
Soon after the outbreak of hostilities, Britain began a naval blockade of Germany. This strategy proved effective, cutting off vital military and civilian supplies and helping the Allies to eventually win the war.
Learning Objective
Evaluate the effectiveness of the British Naval Blockade
Key Points
- Naval warfare in World War I was mainly characterized by the efforts of the Allied Powers, with their larger fleets and surrounding position, to blockade the Central Powers by sea. The Central Powers used submarines and radars to try t break that blockade or establish their own blockade of the United Kingdom and France.
- Shortly after the outbreak of the war, the British navy, the largest and most powerful in the world at that time, began a naval blockade of Germany, cutting off vital military and civilian supplies.
- Britain mined international waters to prevent any ships from entering entire sections of ocean, causing danger to even neutral ships.
- The German Board of Public Health in December 1918 claimed that 763,000 German civilians died from starvation and disease caused by the blockade through December 1918.
- The blockade also had a detrimental effect on the U.S. economy and the U.S. government protested the blockade vigorously.
- It is considered one of the key elements in the eventual Allied victory in the war, although historians have argued about its importance.
Key Terms
- German Revolution of 1918–19
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Civil conflict in the German Empire at the end of the First World War resulted in the replacement of Germany’s Imperial government with a republic. The revolutionary period lasted from November 1918 until the establishment in August 1919 of a republic that later became known as the Weimar Republic.
- Blockade of Germany
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A prolonged naval operation conducted by the Allied Powers, especially Great Britain, during and after World War I to restrict the maritime supply of goods to the Central Powers, which included Germany, Austria-Hungary, and Turkey.
The Blockade of Germany, or the Blockade of Europe, occurred from 1914 to 1919. It was a prolonged naval operation conducted by the Allied Powers, especially Great Britain, during and after World War I to restrict the maritime supply of goods to the Central Powers, which included Germany, Austria-Hungary, and Turkey. It is considered one of the key elements in the eventual Allied victory in the war. The German Board of Public Health claimed that 763,000 German civilians died from starvation and disease caused by the blockade through December 1918. An academic study done in 1928 put the death toll at 424,000.
Both the German Empire and the United Kingdom relied heavily on imports to feed their population and supply their war industry. Imports of foodstuffs and war material of all European belligerents came primarily from the Americas and had to be shipped across the Atlantic Ocean, so Britain and Germany both aimed to blockade each other. The British had the Royal Navy, which was superior in numbers and could operate throughout the British Empire, while the German Kaiserliche Marine surface fleet was mainly restricted to the German Bight and used commerce raiders and unrestricted submarine warfare to operate elsewhere.
The British—with their overwhelming sea power—established a naval blockade of Germany immediately on the outbreak of war in August 1914, issuing a comprehensive list of contraband that all but prohibited American trade with the Central powers. In early November 1914 they declared the North Sea a war zone, with any ships entering at their own risk. The blockade was unusually restrictive in that even foodstuffs were considered “contraband of war.” There were complaints about breaches of international law; however, most neutral merchant vessels agreed to dock at British ports to be inspected and then escorted—less any “illegal” cargo destined for Germany—through the British minefields to their destinations.
Did the Blockade Win the War?
The first official accounts of the blockade, written by Professor A. C. Bell and Brigadier-General Sir James E. Edmonds, differed in their accounts of its effects upon German food supplies. Bell—who employed German data—argued that the blockade led to revolutionary uprisings in Germany and caused the collapse of the Kaiser′s administration. Edmonds, supported by Colonel Irwin L. Hunt (who was in charge of civil affairs in the American occupied zone of the Rhineland), held that food shortages were a post-armistice phenomenon caused solely by the disruptions of the German Revolution of 1918–19.
More recent studies also disagree on the severity of the blockade′s impact on the affected populations at the time of the revolution and the armistice. Some hold that the blockade starved Germany and the Central Powers into defeat in 1918, but others maintain that while the German population did indeed go hungry as a result of the blockade, Germany′s rationing system kept all but a few from actually starving to death. German success against the Russians on the Eastern Front culminating in the Treaty of Brest-Litovsk gave Germany access to the resources of Poland and other eastern territories, which did much to counter the effects of the blockade. The armistice on November 11 was forced by events on the Western Front rather than any actions of the civilian population. Germany’s largest ally, Austria-Hungary, had already signed an armistice on November 3, exposing Germany to an invasion from the south.
Nevertheless, it is accepted that the blockade made a large contribution to the outcome of the war; by 1915, Germany′s imports had already fallen by 55% from their prewar levels and the exports were 53% of what they were in 1914. Apart from leading to shortages in vital raw materials such as coal and metals, the blockade also deprived Germany of supplies of fertilizer that were vital to agriculture. This latter led to staples such as grain, potatoes, meat, and dairy products becoming so scarce by the end of 1916 that many people were obliged to instead consume ersatz products including Kriegsbrot (“war bread”) and powdered milk. The food shortages caused looting and riots not only in Germany, but also in Vienna and Budapest. Austria-Hungary even hijacked ships on the Danube that were meant to deliver food to Germany.
The German government made strong attempts to counter the effects of the blockade; the Hindenburg Programme of German economic mobilization launched in August 1916 was designed to raise productivity by the compulsory employment of all men between the ages of 17 and 60. A complicated rationing system introduced in January 1915 aimed to ensure that a minimum nutritional need was met, with “war kitchens” providing cheap mass meals to impoverished civilians in larger cities. All these schemes enjoyed only limited success, and the average daily diet of 1,000 calories was insufficient to maintain a good standard of health, resulting by 1917 in widespread disorders caused by malnutrition such as scurvy, tuberculosis, and dysentery.
The blockade also had a detrimental effect on the U.S. economy. Under pressure especially from commercial interests wishing to profit from wartime trade with both sides, the U.S. government protested vigorously. Britain did not wish to antagonize the U.S., but cutting off trade to the enemy seemed a more pressing goal. Eventually, Germany′s submarine campaign and the subsequent sinking of the RMS Lusitania and other civilian vessels with Americans on board did far more to antagonize U.S. opinion than the blockade had.
British Grand Fleet
The Grand Fleet sailing in parallel columns during the First World War. The British Navy was responsible for the successful Blockade of Germany, which cut off vital supplies from Germany and contributed to the defeat of the Central Powers.
29.4.4: The Hundred Days Offensive
The Hundred Days Offensive was the final period of World War I, during which the Allies launched a series of offensive attacks against the Central Powers that pushed the Germans out of France and led to their defeat.
Learning Objective
Describe the events of the Hundred Days Offensive and how they led to the end of the war
Key Points
- After a stunning German offensive along the Western Front in the spring of 1918, the Allies rallied and drove back the Germans in a series of successful offensives, known collectively as the Hundred Days Offensives.
- The Hundred Days Offensives began with the Battle of Amiens in August 1918, with an attack by more than 10 Allied divisions—Australian, Canadian, British and French forces—with more than 500 tanks.
- Total German losses were estimated at 30,000 men, while the Allies suffered about 6,500 killed, wounded and missing; the resulting collapse in German morale led German General Erich Ludendorff to dub it “the Black Day of the German Army.”
- The allies continued offensives on several points on the Western Front, eventually forcing the Germans behind the Hindenburg Line, which had been a stable defensive line for the Germans.
- With the military faltering and widespread loss of confidence in the Kaiser, Germany moved towards surrender.
- On November 4, 1918, the Austro-Hungarian empire agreed to an armistice, and Germany, which had its own trouble with revolutionaries, agreed to an armistice on November 11, 1918, ending the war in victory for the Allies.
Key Terms
- Weimar Republic
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An unofficial historical designation for the German state between 1919 and 1933. The name derives from the city of Weimar, where its constitutional assembly first took place. In its 14 years, it faced numerous problems, including hyperinflation, political extremism (with paramilitaries – both left- and right-wing); and contentious relationships with the victors of the First World War. Hitler’s seizure of power brought the republic to an end; as democracy collapsed, a single-party state founded the Nazi era.
- Hundred Days Offensive
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The final period of the First World War, during which the Allies launched a series of offensives against the Central Powers on the Western Front from August 8 to November 11, 1918, beginning with the Battle of Amiens.
- Hindenburg Line
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A German defensive position of World War I, built during the winter of 1916-1917 on the Western Front from Arras to Laffaux, near Soissons on the Aisne. Construction of this position in France was begun by the Germans in September 1916, to make retirement from the Somme front possible and counter an anticipated increase in the power of Anglo-French attacks in 1917.
- Spring Offensive
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A series of German attacks along the Western Front during the First World War, beginning on March 21, 1918, that marked the deepest advances by either side since 1914. The Germans realized that their only remaining chance of victory was to defeat the Allies before the overwhelming human and matériel resources of the United States could be fully deployed. They also had the temporary advantage in numbers afforded by the nearly 50 divisions freed by the Russian surrender.
The Hundred Days Offensive was the final period of the First World War, during which the Allies launched a series of offensives against the Central Powers on the Western Front from August 8 to November 11, 1918, beginning with the Battle of Amiens. The offensive essentially pushed the Germans out of France, forcing them to retreat beyond the Hindenburg Line, and was followed by an armistice. The term “Hundred Days Offensive” does not refer to a specific battle or unified strategy, but rather the rapid series of Allied victories starting with the Battle of Amiens.
Background
The Spring Offensive of the German Army on the Western Front began in March 1918 with Operation Michael and had petered out by July. The Germans advanced to the river Marne but failed to achieve a decisive breakthrough. When Operation Marne-Rheims ended in July, the Allied supreme commander Ferdinand Foch, ordered a counter-offensive which became known as the Second Battle of the Marne. The Germans, recognizing their untenable position, withdrew from the Marne towards the north. For this victory, Foch was granted the title Marshal of France.
Foch thought the time had arrived for the Allies to return to the offensive. The American Expeditionary Force (AEF, General John J. Pershing), was present in France in large numbers and invigorated the Allied armies. Pershing was keen to use his army in an independent role. The British Expeditionary Force (BEF) had also been reinforced by large numbers of troops returned from the Sinai and Palestine Campaign and the Italian Front, as well as replacements held back in Britain by the Prime Minister, David Lloyd George.
A number of proposals were considered and finally, Foch agreed on a proposal by Field Marshal Sir Douglas Haig, Commander-in-Chief (C-in-C) of the BEF, to strike on the River Somme, east of Amiens and south-west of the site of the 1916 Battle of the Somme, with the intention of forcing the Germans away from the vital Amiens-Paris railway. The Somme was chosen as a suitable site for several reasons. As in 1916, it marked the boundary between the BEF and the French armies, in this case defined by the Amiens-Roye road, allowing the two armies to cooperate. Also, the Picardy countryside provided a good surface for tanks, which was not the case in Flanders. Finally, the German defenses, manned by the German 2nd Army (General Georg von der Marwitz), were relatively weak, having been subjected to continual raiding by the Australians in a process termed peaceful penetration.
Final Battles of WWI
The Hundred Days Offensive began on August 8, 1918, with the Battle of Amiens. The battle involved over 400 tanks and 120,000 British, Dominion, and French troops, and by the end of its first day a gap 15 miles long had been created in the German lines. The defenders displayed a marked collapse in morale, causing German General Erich Ludendorff to refer to this day as the “Black Day of the German army.” After an advance as far as 14 miles, German resistance stiffened, and the battle was concluded on August 12.
Rather than continuing the Amiens battle past the point of initial success, as had been done so many times in the past, the Allies shifted their attention elsewhere. Allied leaders had now realized that to continue an attack after resistance had hardened was a waste of lives, and it was better to turn a line than to try to roll over it. They began to undertake attacks in quick order to take advantage of successful advances on the flanks, then broke them off when the initial impetus was lost.
British and Dominion forces launched the next phase of the campaign with the Battle of Albert on August 21. The assault was widened by French and further British forces in the following days. During the last week of August, the Allied pressure along a 68-mile front against the enemy was heavy and unrelenting. From German accounts, “Each day was spent in bloody fighting against an ever and again on-storming enemy, and nights passed without sleep in retirements to new lines.”
Faced with these advances, on September 2 the German Supreme Army Command issued orders to withdraw to the Hindenburg Line in the south.
September saw the Allies advance to the Hindenburg Line in the north and center. The Germans continued to fight strong rear-guard actions and launched numerous counterattacks on lost positions, but only a few succeeded, and those only temporarily. Contested towns, villages, heights, and trenches in the screening positions and outposts of the Hindenburg Line continued to fall to the Allies, with the BEF alone taking 30,441 prisoners in the last week of September. The Germans retreated to positions along or behind the Hindenburg Line.
In nearly four weeks of fighting beginning August 8, over 100,000 German prisoners were taken. The German High Command realized that the war was lost and made attempts to reach a satisfactory end. The day after that battle, Ludendorff said: “We cannot win the war any more, but we must not lose it either.”
The Hundred Days Offensive
September 1, 1918, Péronne (Somme). A machine gun position established by the Australian 54th Battalion during its attack on German forces in the town.
The final assault on the Hindenburg Line began with the Meuse-Argonne Offensive, launched by French and American troops on September 27. The following week, cooperating French and American units broke through in Champagne at the Battle of Blanc Mont Ridge, forcing the Germans off the commanding heights and closing toward the Belgian frontier. On October 8, the line was pierced again by British and Dominion troops at the Battle of Cambrai.
With the military faltering and widespread loss of confidence in the Kaiser, Germany moved towards surrender. Prince Maximilian of Baden took charge of a new government as Chancellor of Germany to negotiate with the Allies. Negotiations with President Wilson began immediately in the hope that he would offer better terms than the British and French. Wilson demanded a constitutional monarchy and parliamentary control over the German military. There was no resistance when the Social Democrat Philipp Scheidemann declared Germany a republic on November 9. The Kaiser, kings, and other hereditary rulers were removed from power and Wilhelm fled to exile in the Netherlands. Imperial Germany was dead; a new Germany had been born as the Weimar Republic.
Soon after, the Germans signed the Armistice of Compiègne, which ended the fighting on the Western Front. It went into effect at 11 a.m. Paris time on November 11, 1918 (“the eleventh hour of the eleventh day of the eleventh month”), and marked a victory for the Allies and a complete defeat for Germany, although not formally a surrender. Although the armistice ended the actual fighting, it took six months of negotiations at the Paris Peace Conference to conclude the peace treaty, the Treaty of Versailles.
Armistice of Compiègne
Men of US 64th Regiment, 7th Infantry Division, celebrate the news of the Armistice, 11 November 1918, which ended the hostilities of WWI.
29.5: The Treaty of Versailles
29.5.1: Diplomatic Goals at the Paris Peace Conference
The “Big Four” (United States, Great Britain, France, and Italy) made all the major decisions of the Paris Peace Conference, although they disagreed on several points.
Learning Objective
Identify the key goals of the parties present at the Paris Peace Conference
Key Points
- World War I was settled by the victors at the Paris Peace Conference in 1919.
- Two dozen nations sent delegations and there were many nongovernmental groups, but the defeated powers were not invited.
- The “Big Four,” who made all the major decisions, were President Woodrow Wilson of the United States, Prime Minister David Lloyd George of Great Britain, George Clemenceau of France, and of least importance, Italian Prime Minister Vittorio Orlando.
- Each major power had its own agenda coming to the Conference and not every aim was represented in the final treaties.
- The Americans’ vision was set out in Wilson’s Fourteen Points, which emphasized free trade, self-determination, and the founding of a League of Nations to support territorial and political independence of member nations.
- British aims at the conference were focused on securing France, settling territorial disputes, and maintaining their colonial holdings.
- Having witnessed two German attacks on French soil in the last 40 years, France’s main concern was to ensure Germany would not be able to attack them again, so they pushed to weaken Germany militarily, strategically, and economically.
- Italy was motivated by gaining the territories promised by the Allies in the secret Treaty of London.
Key Terms
- George Clemenceau
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A French politician, physician, and journalist who served as Prime Minister of France during the First World War. A leader of the Radical Party, he played a central role in the politics of the French Third Republic. He was one of the principal architects of the Treaty of Versailles at the Paris Peace Conference of 1919. Nicknamed “Père la Victoire” (Father Victory) or “Le Tigre” (The Tiger), he took a harsh position against defeated Germany, though not quite as much as the President Raymond Poincaré, and won agreement on Germany’s payment of large sums for reparations.
- David Lloyd George
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British Liberal politician and statesman. As Chancellor of the Exchequer (1908–1915), he was a key figure in the introduction of many reforms that laid the foundations of the modern welfare state. His most important role came as the highly energetic Prime Minister of the Wartime Coalition Government (1916–22), during and immediately after the First World War. He was a major player at the Paris Peace Conference of 1919 that reordered Europe after the defeat of the Central Powers.
- Woodrow Wilson
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An American politician and academic who served as the 28th President of the United States from 1913 to 1921. Leading a Congress in Democratic hands, he oversaw the passage of progressive legislative policies unparalleled until the New Deal in 1933. The Federal Reserve Act, Federal Trade Commission Act, Clayton Antitrust Act, and Federal Farm Loan Act were some of these new policies. His second term was dominated by American entry into World War I.
- Vittorio Orlando
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An Italian statesman known for representing Italy in the 1919 Paris Peace Conference with his foreign minister Sidney Sonnino. He was also known as “Premier of Victory” for defeating the Central Powers along with the Entente in World War I. He was a member and president of the Constitutional Assembly that changed the Italian form of government into a republic.
Paris Peace Conference
The Paris Peace Conference, also known as Versailles Peace Conference, was the meeting of the Allied victors after the end of World War I to set the peace terms for the defeated Central Powers following the armistices of 1918. It took place in Paris during 1919 and involved diplomats from more than 32 countries and nationalities, including some non-governmental groups, but the defeated powers were not invited.
The “Big Four” were President Woodrow Wilson of the United States, Prime Minister David Lloyd George of Great Britain, George Clemenceau of France, and of least importance, Italian Prime Minister Vittorio Orlando. They met informally 145 times and made all the major decisions, which in turn were ratified by the others.
The conference opened on January 18, 1919. This date was symbolic, the anniversary of the proclamation of William I as German Emperor in 1871 in the Hall of Mirrors at the Palace of Versailles, shortly before the end of the Siege of Paris. This date was also imbued with significance in Germany as the anniversary of the establishment of the Kingdom of Prussia in 1701. Delegates from 27 nations were assigned to 52 commissions that held 1,646 sessions to prepare reports with the help of many experts on topics ranging from prisoners of war to undersea cables to international aviation to responsibility for the war. Key recommendations were folded into the Treaty of Versailles with Germany, which had 15 chapters and 440 clauses, as well as treaties for the other defeated nations.
The Big Four
“The Big Four” made all the major decisions at the Paris Peace Conference (from left to right, David Lloyd George of Britain, Vittorio Emanuele Orlando of Italy, Georges Clemenceau of France, Woodrow Wilson of the U.S.)
American Approach
Wilson’s diplomacy and his Fourteen Points essentially established the conditions for the armistices that brought an end to World War I. Wilson felt it was his duty and obligation to the people of the world to be a prominent figure at the peace negotiations. High hopes and expectations were placed on him to deliver what he had promised for the post-war era. In doing so, Wilson ultimately began to lead the foreign policy of the United States toward interventionism, a move strongly resisted in some domestic circles. Wilson took many domestic progressive ideas and translated them into foreign policy (free trade, open agreements, democracy, and self-determination). One of his major aims was to found a League of Nations “for the purpose of affording mutual guarantees of political independence and territorial integrity to great and small states alike.”
Once Wilson arrived, however, he found “rivalries, and conflicting claims previously submerged.” He mostly tried to sway the direction that the French (Georges Clemenceau) and British (Lloyd George) delegations were taking towards Germany and its allies in Europe, as well as the former Ottoman lands in the Middle East. Wilson’s attempts to gain acceptance of his Fourteen Points ultimately failed after France and Britain refused to adopt some specific points and its core principles.
In Europe, several of his Fourteen Points conflicted with the other powers. The United States did not encourage or believe that the responsibility for the war that Article 231 placed on Germany was fair or warranted. It would not be until 1921 that the United States finally signed separate peace treaties with Germany, Austria, and Hungary.
In the Middle East, negotiations were complicated by competing aims, claims, and the new mandate system. The United States hoped to establish a more liberal and diplomatic world, as stated in the Fourteen Points, where democracy, sovereignty, liberty, and self-determination would be respected. France and Britain, on the other hand, already controlled empires, wielded power over their subjects around the world, and still aspired to be dominant colonial powers.
British Approach
Maintenance of the British Empire’s unity, holdings, and interests was an overarching concern for the British delegates to the conference, with more specific goals of:
- Ensuring the security of France
- Removing the threat of the German High Seas Fleet
- Settling territorial contentions
- Supporting the League of Nations with that order of priority
Convinced that Canada had become a nation on the battlefields of Europe, its Prime Minister, Sir Robert Borden, demanded that it have a separate seat at the conference. This was initially opposed not only by Britain but also by the United States, which saw a dominion delegation as an extra British vote. Borden responded by pointing out that since Canada had lost nearly 60,000 men, a far larger proportion of its men compared to the 50,000 American losses, at least had the right to the representation of a “minor” power. The British Prime Minister, David Lloyd George, eventually relented, and convinced the reluctant Americans to accept the presence of delegations from Canada, India, Australia, Newfoundland, New Zealand, and South Africa. They also received their own seats in the League of Nations.
David Lloyd George commented that he did “not do badly” at the peace conference, “considering I was seated between Jesus Christ and Napoleon.” This was a reference to the very idealistic views of Wilson on the one hand and the stark realism of Clemenceau, who was determined to see Germany punished.
French Approach
The French Prime Minister, Georges Clemenceau, controlled his delegation. His chief goal was to weaken Germany militarily, strategically, and economically. Having personally witnessed two German attacks on French soil in the last 40 years, he was adamant that Germany should not be permitted to attack France again. In particular, Clemenceau sought an American and British guarantee of French security in the event of another German attack.
Clemenceau also expressed skepticism and frustration with Wilson’s Fourteen Points: “Mr. Wilson bores me with his fourteen points,” complained Clemenceau. “Why, God Almighty has only ten!” Wilson won a few points by signing a mutual defense treaty with France, but back in Washington he did not present it to the Senate for ratification and it never took effect.
Another alternative French policy was to seek a resumption of harmonious relations with Germany. In May 1919 the diplomat René Massigli was sent on several secret missions to Berlin. During his visits, Massigli offered on behalf of his government to revise the territorial and economic clauses of the upcoming peace treaty.
The Germans rejected the French offers because they considered the French overtures to be a trap to trick them into accepting the Versailles treaty “as is,” and because the German foreign minister, Count Ulrich von Brockdorff-Rantzau, thought that the United States was more likely to reduce the severity of the peace terms than France. It proved to be Lloyd George who pushed for more favorable terms for Germany.
Italian Approach
In 1914 Italy remained neutral despite its alliances with Germany and Austria. In 1915 it joined the Allies, motivated by gaining the territories promised by the Allies in the secret Treaty of London: the Trentino, the Tyrol as far as Brenner, Trieste and Istria, most of the Dalmatian coast except Fiume, Valona and a protectorate over Albania, Antalya in Turkey, and possibly colonies in Africa or Asia.
In the meetings of the “Big Four,, in which Orlando’s powers of diplomacy were inhibited by his lack of English, the others were only willing to offer Trentino to the Brenner, the Dalmatian port of Zara and some of the Dalmatian islands. All other territories were promised to other nations and the great powers were worried about Italy’s imperial ambitions. Even though Italy did get most of its demands, Orlando was refused Fiume, most of Dalmatia, and any colonial gain, so he left the conference in a rage.
There was a general disappointment in Italy, which the nationalist and fascist parties used to build the idea that Italy was betrayed by the Allies and refused what was due. This led to the general rise of Italian fascism.
Japanese Approach
The Empire of Japan sent a large delegation headed by former Prime Minister, Marquess Saionji Kinmochi. It was originally one of the “big five” but relinquished that role because of its slight interest in European affairs. Instead it focused on two demands: the inclusion of their racial equality proposal in the League’s Covenant and Japanese territorial claims with respect to former German colonies, namely Shantung (including Kiaochow) and the Pacific islands north of the Equator (the Marshall Islands, Micronesia, the Mariana Islands, and the Carolines). The Japanese delegation became unhappy after receiving only half of the rights of Germany, and walked out of the conference.
29.5.2: Wilson’s Fourteen Points
The Fourteen Points was a statement of principles used for peace negotiations following the end World War I, outlined in a January 8, 1918, speech to the United States Congress by President Woodrow Wilson.
Learning Objective
Summarize the key themes of the Fourteen Points
Key Points
- U.S. President Woodrow Wilson initiated a secret series of studies named The Inquiry, primarily focused on Europe and carried out by a group in New York that included geographers, historians, and political scientists. This group researched topics likely to arise in the anticipated peace conference.
- The studies culminated in a speech by Wilson to Congress on January 8, 1918, in which he articulated America’s long-term war objectives.
- The speech, known as the Fourteen Points, was authored mainly by Walter Lippmann and projected Wilson’s progressive domestic policies into the international arena.
- It was the clearest expression of intention made by any of the belligerent nations and was generally supported by the European nations.
- The first six points dealt with diplomacy, freedom of the seas, and settlement of colonial claims; pragmatic territorial issues were addressed as well, and the final point regarded the establishment of an association of nations to guarantee the independence and territorial integrity of all nations—a League of Nations.
- The actual agreements reached at the Paris Peace Conference were quite different than Wilson’s plan, most notably in the harsh economic reparations required from Germany. This provision angered Germans and may have contributed to the rise of Nazism in the subsequent decades.
Key Terms
- idealism
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In foreign policy, the belief that a state should make its internal political philosophy the goal of its foreign policy. For example, an idealist might believe that ending poverty at home should be coupled with tackling poverty abroad. U.S. President Woodrow Wilson was an early advocate of this philosophy.
- Stab-in-the-back myth
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The notion, widely believed in right-wing circles in Germany after 1918, that the German Army did not lose World War I on the battlefield but was instead betrayed by the civilians on the home front, especially the republicans who overthrew the monarchy in the German Revolution of 1918–19. Advocates denounced the German government leaders who signed the Armistice on November 11, 1918, as the “November Criminals.”
- the Inquiry
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A study group established in September 1917 by Woodrow Wilson to prepare materials for the peace negotiations following World War I. The group, composed of around 150 academics, was directed by presidential adviser Edward House and supervised directly by philosopher Sidney Mezes.
- Fourteen Points
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A statement of principles used for peace negotiations to end World War I. The principles were outlined in a January 8, 1918, speech on war aims and peace terms to the United States Congress by President Woodrow Wilson.
The Fourteen Points was a statement of principles used for peace negotiations to end World War I. The principles were outlined in a January 8, 1918, speech on war aims and peace terms to the United States Congress by President Woodrow Wilson. Europeans generally welcomed Wilson’s points, but his main Allied colleagues (Georges Clemenceau of France, David Lloyd George of the United Kingdom, and Vittorio Orlando of Italy) were skeptical of the applicability of Wilsonian idealism.
The United States joined the Allied Powers in fighting the Central Powers on April 6, 1917. Its entry into the war had in part been due to Germany’s resumption of submarine warfare against merchant ships trading with France and Britain. However, Wilson wanted to avoid the United States’ involvement in the long-standing European tensions between the great powers; if America was going to fight, he wanted to unlink the war from nationalistic disputes or ambitions. The need for moral aims was highlighted when after the fall of the Russian government, the Bolsheviks disclosed secret treaties made between the Allies. Wilson’s speech also responded to Vladimir Lenin’s Decree on Peace of November 1917 immediately after the October Revolution, which proposed an immediate withdrawal of Russia from the war, called for a just and democratic peace that was not compromised by territorial annexations, and led to the Treaty of Brest-Litovsk on March 3, 1918.
The speech made by Wilson took many domestic progressive ideas and translated them into foreign policy (free trade, open agreements, democracy, and self-determination). The Fourteen Points speech was the only explicit statement of war aims by any of the nations fighting in World War I. Some belligerents gave general indications of their aims, but most kept their post-war goals private.
Background and Research
The immediate cause of the United States’ entry into World War I in April 1917 was the German announcement of renewed unrestricted submarine warfare and the subsequent sinking of ships with Americans on board. But President Wilson’s war aims went beyond the defense of maritime interests. In his War Message to Congress, Wilson declared that the United States’ objective was “to vindicate the principles of peace and justice in the life of the world.” In several speeches earlier in the year, Wilson sketched out his vision of an end to the war that would bring a “just and secure peace,” not merely “a new balance of power.”
President Wilson subsequently initiated a secret series of studies named the Inquiry, primarily focused on Europe and carried out by a group in New York that included geographers, historians, and political scientists; the group was directed by Colonel Edward House. Their job was to study Allied and American policy in virtually every region of the globe and analyze economic, social, and political facts likely to come up in discussions during the peace conference. The group produced and collected nearly 2,000 separate reports and documents plus at least 1,200 maps. The studies culminated in a speech by Wilson to Congress on January 8, 1918, in which he articulated America’s long-term war objectives. The speech was the clearest expression of intention made by any of the belligerent nations and projected Wilson’s progressive domestic policies into the international arena.
The Speech to Congress
The speech, known as the Fourteen Points, was developed from a set of diplomatic points by Wilson and territorial points drafted by the Inquiry’s general secretary, Walter Lippmann, and his colleagues, Isaiah Bowman, Sidney Mezes, and David Hunter Miller. Lippmann’s draft territorial points were a direct response to the secret treaties of the European Allies, which Lippman was shown by Secretary of War Newton D. Baker. Lippman’s task according to House was “to take the secret treaties, analyze the parts which were tolerable, and separate them from those which we regarded as intolerable, and then develop a position which conceded as much to the Allies as it could, but took away the poison…It was all keyed upon the secret treaties.”
In the speech, Wilson directly addressed what he perceived as the causes for the world war by calling for the abolition of secret treaties, a reduction in armaments, an adjustment in colonial claims in the interests of both native peoples and colonists, and freedom of the seas. Wilson also made proposals that would ensure world peace in the future. For example, he proposed the removal of economic barriers between nations, the promise of self-determination for national minorities, and a world organization that would guarantee the “political independence and territorial integrity [of] great and small states alike”— a League of Nations.
Though Wilson’s idealism pervades the Fourteen Points, he also had more practical objectives in mind. He hoped to keep Russia in the war by convincing the Bolsheviks that they would receive a better peace from the Allies, to bolster Allied morale, and to undermine German war support. The address was well received in the United States and Allied nations and even by Bolshevik leader Vladimir Lenin as a landmark of enlightenment in international relations. Wilson subsequently used the Fourteen Points as the basis for negotiating the Treaty of Versailles that ended the war.
Wilson’s Fourteen Points
Wilson with his 14 points choosing between competing claims. Babies represent claims of the English, French, Italians, Polish, Russians, and enemy. American political cartoon, 1919.
Fourteen Points vs. the Versailles Treaty
President Wilson became physically ill at the beginning of the Paris Peace Conference, allowing French Prime Minister Georges Clemenceau to advance demands substantially different from Wilson’s Fourteen Points. Clemenceau viewed Germany as having unfairly attained an economic victory over France, due to the heavy damage their forces dealt to France’s industries even duringretreat, and expressed dissatisfaction with France’s allies at the peace conference.
Notably, Article 231 of the Treaty of Versailles, which would become known as the War Guilt Clause, was seen by the Germans as assigning full responsibility for the war and its damages on Germany; however, the same clause was included in all peace treaties and historian Sally Marks has noted that only German diplomats saw it as assigning responsibility for the war.
The text of the Fourteen Points had been widely distributed in Germany as propaganda prior to the end of the war and was thus well-known by the Germans. The differences between this document and the final Treaty of Versailles fueled great anger. German outrage over reparations and the War Guilt Clause is viewed as a likely contributing factor to the rise of national socialism. At the end of World War I, foreign armies had only entered Germany’s prewar borders twice: the advance of Russian troops into the Eastern border of Prussia, and following the Battle of Mulhouse, the settlement of the French army in the Thann valley. This lack of important Allied incursions contributed to the popularization of the Stab-in-the-back myth in Germany after the war.
29.5.3: The Final Treaty
After the war, the Paris Peace Conference imposed a series of peace treaties on the Central Powers, officially ending the war. The 1919 Treaty of Versailles dealt with Germany and, building on Wilson’s Fourteen Points, created the League of Nations in June 1919.
Learning Objective
Describe the final treaty signed by the belligerants
Key Points
- The major decisions at the Paris Peace Conference were the creation of the League of Nations; the five peace treaties with defeated enemies; the awarding of German and Ottoman overseas possessions as “mandates,” chiefly to Britain and France; and the drawing of new national boundaries to better reflect the forces of nationalism.
- The Central Powers had to acknowledge responsibility for “all the loss and damage to which the Allied and Associated Governments and their nationals have been subjected as a consequence of the war imposed upon them by” their aggression.
- In the Treaty of Versailles, this statement was Article 231, which became known as War Guilt clause because of the resentment and humiliation it caused many Germans.
- The Treaty of Versailles also forced Germany to disarm, make substantial territorial concessions, and pay reparations to certain countries that formed the Entente powers.
- The redrawing of the world map at these conferences created many critical conflict-prone international contradictions; these became one of the causes of World War II.
Key Terms
- Carthaginian peace
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The imposition of a brutal “peace” achieved by completely crushing the enemy. The term derives from the peace imposed on Carthage by Rome. After the Second Punic War, Carthage lost all its colonies, was forced to demilitarize and pay a constant tribute to Rome, and could enter war only with Rome’s permission. At the end of the Third Punic War, the Romans systematically burned Carthage to the ground and enslaved its population.
- White Russia
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A loose confederation of Anti-Communist forces that fought the Bolsheviks, also known as the Reds, in the Russian Civil War (1917–1923) and to a lesser extent, continued operating as militarized associations both outside and within Russian borders until roughly the Second World War.
- Treaty of Versailles
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The most important of the peace treaties that ended World War I. It was signed on June 28, 1919, exactly five years after the assassination of Archduke Franz Ferdinand.
Final Treaties of the Paris Peace Conference
Five major peace treaties were prepared at the Paris Peace Conference (with the affected countries in parentheses):
- The Treaty of Versailles, June 28, 1919, (Germany)
- The Treaty of Saint-Germain, September 10, 1919, (Austria)
- The Treaty of Neuilly, November 27, 1919, (Bulgaria)
- The Treaty of Trianon, June 4, 1920, (Hungary)
- The Treaty of Sèvres, August 10, 1920; subsequently revised by the Treaty of Lausanne, July 24, 1923, (Ottoman Empire/Republic of Turkey).
The major decisions were the establishment of the League of Nations; the five peace treaties with defeated enemies; the awarding of German and Ottoman overseas possessions as “mandates,” chiefly to members of the British Empire and to France; reparations imposed on Germany, and the drawing of new national boundaries (sometimes with plebiscites) to better reflect the forces of nationalism. The main result was the Treaty of Versailles, with Germany, which in section 231 laid the guilt for the war on “the aggression of Germany and her allies.” This provision proved humiliating for Germans and set the stage for very high reparations, though Germany paid only a small portion before reparations ended in 1931.
As the conference’s decisions were enacted unilaterally and largely on the whims of the Big Four, for the duration of the Conference Paris was effectively the center of a world government that deliberated over and implemented sweeping changes to the political geography of Europe. Most famously, the Treaty of Versailles itself weakened Germany’s military and placed full blame for the war and costly reparations on Germany’s shoulders. The humiliation and resentment this caused is sometimes consider responsible for Nazi electoral successes and indirectly, World War II.
The League of Nations proved controversial in the United States as critics said it subverted the powers of Congress to declare war. The U.S. Senate did not ratify any of the peace treaties and the U.S. never joined the League – instead, the Harding administration of 1921-1923 concluded new treaties with Germany, Austria, and Hungary. Germany was not invited to attend the conference at Versailles. Representatives of White Russia (but not Communist Russia) were present. Numerous other nations sent delegations to appeal for various unsuccessful additions to the treaties; parties lobbied for causes ranging from independence for the countries of the South Caucasus to Japan’s demand for racial equality among the other Great Powers.
Austria-Hungary was partitioned into several successor states, including Austria, Hungary, Czechoslovakia, and Yugoslavia, largely but not entirely along ethnic lines. Transylvania was shifted from Hungary to Greater Romania. The details were contained in the Treaty of Saint-Germain and the Treaty of Trianon. As a result of the Treaty of Trianon, 3.3 million Hungarians came under foreign rule. Although the Hungarians made up 54% of the population of the pre-war Kingdom of Hungary, only 32% of its territory was left to Hungary. Between 1920 and 1924, 354,000 Hungarians fled former Hungarian territories attached to Romania, Czechoslovakia, and Yugoslavia.
The Russian Empire, which had withdrawn from the war in 1917 after the October Revolution, lost much of its western frontier as the newly independent nations of Estonia, Finland, Latvia, Lithuania, and Poland were carved from it. Romania took control of Bessarabia in April 1918.
The Ottoman Empire disintegrated, with much of its Levant territory awarded to various Allied powers as protectorates, including Palestine. The Turkish core in Anatolia was reorganized as the Republic of Turkey. The Ottoman Empire was to be partitioned by the Treaty of Sèvres of 1920. This treaty was never ratified by the Sultan and was rejected by the Turkish National Movement, leading to the victorious Turkish War of Independence and the much less stringent 1923 Treaty of Lausanne.
Treaty of Versailles
The Treaty of Versailles was the most important of the peace treaties that brought World War I to an end. It was signed on June 28, 1919, exactly five years after the assassination of Archduke Franz Ferdinand. The other Central Powers on the German side of World War I signed separate treaties. Although the armistice signed on November 11, 1918, ended the actual fighting, it took six months of Allied negotiations at the Paris Peace Conference to conclude the peace treaty. The treaty was registered by the Secretariat of the League of Nations on October 21, 1919.
Of the many provisions in the treaty, one of the most important and controversial required “Germany accept the responsibility of Germany and her allies for causing all the loss and damage” during the war (the other members of the Central Powers signed treaties containing similar articles). This article, Article 231, later became known as the War Guilt clause. The treaty forced Germany to disarm, make substantial territorial concessions, and pay reparations to certain countries that had formed the Entente powers. In 1921 the total cost of these reparations was assessed at 132 billion marks (then $31.4 billion, roughly equivalent to USD $442 billion in 2017). At the time economists, notably John Maynard Keynes, predicted that the treaty was too harsh—a “Carthaginian peace”—and said the reparations figure was excessive and counter-productive, views that have since been the subject of ongoing debate by historians and economists from several countries. On the other hand, prominent figures on the Allied side such as French Marshal Ferdinand Foch criticized the treaty for treating Germany too leniently.
The result of these competing and sometimes conflicting goals among the victors was a compromise that left no one content: Germany was neither pacified nor conciliated, nor was it permanently weakened. The problems that arose from the treaty would lead to the Locarno Treaties, which improved relations between Germany and the other European Powers, and the renegotiation of the reparation system resulting in the Dawes Plan, the Young Plan, and the indefinite postponement of reparations at the Lausanne Conference of 1932.
Treaty of Versailles
The Signing of Peace in the Hall of Mirrors by Sir William Orpen. German Johannes Bell signs the Treaty of Versailles in the Hall of Mirrors, with various Allied delegations sitting and standing in front of him.
Historical Assessment
The remaking of the world map at these conferences gave birth to a number of critical conflict-prone international contradictions, which would become one of the causes of World War II. The British historian Eric Hobsbawm claimed that
no equally systematic attempt has been made before or since, in Europe or anywhere else, to redraw the political map on national lines. […] The logical implication of trying to create a continent neatly divided into coherent territorial states each inhabited by separate ethnically and linguistically homogeneous population, was the mass expulsion or extermination of minorities. Such was and is the reductio ad absurdum of nationalism in its territorial version, although this was not fully demonstrated until the 1940s.
It has long been argued that Wilson’s Fourteen Points, in particular the principle of national self-determination, were primarily anti-Left measures designed to tame the revolutionary fever sweeping across Europe in the wake of the October Revolution and the end of the war by playing the nationalist card.
29.5.4: The League of Nations
The League of Nations was formed to prevent a repetition of the First World War, but within two decades this effort failed. Economic depression, renewed nationalism, weakened successor states, and feelings of humiliation (particularly in Germany) eventually contributed to World War II.
Learning Objective
Explain the ideals that underpinned the forming of the League of Nations
Key Points
- The League of Nations was formed at the Paris Peace Conference to prevent another global conflict like World War I and maintain world peace. It was the first organization of its kind.
- Its primary goals, as stated in its Covenant, included preventing wars through collective security and disarmament and settling international disputes through negotiation and arbitration.
- Unlike former efforts at world peace such as the Concert of Europe, the League was an independent organization without an army of its own, and thus depended on the Great Powers to enforce its resolutions.
- The members were often hesitant to do so, leaving the League powerless to intervene in disputes and conflicts.
- The U.S. Congress, mainly led by Henry Cabot Lodge, was resistant to joining the League, as doing so would legally bind the U.S. to intervene in European conflicts. In the end, the U.S. did not join the League, despite being its main architects.
- The League failed to intervene in many conflicts leading up to World War II, including the Italian invasion of Abyssinia, the Spanish Civil War, and the Second Sino-Japanese War.
Key Terms
- Henry Cabot Lodge
-
An American Republican Senator and historian from Massachusetts best known for his positions on foreign policy, especially his battle with President Woodrow Wilson in 1919 over the Treaty of Versailles. He demanded Congressional control of declarations of war; Wilson refused and blocked his move to ratify the treaty with reservations. As a result, the United States never joined the League of Nations.
- League of Nations
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An intergovernmental organization founded on January 10, 1920, as a result of the Paris Peace Conference that ended the First World War. It was the first international organization whose principal mission was to maintain world peace. Its primary goals as stated in its Covenant included preventing wars through collective security and disarmament and settling international disputes through negotiation and arbitration.
The League of Nations was an intergovernmental organization founded on January 10, 1920, as a result of the Paris Peace Conference that ended the First World War. It was the first international organization whose principal mission was to maintain world peace. Its primary goals, as stated in its Covenant, included preventing wars through collective security and disarmament and settling international disputes through negotiation and arbitration. Other issues in this and related treaties included labor conditions, just treatment of native inhabitants, human and drug trafficking, the arms trade, global health, prisoners of war, and protection of minorities in Europe. At its greatest extent from September 28, 1934, to February 23, 1935, it had 58 members.
The diplomatic philosophy behind the League represented a fundamental shift from the preceding hundred years. The League lacked its own armed force and depended on the Great Powers to enforce its resolutions, keep to its economic sanctions, and provide an army when needed. However, the Great Powers were often reluctant to do so. Sanctions could hurt League members, so they were reluctant to comply. During the Second Italo-Abyssinian War, when the League accused Italian soldiers of targeting Red Cross medical tents, Benito Mussolini responded that “the League is very well when sparrows shout, but no good at all when eagles fall out.”
After a number of notable successes and some early failures in the 1920s, the League ultimately proved incapable of preventing aggression by the Axis powers in the 1930s. Germany withdrew from the League, as did Japan, Italy, Spain, and others. The onset of the Second World War showed that the League had failed its primary purpose to prevent any future world war. The League lasted for 26 years; the United Nations (UN) replaced it after the end of the Second World War in April 1946 and inherited a number of agencies and organizations founded by the League.
Establishment of the League of Nations
American President Woodrow Wilson instructed Edward M. House to draft a U.S. plan that reflected Wilson’s own idealistic views (first articulated in the Fourteen Points of January 1918), as well as the work of the Phillimore Committee. The outcome of House’s work and Wilson’s own first draft, proposed the termination of “unethical” state behavior, including forms of espionage and dishonesty. Methods of compulsion against recalcitrant states would include severe measures, such as “blockading and closing the frontiers of that power to commerce or intercourse with any part of the world and to use any force that may be necessary…”
The two principal rchitects of the covenant of the League of Nations were Lord Robert Cecil (a lawyer and diplomat) and Jan Smuts (a Commonwealth statesman). Smuts’ proposals included the creation of a Council of the great powers as permanent members and a non-permanent selection of the minor states. He also proposed the creation of a mandate system for captured colonies of the Central Powers during the war. Cecil focused on the administrative side and proposed annual Council meetings and quadrennial meetings for the Assembly of all members. He also argued for a large and permanent secretariat to carry out the League’s administrative duties.
At the Paris Peace Conference in 1919, Wilson, Cecil, and Smuts put forward their draft proposals. After lengthy negotiations between the delegates, the Hurst-Miller draft was finally produced as a basis for the Covenant. After more negotiation and compromise, the delegates finally approved of the proposal to create the League of Nations on January 25, 1919. The final Covenant of the League of Nations was drafted by a special commission, and the League was established by Part I of the Treaty of Versailles. On June 28, 44 states signed the Covenant, including 31 states that took part in the war on the side of the Triple Entente or joined it during the conflict.
The League would consist of a General Assembly (representing all member states), an Executive Council (with membership limited to major powers), and a permanent secretariat. Member states were expected to “respect and preserve as against external aggression” the territorial integrity of other members and to disarm “to the lowest point consistent with domestic safety.” All states were required to submit complaints for arbitration or judicial inquiry before going to war. The Executive Council would create a Permanent Court of International Justice to make judgments on the disputes.
Despite Wilson’s efforts to establish and promote the League, for which he was awarded the Nobel Peace Prize in October 1919, the United States did not join. Opposition in the Senate, particularly from two Republican politicians, Henry Cabot Lodge and William Borah, and especially in regard to Article X of the Covenant, ensured that the United States would not ratify the agreement. Their objections were based on the fact that by ratifying such a document, the United States would be bound by international contract to defend a League of Nations member if it was attacked. They believed that it was best not to become involved in international conflicts.
The League held its first council meeting in Paris on January 16, 1920, six days after the Versailles Treaty and the Covenant of the League of Nations came into force. On November 1, the headquarters of the League was moved from London to Geneva, where the first General Assembly was held on November 15.
Successes and Failures of the League
The aftermath of the First World War left many issues to be settled, including the exact position of national boundaries and which country particular regions would join. Most of these questions were handled by the victorious Allied powers in bodies such as the Allied Supreme Council. The Allies tended to refer only particularly difficult matters to the League. This meant that during the early interwar period, the League played little part in resolving the turmoil resulting from the war. The questions the League considered in its early years included those designated by the Paris Peace treaties.
As the League developed, its role expanded, and by the middle of the 1920s it had become the center of international activity. This change can be seen in the relationship between the League and non-members. The United States and Russia, for example, increasingly worked with the League. During the second half of the 1920s, France, Britain, and Germany were all using the League of Nations as the focus of their diplomatic activity, and each of their foreign secretaries attended League meetings at Geneva during this period. They also used the League’s machinery to improve relations and settle their differences.
In addition to territorial disputes, the League also tried to intervene in other conflicts between and within nations. Among its successes were its fight against the international trade in opium and sexual slavery and its work to alleviate the plight of refugees, particularly in Turkey in the period up to 1926. One of its innovations in this latter area was the 1922 introduction of the Nansen passport, the first internationally recognized identity card for stateless refugees.
The League failed to intervene in many conflicts leading up to World War II, including the Italian invasion of Abyssinia, the Spanish Civil War, and the Second Sino-Japanese War.
The onset of the Second World War demonstrated that the League had failed in its primary purpose, the prevention of another world war. There were a variety of reasons for this failure, many connected to general weaknesses within the organization, such as voting structure that made ratifying resolutions difficult and incomplete representation among world nations. Additionally, the power of the League was limited by the United States’ refusal to join.
The Gap in the Bridge
The sign reads “This League of Nations Bridge was designed by the President of the U.S.A.” Cartoon from Punch magazine, December 10, 1920, satirizing the gap left by the U.S. not joining the League.
29.6: The First Modern War
29.6.1: New Technology in World War I
World War I began as a clash of 20th-century technology and 19th-century tactics, causing ineffective battles with huge numbers of casualties on both sides.
Learning Objective
Analyze the specific developments that made World War I different from previous wars
Key Points
- Technology during World War I reflected a trend toward industrialism and the application of mass-production methods to weapons and to warfare in general.
- One could characterize the early years of the First World War as a clash of 20th-century technology with 19th-century warfare.
- On land, only in the final year of the war did the major armies make effective steps to revolutionize command and control, adapt to the modern battlefield, and harness the myriad new technologies to effective military purposes.
- Tactical reorganizations (such as shifting the focus of command from the 100+ man company to the 10+ man squad) went hand-in-hand with armored cars, the first submachine guns, and automatic rifles that a single individual soldier could carry and use.
- Although the use of poison gas was banned by the Hague Conventions of 1899 and 1907, Germany turned to this industry for what it hoped would be a decisive weapon to break the deadlock of trench warfare. Chlorine gas was first used on the battlefield in April 1915 at the Second Battle of Ypres in Belgium.
- Although the concept of the tank had been suggested as early as the 1890s, few authorities showed interest until the trench stalemate of World War I caused serious contemplation of unending war and ever escalating casualties. By 1917, tanks were used by both the British and French armies to terrifying effect.
Key Terms
- Zeppelin
-
A type of rigid airship named after the German Count Ferdinand von Zeppelin who pioneered rigid airship development at the beginning of the 20th century. Zeppelin’s notions were first formulated in 1874 and developed in detail in 1893. During World War I, the German military made extensive used these as bombers and scouts, killing over 500 people in bombing raids in Britain.
- mustard gas
-
A cytotoxic and vesicant chemical warfare agent with the ability to form large blisters on exposed skin and in the lungs. Within 24 hours of exposure to this agent, victims experience intense itching and skin irritation, which gradually turns into large blisters filled with yellow fluid wherever the agent contacted the skin.
- U-boat
-
Military submarines operated by Germany, particularly in the First and Second World Wars. Although at times they were efficient fleet weapons against enemy naval warships, they were most effectively used in an economic warfare role (commerce raiding), enforcing a naval blockade against enemy shipping.
World War I began as a clash of 20th-century technology and 19th-century tactics, with large ensuing casualties. By the end of 1917, however, the major armies, now numbering millions of men, had modernized and used telephones, wireless communication, armoured cars, tanks, and aircraft.
Ground Warfare
Infantry formations were reorganized so that 100-man companies were no longer the main unit of maneuver; instead, squads of 10 or so men under the command of a junior NCO were favored.
In 1914, cannons were positioned in the front line and fired directly at their targets. By 1917, indirect fire with guns (as well as mortars and even machine guns) was commonplace, using new techniques for spotting and ranging, notably aircraft and the often-overlooked field telephone. Counter-battery missions became commonplace, and sound detection was used to locate enemy batteries.
Much of the combat involved trench warfare, in which hundreds often died for each meter gained. Many of the deadliest battles in history occurred during World War I, such as Ypres, the Marne, Cambrai, the Somme, Verdun, and Gallipoli. The Germans employed the Haber process of nitrogen fixation to provide forces with a constant supply of gunpowder despite the British naval blockade. Artillery was responsible for the largest number of casualties and consumed vast quantities of explosives. The large number of head wounds caused by exploding shells and fragmentation forced the combatant nations to develop the modern steel helmet, led by the French, who introduced the Adrian helmet in 1915. It was quickly followed by the Brodie helmet, worn by British Imperial and U.S. troops, and in 1916 by the distinctive German Stahlhelm, a design with improvements still in use today.
The widespread use of chemical warfare was a distinguishing feature of the conflict. Gases used included chlorine, mustard gas, and phosgene. Chlorine gas was first used on the battlefield in April 1915 at the Second Battle of Ypres in Belgium. The unknown gas appeared to be a simple smoke screen, used to hide attacking soldiers, and Allied troops were ordered to the front trenches to repel the expected attack. The gas had a devastating effect, killing many defenders; however, because attackers were also killed when the wind changed. In the end, relatively few war casualties were caused by gas, as effective countermeasures like gas masks were quickly created. The use of chemical warfare and small-scale strategic bombing were both outlawed by the Hague Conventions of 1899 and 1907, and both proved to be of limited effectiveness though they captured the public imagination.
Australian infantry with gas masks, Ypres, 1917.
The use of chemical warfare, such chlorine gas, mustard gas, and phosgene, had devastating effects until the development of effective countermeasures such as the gas mask.
The most powerful land-based weapons were railway guns, weighing dozens of tons apiece. The German ones were nicknamed Big Berthas, even though the namesake was not a railway gun. Germany developed the Paris Gun, able to bombard Paris from over 62 miles, though shells were relatively light at 210 pounds.
Trenches, machine guns, air reconnaissance, barbed wire, and modern artillery with fragmentation shells helped bring the battle lines of World War I to a stalemate. The British and the French sought a solution with the creation of the tank and mechanized warfare. The first British tanks were used during the Battle of the Somme on September 15, 1916. Mechanical reliability was an issue, but the experiment proved its worth. Within a year, the British were fielding tanks by the hundreds, and they showed their potential during the Battle of Cambrai in November 1917 by breaking the Hindenburg Line while combined arms teams captured 8,000 enemy soldiers and 100 guns. Meanwhile, the French introduced the first tanks with a rotating turret, the Renault FT, which became a decisive tool of the victory. The conflict also saw the introduction of light automatic weapons and submachine guns, such as the Lewis Gun, the Browning automatic rifle, and the Bergmann MP18.
British Vickers machine gun crew on the Western Front
The machine gun emerged as one of the decisive technologies during World War I.
Another new weapon, the flamethrower, was first used by the German army and later adopted by other forces. Although not of high tactical value, the flamethrower was a powerful, demoralising weapon that caused terror on the battlefield.
Trench railways evolved to supply the enormous quantities of food, water, and ammunition required to support large numbers of soldiers in areas where conventional transportation systems had been destroyed. Internal combustion engines and improved traction systems for automobiles and trucks eventually rendered trench railways obsolete.
Naval Developments
Germany deployed U-boats (submarines) after the war began. Alternating between restricted and unrestricted submarine warfare in the Atlantic, the Kaiserliche Marine employed them to deprive the British Isles of vital supplies. The deaths of British merchant sailors and the seeming invulnerability of U-boats led to the development of depth charges (1916), hydrophones (passive sonar, 1917), blimps, hunter-killer submarines (HMS R-1, 1917), forward-throwing anti-submarine weapons, and dipping hydrophones (the latter two abandoned in 1918). To extend their operations, the Germans proposed supply submarines (1916). Most of these would be forgotten in the interwar period until World War II revived the need.
Aviation Advances
Fixed-wing aircraft were first used militarily by the Italians in Libya in October 1911 during the Italo-Turkish War for reconnaissance, soon followed by the dropping of grenades and aerial photography the next year. By 1914, their military utility was obvious. They were initially used for reconnaissance and ground attack. To shoot down enemy planes, anti-aircraft guns and fighter aircraft were developed. Strategic bombers were created, principally by the Germans and British, though the former used Zeppelins as well. Towards the end of the conflict, aircraft carriers were used for the first time, with HMS Furious launching Sopwith Camels in a raid to destroy the Zeppelin hangars at Tondern in 1918.
Recognized for their value as observation platforms, balloons were important targets for enemy aircraft. To defend them against air attack, they were heavily protected by antiaircraft guns and patrolled by friendly aircraft; to attack them, unusual weapons such as air-to-air rockets were even tried. Thus, the reconnaissance value of blimps and balloons contributed to the development of air-to-air combat between all types of aircraft and to the trench stalemate, because it was impossible to move large numbers of troops undetected. The Germans conducted air raids on England during 1915 and 1916 with airships, hoping to damage British morale and cause aircraft to be diverted from the front lines. The resulting panic led to the diversion of several squadrons of fighters from France.
29.6.2: Total War
Almost the whole of Europe and its colonial empires mobilized to wage World War I, directing almost all aspects of life including industry, finance, labor, and food production toward military purposes.
Learning Objective
Discuss the costs of total war
Key Points
- Total war, such as World War I and World War II, mobilizes all of the resources of society (industry, finance, labor, etc.) to fight the war.
- It also expands the targets of war to include any and all civilian-associated resources and infrastructure.
- World War I mobilized almost all European nations and its colonies into total war with enormous costs, not only to military personnel lost in battle, but to whole societies, dramatically affecting finance, culture, and industry.
- Civilians back home had to make major adjustments to their lifestyles: women took over for men in industry, food rationing came into effect, and business owners changed or adjusted their products to support the war.
- One estimate suggests that the Allies spent $147 billion on the war and the Central Powers only $61 billion.
Key Terms
- total war
-
Warfare that includes any and all civilian-associated resources and infrastructure as legitimate military targets, mobilizes all of the resources of society to fight the war, and gives priority to warfare over non-combatant needs.
- conscription
-
The compulsory enlistment of people in a national service, most often military service.
Total war includes all civilian-associated resources and infrastructure as legitimate military targets, mobilizes all societal resources to fight the war, and gives priority to warfare over non-combatant needs. The American-English Dictionary defines total war as “war that is unrestricted in terms of the weapons used, the territory or combatants involved, or the objectives pursued, especially one in which the laws of war are disregarded.”
In the mid-19th century, scholars identified “total war” as a separate class of warfare. In a total war, to an extent inapplicable to other conflicts, the differentiation between combatants and non-combatants diminishes and even sometimes vanishes entirely as opposing sides consider nearly every human resource, even that of non-combatants, as part of the war effort.
Actions that characterize the post-19th century concept of total war include: blockade and sieging of population centers, as with the Allied blockade of Germany; commerce-raiding tonnage war, and unrestricted submarine warfare, as with privateering and the German U-Boat campaigns.
World War I as Total War
Almost the whole of Europe and its colonial empires mobilized to wage World War I. Young men were removed from production jobs to serve in military roles and were replaced by women. Rationing occurred on the home fronts. Conscription was common in most European countries but controversial in English-speaking countries. About 750,000 lost their lives. Though most deaths were young unmarried men, 160,000 wives lost husbands and 300,000 children lost fathers. In the United States, conscription began in 1917 and was generally well-received, with a few pockets of opposition in isolated rural areas. Bulgaria went so far as to mobilize a quarter of its population or 800,000 people, a greater share than any other country during the war.
In Britain, government propaganda posters were used to divert all attention to the war on the home front. They influenced public opinion about what to eat and what occupations to pursue, and changed the attitude toward the war effort to one of support. Even the Music Hall was used as propaganda, with songs aimed at recruitment.
After the failure of the Battle of Neuve Chapelle, the large British offensive in March 1915, the British Commander-in-Chief Field Marshal John French blamed the lack of progress on insufficient and poor-quality artillery shells. This led to the Shell Crisis of 1915, which brought down both the Liberal government and Premiership of H. H. Asquith. He formed a new coalition government dominated by liberals and appointed David Lloyd George as Minister of Munitions. It was a recognition that the whole economy would have to be geared for war if the Allies were to prevail on the Western Front.
As young men left the farms for the front, domestic food production in Britain and Germany fell. In Britain the response was to import more food, despite the German introduction of unrestricted submarine warfare, and to introduce rationing. The Royal Navy’s blockade of German ports prevented Germany from importing food and hastened German capitulation by creating a food crisis in Germany.
Economics of World War I
All of the powers in 1914 expected a short war; none had made any economic preparations for a long war, such as stockpiling food or critical raw materials. The longer the war went on, the greater the advantages of the Allies, with their larger, deeper, more versatile economies and better access to global supplies. As historians Broadberry and Harrison conclude, once stalemate set in late in 1914:
The greater Allied capacity for taking risks, absorbing the cost of mistakes, replacing losses, and accumulating overwhelming quantitative superiority should eventually have turned the balance against Germany.
The Allies had much more potential wealth they could spend on the war. One estimate (using 1913 U.S. dollars) is that the Allies spent $147 billion on the war and the Central Powers only $61 billion. Among the Allies, Britain and its Empire spent $47 billion and the U.S. $27 billion; among the Central Powers, Germany spent $45 billion.
Total war demanded total mobilization of all the nation’s resources for a common goal. Manpower had to be channeled into the front lines (all the powers except the United States and Britain had large trained reserves designed just for that). Behind the lines labor power had to be redirected away from less necessary activities that were luxuries during a total war. In particular, vast munitions industries were created to provide shells, guns, warships, uniforms, airplanes, and a hundred other weapons both old and new. Agriculture had to be mobilized as well to provide food for both civilians and soldiers (many of whom had been farmers and needed to be replaced by old men, boys, and women), as well as horses to move supplies.
Transportation in general was a challenge, especially when Britain and Germany each tried to intercept merchant ships headed for the enemy. Finance was a special challenge. Germany financed the Central Powers. Britain financed the Allies until 1916, when it ran out of money and had to borrow from the United States. The U.S. took over the financing of the Allies in 1917 with loans that it insisted be repaid after the war. The victorious Allies looked to defeated Germany in 1919 to pay reparations that would cover some of their costs. Above all, it was essential to conduct the mobilization in such a way that the short-term confidence of the people was maintained, the long-term power of the political establishment was upheld, and the long-term economic health of the nation was preserved.
Total War
British poster encouraging investment in war bonds. Total war involved immense economic and labor costs through the restructuring of finance and industry toward military purposes.
Chapter 28: The Scramble for Africa
28.1: The Berlin Conference
28.1.1: European Exploration of Africa
At the beginning of the 19th century, European knowledge of geography of Sub-Saharan Africa was still rather limited; it was left to 19th-century European explorers (including those searching for the famed source of the Nile) to discover detail such as the continent’s geological makeup.
Learning Objective
Explain why Europeans were interested in obtaining land in Africa
Key Points
- The geography of North Africa has been reasonably well-known since classical antiquity in Greco-Roman geography.
- Major exploration by Europeans, particularly of the coastal territories of African, began in the Age of Discovery in the 15th century, led by Portuguese explorers, most notably Prince Henry, known as the Navigator.
- From the 15th-19th century, little exploration of the interior of Africa was done by Europeans. Focus on Africa was limited to the transatlantic slave trade.
- Starting in the early 19th century, European land holdings in Africa began to shift and increase.
- In the mid-19th century, Protestant missions were carrying on active missionary work, most famously by David Livingstone.
- In November 1855, Livingstone became the first European to see the famous Victoria Falls, named after the Queen of the United Kingdom.
- Henry Morton Stanley, who had in 1871 succeeded in finding and supporting Livingstone (originating the famous line “Dr. Livingstone, I presume”), led one of the most memorable of all exploring expeditions in Africa, circumnavigating Victoria Nyanza (Lake Victoria) and Lake Tanganyika.
Key Terms
- Henry Morton Stanley
-
A Welsh-American journalist and explorer famous for his exploration of central Africa and his search for missionary and explorer David Livingstone. Upon finding Livingstone, he reportedly asked, “Dr. Livingstone, I presume?” He is also known for his search for the source of the Nile, his work in and development of the Congo Basin region in association with King Leopold II of the Belgians, and commanding the Emin Pasha Relief Expedition.
- David Livingstone
-
A Scottish congregationalist pioneer medical missionary with the London Missionary Society and an explorer in Africa, one of the most popular national heroes of the late-19th-century in Victorian Britain. He had a mythical status that operated on a number of interconnected levels: Protestant missionary martyr, working-class “rags-to-riches” inspirational story, scientific investigator and explorer, imperial reformer, anti-slavery crusader, and advocate of commercial and colonial expansion.
- pygmy
-
A member of an ethnic group whose average height is unusually short; anthropologists define it as a population with average height for adult men of less than 150 cm (4 feet 11 inches).
Early Exploration of Africa
The geography of North Africa has been reasonably well-known since classical antiquity in Greco-Roman geography. The exploration of Sub-Saharan Africa begins with the Age of Discovery in the 15th century, pioneered by posts along the coast during active colonization of the New World. Exploration of the interior of Africa was thus mostly left to the Arab slave traders, who in tandem with the Muslim conquest of the Sudan established far-reaching networks and supported the economy of a number of Sahelian kingdoms during the 15th to 18th centuries.
Portuguese explorer Prince Henry, known as the Navigator, was the first European to methodically explore Africa and the oceanic route to the Indies. From his residence in the Algarve region of southern Portugal, he directed successive expeditions to circumnavigate Africa and reach India. In 1420, Henry sent an expedition to secure the uninhabited but strategic island of Madeira. In 1425, he tried to secure the Canary Islands as well, but these were already under firm Castilian control. In 1431, another Portuguese expedition reached and annexed the Azores.
Portuguese presence in Africa soon interfered with existing Arab trade interests. By 1583, the Portuguese established themselves in Zanzibar and on the Swahili coast. The Kingdom of Congo was converted to Christianity in 1495, its king taking the name of João I. The Portuguese also established trade interests in the Kingdom of Mutapa in the 16th century, and in 1629 placed a puppet ruler on the throne.
Beginning in the 17th century, the Netherlands began exploring and colonizing Africa. While the Dutch were waging a long war of independence against Spain, Portugal united with Spain from 1580 to 1640. As a result, the growing colonial ambitions of the Netherlands were mostly directed against Portugal. For this purpose, two Dutch companies were founded: the West Indies Company, with power over all the Atlantic Ocean, and the East Indies Company, with power over the Indian Ocean.
Almost at the same time as the Dutch, other European powers attempted to create their own outposts for the African slave trade. As early as 1530, English merchant adventurers started trading in West Africa, coming into conflict with Portuguese troops. In 1581, Francis Drake reached the Cape of Good Hope. In 1663, the English built Fort James in Gambia. One year later, another English colonial expedition attempted to settle southern Madagascar, resulting in the death of most of the colonists. The English forts on the West African coast were eventually taken by the Dutch.
In 1626, the French Compagnie de l’Occident was created. This company expelled the Dutch from Senegal, making it the first French domain in Africa. France also set sights on Madagascar, the island used since 1527 as a stop in travels to India.
Overall, European exploration of Africa in the 17th and 18th centuries was very limited. Instead they focused on the slave trade, which only required coastal bases and items to trade. The real exploration of the African interior would start well into the 19th century.
19th Century Exploration
Although the Napoleonic Wars distracted the attention of Europe from exploratory work in Africa, those wars nevertheless exercised great influence on the future of the continent, both in Egypt and South Africa. The occupation of Egypt (1798–1803), first by France and then by Great Britain, resulted in an effort by the Ottoman Empire to regain direct control over that country. In 1811, Mehemet Ali established an almost independent state, and from 1820 onward established Egyptian rule over the eastern Sudan. In South Africa, the struggle with Napoleon caused the United Kingdom to take possession of the Dutch settlements at the Cape. In 1814, Cape Colony, continuously occupied by British troops since 1806, was formally ceded to the British crown.
Meanwhile, considerable changes had been made in other parts of the continent. The occupation of Algiers by France in 1830 put an end to the piracy of the Barbary states. Egyptian authority continued to expand southward, with the consequent additions to knowledge of the Nile. The city of Zanzibar, on the island of that name, rapidly attained importance. Accounts of a vast inland sea and the discovery of the snow-clad mountains of Kilimanjaro in 1840–1848 stimulated European desire for further knowledge about Africa.
In the mid-19th century, Protestant missions were carrying on active work on the Guinea coast, in South Africa, and in the Zanzibar dominions. Missionaries visited little-known regions and peoples, and in many instances became explorers and pioneers of trade and empire. David Livingstone, a Scottish missionary, had been engaged since 1840 in work north of the Orange River. In 1849, Livingstone crossed the Kalahari Desert from south to north and reached Lake Ngami. Between 1851 and 1856, he traversed the continent from west to east, discovering the great waterways of the upper Zambezi River. In November 1855, Livingstone became the first European to see the famous Victoria Falls, named after the Queen of the United Kingdom. From 1858 to 1864, the lower Zambezi, the Shire River, and Lake Nyasa were explored by Livingstone. Nyasa was first reached by the confidential slave of António da Silva Porto, a Portuguese trader established at Bié in Angola who crossed Africa during 1853–1856 from Benguella to the mouth of the Rovuma. A prime goal for explorers was to locate the source of the River Nile. Expeditions by Burton and Speke (1857–1858) and Speke and Grant (1863) located Lake Tanganyika and Lake Victoria. It was eventually proved to be the latter from which the Nile flowed.
Henry Morton Stanley, who had in 1871 succeeded in finding and supporting Livingstone (originating the famous line “Dr. Livingstone, I presume”), started again for Zanzibar in 1874. In one of the most memorable exploring expeditions in Africa, Stanley circumnavigated Victoria Nyanza (Lake Victoria) and Lake Tanganyika. Striking farther inland to the Lualaba, he followed that river down to the Atlantic Ocean—which he reached in August 1877—and proved it to be the Congo.
In 1895, the British South Africa Company hired the American scout Frederick Russell Burnham to look for minerals and ways to improve river navigation in the central and southern Africa region. Burnham oversaw and led the Northern Territories British South Africa Exploration Company expedition that first found major copper deposits north of the Zambezi in North-Eastern Rhodesia. Along the Kafue River, Burnham saw many similarities to copper deposits he had worked in the United States and encountered native peoples wearing copper bracelets. Copper rapidly became the primary export of Central Africa and remains essential to the economy today.
Explorers were also active in other parts of the continent. Southern Morocco, the Sahara, and the Sudan were traversed in many directions between 1860 and 1875 by Georg Schweinfurth and Gustav Nachtigal. These travelers not only added considerably to geographical knowledge, but obtained invaluable information concerning the people, languages, and natural history of the countries in which they sojourned. Among the discoveries of Schweinfurth was one that confirmed Greek legends of the existence beyond Egypt of a “pygmy race.” But the first western discoverer of the pygmies of Central Africa was Paul Du Chaillu, who found them in the Ogowe district of the west coast in 1865, five years before Schweinfurth’s first meeting with them. Du Chaillu had previously, through journeys in the Gabon region between 1855 and 1859, confirmed existence of the gorilla, previously thought to be a legend by Europeans.
European Exploration of Africa
Routes of European explorers in Africa to 1853.
28.1.2: Involvement in Africa before 1884
Before the Berlin Conference, European colonization of Africa was present but limited, with only 10% of Africa under European control in 1870. In the 1870s the “Scramble for Africa” began in earnest, with 90% of Africa under European control by World War I.
Learning Objective
Describe the ways Europe was already involved in Africa prior to the Berlin Conference
Key Points
- Before the conference, European diplomacy treated African indigenous people in the same manner as the New World natives, forming trading relationships with the indigenous chiefs.
- With the exception of trading posts along the coasts used to trade goods and slaves around the world, the continent was essentially ignored until the second half of the 19th century.
- Even as late as the 1870s, European states still controlled only 10% of the African continent; by WWI, Europe controlled 90% of Africa.
- Prior to the Berlin Conference of 1884, which formalized the “Scramble for Africa,” colonies had been formed throughout Africa on a smaller scale.
- Most notably, King Leopold II explored and colonized the Congo as a private venture with the aid of explorer Morton Stanley.
- Leopold extracted a fortune from the Congo through forced labor of ivory and rubber production, causing the deaths of 1 to 15 million Congolese people.
- With the dismissal of the aging Chancellor Bismarck (who had plans to colonize Africa) by Kaiser Wilhelm II, the relatively orderly colonization became a frantic scramble. This led to the Berlin Conference, initiated by Bismarck to establish international guidelines for the acquisition of African territory.
Key Terms
- Scramble for Africa
-
The invasion, occupation, division, colonization, and annexation of African territory by European powers during the period of New Imperialism, between 1881 and 1914. It is also called the Partition of Africa and the Conquest of Africa. In 1870, only 10 percent of Africa was under European control; by 1914 it had increased to 90 percent of the continent, with only Ethiopia (Abyssinia), the Dervish state (present-day Somalia) and Liberia still independent.
- King Leopold II of Belgium
-
The second King of the Belgians, known as the founder and sole owner of the Congo Free State, a private project undertaken on his own behalf. He used explorer Henry Morton Stanley to help him lay claim to the Congo, an area now known as the Democratic Republic of the Congo. At the Berlin Conference of 1884–1885, the colonial nations of Europe authorized his claim by committing the Congo Free State to improving the lives of the native inhabitants.
- colonialism
-
The establishment of a colony in one territory by a political power from another territory and the subsequent maintenance, expansion, and exploitation of that colony. The term is also used to describe the unequal relationships between the colonial power and the colony and often between the colonists and the indigenous peoples.
Early European Colonization in Africa
Early European expeditions concentrated on colonizing previously uninhabited islands such as the Cape Verde Islands and São Tomé Island, or establishing coastal forts as a base for trade and supporting the Cape Route between Europe and Asia. These forts often developed areas of influence along coastal strips, but with the exception of the Senegal River, the vast interior of Africa was little-known to Europeans until the late 19th century.
Even as late as the 1870s, European states still controlled only 10 percent of the African continent, with territories concentrated near the coast. The most important holdings were Angola and Mozambique, held by Portugal; the Cape Colony, held by the United Kingdom; and Algeria, held by France. By 1914, only Ethiopia and Liberia were independent of European control.
Technological advancement facilitated overseas expansionism. Industrialization brought about rapid advancements in transportation and communication, especially in the forms of steam navigation, railways, and telegraphs. Medical advances also were important, especially medicines for tropical diseases. The development of quinine, an effective treatment for malaria, enabled vast expanses of the tropics to be accessed by Europeans.
Around the 1870s, the growing trend of colonization in Africa began to take off. The term “imperialism” is often conflated with “colonialism,” but many scholars argue that each has a distinct definition. Historian and philosopher Edward Said noted that “imperialism involved ‘the practice, the theory and the attitudes of a dominating metropolitan center ruling a distant territory,’ while colonialism refers to the ‘implanting of settlements on a distant territory.'”
African Colonization in the 19th Century
Before the Berlin Conference, European diplomacy treated African indigenous people in the same manner as the New World natives, forming trading relationships with their chiefs. By the mid-19th century, Europeans considered Africa to be disputed territory ripe for exploration, trade, and settlement by colonists. With the exception of trading posts along the coasts, the continent was essentially ignored.
In 1876, King Leopold II of Belgium, who had previously founded the International African Society in 1876, invited Henry Morton Stanley to join him in researching and civilizing the continent. In 1878, the International Congo Society was also formed, with more economic goals but still closely related to the former society. Léopold secretly bought off the foreign investors in the Congo Society, which turned to imperialistic goals, while the African Society served primarily as a philanthropic front.
From 1878 to 1885, Stanley returned to the Congo, not as a reporter but as an envoy from Leopold with the secret mission to organize what would become known as the Congo Free State. French intelligence discovered Leopold’s plans, and France quickly engaged in its own colonial exploration. French naval officer Pierre de Brazza was dispatched to central Africa, traveled into the western Congo basin, and raised the French flag over the newly founded Brazzaville in 1881, in what is now the Republic of Congo. Portugal, which had a long but essentially abandoned colonial empire in the area through the mostly defunct proxy state Kongo Empire, also claimed the area. Its claims were based on old treaties with Spain and the Roman Catholic Church. It quickly made a treaty on February 26, 1884, with its former ally, the United Kingdom of Great Britain and Ireland, to block the Congo Society’s access to the Atlantic.
By the early 1880s, due to many factors including diplomatic maneuvers, subsequent colonial exploration, and recognition of Africa’s abundance of valuable resources such as gold, timber, land, and markets, European interest in the continent increased dramatically. Stanley’s charting of the Congo River Basin (1874–77) removed the last terra incognita from European maps of the continent, delineating the areas of British, Portuguese, French, and Belgian control. The powers raced to push these rough boundaries to their furthest limits and eliminate any local minor powers which might prove troublesome to European competitive diplomacy.
France moved to take over Tunisia, one of the last of the Barbary Pirate states, under the pretext of another piracy incident. French claims by Pierre de Brazza were quickly solidified, with France taking control of today’s Republic of the Congo in 1881 and Guinea in 1884. Italy became part of the Triple Alliance, upsetting Bismarck’s carefully laid plans with the state and forcing Germany to become involved in Africa. In 1882, realizing the geopolitical extent of Portuguese control on the coasts and penetration by France eastward across Central Africa toward Ethiopia, the Nile, and the Suez Canal, Britain saw its vital trade route through Egypt and its Indian Empire threatened.
Under the pretext of the collapsed Egyptian financing and a subsequent riot in which hundreds of Europeans and British subjects were murdered or injured, the United Kingdom intervened in nominally Ottoman Egypt. The UK also ruled over the Sudan and what would later become British Somaliland.
Slave Trade in Africa
Photograph of slaves captured from the Congo aboard an Arab slave ship intercepted by the Royal Navy (1869). One of the chief justifications for the colonization of Africa was the suppression of the slave trade.
Berlin Conference
This rapid increase in the exploration and colonization of Africa eventually led to the 1884 Berlin Conference. Established empires, notably Britain, Portugal and France, had already claimed vast areas of Africa and Asia, and emerging imperial powers like Italy and Germany had done likewise on a smaller scale. With the dismissal of the aging Chancellor Bismarck by Kaiser Wilhelm II, the relatively orderly colonization became a frantic scramble, known as the “Scramble for Africa.” The Berlin Conference, initiated by Bismarck to establish international guidelines for the acquisition of African territory, formalized this “New Imperialism.” Between the Franco-Prussian War and the World War I, Europe added almost 9 million square miles—one-fifth of the land area of the globe—to its overseas colonial possessions.
28.1.3: European Consensus of Africa
The Berlin Conference sought to end competition and conflict between European powers during the “Scramble for Africa” by establishing international protocols for colonization.
Learning Objective
Explain why it was so important for European leaders to divide up Africa in a peaceful manner
Key Points
- Although colonization of Africa was limited before 1870, by the early 1880s the “Scramble for Africa” created concerns among European powers, who feared new conflict and possibly war if colonization went unchecked.
- The occupation of Egypt and the acquisition of the Congo were the first major moves in the precipitous scramble for African territory.
- Hoping to quickly soothe this brewing conflict, King Leopold II convinced France and Germany that common trade in Africa was in the best interests of all three countries.
- Under support from the British and the initiative of Portugal, Otto von Bismarck, German Chancellor, called on representatives of 13 nations in Europe as well as the United States to take part in the Berlin Conference in 1884 to work out joint policy on the African continent.
- The main dominating powers of the conference were France, Germany, Great Britain and Portugal; they remapped Africa without considering the cultural and linguistic borders that were already established.
- No Africans were invited to the Conference.
Key Terms
- Otto von Bismarck
-
A conservative Prussian statesman who dominated German and European affairs from the 1860s until 1890. In the 1860s, he engineered a series of wars that unified the German states, significantly and deliberately excluding Austria, into a powerful German Empire under Prussian leadership. He disliked colonialism but reluctantly built an overseas empire when demanded by both elite and mass opinion. Juggling a very complex interlocking series of conferences, negotiations, and alliances, he used his diplomatic skills to maintain Germany’s position and used the balance of power to keep Europe at peace in the 1870s and 1880s.
- New Imperialism
-
A period of colonial expansion by European powers, the United States, and the Empire of Japan during the late 19th and early 20th centuries. The period is distinguished by an unprecedented pursuit of overseas territorial acquisitions. At the time, states focused on building their empires with new technological advances and developments, making their territories bigger through conquest, and exploiting their resources. The new wave of imperialism reflected ongoing rivalries among the great powers, the economic desire for new resources and markets, and a “civilizing mission” ethos.
- “informal imperialism”
-
The use of indirect means to control an area, sometimes a military presence but usually economic control.
The Berlin Conference: “Peaceful” Colonization
The Berlin Conference of 1884–85, also known as the Congo Conference, regulated European colonization and trade in Africa during the New Imperialism period, coinciding with Germany’s sudden emergence as an imperial power. Called for by Portugal and organized by Otto von Bismarck, first Chancellor of Germany, its outcome, the General Act of the Berlin Conference, was the formalization of the Scramble for Africa. The conference ushered in heightened colonial activity by European powers, which eliminated or overrode most existing forms of African autonomy and self-governance.
Having witnessed the political and economic rivalries among the European empires in the last quarter of the 19th century, the formal partitioning of Africa prevented European countries from battling one another over territory. The conference provided an opportunity to channel latent European hostilities outward, provide new areas for European expansion in the face of rising American, Russian, and Japanese interests, and form constructive dialogue for limiting future hostilities. The latter years of the 19th century saw the transition from “informal imperialism” by military influence and economic dominance to direct rule, bringing about colonial imperialism.
Colonies were seen as assets in “balance of power” negotiations, useful as items of exchange in international bargaining. Colonies with large native populations were also a source of military power; Britain and France used British Indian and North African soldiers respectively in many of their colonial wars. In the age of nationalism, an empire was a status symbol; the idea of “greatness” became linked with the sense of duty underlying many nations’ strategies.
Owing to the European race for colonies, Germany started launching expeditions of its own, which frightened both British and French statesmen. The occupation of Egypt and the acquisition of the Congo were the first major moves in what came to be a precipitous scramble for African territory. Hoping to quickly soothe this brewing conflict, King Leopold II convinced France and Germany that common trade in Africa was in the best interests of all three countries. Under support from the British and the initiative of Portugal, Otto von Bismarck, German Chancellor, called on representatives of 13 nations in Europe as well as the United States to take part in the Berlin Conference in 1884 to work out joint policy on the African continent.
While the number of voting participants varied per nation, the following 14 countries sent representatives to attend the Berlin Conference and sign the subsequent Berlin Act: Austria-Hungary, Belgium, Denmark, France, Germany, Italy, Netherlands, Ottoman Empire, Portugal, Russia, Spain, Sweden-Norway, Britain, and the United States. There were no African representatives at the conference, despite its rhetoric emphasizing the benefit to Africa.
The conference was convened on Saturday, November 15, 1884 at Bismarck’s official residence on Wilhelmstrasse. The main dominating powers of the conference were France, Germany, Great Britain, and Portugal. They remapped Africa without considering the cultural and linguistic borders that were already established. At the end of the conference, Africa was divided into 50 colonies. The attendants established who was in control of each of these new divisions. They also planned, noncommittally, to end the slave trade in Africa.
Berlin Confernence
A drawing of the Berlin Conference. The main dominating powers of the conference were France, Germany, Great Britain, and Portugal.
28.1.4: “The General Act of the Conference”
The “General Act of the Berlin Conference” established international guidelines for the acquisition of African territory.
Learning Objective
List some of the key agreements in the General Act of the Conference
Key Points
- In 1884, the Berlin Conference was convened to discuss African colonization, with the aim of setting up international guidelines for making claims to African land to avoid conflict between European powers.
- At the Conference, the participants decided on the “General Act of the Conference,” which laid the frameworks for colonization.
- One of the most important decisions in the “Act” was the principle of effective occupation, which stated that no territory could be formally claimed prior to being directly ruled and administered by the colonial power.
- The conference also resolved to end slavery by African and Islamic powers, a move that many critics ridiculed as a humanitarian façade to garner international support; the resolution was non-binding.
- The Scramble for Africa sped up after the Conference, since even within areas designated as their spheres of influence, the European powers had to take possession under the Principle of Effectivity.
Key Terms
- principle of effective occupation
-
Colonial powers could acquire rights over colonial lands only if they possessed them: if they had treaties with local leaders, if they flew their flag there, and if they established an administration in the territory with a police force to keep order.
- Heart of Darkness
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A novella by Polish-British novelist Joseph Conrad about a voyage up the Congo River into the Congo Free State in the heart of Africa by the story’s narrator Marlow. The work’s central ideal is that there is little difference between so-called civilized people and those described as savages; the book raises questions about imperialism and racism.
- spheres of influence
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A spatial region or concept division over which a state or organization has a level of cultural, economic, military, or political exclusivity, accommodating to the interests of powers outside the borders of the state that controls it.
In 1884, Otto von Bismarck convened the Berlin Conference to discuss the African problem. Its outcome, the General Act of the Berlin Conference, formalized the Scramble for Africa.
The diplomats in Berlin laid the rules of competition by which the great powers were to be guided in seeking colonies. No nation was to stake claims in Africa without notifying other powers of its intentions. No territory could be formally claimed prior to being effectively occupied. However, the competitors ignored the rules when convenient and on several occasions war was only narrowly avoided.
According to some critics, the diplomats put on a humanitarian façade to garner international support by condemning the slave trade, prohibiting the sale of alcoholic beverages and firearms in certain regions, and expressing concern for missionary activities. The writer Joseph Conrad sarcastically referred to the conference as “the International Society for the Suppression of Savage Customs” in his novella Heart of Darkness.
The General Act decided on the following points:
- The conference resolved to end slavery by African and Islamic powers. Thus, an international prohibition of the slave trade throughout their respected spheres was signed by the European members.
- The Congo Free State was confirmed as the private property of the Congo Society, which supported Leopold’s promises to keep the country open to all European investment. The territory of today’s Democratic Republic of the Congo, some two million square kilometers, was confirmed by the European powers as essentially the property of Léopold II. Later it was organized as a Belgian colony under state administration.
- The 14 signatory powers would have free trade throughout the Congo Basin as well as Lake Malawi, and east of this in an area south of 5° N.
- The Niger and Congo rivers were made free for ship traffic.
- A Principle of Effectivity was introduced to prevent powers from setting up colonies in name only.
- Any fresh act of taking possession of any portion of the African coast would have to be notified by the power taking possession or to the other signatory powers in a protectorate.
- Regions were defined in which each European power had an exclusive right to “pursue” the legal ownership of land in the eyes of the other European powers.
- The first reference in an international act to the obligations attaching to “spheres of influence” is contained in the Berlin Act.
Principle of Effective Occupation
The principle of effective occupation stated that powers could acquire rights over colonial lands only if they possessed them or had “effective occupation”: in other words, if they had treaties with local leaders, if they flew their flag there, and if they established an administration in the territory to govern it with a police force to keep order. The colonial power could also make economic use of the colony. This principle became important not only as a basis for the European powers to acquire territorial sovereignty in Africa, but also for determining the limits of their respective overseas possessions, as effective occupation served in some instances to settle disputes over the boundaries between colonies. But as the Berlin Act was limited in its scope to the lands that fronted on the African coast, European powers in numerous instances later claimed rights over lands in the interior without demonstrating the requirement of effective occupation, as articulated in Article 35 of the Final Act.
At the Berlin Conference of 1885, the scope of the Principle of Effective Occupation was heavily contested between Germany and France. The Germans, who were new to the continent of Africa, essentially believed that as far as the extension of power in Africa was concerned, no colonial power should have any legal right to a territory unless the state exercised strong and effective political control, and if so, only for a limited period of time. However, Britain viewed Germany as a latecomer to the continent that was unlikely to gain any possessions apart from already occupied territories, which were swiftly proving more valuable than British-occupied territories. Given that logic, it was generally assumed by Britain and France that Germany had an interest in embarrassing the other European powers on the continent and forcing them to give up their possessions if they could not muster a strong political presence. On the other side, the United Kingdom had large territorial “possessions” on the continent and wanted to keep them while minimizing its responsibilities and administrative costs. In the end, the British view prevailed.
This principle, along with others written at the Conference allowed the Europeans to “conquer” Africa while doing as little as possible to administer or control it. The Principle of Effective Occupation did not apply so much to the hinterlands of Africa at the time of the conference. This gave rise to “hinterland theory,” which basically gave any colonial power with coastal territory the right to claim political influence over an indefinite amount of inland territory. Since Africa was irregularly shaped, this theory caused problems and was later rejected.
Consequences of the Conference
The Scramble for Africa sped up after the Conference, since even within areas designated as their spheres of influence, the European powers had to take possession under the Principle of Effectivity. In central Africa in particular, expeditions were dispatched to coerce traditional rulers into signing treaties, using force if necessary, as in the case of Msiri, King of Katanga, in 1891. Bedouin and Berber-ruled states in the Sahara and Sub-Sahara were overrun by the French in several wars by the beginning of World War I. The British moved up from South Africa and down from Egypt, conquering Arabic states such as the Mahdist State and the Sultanate of Zanzibar. After defeating the Zulu Kingdom in South Africa, in 1879, they moved on to subdue and dismantle the independent Boer republics of Transvaal and Orange Free State.
Within a few years, Africa was at least nominally divided south of the Sahara. By 1895, the only independent states were Morocco, Liberia, Ethiopia, the Majeerteen Sultanate, and the Sultanate of Hobyo.
By 1902, 90% of all African land was under European control. The large part of the Sahara was French, while after the quelling of the Mahdi rebellion and the ending of the Fashoda crisis, the Sudan remained firmly under joint British-Egyptian rulership. Egypt was under British occupation before becoming a British protectorate in 1914.
The Boer republics were conquered by the United Kingdom in the Boer war from 1899 to 1902. Morocco was divided between the French and Spanish in 1911, and Libya was conquered by Italy in 1912. The official British annexation of Egypt in 1914 ended the colonial division of Africa.
Colonial Africa 1913
European claims in Africa, 1913. Modern-day boundaries, largely a legacy of the colonial era, are shown. Yellow: Belgium; Green: Germany; Pink: Spain; Blue: France; Red: Britain; Lime Green: Italy; Purple: Portugal; Gray: Independent.
28.2: The Belgian Congo
28.2.1: Administration of the Belgian Congo
Leopold II’s reign in the Congo became an international scandal due to large-scale mistreatment of the indigenous peoples, including frequent mutilation and murder of men, women, and children to enforce rubber production quotas.
Learning Objective
Describe the brutal ways in which the Belgians abused the inhabitants of the Congo
Key Points
- The Congo Free State was a corporate state privately controlled by Leopold II of Belgium through his Association internationale africaine, a non-governmental organization supposedly dedicated to humanitarian purposes.
- Under Leopold II’s administration, the Congo Free State became the site of one of the most infamous international scandals of the turn of the 20th century.
- In the Free State, colonists brutalized the local population into producing rubber, for which the spread of automobiles and development of rubber tires created a growing international market.
- The police force, the Force Publique, routinely mutilated (especially cutting off hands) and murdered the indigenous population to enforce rubber production quotas.
- The report of the British Consul Roger Casement led to the arrest and punishment of white officials responsible for cold-blooded killings during a rubber-collecting expedition in 1903, including one Belgian national who caused the shooting of at least 122 Congolese natives.
- The parliament of Belgium annexed the Congo Free State and took over its administration on November 15, 1908, as the colony of the Belgian Congo.
Key Terms
- Congo Reform Association
-
A movement formed with the declared intention to aid the exploited and impoverished workforce of the Congo by drawing attention to their plight. The association was founded in March 1904 by Dr. Henry Grattan Guinness, Edmund Dene Morel, and Roger Casement.
- Congo Free State
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A large state in Central Africa from 1885 to 1908 in personal union with the Kingdom of Belgium under Leopold II.
- Force Publique
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A military force in what is now the Democratic Republic of the Congo from 1885 (when the territory was known as the Congo Free State), through the period of direct Belgian colonial rule (1908 to 1960). Early on, they were used primarily to campaign against the Arab slave trade in the Upper Congo, protect Leopold’s economic interests, and suppress frequent uprisings within the state, but eventually they partook in horrific abuse of the Congolese people, including frequent mutilation and murder.
Colonization of the Congo
Belgian exploration and administration took place from the 1870s until the 1920s. It was first led by Sir Henry Morton Stanley, who explored under the sponsorship of King Leopold II of Belgium. The eastern regions of the precolonial Congo were heavily disrupted by constant slave raiding, mainly from Arab-Swahili slave traders such as the infamous Tippu Tip, who was well-known to Stanley. Leopold had designs on what would become the Congo and was able to procure the region by convincing the European community that he was involved in humanitarian and philanthropic work and would not tax trade. Leopold extracted ivory, rubber, and minerals in the upper Congo basin for sale on the world market, even though his nominal purpose in the region was to uplift the local people and develop the area.
Leopold formally acquired rights to the Congo territory at the Conference of Berlin in 1885 and made the land his private property. On May 29, 1885, the king named his new colony the Congo Free State. The state would eventually include an area now held by the Democratic Republic of the Congo. Leopold’s rėgime began various infrastructure projects, such as construction of the railway that ran from the coast to the capital of Leopoldville (now Kinshasa) and took eight years to complete. Nearly all such projects were aimed at making it easier to increase the assets Leopold and his associates could extract from the colony.
Administration of the Congo Free State
Leopold used the title Sovereign King as ruler of the Congo Free State. He appointed the heads of the three departments of state: interior, foreign affairs and finances. Each was headed by an administrator-general who was obligated to enact the policies of the sovereign or else resign.
Leopold pledged to suppress the east African slave trade; promote humanitarian policies; guarantee free trade within the colony; impose no import duties for twenty years; and encourage philanthropic and scientific enterprises. Beginning in the mid-1880s, Leopold first decreed that the state asserted rights of proprietorship over all vacant lands throughout the Congo territory. In three successive decrees, Leopold promised the rights of the Congolese in their land to native villages and farms, essentially making nearly all of the Congo Free State state-owned land. Additionally, the colonial administration liberated thousands of slaves.
Shortly after the anti-slavery conference he held in Brussels in 1889, Leopold issued a new decree which said that Africans could only sell their harvested products (mostly ivory and rubber) to the state in a large part of the Free State. This grew out of the earlier decree that all “unoccupied” land belonged to the state and ivory and rubber collected from this land also belonged to the state, creating a de facto state-controlled monopoly. Suddenly, the only outlet a large share of the local population had for its products was the state, which could set purchase prices and therefore control the amount of income the Congolese could receive for their work.
The Force Publique (FP), Leopold’s private army, was used to enforce the rubber quotas. Early on, the FP was used primarily to campaign against the Arab slave trade in the Upper Congo, protect Leopold’s economic interests, and suppress the frequent uprisings within the state. The Force Publique’s officer corps included only white Europeans (Belgian regular soldiers and mercenaries from other countries). On arriving in the Congo, they recruited men from Zanzibar and west Africa, and eventually from the Congo itself. In addition, Leopold actually encouraged the slave trade among Arabs in the Upper Congo in return for slaves to fill the ranks of the FP. During the 1890s, the FP’s primary role was to exploit the natives as corvée laborers to promote the rubber trade.
Many of the black soldiers were from far-off peoples of the Upper Congo, while others had been kidnapped in raids on villages in their childhood and brought to Roman Catholic missions, where they received a military training in conditions close to slavery. Armed with modern weapons and the chicotte—a bull whip made of hippopotamus hide—the Force Publique routinely took and tortured hostages, slaughtered families of rebels, and flogged and raped Congolese people. They also burned recalcitrant villages, and above all, cut off the hands of Congolese natives, including children.
Human Rights Abuses
Leopold’s reign in the Congo eventually earned infamy due to the increasing mistreatment of the indigenous peoples. Under Leopold II’s administration, the Congo Free State became one of the greatest international scandals of the early-20th century. The report of the British Consul Roger Casement led to the arrest and punishment of white officials who were responsible for killings during a rubber-collecting expedition in 1903.
From 1885–1908, millions of Congolese died as a consequence of exploitation and disease. In some areas, the population declined dramatically; it has been estimated that sleeping sickness and smallpox killed nearly half the population in the areas surrounding the lower Congo River. A government commission later concluded that the population of the Congo was “reduced by half” during this period, but no accurate records exist.
Failure to meet the rubber collection quotas was punishable by death. Meanwhile, the FP was required to provide the hands of their victims as proof when they had shot and killed someone, as it was believed they would otherwise use the munitions (imported from Europe at considerable cost) for hunting. As a consequence, the rubber quotas were in part paid in severed hands. Sometimes the hands were collected by the soldiers of the FP and sometimes by the villages themselves. There were even small wars where villages attacked neighboring villages to gather hands, since their rubber quotas were too unrealistic to fill.
One junior European officer described a raid to punish a village that had protested. The European officer in command “ordered us to cut off the heads of the men and hang them on the village palisades … and to hang the women and the children on the palisade in the form of a cross.” After seeing a Congolese person killed for the first time, a Danish missionary wrote, “The soldier said ‘Don’t take this to heart so much. They kill us if we don’t bring the rubber. The Commissioner has promised us if we have plenty of hands he will shorten our service.'” In his words:
The baskets of severed hands, set down at the feet of the European post commanders, became the symbol of the Congo Free State…The collection of hands became an end in itself. Force Publique soldiers brought them to the stations in place of rubber; they even went out to harvest them instead of rubber…They became a sort of currency. They came to be used to make up for shortfalls in rubber quotas, to replace…the people who were demanded for the forced labour gangs; and the Force Publique soldiers were paid their bonuses on the basis of how many hands they collected.
Mutilated Children From the Congo
Congolese children and wives whose fathers or husbands failed to meet rubber collection quotas were often punished by having their hands cut off.
International Outcry
Joseph Conrad’s Heart of Darkness, originally published in 1899 as a three-part series in Blackwood’s Magazine based on a brief experience as a steamer captain on the Congo 12 years before, sparked an organized international opposition to Leopold’s genocidal activities. Increasing public outcry over the atrocities in the CFS moved the British government to launch an official investigation. Roger Casement, then the British Consul at Boma (at the mouth of the Congo River), was sent to the Congo Free State to investigate. Reporting back to the Foreign Office in 1900, Casement wrote, “The root of the evil lies in the fact that the government of the Congo is above all a commercial trust, that everything else is orientated towards commercial gain…”
The Congo Reform Association (CRA) was established in Great Britain by Morel as a direct result of Casement’s 1904 detailed, eyewitness Congo report, known as the Casement Report. The Congo Reform movement’s members included Sir Arthur Conan Doyle, Mark Twain, Joseph Conrad, Booker T. Washington, and Bertrand Russell.
Leopold offered to reform his regime, but international opinion supported an end to the king’s rule, and no nation was willing to accept this responsibility. Belgium was the obvious European candidate to run the Congo. For two years, it debated the question and held new elections on the issue.
Yielding to international pressure, the parliament of Belgium annexed the Congo Free State and took over its administration on November 15, 1908, as the colony of the Belgian Congo. Despite being effectively removed from power, the international scrutiny was no major loss to Leopold or the concessionary companies in the Congo. By then Southeast Asia and Latin America had become lower-cost producers of rubber. Along with the effects of resource depletion in the Congo, international commodity prices fell to a level that rendered Congolese extraction unprofitable. Just prior to releasing sovereignty over the CFS, Leopold had all evidence of his activities in the CFS destroyed, including the archives of the departments of finance and of the interior. Leopold lost the absolute power he had had there, but the population still had a Belgian colonial regime, which had become heavily paternalistic, with church, state, and private companies instructed to oversee the welfare of the inhabitants.
28.2.2: The Rubber Industry
In the 1890’s, rubber saw a major price boom with the invention of inflatable rubber bicycle tubes and the growing popularity of the automobile. This led to massive profits for the Belgian colonists in the Congo and increased exploitation of the native population.
Learning Objective
Calculate the value of the rubber industry to the Belgian government
Key Points
- King Leopold II, who owned the Congo Free State as a private enterprise, systematically exploited the native population for his own commercial benefit, most notably with the production of wild rubber.
- To enforce the rubber quotas, the colonists cut off the limbs of the natives as a matter of policy.
- To extract the rubber, Congolese workers would lather their bodies with latex, which hardened and was painfully scraped off the skin.
- By the final decade of the 19th century, John Boyd Dunlop’s 1887 invention of inflatable rubber bicycle tubes and the growing popularity of the automobile dramatically increased global demand for rubber, leading to major economic boom for rubber production and an increase in the exploitation of the natives.
- The Abir Congo Company was one of the main companies that exploited rubber during the time of Leopold’s rule.
Key Terms
- Casement Report
-
A 1904 document written by the British diplomat Roger Casement (1864–1916) detailing abuses in the Congo Free State under the private ownership of King Leopold II of Belgium. This report was instrumental in Leopold relinquishing his private holdings in Africa. He had owned the Congolese state since 1885, granted to him by the Berlin Conference, and exploited its natural resources (mostly rubber) for his own private wealth.
- Congo rubber
-
Rubbers obtained from a wild species of vines, namely the Landolphia. Unlike rubber from Brazil and other places, which comes from trees, this type of rubber cannot be cultivated. The intense drive to collect latex from wild plants was responsible for many of the atrocities committed under the Congo Free State.
- Abir Congo Company
-
A company that exploited natural rubber in the Congo Free State, the private property of King Leopold II of Belgium.
Rubber Production in the Congo Free State
In the Congo Free State, colonists brutalized the local population into producing rubber, for which the spread of automobiles and development of rubber tires created a growing international market. Rubber sales made a fortune for Leopold, who built several buildings in Brussels and Ostend to honor himself and his country. To enforce the rubber quotas, the army, the Force Publique, cut off the limbs of the natives as a matter of policy. Rubber revenue went directly to King Leopold II, who paid the Free State for the high costs of exploitation. Because of the human rights abuses suffered under King Leopold II’s rule, Congo rubber was eventually nicknamed “red rubber,” in reference to the blood of the Africans killed during production.
By the final decade of the 19th century, John Boyd Dunlop’s 1887 invention of inflatable rubber bicycle tubes and the growing popularity of the automobile dramatically increased global demand for rubber. To monopolize the resources of the entire Congo Free State, Leopold issued three decrees in 1891 and 1892 that reduced the native population to serfs. These forced the natives to deliver all ivory and rubber, harvested or found, to state officers, thus nearly completing Leopold’s monopoly of the ivory and rubber trade. The Congo rubber (genus Landolphia) came from wild vines in the jungle, which cannot be cultivated, unlike the rubber from Brazil (Hevea brasiliensis), which was tapped from trees and could be cultivated. The intense drive to collect latex from these wild plants was responsible for many of the atrocities committed under the Congo Free State. To extract the rubber, instead of tapping the vines, the Congolese workers slashed them and lathered their bodies with the ensuing latex. When the latex hardened, it was painfully scraped off the skin, taking the hair with it.
Leopold ran up high debts with his Congo investments before the beginning of the worldwide rubber boom in the 1890s. Prices increased throughout the decade as industries discovered new uses for rubber in tires, hoses, tubing, insulation for telegraph and telephone cables, and wiring. By the late-1890s, wild rubber had far surpassed ivory as the main source of revenue from the Congo Free State. The peak year was 1903, with rubber fetching the highest price and concessionary companies raking in the highest profits.
However, the boom sparked efforts to find lower-cost producers. Congolese concessionary companies faced competition from rubber cultivation in Southeast Asia and Latin America. As plantations were started in other tropical areas—mostly under the ownership of the rival British firms—world rubber prices started to dip. Competition heightened the drive to exploit forced labor in the Congo to lower production costs. Meanwhile, the cost of enforcement and the increasingly unsustainable harvesting methods ate away at profit margins. As competition from other areas of rubber cultivation mounted, Leopold’s private rule was left increasingly vulnerable to international scrutiny.
In the Rubber Coils
A cartoon depicting Leopold II as a rubber vine entangling a Congolese rubber collector.
Abir Congo Company
The Abir Congo Company (founded as the Anglo-Belgian India Rubber Company) exploited natural rubber in the Congo Free State, the private property of King Leopold II of Belgium. The company was founded with British and Belgian capital and was based in Belgium. By 1898 there were no longer any British shareholders and the Anglo-Belgian India Rubber Company changed its name to the Abir Congo Company and its residence for tax purposes to the Free State. The company was granted a large concession in the north of the country and the rights to tax the inhabitants. This tax was taken in the form of rubber obtained from a relatively rare rubber vine. The collection system revolved around a series of trade posts along the two main rivers in the concession. Each post was commanded by a European agent and manned with armed sentries to enforce taxation and punish any rebels.
Abir enjoyed a boom through the late 1890s, by selling a kilogram of rubber in Europe that cost them just 1.35 francs for up to 10 francs. However, this came at a cost to the human rights of those who couldn’t pay the tax, with imprisonment, flogging, and other corporal punishment recorded. Abir’s failure to suppress destructive harvesting methods and maintain rubber plantations meant that the vines became increasingly scarce, and by 1904 profits began to fall. During the early 1900s, famine and disease spread across the concession, a natural disaster judged by some to have been exacerbated by Abir’s operations, further hindering rubber collection. The 1900s also saw widespread rebellions against Abir’s rule in the concession and attempts at mass migration to the French Congo or southwards. These events typically resulted in Abir dispatching an armed force to restore order.
A series of reports into the operation of the Free State were issued, starting with the British Consul Roger Casement’s “Casement Report” and followed by reports commissioned by the Free State and Leopold II. These detailed unlawful killings and other abuses by Abir, and Leopold II was embarrassed into instituting reforms. These began with the appointment of American Richard Mohun by Leopold II as director of Abir. However, rubber exports continued to fall and rebellions increased, resulting in the Free State assuming control of the concession in 1906. Abir continued to receive a portion of profits from rubber exports and in 1911 was refounded as a rubber plantation harvesting company.
28.3: France in Africa
28.3.1: French West Africa
French West Africa was a federation of eight French colonial territories in Africa: Mauritania, Senegal, French Sudan (now Mali), French Guinea (now Guinea), Côte d’Ivoire, Upper Volta (now Burkina Faso), Dahomey (now Benin), and Niger.
Learning Objective
List some of the modern-day countries that were once part of France’s West African territories
Key Points
- As a part of the Scramble for Africa, France planned to establish a continuous west-east axis of the continent.
- During this time the Voulet–Chanoine Mission, a military expedition, was sent from Senegal in 1898 to conquer the Chad Basin and unify all French territories in West Africa.
- Until the unification of these colonies into French West Africa, these conquered areas were usually governed by French Army officers and dubbed “Military Territories.”
- The administrative structure of French colonial possessions in West Africa, while more homogeneous than neighboring British possessions, was marked by variety and flux. However, the Cercle system at the lowest level was a constant.
- A Cercle was the smallest unit of French political administration in French Colonial Africa as headed by a European officer. It consisted of several cantons, each of which in turn consisted of several villages headed by village chiefs.
Key Term
- Cercle system
-
The smallest unit of French political administration in French Colonial Africa that was headed by a European officer. A cercle consisted of several cantons, each of which in turn consisted of several villages, and was instituted in France’s African colonies from 1895 to 1946.
French West Africa (French: Afrique occidentale française, AOF) was a federation of eight French colonial territories in Africa: Mauritania, Senegal, French Sudan (now Mali), French Guinea (now Guinea), Côte d’Ivoire, Upper Volta (now Burkina Faso), Dahomey (now Benin) and Niger. The capital of the federation was Dakar. The federation existed from 1895 until 1960.
As the French pursued their part in the Scramble for Africa in the 1880s and 1890s, they conquered large inland areas, and at first ruled them as either a part of the existing Senegal colony or as independent entities. These conquered areas were usually governed by French Army officers and dubbed “Military Territories.” In the late 1890s, the French government began to rein in the territorial expansion of its “officers on the ground,” and transferred all territories west of Gabon to a single governor based in Senegal, reporting directly to the Minister of Overseas Affairs. The first governor general of Senegal was named in 1895, and in 1904, the territories he oversaw were formally named French West Africa (AOF). Gabon would later become the seat of its own federation, French Equatorial Africa (AEF), which would border its western neighbor on the modern boundary between Niger and Chad.
King N’Diagaye, a local chief near Dakar Senegal, receiving a French Administrator. c.1910.
Colonial Structure of the AOF
The administrative structure of French colonial possessions in West Africa, while more homogeneous than neighboring British possessions, was marked by variety and flux. Throughout the history of the AOF, individual colonies and military territories were reorganized numerous times. Each colony of French West Africa was administered by a lieutenant governor responsible to the governor general in Dakar. Only the governor general received orders from Paris, via the minister of Colonies. The minister, with the approval of the French National Assembly, chose lieutenants governor and governors general.
Despite this state of flux, and with the exception of the Senegalese Communes, the administrative structure of French rule at the lower levels remained constant, based upon the Cercle system. This was the smallest unit of French political administration in French Colonial Africa that was headed by a European officer. They ranged in size, but French Sudan (modern Mali) consisted of less than a dozen Cercles for most of its existence. Thus, a Cercle Commander might be the absolute authority over hundreds of thousands of Africans. A Cercle consisted of several cantons, each of which in turn consisted of several villages, and was almost universal in France’s African colonies from 1895 to 1946.
Below the “Cercle Commander” was a series of African “Chefs de canton” and “Chefs du Village”: “chiefs” appointed by the French and subject to removal by the Europeans. Regardless of source, chiefs were given the right to arm small numbers of guards and made responsible for the collection of taxes, the recruitment of forced labor, and the enforcement of “Customary Law.” In general, Canton Chiefs served at the behest of their Cercle Commander and were left to see to their own affairs as long as calm was maintained and administrative orders carried out.
28.3.2: The Maghreb
With the decay of the Ottoman Empire, in 1830 the French invaded and seized Algiers. This began the colonization of French North Africa, which expanded to include Tunisia in 1881 and Morocco in 1912.
Learning Objective
Discuss the French presence in Northern Africa and how these colonies differed from others
Key Points
- French North Africa, which at the height of French colonial control amounted to most of the Maghreb region, began with the French invasion of Algeria in 1830.
- From 1848, when France officially made Algeria a colony, until independence in 1962, the whole Mediterranean region of Algeria was administered as an integral part of France. Algeria became a destination for hundreds of thousands of European immigrants.
- The French protectorate of Tunisia was established in 1881 during the collapse of the Ottoman Empire at the hands of the Russians, and lasted until Tunisian independence in 1956.
- During French rule of Tunisia, major developments and improvements were undertaken in several areas, including transport and infrastructure, industry, the financial system, public health, and administration, although French businesses and citizen were favored, to the anger and resentment of the Tunisians.
- The French Protectorate in Morocco was established by the Treaty of Fez in 1912; it had been a Spanish protectorate since 1884.
- In opposition to the approach taken in Algeria and Tunisia, in Morocco, the French abandoned their typical assimilationist approach to culture and education, instead using urban planning and colonial education to prevent cultural mixing and uphold the traditional society of Morocco.
Key Terms
- pieds-noirs
-
A term referring to Christian and Jewish people whose families migrated from all parts of the Mediterranean to French Algeria, the French protectorate in Morocco, or the French protectorate of Tunisia, where many lived for several generations. They were expelled at the end of French rule in North Africa between 1956 and 1962. The term usually includes the North African Jews, who had been living there for many centuries but were awarded French citizenship by the 1870 Crémieux Decree.
- protectorate
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A dependent territory that has been granted local autonomy and independence while still largely controlled by another sovereign state. In exchange, the dependent state usually accepts specified obligations, which ay vary depending on the nature of their relationship. They are different from colonies as they have local rulers.
- Maghreb
-
Previously known as Barbary Coast, this area is usually defined as much or most of the region of western North Africa or Northwest Africa, west of Egypt. The traditional definition includes the Atlas Mountains and the coastal plains of Morocco, Algeria, Tunisia, and Libya.
French North Africa was a collection of territories in North Africa controlled by France and centering on French Algeria. At its height, it was a large part of the Maghreb.
The origins of French North Africa lay in the decline of the Ottoman Empire. In 1830, the French captured Algiers and from 1848 until independence in 1962, Algeria was treated as an integral part of France. Seeking to expand their influence, the French established protectorates to the east and west of it. The French protectorate of Tunisia was established in 1881 following a military invasion, and the French protectorate in Morocco in 1912. These lasted until 1955 in the case of Morocco and 1956 when full Tunisian independence arrived.
Until its independence, French Algeria had been part of metropolitan France (i.e., not an overseas territory) since before World War I.
French North Africa ended soon after the Évian Accords of March 1962, which led to the Algerian independence referendum of July 1962.
French Algeria
The French conquest of Algeria took place between 1830 and 1847. It was initiated in the last days of the Bourbon Restoration by Charles X, as an attempt to increase his popularity among the French, particularly in Paris where many veterans of the Napoleonic Wars lived. He intended to bolster patriotic sentiment and distract attention from ineptly handled domestic policies. In 1827, an argument between Hussein Dey, the ruler of the Ottoman Regency of Algiers, and the French consul escalated into a naval blockade. France then invaded and quickly seized Algiers in 1830, and rapidly took control of other coastal communities. Amid internal political strife in France, decisions were repeatedly made to retain control over the territory, and additional military forces were brought in over the following years to quell resistance in the interior of the country. The methods used to establish French hegemony reached genocidal proportions and war, as famine and disease led to the death of between 500,000 and 1 million Algerians.
French Invasion of Algeria
Fighting at the gates of Algiers in 1830.
From 1848 until independence, the whole Mediterranean region of Algeria was administered as an integral part of France. The vast arid interior of Algeria, like the rest of French North Africa, was never considered part of France. One of France’s longest-held overseas territories, Algeria became a destination for hundreds of thousands of European immigrants known as pieds-noirs. However, indigenous Muslims remained a majority of the territory’s population throughout its history. Gradually, dissatisfaction among the Muslim population with its lack of political and economic status fueled calls for greater political autonomy and eventually independence from France. Tensions between the two population groups came to a head in 1954, when the first violent events of what was later called the Algerian War began. The war concluded in 1962 when Algeria gained complete independence following the March 1962 Evian agreements and the July 1962 self-determination referendum.
French Protectorate of Tunisia
The French protectorate of Tunisia was established in 1881 during the French colonial Empire era and lasted until Tunisian independence in 1956.
Tunisia formed a province of the decaying Ottoman Empire but enjoyed a large measure of autonomy under the bey Muhammad III as-Sadiq. In 1877, Russia declared war on the Ottoman Empire. Russian victory foreshadowed the dismemberment of the empire, including independence for several Balkan possessions and international discussions about the future of the North African provinces. The Berlin Congress of 1878 convened to resolve the Ottoman question. Britain, although opposed to total dismantling of the Ottoman Empire, offered France control of Tunisia in return for Cyprus. Germany, seeing the French claim as a way to divert attention from vengeful action in Europe (where France suffered defeat at Prussian hands in 1870-1) and little concerned about the southern Mediterranean, agreed to allow France to rule in Tunisia. Italy, which had economic interests in Tunisia, strongly opposed the plan but was unable to impose its will.
The French presence in Tunisia came five decades after their occupation of neighboring Algeria, when the French were inexperienced and lacked the knowledge to develop a colony. Both countries were possessions of the Ottoman Empire for three centuries, yet had long ago attained political autonomy from the Sultan in Constantinople. Before the French arrived, Tunisia began modern reforms, but financial difficulties mounted until the installation of a commission of European creditors. After its occupation, the French government assumed Tunisia’s international obligations. Major developments and improvements were undertaken by the French in several areas, including transport and infrastructure, industry, the financial system, public health, and administration. Yet French business and its citizens were favored, which angered Tunisians. Their nationalism was early expressed in speech and in print; political organization followed. The independence movement was already active before World War I, and continued to gain strength against mixed French opposition. Its ultimate aim was achieved in 1956 when it became the Republic of Tunisia.
Congress of Berlin
A depiction of the Congress of Berlin, which resulted in France receiving Tunisia from Britain.
French Protectorate in Morocco
France officially established a protectorate over Morocco with the Treaty of Fez in 1912, ending what remained of the country’s de facto independence. From a legal point of view, the treaty did not deprive Morocco of its status as a sovereign state. The Sultan reigned but did not rule. Sultan Abdelhafid abdicated in favor of his brother Yusef after signing the treaty. On April 17, 1912, Moroccan infantrymen mutinied in the French garrison in Fez, in the 1912 Fez riots. The Moroccans were unable to take the city and were defeated by a French relief force.
In establishing their protectorate over much of Morocco, the French had the experience of the conquest of Algeria and of their protectorate over Tunisia; the latter was the model for their Moroccan policy. There were, however, important differences. First, the protectorate was established only two years before the outbreak of World War I, which brought with it a new attitude toward colonial rule. Rejecting the typical French assimilationist approach to culture and education as a liberal fantasy, Morocco’s conservative French rulers attempted to use urban planning and colonial education to prevent cultural mixing and uphold the traditional society upon which the French depended for collaboration. Second, Morocco had a thousand-year tradition of independence; though it was strongly influenced by the civilization of Muslim Iberia, it had never been subject to Ottoman rule. These circumstances and the proximity of Morocco to Spain created a special relationship between the two countries.
Under the protectorate, French civil servants allied themselves with the French colonists and their supporters in France to prevent any moves in the direction of Moroccan autonomy. As pacification proceeded, the French government promoted economic development, particularly the exploitation of Morocco’s mineral wealth, the creation of a modern transportation system, and the development of a modern agriculture sector geared to the French market. Tens of thousands of colonists entered Morocco and bought large amounts of the rich agricultural land. Interest groups that formed among these elements continually pressured France to increase its control over Morocco.
In late 1955, Mohammed V successfully negotiated the gradual restoration of Moroccan independence within a framework of French-Moroccan interdependence. The sultan agreed to institute reforms that would transform Morocco into a constitutional monarchy with a democratic form of government. In February 1956, Morocco acquired limited home rule. Further negotiations for full independence culminated in the French-Moroccan Agreement signed in Paris on March 2, 1956. On April 7 of that year France officially relinquished its protectorate in Morocco.
28.3.3: French Efforts toward Assimilation
Assimilation was one of the ideological hallmarks of French colonial policy in the 19th and 20th centuries. In contrast with British imperial policy, it maintained that natives of French colonies were considered French citizens with full citizenship rights as long as they adopted French culture and customs.
Learning Objective
Compare the French policy of assimilation to the manner in which other imperialist powers treated their subjugated populations
Key Points
- French colonial policy as early as the 1780s was distinguished by the ideology of assimilation. By adopting French language and culture, the indigenous populations under colonial rule could eventually become French, sharing in the equal rights of citizenship.
- This policy was put most famously into practice in the oldest French colonial towns, known as the Four Communes.
- During the French Revolution of 1848, slavery was abolished and the Four Communes were given voting rights and the right to elect a Deputy to the Assembly in Paris, which they did in 1912 with Blaise Diagne, the first black man to hold a position in the French government.
- The promise of equal rights and respect under the assimilation policy was often merely an abstraction, as the assimilated Africans (termed Évolué) still faced substantial discrimination in Africa and France.
- In addition, in the largest and most populous colonies, a strict separation between “sujets français” (all the natives) and “citoyens français” (all males of European extraction), along with different rights and duties, was maintained.
Key Terms
- civilizing mission
-
A rhetorical rationale for intervention or colonization, purporting to contribute to the spread of civilization and used mostly in relation to the Westernization of indigenous peoples in the 19th and 20th centuries.
- Évolué
-
A French term used during the colonial era to refer to a native African or Asian who had “evolved” by becoming Europeanized through education or assimilation and had accepted European values and patterns of behavior.
- Blaise Diagne
-
A French political leader and mayor of Dakar. He was the first black African elected to the French Chamber of Deputies (1914), and the first to hold a position in the French government.
- Four Communes
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The four oldest colonial towns in French-controlled West Africa, in which the theory of assimilation was put into practice with the aim of turning African natives into “French” men by educating them in the language and French culture. In 1916, natives were granted full voting rights in these colonies.
Colonial Assimilation
A hallmark of the French colonial project in the late 19th century and early 20th century was the civilizing mission (mission civilisatrice), the principle that it was Europe’s duty to bring civilization to “backward” people. Rather than merely govern colonial populations, the Europeans would attempt to Westernize them in accordance with a colonial ideology known as “assimilation.”
France pursued a policy of assimilation throughout much of its colonial empire. In contrast with British imperial policy, the French taught their subjects that by adopting French language and culture, they could eventually become French. Natives of these colonies were considered French citizens as long as French culture and customs were adopted. This also meant they would have the rights and duties of French citizens.
The initial stages of assimilation in France were observed in the “first French empire” during the Revolution of 1789. In 1794, during the revolutionary National Assembly, attended by the deputies of the Caribbean and French India, a law was passed that declared: “all men resident in the colonies, without distinction of color, are French citizens and enjoy all the rights assured by the Constitution.”
In the early 19th century under Napoleon Bonaparte rule, new laws were created for the colonies to replace the previous universal laws that applied to both France and the colonies. Napoleon Bonaparte rejected assimilation and declared that the colonies would be governed under separate laws. He believed that if the universal laws continued, the residents of the colonies would eventually have the power to control the local governments, which would have an adverse effect on “cheap slave labor.” Napoleon at the same time reinstated slavery in the Caribbean possessions.
Even with Napoleon Bonaparte’s rejection of assimilation, many still believed it to be a good practice. On July 24, 1833, a law was passed that gave all free colony residents “civil and political rights.” In the Revolution in 1848, “assimilation theory” was restored and colonies again were under the universal rules.
Aside from the Four Communes in Senegal (discussed below), for the most part, in the largest and most populous colonies, a strict separation between “sujets français” (all the natives) and “citoyens français” (all males of European extraction), along with different rights and duties, was maintained. As pointed out in a 1927 treatise on French colonial law, the granting of French citizenship to natives “was not a right, but rather a privilege.” Two 1912 decrees dealing with French West Africa and French Equatorial Africa enumerated the conditions that a native had to meet in order to be granted French citizenship, which included speaking and writing French, earning a decent living, and displaying good moral standards. From 1830 to 1946, only between 3,000 and 6,000 native Algerians were granted French citizenship.
French conservatives denounced the assimilationist policies as products of a dangerous liberal fantasy. Unlike in Algeria, Tunisia, and French West Africa, in the Protectorate of Morocco, the French administration attempted to use urban planning and colonial education to prevent cultural mixing and uphold the traditional society upon which the French depended for collaboration, with mixed results. After World War II, the segregationist approach modeled in Morocco had been discredited and assimilationism enjoyed a brief revival.
The Four Communes
The famous “Four Communes” in Senegal are one of the foremost examples of the French assimilation project. The Four Communes were the four oldest colonial towns in French-controlled west Africa. In 1848, the French Second Republic extended the rights of full French citizenship to the inhabitants of Saint-Louis, Dakar, Gorée, and Rufisque. While those who were born in these towns could technically enjoy all the rights of native French citizens, substantial legal and social barriers prevented the full exercise of these rights, especially by those seen by authorities as “full blooded” Africans.
The residents of the Four Communes were referred as originaires. When they had been exposed to assimilation for a long enough period, they would become a “typical French citizen…expected to be everything except in the color of his skin, a Frenchman.” Those few Africans from the Four Communes who were able to pursue higher education could “rise'” to be termed Évolué (‘Evolved’) and were nominally granted full French citizenship, including the vote. They were considered “African Elite.” One of those elites was Blaise Diagne, the first black deputy in the French assembly. He “defended the status of the originaires as French citizens.” During his service as deputy, he proposed a resolution that would allow the residents of the Four Communes all the rights of a French Citizen, which included being able to serve in the Army. This was especially important during World War I. The resolution passed on October 19, 1915. Despite this legal framework, Évolués still faced substantial discrimination in Africa and the Metropole alike. The Four Communes remained the only French colony where the indigenous peoples received French citizenship until 1944.
Blaise Diagne
Blaise Diagne, a Senegalese man who attained French citizenship and rose to political prominence during the height of the assimilation movement in colonial France, was the first black African elected to the French Chamber of Deputies and the first to hold a position in the French government.
28.4: Africa and the United Kingdom
28.4.1: Egypt under the British Influence
British rule over Egypt lasted from 1882, when the British succeeded in defeating the Egyptian Army during the Anglo-Egyptian War and took control of the country, to the 1952 Egyptian revolution that made Egypt an independent republic.
Learning Objective
Describe changes in Egypt after the British began to take a strong interest in the country
Key Points
- British control of Egypt, which at first took the form of indirect and informal rule and later as an official protectorate, began in the 1880s.
- In 1882 opposition to European control led to growing tension among notable natives, with the most dangerous opposition coming from the army. By June Egypt was in the hands of nationalists opposed to European domination of the country.
- The British succeeded in defeating the Egyptian Army at Tel El Kebir in September and took control of the country.
- The purpose of the invasion was to restore political stability and reinforce international controls which were in place to streamline European economic influence in Egypt.
- Lord Cromer, Britain’s Chief Representative in Egypt at the time, viewed Egypt’s financial reforms as part of a long-term objective.
- Cromer took the view that political stability needed financial stability, and embarked on a program of long-term investment in Egypt’s productive resources, especially the cotton economy, the mainstay of the country’s export earnings.
- During British occupation and later control, Egypt developed into a regional commercial and trading destination.
- In 1914, as a result of the declaration of war with the Ottoman Empire of which Egypt was nominally a part, Britain declared a protectorate over Egypt and deposed the anti-British Khedive, Abbas II, replacing him with his uncle Husayn Kamel, who was made Sultan of Egypt by the British.
Key Terms
- Suez Crisis
-
An invasion of Egypt in late 1956 by Israel, followed by the United Kingdom and France. The aims were to regain Western control of the Suez Canal and remove Egyptian President Gamal Abdel Nasser from power. After the fighting started, political pressure from the United States, the Soviet Union, and the United Nations led to a withdrawal by the three invaders. The episode humiliated Great Britain and France and strengthened Nasser.
- Khedivate of Egypt
-
An autonomous tributary state of the Ottoman Empire, established and ruled by the Muhammad Ali Dynasty following the defeat and expulsion of Napoleon Bonaparte’s forces, which brought an end to the short-lived French occupation of Lower Egypt.
- Anglo-Egyptian War
-
An 1882 war between Egyptian and Sudanese forces under Ahmed ‘Urabi and the United Kingdom. It ended a nationalist uprising against the Khedive Tewfik Pasha and vastly expanded British influence over the country at the expense of the French.
The history of Egypt under the British lasts from 1882, when it was occupied by British forces during the Anglo-Egyptian War, until 1956, when the last British forces withdrew in accordance with the Anglo-Egyptian agreement of 1954 after the Suez Crisis. The first period of British rule (1882–1914) is often called the “veiled protectorate.” During this time the Khedivate of Egypt remained an autonomous province of the Ottoman Empire, and the British occupation had no legal basis but constituted a de facto protectorate. This state of affairs lasted until the Ottoman Empire joined the First World War on the side of the Central Powers in November 1914 and Britain unilaterally declared a protectorate over Egypt. The ruling khedive was deposed and his successor, Hussein Kamel, declared himself Sultan of Egypt independent of the Ottomans in December 1914.
The formal protectorate over Egypt was brought to an end by the unilateral declaration of Egyptian independence on February 18, 1922. Shortly afterwards, Sultan Fuad I declared himself King of Egypt, but the British occupation continued in accordance with several reserve clauses in the declaration of independence. The situation was normalized in the Anglo-Egyptian treaty of 1936, which granted Britain the right to station troops in Egypt for the defense of the Suez Canal, its link with the Indian Empire. Britain also continued to control the training of the Egyptian Army. During the Second World War (1939–45), Egypt came under attack from Italian Libya on account of the British presence there, although Egypt itself remained neutral until late in the war. After the war Egypt sought to modify the treaty, but it was abrogated in its entirety by an anti-British government in October 1951. After the Egyptian Revolution of 1952, the British agreed to withdraw their troops and by June 1956 had done so. Britain went to war against Egypt over the Suez Canal in late 1956, but with insufficient international support was forced to back down.
Veiled Protectorate (1882–1913)
Throughout the 19th century, the ruling dynasty of Egypt spent vast sums of money on infrastructural development. However, in keeping with its own military and foreign origin, the dynasty’s economic development was almost wholly oriented toward military dual-use goals. Consequently, despite vast sums of European and other foreign capital, actual economic production and resulting revenues were insufficient to repay the loans. Consequently, the country teetered toward economic dissolution and implosion. In turn, European and foreign finances took control of the treasury of Egypt, forgave debt in return for taking control of the Suez Canal, and reoriented economic development toward capital gain.
However, by 1882 Islamic and Arabic Nationalist opposition to European influence and settlement in the Middle East led to growing tension among notable natives, especially in Egypt which then as now was the most powerful, populous, and influential of Arab countries. The most dangerous opposition during this period was from the Albanian- and Mamluke-dominated Egyptian army, which saw the reorientation of economic development away from their control as a threat to their privileges.
A large military demonstration in September 1881 forced the Khedive Tewfiq to dismiss his Prime Minister and rule by decree. Many of the Europeans retreated to specially designed quarters suited for defense or heavily European settled cities such as Alexandria.
Consequently, in April 1882 France and Great Britain sent warships to Alexandria to bolster the Khedive amidst a turbulent climate and protect European lives and property. In turn, Egyptian nationalists spread fear of invasion throughout the country to bolster Islamic and Arabian revolutionary action. Tawfiq moved to Alexandria for fear of his own safety as army officers led by Ahmed Urabi began to take control of the government. By June, Egypt was in the hands of nationalists opposed to European domination of the country, and the new revolutionary government began nationalizing all assets in Egypt.
Anti-European violence broke out in Alexandria, prompting a British naval bombardment of the city. Fearing the intervention of outside powers or the seizure of the canal by the Egyptians, in conjunction with an Islamic revolution in the Empire of India, the British led an Anglo-Indian expeditionary force at both ends of the Suez Canal in August 1882. Simultaneously, French forces landed in Alexandria and the northern end of the canal. Both joined together and maneuvered to meet the Egyptian army. The combined Anglo-French-Indian army easily defeated the Egyptian Army at Tel El Kebir in September and took control of the country putting Tawfiq back in control.
The purpose of the invasion was to restore political stability to Egypt under a government of the Khedive and international controls that were in place to streamline Egyptian financing since 1876. It is unlikely that the British expected a long-term occupation from the outset; however, Lord Cromer, Britain’s Chief Representative in Egypt at the time, viewed Egypt’s financial reforms as part of a long-term objective. Cromer took the view that political stability needed financial stability, and embarked on a program of long-term investment in Egypt’s agricultural revenue sources, the largest of which was cotton. To accomplish this, Cromer worked to improve the Nile’s irrigation system through multiple large projects such as the construction of the Aswan Dam, the Nile Barrage, and an increase of canals available to agricultural-focused lands.
During British occupation and control, Egypt developed into a regional commercial and trading destination. Immigrants from less-stable parts of the region, including Greeks, Jews and Armenians, began to flow into Egypt. The number of foreigners in the country rose from 10,000 in the 1840s to around 90,000 in the 1880s and more than 1.5 million by the 1930s.
The Veiled Protectorate of Egypt
A gathering of Egyptian, Turkish, and British royalty in 1911. Queen Mary seated and King George V standing at extreme right.
28.4.2: South Africa and the Boer Wars
Ethnic, political, and social tensions among European colonial powers, indigenous Africans, and English and Dutch settlers led to open conflict in a series of wars and revolts between 1879 and 1915, most notably the first and second Boer Wars. These would have lasting repercussions on the entire region of southern Africa.
Learning Objective
Explain the events of the Boer Wars and how they impacted the British role in South Africa
Key Points
- The Transvaal Boer republic was forcefully annexed by Britain in 1877 as part of the attempt to consolidate the states of southern Africa under British rule.
- Long-standing Boer (Dutch-speaking farmers) resentment turned into full-blown rebellion in the first Boer War, which broke out in 1880.
- The conflict ended almost as soon as it began with a decisive Boer victory at Battle of Majuba Hill (February 1881), leading to the founding of the South African Republic.
- The Second Boer War started on October 11, 1899, and ended on May 31, 1902. Great Britain defeated two Boer nations in South Africa: the South African Republic (Republic of Transvaal) and the Orange Free State.
- The British were overconfident and under-prepared; the Boers were very well-armed and struck first, besieging Ladysmith, Kimberley, and Mafeking in early 1900 and winning important battles at Colenso, Magersfontein, and Stormberg.
- Staggered, the British brought in large numbers of soldiers and fought back with overwhelming force, forcing the Boers to revert to guerrilla warfare.
- The British solution was to set up complex nets of block houses, strong points, and barbed wire fences, partitioning off the entire conquered territory and relocating civilians into concentration camps. Many of the latter group died of disease, especially children, who mostly lacked immunity. This caused scandal in England.
- The Boers were eventually defeated, leading to the absorption of South Africa into the British Empire as the Union of South Africa in 1910.
Key Terms
- apartheid
-
A system of institutionalized racial segregation and discrimination in South Africa between 1948 and 1991, when it was abolished.
- Boer
-
The Dutch and Afrikaans word for “farmer.” In South Africa, it was used to denote the descendants of the Dutch-speaking settlers of the eastern Cape frontier during the 18th century. For a time the Dutch East India Company controlled this area, but it was taken over by the United Kingdom.
South African Wars
Ethnic, political, and social tensions among European colonial powers, indigenous Africans, and English and Dutch settlers led to open conflict in a series of wars and revolts between 1879 and 1915 that would have lasting repercussions on the entire region of southern Africa. Pursuit of commercial empire as well as individual aspirations, especially after the discovery of diamonds (1867) and gold (1886), drove these developments.
The various wars of this era are usually studied as independent conflicts. They include the first and second Anglo-Boer War, the Anglo-Zulu War, the Basotho Gun War, the 9th Frontier War, and others. However, it is instructive also to see them as outbreaks in a far larger wave of change and conflict affecting the subcontinent, beginning with the “Confederation Wars” of the 1870s and 80s; escalating with the rise of Cecil Rhodes and the struggle for control of gold and diamond resources; and leading up to the Second Anglo-Boer War and the Union of South Africa in 1910.
Background
The southern part of the African continent was dominated in the 19th century by a set of epic struggles to create a single unified state. British expansion into southern Africa was fueled by three prime factors: first, the desire to control the trade routes to India that passed around the Cape; second, the discovery in 1868 of huge mineral deposits of diamonds around Kimberley on the joint borders of the South African Republic (called the Transvaal by the British), the Orange Free State and the Cape Colony, and thereafter in 1886 in the Transvaal of a gold rush; and thirdly the race against other European colonial powers as part of general colonial expansion in Africa.
After the Battle of Blaauwberg, Britain had acquired the Cape of Good Hope in South Africa from the Dutch in 1815 during the Napoleonic Wars. Certain groups of Dutch-speaking settler farmers (“Boers”) resented British rule, even though British control brought some economic benefits.
The Trekboers were farmers gradually extending their range and territory with no agenda. The formal abolition of slavery in the British Empire in 1834 led to more organized groups of Boer settlers attempting to escape British rule, some travelling as far north as modern-day Mozambique. The discovery of diamonds in 1867 near the Vaal River, some 550 miles northeast of Cape Town, ended the isolation of the Boers in the interior and changed South African history. The discovery triggered a diamond rush that attracted people from all over the world, turning Kimberley into a town of 50,000 within five years and drawing the attention of British imperial interests.
First Boer War
The First Boer War, also known as the First Anglo-Boer War or the Transvaal War, was fought from December 1880 until March 1881 and was the first clash between the British and the South African Republic Boers. It was precipitated by Sir Theophilus Shepstone, who annexed the South African Republic (Transvaal Republic) for the British in 1877. The British consolidated their power over most of the colonies of South Africa in 1879 after the Anglo-Zulu War, and attempted to impose an unpopular system of confederation on the region, which resulted in protests from Boers.
Continued British indifference to Boer protests and increasing demands placed on the Boers triggered an all-out rebellion in late 1880. The issue that finally brought the conflict to a head was the seizure of a farm wagon over tax dues. The Boers held that the British seizure was illegal because they had never recognized the annexation of the Transvaal. 5,000 Boers assembled at a farm on December 8 and began deliberating a course of action. On December 13 they proclaimed the Transvaal’s independence and intent to establish a republican government, raising the Vierkleur, the old republican flag, and beginning the “war of independence.”
The battles of Bronkhorstspruit, Laing’s Nek, Schuinshoogte, and Majuba Hill proved disastrous for the British as they were outmaneuvered and outperformed by the highly mobile and skilled Boer marksmen. With the British commander-in-chief of Natal, George Pomeroy Colley, killed at Majuba, and British garrisons under siege across the entire Transvaal, the British were unwilling to further involve themselves in a war which was already seen as lost. As a result, William Gladstone’s British government signed a truce on March 6, and in the final peace treaty on March 23, 1881, gave the Boers self-government in the South African Republic (Transvaal) under a theoretical British oversight.
Second Boer War
The Second Boer War took place from October 11, 1899 – May 31, 1902. The war was fought between the British Empire and the two independent Boer republics of the Orange Free State and the South African Republic (referred to as the Transvaal by the British). After a protracted, hard-fought war, the two independent republics lost and were absorbed into the British Empire.
The exact causes of the Second Anglo-Boer War in 1899 have been disputed ever since the events took place. Fault for the war has been placed on both sides. The Boers felt that the British intention was to again annex the Transvaal. Some feel that the British were coerced into war by the mining magnates, others that the British government manipulated the magnates into creating conditions that allowed the war to ignite. It appears that the British did not begin with the intention of annexation, but simply wanted to ensure that British strength and the regional economic and political stability of the British Empire remained unchanged. The British worried about popular support for the war and wanted to push the Boers to make the first move toward actual hostilities. This occurred when the Transvaal issued an ultimatum on October 9 for the British to withdraw all troops from their borders and recall their reinforcements, or they would “regard the action as a formal declaration of war.”
In all, the war cost around 75,000 lives — 22,000 British soldiers (7,792 battle casualties, the rest through disease), 6,000-7,000 Boer Commandos, 20,000-28,000 Boer civilians (mostly women and children due to disease in concentration camps), and an estimated 20,000 black Africans, both Boer and British allies alike.
The Boers fought bitterly against the British, refusing to surrender for years despite defeat. They reverted to guerrilla warfare under generals Louis Botha, Jan Smuts, Christiaan de Wet, and Koos de la Rey. As guerrillas without uniforms, the Boer fighters easily blended into the farmlands, which provided hiding places, supplies, and horses. The British solution was to set up complex nets of block houses, strong points, and barbed wire fences, partitioning off the entire conquered territory. The civilian farmers were relocated into concentration camps, where very large proportions died of disease, especially the children, who mostly lacked immunities.
The last of the Boers surrendered in May 1902 and the war ended with the Treaty of Vereeniging in the same month. The war resulted in the creation of the Transvaal Colony which in 1910 was incorporated into the Union of South Africa. The treaty ended the existence of the South African Republic and the Orange Free State as Boer republics and placed them within the British Empire.
The British rule of South Africa would have lasting impact throughout the 20th century. Among other harsh segregationist laws, including denial of voting rights to black people, the Union parliament enacted the 1913 Natives’ Land Act, which earmarked only eight percent of South Africa’s available land for black occupancy. White people, who constituted 20 percent of the population, held 90 percent of the land. The Land Act would form a cornerstone of legalized racial discrimination for the next nine decades, which reached its height during the period of apartheid from 1948-1991.
Boer Commandos
As guerrillas without uniforms, the Boer fighters easily blended into the farmlands, which provided hiding places, supplies, and horses.
28.4.3: Competition with France
During the Scramble for Africa, tensions between Britain and France were high. At several points the two nations reached the brink of war, but the situation was always diffused diplomatically.
Learning Objective
Compare and contrast the French and British Empires in Africa
Key Points
- During the Scramble for Africa in the 1870s and 1880s, the British and French generally recognized each other’s spheres of influence. Their imperial aims were mainly complementary, except in some areas of vital importance that led to major conflict.
- The British aimed to assert their influence on a North-South axis, from “Cape to Cairo,” as it was often called, from their colonies in South Africa to Egypt.
- This dream was largely supported by Cecil Rhodes, a British businessman who served as Prime Minister of the Cape Colony from 1890 to 1896.
- On the other hand, the French aimed to dominate Africa on a East-West axis to have an uninterrupted link between the Niger River and the Nile, hence controlling all trade to and from the Sahel region.
- These two aims intersected in Fashoda, which led to the climax of their conflicts in the Fashoda Incident.
- In 1898, French troops tried to claim an area in the Southern Sudan when a British force purporting to be acting in the interests of the Khedive of Egypt arrived.
- Under heavy pressure, the French withdrew and Britain took control over the area, leading to embarrassment for the French and an end to British-French conflict.
Key Terms
- Entente Cordiale
-
A series of agreements signed on April 8, 1904, between the United Kingdom of Great Britain and Ireland and the French Third Republic, which saw a significant improvement in Anglo-French relations. Beyond the immediate concerns of colonial expansion addressed by the agreement, their signing marked the end of almost a thousand years of intermittent conflict between the two states and their predecessors.
- Fashoda syndrome
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A tendency within French foreign policy in Africa to assert French influence in areas that may be susceptible to British influence.
- Fashoda Incident
-
The climax of imperial territorial disputes between Britain and France in Eastern Africa in 1898. A French expedition to Fashoda on the White Nile river sought to gain control of the Upper Nile river basin and thereby exclude Britain from the Sudan. The French party and a British detachment met on friendly terms, but back in Europe, it became a war scare. The British held firm as both nations stood on the verge of war with heated rhetoric on both sides. Under heavy pressure the French withdrew, securing Anglo-Egyptian control over the area.
- Cecil Rhodes
-
A British businessman, mining magnate, and politician in South Africa who served as prime minister of the Cape Colony from 1890 to 1896. An ardent believer in British imperialism, he and his British South Africa Company founded the southern African territory of Rhodesia (now Zimbabwe and Zambia), which the company named after him in 1895.
French-British Relations
During the late 19th century, Africa was rapidly being claimed and exploited by European colonial powers. After the 1885 Berlin Conference on West Africa, Europe’s great powers went after any remaining lands in Africa that were not already under another European nation’s influence. This period is usually called the Scramble for Africa. The two principal powers involved were Britain and France, along with Germany, Belgium, Italy, Portugal, and Spain.During this era, tensions were high between France and Britain, especially over African issues. At several points, these issues brought the two nations to the brink of war, but the situation was always diffused diplomatically. One brief but dangerous dispute occurred during the Fashoda Incident when French troops tried to claim an area in the Southern Sudan, and a British force purporting to be acting in the interests of the Khedive of Egypt arrived.
The French thrust into the African interior was mainly from the continent’s Atlantic coast (modern Senegal) eastward, through the Sahel along the southern border of the Sahara, a territory covering modern Senegal, Mali, Niger, and Chad. Their ultimate goal was an uninterrupted link between the Niger River and the Nile, hence controlling all trade to and from the Sahel region by virtue of their existing control over the caravan routes through the Sahara. France also had an outpost near the mouth of the Red Sea in Djibouti (French Somaliland), which could serve as an eastern anchor to an east-west belt of French territory across the continent.
The British, on the other hand, wanted to link their possessions in Southern Africa (modern South Africa, Botswana, Malawi, Lesotho, Zimbabwe, and Zambia), with their territories in East Africa (modern Kenya), and these two areas with the Nile basin. Sudan, which then included today’s South Sudan and Uganda, was the key to the fulfillment of these ambitions, especially since Egypt was already under British control. This proposed railway through Africa was made most famous by the British and South African political force Cecil Rhodes, who wanted Africa “painted [British] Red.”
The Rhodes Colossus
Cecil Rhodes spanning “Cape to Cairo,” symbolizing the British imperial ambitions of the late 19th century.
If one draws a line from Cape Town to Cairo (Rhodes’ dream) and another line from Dakar to French Somaliland by the Red Sea in the Horn (the French ambition), these two lines intersect in eastern South Sudan near the town of Fashoda (present-day Kodok), explaining its strategic importance. The French east-west axis and the British north-south axis could not co-exist; the nation that could occupy and hold the crossing of the two axes would be the only one able to proceed with its plan, leading to the Fashoda Incident (discussed below).
During the 1870s and 1880s, the British and French generally recognized each other’s spheres of influence. The Suez Canal, initially built by the French, became a joint British-French project in 1875, as both saw it as vital to maintaining their influence and empires in Asia. In 1882, ongoing civil disturbances in Egypt (Urabi Revolt) prompted Britain to intervene, extending a hand to France. France’s expansionist Prime Minister Jules Ferry was out of office, and the government was unwilling to send more than an intimidating fleet to the region. Britain established a protectorate, as France had a year earlier in Tunisia; popular opinion in France later considered this duplicity. It was about this time that the two nations established co-ownership of Vanuatu. The Anglo-French Convention of 1882 was also signed to resolve territory disagreements in western Africa.
Fashoda Incident
The Fashoda Incident was the climax of imperial territorial disputes between Britain and France in Eastern Africa in 1898. A French expedition to Fashoda on the White Nile river sought to gain control of the Upper Nile river basin and thereby exclude Britain from the Sudan. The French party and a British detachment met on friendly terms, but back in Europe, it became a war scare. The British held firm as both nations stood on the verge of war with heated rhetoric on both sides. Under heavy pressure the French withdrew, securing Anglo-Egyptian control over the area. The status quo was recognized by an agreement between the two states acknowledging British control over Egypt, while France became the dominant power in Morocco. France had failed in its main goals. P.M.H. Bell says:
“Between the two governments there was a brief battle of wills, with the British insisting on immediate and unconditional French withdrawal from Fashoda. The French had to accept these terms, amounting to a public humiliation…Fashoda was long remembered in France as an example of British brutality and injustice.”
It was a diplomatic victory for the British as the French realized that in the long run they needed the friendship of Britain in case of a war between France and Germany. In March 1899, the French and British agreed that the source of the Nile and the Congo rivers should mark the frontier between their spheres of influence.
The Fashoda incident was the last serious colonial dispute between Britain and France, and its classic diplomatic solution is considered by most historians to be the precursor of the Entente Cordiale. It gave rise to the Fashoda syndrome in French foreign policy, or seeking to assert French influence in areas that might be susceptible to British influence.
Fashoda Incident
Central and East Africa, 1898, during the Fashoda Incident.
28.5: German Imperalism
28.5.1: Germany and the Desire for Colonies
Despite German Chancellor Otto Von Bismarck’s opposition to overseas colonies, pressure from the German people to establish colonies for international prestige led to a significant empire during the Scramble for Africa.
Learning Objective
Analyze Germany’s efforts to obtain more influence in various areas of the globe
Key Points
- Prior to German unification in 1871, most of the focus of German foreign policy was on issues internal to the state and its European neighbors.
- This pragmatic attitude was mainly supported by the leading political figure of the time, Otto Von Bismarck, a major force behind unification.
- Bismarck disliked colonialism but reluctantly built an overseas empire when it was demanded by both elite and mass opinion.
- The attitude toward colonialism shifted again during the reign of Kaiser Wilhelm II, who espoused a Weltpolitik foreign policy that emphasized aggressive diplomacy, the acquisition of overseas colonies, and the development of a large navy.
- The rise of German imperialism and colonialism coincided with the latter stages of the “Scramble for Africa” during which enterprising German individuals, rather than government entities, competed with other already established colonies and colonialist entrepreneurs.
- German colonies comprised territory that makes up 22 countries today, mostly in Africa, including Nigeria, Ghana, and Uganda.
- Germany lost control of its colonial empire at the beginning of World War I when its colonies were seized by its enemies in the first weeks of the war.
Key Terms
- Otto von Bismarck
-
A conservative Prussian statesman who dominated German and European affairs from the 1860s until 1890. In the 1860s, he engineered a series of wars that unified the German states, significantly and deliberately excluding Austria, into a powerful German Empire under Prussian leadership. With that accomplished by 1871, he skillfully used balance of power diplomacy to maintain Germany’s position in a Europe which, despite many disputes and war scares, remained at peace.
- Weltpolitik
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The foreign policy adopted by the Kaiser Wilhelm II of Germany in 1891, which marked a decisive break with former “Realpolitik.” The aim was to transform Germany into a global power through aggressive diplomacy, the acquisition of overseas colonies, and the development of a large navy.
The German colonial empire constituted the overseas colonies, dependencies, and territories of the German Empire. Short-lived attempts of colonization by individual German states occurred in preceding centuries, but crucial colonial efforts only began in 1884 with the Scramble for Africa. Germany lost control when World War I began and its colonies were seized by its enemies in the first weeks of the war. However. some military units held out longer: German South-West Africa surrendered in 1915, Kamerun in 1916, and German East Africa only in 1918 by war’s end. Germany’s colonial empire was officially confiscated with the Treaty of Versailles after Germany’s defeat in the war, and the various units became League of Nations mandates under the supervision (but not ownership) of one of the victorious powers.
Ambivalence Toward Colonialism
Until their 1871 unification, the German states had not concentrated on the development of a navy, and this essentially had precluded German participation in earlier imperialist scrambles for remote colonial territory – the so-called “place in the sun.” Germany seemed destined to play catch-up. The German states prior to 1870 retained separate political structures and goals, and German foreign policy up to and including the age of German Chancellor Otto von Bismarck concentrated on resolving the “German question” in Europe and securing German interests on the continent.
Many Germans in the late 19th century viewed colonial acquisitions as a true indication of nationhood. Public opinion eventually arrived at an understanding that prestigious African and Pacific colonies went hand-in-hand with dreams of a world-class navy. Both aspirations would become reality, nurtured by a press replete with Kolonialfreunde (supporters of colonial acquisitions) and a myriad of geographical associations and colonial societies. Bismarck and many deputies in the Reichstag had no interest in colonial conquests merely to acquire square miles of territory.
In essence, Bismarck’s colonial motives were obscure as he had said repeatedly “… I am no man for colonies.” However, in 1884 he consented to the acquisition of colonies by the German Empire to protect trade, safeguard raw materials and export markets, and take opportunities for capital investment, among other reasons. In the very next year Bismarck shed personal involvement when he, according to Edward Crankshaw, “abandoned his colonial drive as suddenly and casually as he had started it” as if he had committed an error in judgment that could confuse the substance of his more significant policies. Bismarck even tried to give German South-West Africa away to the British.
In 1891, Kaiser Wilhelm II of Germany made a decisive break with former “Realpolitik” of Bismarck and established “Weltpolitik” (“world policy”). The aim of Weltpolitik was to transform Germany into a global power through aggressive diplomacy, the acquisition of overseas colonies, and the development of a large navy. The origins of the policy can be traced to a Reichstag debate in December 1897 during which German Foreign Secretary Bernhard von Bülow stated, “in one word: We wish to throw no one into the shade, but we demand our own place in the sun.”
Otto Von Bismarck’s Ambivalence
Cartoon from 1884. Bismarck is happy with other nations being busy “down there.”
Acquisition of Colonies
The rise of German imperialism and colonialism coincided with the latter stages of the “Scramble for Africa” during which enterprising German individuals, rather than government entities, competed with other already established colonies and colonialist entrepreneurs. With the Germans joining the race for the last uncharted territories in Africa and the Pacific that had not yet been carved up, competition for colonies involved major European nations and several lesser powers.
The German effort included the first commercial enterprises in the 1850s and 1860s in West Africa, East Africa, the Samoan Islands, and the unexplored north-east quarter of New Guinea with adjacent islands. German traders and merchants began to establish themselves in the African Cameroon delta and the mainland coast across from Zanzibar. At Apia and the settlements Finschhafen, Simpsonhafen and the islands Neu-Pommern and Neu-Mecklenburg, trading companies newly fortified with credit began expansion into coastal landholding. Large African inland acquisitions followed, mostly to the detriment of native inhabitants. All in all, German colonies comprised territory that makes up 22 countries today, mostly in Africa, including Nigeria, Ghana, and Uganda.
As Bismarck was converted to the colonial idea by 1884, he favored “chartered company” land management rather than establishment of colonial government due to financial considerations. Although temperate zone cultivation flourished, the demise and often failure of tropical low-land enterprises contributed to changing Bismarck’s view. He reluctantly acquiesced to pleas for help to deal with revolts and armed hostilities by often powerful rulers whose lucrative slaving activities seemed at risk. German native military forces initially engaged in dozens of punitive expeditions to apprehend and punish freedom fighters, at times with British assistance.
Bismarck’s successor in 1890, Leo von Caprivi, was willing to maintain the colonial burden of what already existed, but opposed new ventures. Others who followed, especially Bernhard von Bülow as foreign minister and chancellor, sanctioned the acquisition of the Pacific Ocean colonies and provided substantial treasury assistance to existing protectorates to employ administrators, commercial agents, surveyors, local “peacekeepers,” and tax collectors. Kaiser Wilhelm II understood and lamented his nation’s position as colonial followers rather than leaders. In an interview with Cecil Rhodes in March 1899 he stated the alleged dilemma clearly: “Germany has begun her colonial enterprise very late, and was, therefore, at the disadvantage of finding all the desirable places already occupied.”
According to historian William Roger Louis, in the years before the outbreak of the World War, British colonial officers viewed the Germans as deficient in “colonial aptitude,” but “whose colonial administration was nevertheless superior to those of the other European states.” Anglo-German colonial issues in the decade before 1914 were minor, and both the British and German empires took conciliatory attitudes. Once war was declared in late July 1914 Britain and its allies promptly moved against the colonies, the public was informed that German colonies were a threat. The British position that Germany was a uniquely brutal and cruel colonial power originated during the war. By 1916, only in remote jungle regions in East Africa did the German forces hold out.
28.5.2: Germany and the Herero
The Herero and Nama genocide was a campaign of racial extermination and collective punishment that the German Empire undertook in German South-West Africa (modern-day Namibia) against the Herero and Nama people, considered one of the first genocides of the 20th century.
Learning Objective
Assess the argument for classifying the persecution against the Herero as a genocide
Key Points
- During the Scramble for Africa, South-West Africa was claimed by Germany in August 1884.
- German colonists arriving in the following years occupied large areas of land, ignoring claims by the Herero and other natives.
- There was continual resistance by the natives, most notably in 1903 when some of the Herero tribes rose in revolt and about 60 German settlers were killed.
- In October 1904, General Lothar von Trotha issued orders to kill every male Herero and drive the women and children into the desert; when the order was lifted at the end of 1904, prisoners were herded into concentration camps and given as slave labor to German businesses; many died of overwork and malnutrition.
- It took until 1908 to re-establish German authority over the territory; by that time tens of thousands of Africans (estimates range from 34,000 to 110,000) had been either killed or died of thirst while fleeing.
- In 1985, the United Nations’ Whitaker Report classified the aftermath as an attempt to exterminate the Herero and Nama peoples of South-West Africa, and therefore one of the earliest attempts at genocide in the 20th century. In 2004, the German government recognized and apologized for the events
Key Terms
- German South-West Africa
-
A colony of the German Empire from 1884 until 1915. It was 1.5 times the size of the mainland German Empire in Europe at the time. The colony had a population of around 2,600 Germans, numerous indigenous rebellions, and a widespread genocide of the indigenous peoples.
- Eugen Fischer
-
A German professor of medicine, anthropology, and eugenics, and a member of the Nazi Party. He served as director of the Kaiser Wilhelm Institute of Anthropology, Human Heredity, and Eugenics, and as rector of the Frederick William University of Berlin. His ideas informed the Nuremberg Laws of 1935 and served to justify the Nazi Party’s attitudes of racial superiority. Adolf Hitler read his work while imprisoned in 1923 and used his eugenical notions to support the ideal of a pure Aryan society in his manifesto, Mein Kampf (My Struggle).
- Herero
-
An ethnic group inhabiting parts of Southern Africa. The majority reside in Namibia, with the remainder found in Botswana and Angola. During the German colonial empire, the German colonists committed genocide against these people.
Colonization and Conflict
During the 17th and 18th centuries, the Herero migrated to what is today Namibia from the east and established themselves as herdsmen. In the beginning of the 19th century, the Nama from South Africa, who already possessed some firearms, entered the land and were followed by white merchants and German missionaries. At first, the Nama began displacing the Herero, leading to bitter warfare between the two groups that lasted the greater part of the 19th century. Later, the Nama and Herero entered a period of cultural exchange.
During the late 19th century, the first Europeans arrived to permanently settle the land. Primarily in Damaraland, German settlers acquired land from the Herero to establish farms. In 1883, merchant Franz Adolf Eduard Lüderitz entered into a contract with the native elders. The exchange later became the basis of German colonial rule. The territory became a German colony under the name of German South-West Africa.
Soon after, conflicts between the German colonists and the Herero herdsmen began. These were frequently disputes about access to land and water, but also the legal discrimination against the native population by the white immigrants.
Between 1893 and 1903, the Herero and Nama people’s land and cattle were progressively making their way into the hands of the German colonists. The Herero and Nama resisted expropriation over the years, but were disorganized and the Germans defeated them with ease. In 1903, the Herero people learned that they were to be placed in reservations, leaving more room for colonists to own land and prosper. In 1904, the Herero and Nama began a large rebellion that lasted until 1907, ending with the near destruction of the Herero people.
Genocide Against the Herero and Nama People
According to some historians, “The war against the Herero and Nama was the first in which German imperialism resorted to methods of genocide.” Roughly 80,000 Herero lived in German South-West Africa at the beginning of Germany’s colonial rule over the area, while after their revolt was defeated, they numbered approximately 15,000. In a period of four years, 1904-1907, approximately 65,000 Herero and 10,000 Nama people perished.
The first phase of the genocide was characterized by widespread death from starvation and dehydration due to the prevention of the retreating Herero from leaving the Namib Desert by German forces. Once defeated, thousands of Herero and Nama were imprisoned in concentration camps, where the majority died of disease, abuse, and exhaustion.
During the Herero genocide Eugen Fischer, a German scientist, came to the concentration camps to conduct medical experiments on race, using children of Herero people and mulatto children of Herero women and German men as test subjects. Together with Theodor Mollison he also experimented upon Herero prisoners. Those experiments included sterilization and injection of smallpox, typhus, and tuberculosis. The numerous mixed offspring upset the German colonial administration, which was concerned with maintaining “racial purity.” Eugen Fischer studied 310 mixed-race children, calling them “bastards” of “lesser racial quality.” Fischer also subjected them to numerous racial tests such as head and body measurements and eye and hair examinations. In conclusion of his studies he advocated genocide of alleged “inferior races” stating that “whoever thinks thoroughly the notion of race, can not arrive at a different conclusion.” Fischer’s torment of the children was part of a wider history of abusing Africans for experiments, and echoed earlier actions by German anthropologists who stole skeletons and bodies from African graveyards and took them to Europe for research or sale.
In 1985, the United Nations’ Whitaker Report classified the aftermath as an attempt to exterminate the Herero and Nama peoples of South-West Africa, and therefore one of the earliest attempts at genocide in the 20th century. In 2004, the German government recognized and apologized for the events, but ruled out financial compensation for the victims’ descendants. In July 2015, the German government and the speaker of the Bundestag officially called the events a “genocide” and “part of a race war.” However it has refused to consider reparations.
In recent years scholars have debated the “continuity thesis” that links German colonialist brutalities to the treatment of Jews, Poles, and Russians during World War II. Some historians argue that Germany’s role in Africa gave rise to an emphasis on racial superiority at home, which in turn was used by the Nazis. Other scholars, however, are skeptical and challenge the continuity thesis.
Surviving Herero
Photograph of emaciated survivors of the German genocide against Herero after an escape through the arid desert of Omaheke
28.6: The Independent African States
28.6.1: Liberia
Liberia is a country in West Africa that was founded, established, colonized, and controlled by citizens of the United States and ex-Caribbean slaves as a colony for former African American slaves and their free black descendants.
Learning Objective
Describe what distinguishes Liberia from other African states
Key Points
- From around 1800, in the United States, people opposed to slavery were planning ways to achieve freedom for more slaves and ultimately abolish the institution.
- At the same time, slaveholders in the South opposed having free blacks in their midst, as they believed the free people threatened the stability of their slave societies.
- While mostly free across the North, former slaves and other free blacks suffered considerable discrimination, and some territories and states in the Northwest prohibited migration by free people of color.
- Some abolitionists and slaveholders discussed the idea of relocating freed African-American slaves to a colony in Africa, which led to the American Colonization Society (ACS), established in 1816 by Robert Finley of New Jersey.
- From 1821, thousands of free blacks who faced legislated restrictions in the U.S. moved to Liberia.
- In 1847, the legislature of Liberia declared the nation an independent state.
- By 1867, the ACS had assisted in the movement of more than 13,000 Americans to Liberia.
- Liberia retained its independence throughout the Scramble for Africa by European colonial powers during the late 19th century, but the country remained in the American sphere of influence.
Key Terms
- Joseph Jenkins Roberts
-
The first (1848–1856) and seventh (1872–1876) President of Liberia. Born free in Norfolk, Virginia, he emigrated to Liberia in 1829 as a young man. He opened a trading store in Monrovia and later engaged in politics. When Liberia became independent in July 26, 1847, he was elected the first black American president for the Republic of Liberia, serving until 1856. In 1872 he was elected again to serve as Liberia’s seventh president.
- American Colonization Society
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A group established in 1816 by Robert Finley of New Jersey that supported the migration of free African Americans to the continent of Africa. It helped to found the colony of Liberia in 1821–22 on the coast of West Africa as a place for free-born American blacks.
Liberia, officially the Republic of Liberia, is a country on the West African coast. Liberia means “Land of the Free” in Latin. It is bordered by Sierra Leone to its west, Guinea to its north, and Côte d’Ivoire to its east. English is the official language and over 20 indigenous languages are spoken, representing the numerous tribes who make up more than 95% of the population. The country’s capital and largest city is Monrovia.
The Republic of Liberia began as a settlement of the American Colonization Society (ACS), who believed blacks would face better chances for freedom in Africa than in the United States. The country declared its independence on July 26, 1847. The U.S. did not recognize Liberia’s independence until during the American Civil War on February 5, 1862. Between January 7, 1822, and the Civil War, more than 15,000 freed and free-born black Americans, who faced legislated limits in the U.S., and 3,198 Afro-Caribbeans relocated to the settlement. The black American settlers carried their culture with them to Liberia. The Liberian constitution and flag were modeled after those of the U.S. On January 3, 1848, Joseph Jenkins Roberts, a wealthy, free-born black American from Virginia who settled in Liberia, was elected as Liberia’s first president after the people proclaimed independence.
Liberia is the only African republic to have self-proclaimed independence without gaining independence through revolt from any other nation, being Africa’s first and oldest modern republic. Liberia maintained and kept its independence during the European colonial era.
Settlement and Independence
Between 1461 and the late 17th century, Portuguese, Dutch, and British traders had contacts and trading posts in the region. The Portuguese named the area Costa da Pimenta (“Pepper Coast”) but it later came to be known as the Grain Coast due to the abundance of melegueta pepper grains. European traders bartered commodities and goods with local people.
In the United States, there was a movement to resettle free-born blacks and freed slaves who faced racial discrimination in the form of political disenfranchisement, and the denial of civil, religious, and social privileges in the United States. Most whites and later a small cadre of black nationalists believed that blacks would face better chances for freedom in Africa than in the U.S. The American Colonization Society (ACS) was founded in 1816 in Washington, DC for this purpose, by a group of prominent politicians and slaveholders. But its membership grew to include mostly people who supported abolition of slavery. Slaveholders wanted to get free people of color out of the South, where they were thought to threaten the stability of the slave societies. Some abolitionists collaborated on relocation of free blacks, as they were discouraged by racial discrimination against them in the North and believed they would never be accepted in the larger society. Most African-Americans, who were native-born by this time, wanted to work toward justice and equality in the United States rather than emigrate. Leading activists in the North strongly opposed the ACS, but some free blacks were ready to try a different environment.
In 1821, the ACA began sending African-American volunteers to the Pepper Coast to establish a colony for freed African-Americans. By 1867, the ACS had assisted in the migration of more than 13,000 African Americans to Liberia. These free African-Americans and their descendants married within their community and came to identify as Americo-Liberians. Many were of mixed race and educated in American culture; they did not identify with the indigenous natives of the tribes they encountered. They intermarried largely within the colonial community, developing an ethnic group that had a cultural tradition infused with American notions of political republicanism and Protestant Christianity.
Reflecting the system of racial segregation in the United States, the Americo-Liberians created a cultural and racial caste system with themselves at the top and indigenous Liberians at the bottom. They believed in a form of “racial equality” which meant that all residents of Liberia had the potential to become “civilized” through western-style education and conversion to Christianity.
On July 26, 1847, the settlers issued a Declaration of Independence and promulgated a constitution. Based on the political principles denoted in the United States Constitution, it established the independent Republic of Liberia.
The leadership of the new nation consisted largely of the Americo-Liberians, who initially established political and economic dominance in the coastal areas that had been purchased by the ACS; they maintained relations with United States contacts in developing these areas and the resulting trade. Their passage of the 1865 Ports of Entry Act prohibited foreign commerce with the inland tribes, ostensibly to “encourage the growth of civilized values” before such trade was allowed.
Republic of Liberia
Charles D. B. King, 17th President of Liberia (1920-1930), with his entourage on the steps of the Peace Palace, The Hague (the Netherlands), 1927.
28.6.2: Ethiopia
Ethiopia achieved international prestige with its uniquely successful military resistance during the late 19th-century Scramble for Africa, becoming the only African country to defeat a European colonial power and retain its sovereignty.
Learning Objective
Explain how Ethiopia managed to maintain its independence
Key Points
- Ethiopia is one of the few African nations that remained independent during the European colonial period.
- Ethiopia’s modern history begins with the Emperor Tewodros II, who unified land from a decentralized kingdom ruled by various princes.
- During the Scramble for Africa, Italy set its sights on Ethiopia (then known as Abyssinia) after colonizing neighboring Eritrea and Somalia.
- After a dispute over a treaty that the Italians argued gave them rule over Ethiopia, the Italians invaded, facing an army much larger than they anticipated. This began the First Italo-Ethiopian War.
- Italian defeat came about after the Battle of Adwa, where the Ethiopian army dealt the heavily outnumbered Italians a decisive loss and forced their retreat back into Eritrea, a victory that became a rallying point for later African nationalists during their struggle for decolonization.
- This was not the first African victory over Western colonizers, but it was the first time such a military put a definitive stop to a colonizing nation’s efforts, with Ethiopia remaining independent until the eve of World War II, when Mussolini successful invaded and occupied Ethiopia.
Key Terms
- Battle of Adwa
-
A battle fought in March 1896 between the Ethiopian Empire and the Kingdom of Italy near the town of Adwa, Ethiopia, in Tigray. This climactic battle of the First Italo-Ethiopian War was a decisive defeat for Italy and secured Ethiopian sovereignty.
- First Italo-Ethiopian War
-
A war fought between Italy and Ethiopia from 1895 to 1896. It originated from a disputed treaty that the Italians claimed turned the country into an Italian protectorate. Much to its surprise, the Italian army, invading Ethiopia from Italian Eritrea in 1893, faced a powerful united front. Italian defeat came about after the Battle of Adwa, where the Ethiopian army dealt the heavily outnumbered Italians a decisive loss and forced their retreat back into Eritrea.
- Tewodros II
-
The Emperor of Ethiopia from 1855 until his death. His rule is often placed as the beginning of modern Ethiopia, ending the decentralized Zemene Mesafint (Era of the Princes).
Independent Ethiopia
Ethiopia is a country located in the Horn of Africa. Formerly known as Abyssinia, it shares borders with Eritrea to the north and northeast, Djibouti and Somalia to the east, Sudan and South Sudan to the west, and Kenya to the south. Some of the oldest evidence for anatomically modern humans has been found in Ethiopia, widely considered the region from which modern humans first set out for the Middle East and places beyond. Tracing its roots to the 2nd millennium BC, Ethiopia was a monarchy for most of its history. During the first centuries AD, the Kingdom of Aksum maintained a unified civilization in the region, followed by the Ethiopian Empire circa 1137.
Ethiopia was reunified in 1855 under Tewodros II, beginning its modern history. The country slowly modernized under the leadership of Yohannes IV and defended itself from an Egyptian invasion in 1874. Emperor Yohannes fought and won wars against Egyptians, Italians, and Mehadists to keep his people free from foreign invaders. He was killed in action in 1889.
Under Menelik II, Ethiopia defeated an Italian invasion in 1896 and came to be recognized as a legitimate state by European powers. More rapid modernization took place under Menelik II and Haile Selassie, but this did not deter another Italian invasion in 1935. The Italian army occupied parts of the country from October 1935-May 1940. A joint force of British and Ethiopian rebels drove the Italians out of the country in 1941, and Haile Selassie was returned to the throne.
Ethiopia derived prestige from its uniquely successful military resistance during the late 19th-century Scramble for Africa, becoming the only African country to defeat a European colonial power and retain its sovereignty. Subsequently, many African nations adopted the colors of Ethiopia’s flag following their independence. It was the first independent African member of the 20th-century League of Nations and the United Nations.
First Italo-Ethiopian War
As the 20th century approached, Africa had been carved up among the European powers at the Berlin Conference. The two independent exceptions were the Republic of Liberia on the west coast and Ethiopia in the eastern Horn of Africa region. The newly unified Kingdom of Italy was a relative newcomer to the imperialist scramble for Africa. Italy had two recently obtained African territories: Eritrea and Italian Somalia. Both were near Ethiopia on the Horn of Africa and both were impoverished. Italy sought to improve its position in Africa by conquering Ethiopia. Menelik II was the Ethiopian leader who pitted Italy against its European rivals while stockpiling weapons to defend Ethiopia against the Italians.
The First Italo-Ethiopian War was fought between Italy and Ethiopia from 1895 to 1896. It originated from a disputed treaty that the Italians claimed turned the country into an Italian protectorate. Much to their surprise, they found that Ethiopian ruler Menelik II, rather than being opposed by some of his traditional enemies, was supported by them. When the Italian army invaded Ethiopia from Italian Eritrea in 1893, they thus faced a more united front than they expected. In addition, Ethiopia was supported by Russia, an orthodox Christian nation like Ethiopia, with military advisers, army training, and the sale of weapons during the war. They were also supported diplomatically by the United Kingdom and France to prevent Italy from becoming a colonial competitor. Full-scale war broke out in 1895, with Italian troops having initial success until Ethiopian troops counterattacked Italian positions and besieged the Italian fort of Meqele, forcing its surrender. Italian defeat came about after the Battle of Adwa, where the Ethiopian army dealt the heavily outnumbered Italians a decisive loss and forced their retreat back into Eritrea. This climactic battle of the First Italo-Ethiopian War was a decisive defeat for Italy and secured Ethiopian sovereignty. As a direct result of the battle, Italy signed the Treaty of Addis Ababa, recognizing Ethiopia as an independent state.
This was not the first African victory over Western colonizers, but it was the first time such a military put a definitive stop to a colonizing nation’s efforts. According to one historian, “In an age of relentless European expansion, Ethiopia alone had successfully defended its independence.”
This defeat of a colonial power and the ensuing recognition of African sovereignty became rallying points for later African nationalists during their struggle for decolonization, as well as activists and leaders of the Pan-African movement. As the Afrocentric scholar Molefe Asante explains,
After the victory over Italy in 1896, Ethiopia acquired a special importance in the eyes of Africans as the only surviving African State. After Adowa, Ethiopia became emblematic of African valor and resistance, the bastion of prestige and hope to thousands of Africans who were experiencing the full shock of European conquest and were beginning to search for an answer to the myth of African inferiority.
Almost 40 years later, in October 1935 after the League of Nations’s weak response to the Abyssinia Crisis, the Italians launched a new military campaign endorsed by Benito Mussolini, the Second Italo-Abyssinian War. This time the Italians employed vastly superior military technology such as tanks and aircraft as well as chemical warfare, and the Ethiopian forces were defeated by May 1936. Following the war, Italy occupied Ethiopia for five years (1936–41), before eventually being driven out during World War II by British and Ethiopian forces.
The Battle of Adwa
Ethiopian forces, assisted by St George (top), win the Battle of Adwa. Painted 1965-75.
Chapter 27: European Imperialism in East Asia
27.1: The Last Chinese Dynasty
27.1.1: The Qing Dynasty
At the peak of the Qing dynasty (1644-1912),
China ruled more than one-third of the world’s
population, had the largest economy in the world, and
by
area was one of the largest empires ever.
Learning Objective
Describe the lifespan of the Qing Dynasty
Key Points
-
The
Qing dynasty was the last imperial dynasty in China. What would become the Manchu state was founded by Nurhaci, the chieftain of a minor
Jurchen tribe known as Aisin Gioro in Jianzhou (Manchuria) in the early 17th
century. Originally a vassal of the Ming emperors, Nurhachi embarked on an
intertribal feud in 1582 that escalated into a campaign to unify the nearby
tribes. In 1635, Nurchaci’s son and successor Huangtaiji changed the name
of the Jurchen ethnic group to the Manchu. -
In
1618, Nurhachi announced the Seven Grievances and began to rebel against the Ming domination, effectively a declaration of war. Relocating
his court to Liaodong in 1621 brought Nurhachi in close contact with the Khorchin
Mongol domains on the plains of Mongolia. The
Khorchin proved a useful ally in the war. Two of Nurhaci’s critical contributions were ordering the creation of a written
Manchu script based on the Mongolian and the creation of the civil and military administrative system,
which eventually evolved into the Eight Banners. -
At
the same time, the Ming dynasty was fighting for its survival. Ming government
officials fought against each other, against fiscal collapse, and against a
series of peasant rebellions. In
1644, Beijing fell to a rebel army led by Li Zicheng. During the turmoil, the last Ming emperor hanged
himself on a tree in the imperial garden outside the Forbidden City. Li
Zicheng, a former minor Ming official, established a short-lived Shun dynasty. -
Under the reign of Dorgon, whom historians have called “the mastermind of the Qing conquest” and “the principal architect of the great Manchu enterprise,” the Qing continued to subdue all areas previously under the Ming.
The decades of Manchu conquest caused enormous
loss of lives and the economy of China shrank drastically. In total, the
Qing conquest of the Ming (1618–1683) cost as many as 25 million lives. -
The Qianlong reign (1735–96) saw the dynasty’s
apogee and initial decline in prosperity and imperial control. The population
rose to some 400 million, but taxes and government revenues were fixed at a low
rate, virtually guaranteeing eventual fiscal crisis. Corruption set in, rebels
tested government legitimacy, and ruling elites did not change their mindsets
in the face of changes in the world system. -
The early Qing emperors adopted the bureaucratic
structures and institutions from the preceding Ming dynasty but split rule
between Han Chinese and Manchus, with some positions also given to Mongols.
Like previous dynasties, the Qing recruited officials via the imperial
examination system until it was abolished in 1905. To keep routine administration
from subsuming the running of the empire, the Qing emperors made sure that all
important matters were decided in the Inner Court, dominated by the
imperial family and Manchu nobility.
Key Terms
- Forbidden City
-
The Chinese imperial palace from the Ming dynasty to the end of the Qing dynasty (1420 to 1912). It is located in the center of Beijing, China, and now houses the Palace Museum. It served as the home of emperors and their households as well as the ceremonial and political center of Chinese government for almost 500 years.
- Ten Great Campaigns
-
A series of military campaigns launched by the Qing Empire of China in the mid to late 18th century during the reign of the Qianlong Emperor (1735–96). They included three campaigns to enlarge the area of Qing control in Central Asia and seven police actions on frontiers already established.
- Revolt of the Three Feudatories
-
A rebellion lasting from 1673 to 1681 in the Qing dynasty (1644–1912) during the early reign of the Kangxi Emperor (1661–1722). The revolt was led by the three lords of the fiefdoms in Yunnan, Guangdong, and Fujian provinces against the Qing central government.
- Eight Banners
-
Administrative/military divisions under the Qing dynasty into which all Manchu households were placed. In war, they functioned as armies, but the system was also the basic organizational framework of Manchu society. Created in the early 17th century by Nurhaci, the armies played an instrumental role in his unification of the fragmented Jurchen people (later renamed the Manchus) and in the Qing dynasty’s conquest of the Ming dynasty.
- Seven Grievances
-
A manifesto announced by Nurhaci in 1618. It
enumerated grievances and effectively declared war against the Ming dynasty. - Qing dynasty
-
The last imperial dynasty of China, ruling from 1644 to 1912 with a brief, abortive restoration in 1917. It was preceded by the Ming dynasty and succeeded by the Republic of China. Its multi-cultural empire lasted almost three centuries and formed the territorial base for the modern Chinese state.
Rise to Power
The Qing dynasty (1644–1911) was the last imperial dynasty in China. It was founded not by Han Chinese, who constitute the majority of the Chinese population, but by a sedentary farming people known as the Jurchen. What would become the Manchu state was founded by Nurhaci, the chieftain of a minor Jurchen tribe known as Aisin Gioro in Jianzhou (Manchuria) in the early 17th century. Originally a vassal of the Ming emperors, Nurhachi embarked on an intertribal feud in 1582 that escalated into a campaign to unify the nearby tribes. By 1616, he sufficiently consolidated Jianzhou to be able to proclaim himself Khan of the Great Jin, in reference to the previous Jurchen dynasty. In 1635, Nurchaci’s son and successor Huangtaiji changed the name of the Jurchen ethnic group to the Manchu.
In 1618, Nurhachi announced the Seven Grievances, a document that enumerated grievances against the Ming, and began to rebel against the Ming domination. Nurhaci’s demand that the Ming pay tribute to him to redress the grievances was effectively a declaration of war, as the Ming were not willing to pay a former tributary. Shortly after, Nurhaci began to invade the Ming in Liaoning in southern Manchuria. After a series of successful battles, he relocated his capital from Hetu Ala to successively bigger captured Ming cities in Liaodong Peninsula: first Liaoyang in 1621, then Shenyang (Mukden) in 1625.
Relocating his court to Liaodong brought Nurhachi in close contact with the Khorchin Mongol domains on the plains of Mongolia. Nurhachi’s policy towards the Khorchins was to seek their friendship and cooperation against the Ming, securing his western border from a powerful potential enemy. Further, the Khorchin proved a useful ally in the war, lending the Jurchens their expertise as cavalry archers. To guarantee this new alliance, Nurhachi initiated a policy of inter-marriages between the Jurchen and Khorchin nobilities. This is a typical example of Nurhachi initiatives that eventually became official Qing government policy. During most of the Qing period, the Mongols gave military assistance to the Manchus.
Two of Nurhaci’s critical contributions were ordering the creation of a written Manchu script based on the Mongolian after the earlier Jurchen script was forgotten and the creation of the civil and military administrative system, which eventually evolved into the Eight Banners, the defining element of Manchu identity.
The Eight Banners were administrative/military divisions under the Qing dynasty into which all Manchu households were placed. In war, the Eight Banners functioned as armies, but the banner system was also the basic organizational framework of Manchu society. The banner armies played an instrumental role in his unification of the fragmented Jurchen people and in the Qing dynasty’s conquest of the Ming dynasty.
At the same time, the Ming dynasty was fighting for its survival. Ming government officials fought against each other, against fiscal collapse, and against a series of peasant rebellions. In 1640, masses of Chinese peasants who were starving, unable to pay their taxes, and no longer in fear of the frequently defeated Chinese army began to form huge bands of rebels. The Chinese military, caught between fruitless efforts to defeat the Manchu raiders from the north and huge peasant revolts in the provinces, essentially fell apart. Unpaid and unfed, the army was defeated by Li Zicheng – now self-styled as the Prince of Shun. In 1644, Beijing fell to a rebel army led by Li Zicheng when the city gates were opened from within. During the turmoil, the last Ming emperor hanged himself on a tree in the imperial garden outside the Forbidden City. Li Zicheng, a former minor Ming official, established a short-lived Shun dynasty.
Decisive Battle of Shanhai Pass in 1644 that led to the formation of the Qing dynasty
At the Battle of Shanhai Pass, Qing Prince-Regent Dorgon allied with former Ming general Wu Sangui to defeat rebel leader Li Zicheng of the Shun dynasty, allowing Dorgon and the Manchus to rapidly conquer Beijing and replace the Ming dynasty.
Qing Empire
Under the reign of Dorgon, whom historians have called “the mastermind of the Qing conquest” and “the principal architect of the great Manchu enterprise,” the Qing eventually subdued the capital area, received the capitulation of Shandong local elites and officials, and conquered Shanxi and Shaanxi, then turned their eyes to the rich commercial and agricultural region of Jiangnan south of the lower Yangtze River. They also wiped out the last remnants of rival regimes (Li Zicheng was killed in 1645). Finally, they managed to kill claimants to the throne of the Southern Ming in Nanjing (1645) and Fuzhou (1646) and chased Zhu Youlang, the last Southern Ming emperor, out of Guangzhou (1647) and into the far southwestern reaches of China.
Over the next half-century, all areas previously under the Ming dynasty were consolidated under the Qing. Xinjiang, Tibet, and Mongolia were also formally incorporated into Chinese territory. Between 1673 and 1681, the Kangxi Emperor suppressed the Revolt of the Three Feudatories, an uprising of three generals in Southern China denied hereditary rule of large fiefdoms granted by the previous emperor. In 1683, the Qing staged an amphibious assault on southern Taiwan, bringing down the rebel Kingdom of Tungning, which was founded by the Ming loyalist Koxinga in 1662 after the fall of the Southern Ming and had served as a base for continued Ming resistance in Southern China. The Qing defeated the Russians at Albazin, resulting in the Treaty of Nerchinsk.
The Russians gave up the area north of the Amur River as far as the Stanovoy Mountains and kept the area between the Argun River and Lake Baikal. This border along the Argun River and Stanovoy Mountains lasted until 1860.
The decades of Manchu conquest caused enormous loss of lives and the economy of China shrank drastically. In total, the Qing conquest of the Ming (1618–1683) cost as many as 25 million lives.
Dorgon (1612 – 1650), also known as Hošoi Mergen Cin Wang, the Prince Rui, was Nurhaci’s 14th son and a prince of the Qing Dynasty
Because of his own political insecurity, Dorgon ruled in the name of the emperor at the expense of rival Manchu princes, many of whom he demoted or imprisoned under one pretext or another. Although the period of his regency was relatively short, Dorgon cast a long shadow over the Qing dynasty.
The Ten Great Campaigns of the Qianlong Emperor from the 1750s to the 1790s extended Qing control into Central Asia. The early rulers maintained their Manchu ways and while their title was Emperor, they used khan to the Mongols and were patrons of Tibetan Buddhism. They governed using Confucian styles and institutions of bureaucratic government and retained the imperial examinations to recruit Han Chinese to work under or in parallel with Manchus. They also adapted the ideals of the tributary system in dealing with neighboring territories.
The Qianlong reign (1735–96) saw the dynasty’s apogee and initial decline in prosperity and imperial control. The population rose to some 400 million, but taxes and government revenues were fixed at a low rate, virtually guaranteeing eventual fiscal crisis. Corruption set in, rebels tested government legitimacy, and ruling elites did not change their mindsets in the face of changes in the world system. Still, by the end of Qianlong Emperor’s long reign, the Qing Empire was at its zenith. China ruled more than one-third of the world’s population and had the largest economy in the world. By area it was one of the largest empires ever.
Government
The early Qing emperors adopted the bureaucratic structures and institutions from the preceding Ming dynasty but split rule between Han Chinese and Manchus, with some positions also given to Mongols. Like previous dynasties, the Qing recruited officials via the imperial examination system until the system was abolished in 1905. The Qing divided the positions into civil and military positions. Civil appointments ranged from an attendant to the emperor or a Grand Secretary in the Forbidden City (highest) to prefectural tax collector, deputy jail warden, deputy police commissioner, or tax examiner. Military appointments ranged from a field marshal or chamberlain of the imperial bodyguard to third class sergeant, corporal, or first or second class private.
The formal structure of the Qing government centered on the Emperor as the absolute ruler, who presided over six boards (Ministries), each headed by two presidents and assisted by four vice presidents. In contrast to the Ming system, however, Qing ethnic policy dictated that appointments be split between Manchu noblemen and Han officials who had passed the highest levels of the state examinations. The Grand Secretariat, a key policy-making body under the Ming, lost its importance during the Qing and evolved into an imperial chancery. The institutions inherited from the Ming formed the core of the Qing Outer Court, which handled routine matters and was located in the southern part of the Forbidden City.
In order to keep routine administration from taking over the empire, the Qing emperors made sure that all important matters were decided in the Inner Court, dominated by the imperial family and Manchu nobility and located in the northern part of the Forbidden City. The core institution of the inner court was the Grand Council. It emerged in the 1720s under the reign of the Yongzheng Emperor as a body charged with handling Qing military campaigns against the Mongols, but soon took over other military and administrative duties and centralized authority under the crown. The Grand Councillors served as a sort of privy council to the emperor.
27.1.2: Society Under the Qing
Under Qing rule, the empire’s population expanded rapidly and migrated extensively, the economy grew, and arts and culture flourished, but the development of the military gradually
weakened
central government’s grip on the country.
Learning Objective
Describe the characteristics of Qing society
Key Points
-
During
the early and mid-Qing period, the population grew rapidly and was remarkably
mobile. Evidence suggests that the empire’s expanding population moved in a
manner unprecedented in Chinese history. Migrants relocated hoping for either
permanent resettlement or, at least in theory, a temporary stay. -
The
Qing society was divided into five relatively closed estates. The elites
consisted of the estates of the officials, the comparatively minuscule
aristocracy, and the intelligentsia. There also existed two major categories of
ordinary citizens: the “good” and the “mean.” -
In
the 18th century, markets continued to expand but with more trade between
regions, a greater dependence on overseas markets, and a greatly increased
population.
The
government broadened land ownership by returning land that was sold to
large landowners in the late Ming period by families unable to pay the land
tax. To give people more incentive to participate in the market, the tax
burden was reduced and the corvée system
replaced with a head tax used to hire laborers.
The relative peace and import of new crops to China from the Americas contributed to population growth. -
The
early Qing military was rooted in the Eight Banners first developed by Nurhaci.
During Qianlong’s reign,
the emperor emphasized Manchu ethnicity, ancestry, language, and
culture in the Eight Banners, and in 1754 started a mass discharge of Han bannermen.
This led to a change from Han majority to a Manchu majority within the Eight
Banner system. The eventual decision to turn the banner troops into a
professional force led to their decline. -
After a series of military
defeats in the mid-19th century, the Qing court ordered a Chinese official,
Zeng Guofan, to organize regional and village militias into an emergency army.
Zeng Guofan relied on local gentry to raise a new type of
military organization, known as the Xiang Army. The Xiang Army and its successor the Huai
Army were
collectively called the Yong Ying (Brave Camp). The Yong Ying system signaled
the end of Manchu dominance in Qing military establishment. -
Under the Qing,
traditional forms of art flourished and innovations developed rapidly. High
levels of literacy, a successful publishing industry, prosperous cities, and
the Confucian emphasis on cultivation all fed a lively and creative set of
cultural fields, including literature, fine arts, and even cuisine.
Key Terms
- Eight Banners
-
Administrative/military
divisions under the Qing dynasty into which all Manchu households were
placed. In war, they functioned as armies, but the system was also the basic
organizational framework of Manchu society. Created in the early 17th
century by Nurhaci, the armies played an instrumental role in his unification
of the fragmented Jurchen people (later renamed the Manchus) and
in the Qing dynasty’s conquest of the Ming dynasty. - Great Divergence
-
A term coined by Samuel Huntington (also known as the European miracle, a term coined by Eric Jones in 1981), referring to the process by which the Western world (i.e. Western Europe and the parts of the New World where its people became the dominant populations) overcame pre-modern growth constraints and emerged during the 19th century as the most powerful and wealthy world civilization of all time, eclipsing Qing China, Mughal India, Tokugawa Japan, Joseon Korea, and the Ottoman Empire.
- Xiang Army
-
A standing army organized by Zeng Guofan from existing regional and village militia forces to contain the Taiping rebellion in Qing China (1850 to 1864). The name is taken from the Hunan region where the army was raised. It was financed through local nobles and gentry as opposed to the centralized Manchu-led Qing dynasty. Although it was raised specifically to address problems in Hunan, the army formed the core of the new Qing military establishment and thus forever weakened the Manchu influence within the military.
- Green Standard Army
-
A category of military units under the control of the Qing dynasty. It was made up mostly of ethnic Han soldiers and operated concurrently with the Manchu-Mongol-Han Eight Banner armies. In areas with a high concentration of Hui people, Muslims served as soldiers. After the Qing consolidated control over China, it was primarily used as a police force.
- Yong Ying
-
A type of regional army that emerged in the 1800s in Qing dynasty army, which fought in most of China’s wars after the Opium War and numerous rebellions exposed the ineffectiveness of the Manchu Eight Banners and Green Standard Army. It was created from the earlier tuanlian militias.
During the early and mid-Qing period, the population grew rapidly and was remarkably mobile. Evidence suggests that the empire’s expanding population moved in a manner unprecedented in Chinese history. Migrants relocated hoping for either permanent resettlement or at least in theory, a temporary stay. The latter included the empire’s increasingly large and mobile manual workforce, its densely overlapping internal diaspora of merchant groups, and the movement of Qing subjects overseas, largely to Southeastern Asia, in search of trade and other economic opportunities.
The Qing society was divided into five relatively closed estates. The elites consisted of the estates of the officials, the comparatively minuscule aristocracy, and the intelligentsia. There also existed two major categories of ordinary citizens: the “good” and the “mean.” The majority of the population belonged to the first category and were described as liangmin, a legal term meaning good people, as opposed to jianmin meaning the mean (or ignoble) people. Qing law explicitly stated that the traditional four occupational groups of scholars, farmers, artisans, and merchants were “good,” with the status of commoners. On the other hand, slaves or bonded servants, entertainers (including prostitutes and actors), and low-level employees of government officials were the “mean” people, considered legally inferior to commoners.
Economy
By the end of the 17th century, the Chinese economy had recovered from the devastation caused by the wars in which the Ming dynasty were overthrown. In the 18th century, markets continued to expand but with more trade between regions, a greater dependence on overseas markets, and a greatly increased population. After the re-opening of the southeast coast, which was closed in the late 17th century, foreign trade was quickly re-established and expanded at 4% per annum throughout the latter part of the 18th century. China continued to export tea, silk, and manufactures, creating a large, favorable trade balance with the West. The resulting inflow of silver expanded the money supply, facilitating the growth of competitive and stable markets.
The government broadened land ownership by returning land that was sold to large landowners in the late Ming period by families unable to pay the land tax. To give people more incentives to participate in the market, the tax burden was reduced in comparison with the late Ming and the corvée system replaced with a head tax used to hire laborers. A system of monitoring grain prices eliminated severe shortages and enabled the price of rice to rise slowly and smoothly through the 18th century. Wary of the power of wealthy merchants, Qing rulers limited their trading licenses and usually banned new mines, except in poor areas. Some scholars see these restrictions on the exploitation of domestic resources and limits imposed on foreign trade as a cause of the Great Divergence by which the Western world overtook China economically.
By the end of the 18th century the population had risen to 300 million from approximately 150 million during the late Ming dynasty. This rise is attributed to the long period of peace and stability in the 18th century and the import of new crops China received from the Americas, including peanuts, sweet potatoes, and maize. New species of rice from Southeast Asia led to a huge increase in production. Merchant guilds proliferated in all of the growing Chinese cities and often acquired great social and even political influence. Rich merchants with official connections built up huge fortunes and patronized literature, theater, and the arts. Textile and handicraft production boomed.
Military
The early Qing military was rooted in the Eight Banners first developed by Nurhaci to organize Jurchen society beyond petty clan affiliations. The banners were differentiated by color. The yellow, bordered yellow, and white banners were known as the Upper Three Banners and remained under the direct command of the emperor. The remaining banners were known as the Lower Five Banners. They were commanded by hereditary Manchu princes descended from Nurhachi’s immediate family. Together, they formed the ruling council of the Manchu nation as well as high command of the army.
Nurhachi’s son Hong Taiji expanded the system to include mirrored Mongol and Han Banners. After capturing Beijing in 1644, the relatively small Banner armies were further augmented by the Green Standard Army, made up of Ming troops who had surrendered to the Qing. They eventually outnumbered Banner troops three to one. They maintained their Ming-era organization and were led by a mix of Banner and Green Standard officers.
Banner armies were organized along ethnic lines, namely Manchu and Mongol, but including non-Manchu bonded servants registered under the household of their Manchu masters. During Qianlong’s reign, the Qianlong Emperor emphasized Manchu ethnicity, ancestry, language, and culture in the Eight Banners, and in 1754 started a mass discharge of Han bannermen. This led to a change from Han majority to a Manchu majority within the Eight Banner system. The eventual decision to turn the banner troops into a professional force led to its decline as a fighting force.
Soldiers of the blue banner parading in front of Emperor Qianlong
Initially, Nurhaci’s forces were organized into small hunting parties of about a dozen men related by blood, marriage, clan, or place of residence, as was the Jurchen custom. In 1601, Nurhaci reorganized his troops. Four banners were originally created: Yellow, White, Red, and Blue, each named after the color of its flag. In 1615, the number of banners was doubled through the creation of “bordered” banners. The troops of each of the original four banners would be split between a plain and a bordered banner. The bordered variant of each flag was to have a red border, except for the Bordered Red Banner, which had a white border instead.
After a series of military defeats in the mid-19th century, the Qing court ordered a Chinese official, Zeng Guofan, to organize regional and village militias into an emergency army. He relied on local gentry to raise a new type of military organization that became known as the Xiang Army, named after the Hunan region where it was raised. The Xiang Army was a hybrid of local militia and a standing army. It was given professional training, but was paid for out of regional coffers and funds its commanders – mostly members of the Chinese gentry – could muster. The Xiang Army and its successor, the Huai Army, created by Zeng Guofan’s colleague and mentee Li Hongzhang, were collectively called the Yong Ying (Brave Camp). The Yong Ying system signaled the end of Manchu dominance in Qing military establishment. The fact that the corps were financed through provincial coffers and were led by regional commanders weakened central government’s grip on the whole country. This structure fostered nepotism and cronyism among its commanders, who laid the seeds of regional warlordism in the first half of the 20th century.
Arts and Culture
Under the Qing, traditional forms of art flourished and innovations developed rapidly. High levels of literacy, a successful publishing industry, prosperous cities, and the Confucian emphasis on cultivation all fed a lively and creative set of cultural fields.
The Qing emperors were generally adept at poetry, often skilled in painting, and offered their patronage to Confucian culture. The Kangxi and Qianlong emperors, for instance, embraced Chinese traditions both to control the people and proclaim their own legitimacy. Imperial patronage encouraged literary and fine arts as well as the industrial production of ceramics and Chinese export porcelain. However, the most impressive aesthetic works were by the scholars and urban elite. Calligraphy and painting remained a central interest to both court painters and scholar-gentry who considered the arts part of their cultural identity and social standing.
Literature grew to new heights in the Qing period. Poetry continued as a mark of the cultivated gentleman, but women wrote in larger numbers and poets came from all walks of life. The poetry of the Qing dynasty is a field studied (along with the poetry of the Ming dynasty) for its association with Chinese opera, developmental trends of classical Chinese poetry, the transition to a greater role for vernacular language, and poetry by women in Chinese culture. In drama, the most prestigious form became the so-called Peking opera, although local and folk opera were also widely popular. Even cuisine became a form of artistic expression. Works that detailed the culinary aesthetics and theory, along with a wide range of recipes, were published.
A full-page delicate gouache painting showing the daily life of family of the officials in the Qing Dynasty. The image is bordered by a bright blue silk ribbon.
The Qing emperors generously supported the arts and sciences. For example, the Kangxi Emperor sponsored the Peiwen Yunfu, a rhyme dictionary published in 1711, and the Kangxi Dictionary published in 1716, which remains to this day an authoritative reference. The Qianlong Emperor sponsored the largest collection of writings in Chinese history, the Siku Quanshu, completed in 1782. Court painters made new versions of the Song masterpiece, Zhang Zeduan’s Along the River During the Qingming Festival, whose depiction of a prosperous and happy realm demonstrated the beneficence of the emperor.
By the end of the 19th century, all elements of national artistic and cultural life recognized and began to come to terms with world culture as found in the West and Japan. Whether to stay within old forms or welcome Western models was now a conscious choice rather than an unchallenged acceptance of tradition.
27.1.3: The Qing Dynasty and the West
The Qing dynasty tightly controlled its relations with Western governments by carefully limiting European states’ access to the Chinese market and establishing foreign relations based on traditions that emphasized the superiority of China.
Learning Objective
Examine the early interactions between the Qing and Western governments
Key Points
-
The
imperial Chinese tributary system was the network of trade and foreign
relations between China and its tributaries. It consisted almost entirely of mutually beneficial economic
relationships; member states were politically autonomous and usually independent. This system was the primary instrument of
diplomatic exchange throughout the Imperial Era. While most member states of
the system during the Qing rule were smaller Asian states, Great
Britain, the Netherlands, and Portugal sent tributes to China at the
time. -
British
ships began to appear sporadically around the coasts of China from 1635. However, trade began to flourish after the Qing dynasty
relaxed maritime trade restrictions in the 1680s and after Taiwan came under
Qing control in 1683. Even rhetoric regarding the tributary status of Europeans
was muted. Official British trade was conducted through the auspices of the
British East India Company, which gradually came to dominate Sino-European
trade from its position in India. -
From 1700–1842, the port of Guangzhou (Canton) came to dominate maritime
trade with China, and this period became known as the Canton System. From the
inception of the Canton System in 1757, goods from China were extremely
lucrative for European and Chinese merchants alike. However, foreign traders
were only permitted to do business through a body of Chinese merchants known as
the Cohong and were restricted to Canton. -
While silk and porcelain drove trade through
their popularity in the west, an insatiable demand for tea existed in Britain.
However, only silver was accepted in payment by China, which resulted in a
chronic trade deficit. Britain had been on the gold standard since the
18th century, so it had to purchase silver from continental Europe and Mexico. By 1817, the British realized they
could reduce the trade deficit and make the Indian colony profitable by
counter-trading in narcotic Indian opium, a critical decision for China’s future relations with the West. -
An issue facing Western embassies to China was
the act of prostration known as the kowtow. Western diplomats understood that
kowtowing meant accepting the superiority of the Emperor of China over their
own monarchs, an act they found unacceptable. Unlike other European partners, China
did not deal with Russia through the Ministry of Tributary Affairs, but rather
through the same ministry as the Mongols, seen by the Chinese as a problematic
partner. -
The
Chinese worldview changed very little during the Qing dynasty as China’s
sinocentric perspectives continued to be informed and reinforced by deliberate
policies and practices designed to minimize evidence of its growing
weakness and West’s evolving power. However, the
consequences of the Opium Wars would change everything.
Key Terms
- The imperial Chinese tributary system
-
The network of trade and foreign relations between China and its tributaries, which helped to shape much of East Asian affairs. It consisted almost entirely of mutually beneficial economic relationships, with politically autonomous and usually independent member states. It facilitated frequent economic and cultural exchange.
- kowtow
-
The act of deep respect shown by prostration: kneeling and bowing so low as to have one’s head touching the ground. In East Asian culture, it is the highest sign of reverence and is widely used for one’s elders, superiors, and especially the emperor, as well as for religious and cultural objects of worship.
- Opium Wars
-
Two wars in the mid-19th century
(1839–1842 and 1856–1860)involving Anglo-Chinese disputes over British trade in China and China’s sovereignty. The wars and events between them weakened the Qing dynasty and forced China to trade with the rest of the world.
- British East India Company
-
An English and later British joint-stock company formed to pursue trade with the East Indies but in actuality trading mainly with the Indian subcontinent and Qing China.
Imperial Chinese Tributary System
The imperial Chinese tributary system was the network of trade and foreign relations between China and its tributaries, which helped to shape much of East Asian affairs. Contrary to other tribute systems around the world, the Chinese system consisted almost entirely of mutually beneficial economic relationships. Member states of the system were politically autonomous and usually independent. The system shaped foreign policy and trade for over 2,000 years of imperial China’s economic and cultural dominance of the region and thus played a huge role in the history of Asia, particularly East Asia.
The tributary system was the primary instrument of diplomatic exchange throughout the Imperial Era. While most member states of the system during the Qing rule were smaller Asian states , Great Britain, the Netherlands, and Portugal also sent tributes to China.
European Trade with Qing China
British ships began to appear sporadically around the coasts of China from 1635. Without establishing formal relations through the tributary system, British merchants were allowed to trade at the ports of Zhoushan and Xiamen in addition to Guangzhou (Canton). However, trade began to flourish after the Qing dynasty relaxed maritime trade restrictions in the 1680s and after Taiwan came under Qing control in 1683. Even rhetoric about the tributary status of Europeans was muted.
Official British trade was conducted through the auspices of the British East India Company, which held a royal charter for trade with the Far East. The British East India Company gradually came to dominate Sino-European trade from its position in India.
Guangzhou (Canton) was the port of preference for most foreign trade. From 1700–1842, Guangzhou came to dominate maritime trade with China, and this period became known as the Canton System. From the inception of the Canton System in 1757, trade in goods from China was extremely lucrative for European and Chinese merchants alike. However, foreign traders were only permitted to do business through a body of Chinese merchants known as the Cohong and were restricted to Canton. Foreigners could only live in one of the Thirteen Factories,
a neighborhood along the Pearl River in southwestern Guangzhou, and were not allowed to enter, much less live or trade in, any other part of China.
While silk and porcelain drove trade through popularity in the west, an insatiable demand for tea existed in Britain. However, only silver was accepted in payment by China, which resulted in a chronic trade deficit. From the mid-17th century, around 28 million kilograms of silver were received by China, principally from European powers, in exchange for Chinese goods. Britain had been on the gold standard since the 18th century, so it had to purchase silver from continental Europe and Mexico to supply the Chinese appetite for silver. Attempts at the end of the 18th and the beginning of the 19th centuries by a British embassy (twice), a Dutch mission, and Russia to negotiate more expansive access to the Chinese market were all vetoed by successive Emperors. By 1817, the British realized they could reduce the trade deficit and turn the Indian colony profitable by counter-trading in narcotic Indian opium. The Qing administration initially tolerated opium importation because it created an indirect tax on Chinese subjects while allowing the British to double tea exports from China to England, thereby profiting the monopoly on tea exports held by the Qing imperial treasury and its agents. The increasingly complex opium trade would eventually become a source of a military conflict between the Qing dynasty and Britain (Opium Wars).
View of the European factories in Canton by William Daniell, late 18th/early 19th century,
National Maritime Museum, Greenwich.
Canton City (Guangzhou), with the Pearl River and the several of the Thirteen Factories of the Europeans.
These warehouses and stores were the principal and sole legal site of most Western trade with China from 1757 to 1842.
Foreign Relations
An issue facing Western embassies to China was the act of prostration known as the kowtow. Western diplomats understood that kowtowing meant accepting the superiority of the Emperor of China over their own monarchs, an act they found unacceptable.
The British embassies of George Macartney (1793) and William Pitt Amherst (1816) were unsuccessful at negotiating the expansion of trade and interstate relations, partly because kowtowing would mean acknowledging their king as a subject of the Emperor. Dutch ambassador Isaac Titsingh did not refuse to kowtow during the course of his 1794–1795 mission to the imperial court of the Qianlong Emperor. The members of the Titsingh mission made every effort to conform with the demands of complex Imperial court etiquette.
In 1665, Russian explorers met the Manchus in present-day northeastern China. Using the common language of Latin, which the Chinese knew from Jesuit missionaries, the Kangxi Emperor of China and Tsar Peter I of the Russian Empire negotiated the Treaty of Nerchinsk in 1689. This delineated the borders between Russia and China, some sections of which still exist today. China did not deal with Russia through the Ministry of Tributary Affairs, but rather through the same ministry as the Mongols (seen by the Chinese as a problematic partner), which served to acknowledge Russia’s status as a nontributary nation.
Canton Harbor and Factories with Foreign Flags, unknown Chinese artists, c. 1805, Peabody Essex Museum.
Under the Canton System, between 1757 and 1842, Western merchants in China were restricted to live and conduct business only in the approved area of the port of Guangzhou and through a government-approved merchant houses. Their factories formed a tight-knit community, which the historian Jacques Downs called a “golden ghetto” because it was both isolated and lucrative.
The Chinese worldview changed very little during the Qing dynasty as China’s sinocentric perspectives continued to be informed and reinforced by deliberate policies and practices designed to minimize evidence of its growing weakness and West’s evolving power. After the Titsingh mission, no further non-Asian ambassadors were even allowed to approach the Qing capital until the consequences of the Opium Wars changed everything.
27.1.4: The Opium Wars
The Opium Wars
undermined China’s traditional mechanisms of foreign relations and controlled trade. This made it possible for Western powers, particularly Britain, to exercise influence over China’s economy and diplomatic relations.
Learning Objective
Evaluate the Opium Wars and the motivations of the imperial powers in bringing opium to China
Key Points
- After the British gained control over the Bengal Presidency in the mid-18th century, the former monopoly on opium production held by the Mughal emperors passed to the East India Company. To redress the trade imbalance with China, the EIC began auctions of opium in Calcutta and saw its profits soar from the opium trade. Since importation of opium into China had been virtually banned, the EIC established a complex trading scheme of both legal and illicit markets.
-
A porous Chinese border and rampant
local demand facilitated trade. By the 1820s, China was importing 900
long tons of Bengali opium annually. In
addition to the drain of silver, by 1838 the number of Chinese opium addicts
had grown to between four and 12 million and the Daoguang Emperor demanded
action. -
The Emperor sent the leader of the hard line
faction, Special Imperial Commissioner Lin Zexu, to Canton, where he quickly
arrested Chinese opium dealers and summarily demanded that foreign firms turn
over their stocks with no compensation. When they refused, Lin stopped trade
altogether and placed the foreign residents under virtual siege in their
factories. - The First Opium War over the trade and diplomatic relations between Imperial China and Britain began in 1839. It quickly revealed the outdated state of the Chinese military. The Qing surrender
in 1842 marked a decisive, humiliating blow to China. The Treaty of Nanking
demanded war reparations and forced China to open up the Treaty Ports of Canton,
Amoy, Fuchow, Ningpo, and Shanghai to western trade and missionaries and cede Hong Kong Island to Britain. - The Second Opium War, triggered by further British demands, began in 1856 and ended with the 1860 Convention of Beijing. The
British, French, and Russians were all granted a permanent diplomatic
presence in Beijing. The Chinese had to
pay 8 million taels to Britain and France. Britain acquired Kowloon, next to Hong Kong. The opium trade was legalized and Christians were granted
full civil rights, including the right to own property and to
evangelize. The treaty also ceded parts of Outer Manchuria to the Russian
Empire. -
The
terms of the treaties ending the Opium Wars undermined China’s traditional
mechanisms of foreign relations and methods of controlled trade. More ports
were opened for trade and Hong Kong was seized by
the British to become a free and open port. Tariffs were abolished, preventing the Chinese from raising future duties to protect domestic
industries, and extraterritorial practices exempted Westerners from Chinese law.
In 1858, opium was legalized. The Qing dynasty never recovered from the defeat and the Western powers exercised more and more control over Imperial China.
Key Terms
- Treaty of Nanjing
-
A peace treaty that ended the First Opium War (1839–42) between the United Kingdom and the Qing dynasty of China, signed in August 1842.
It ended the old Canton System and created a new framework for China’s foreign relations and overseas trade that would last for almost 100 years. From the Chinese perspective, the most injurious terms were the fixed trade tariff, extraterritoriality, and the most favored nation provisions. It was the first of what the Chinese later called the unequal treaties in which Britain had no obligations in return. - Treaty of Tientsin
-
A collective name for several documents signed in 1858 that ended the first phase of the Second Opium War. The Qing, Russian, and Second French Empires, the United Kingdom, and the United States were the parties involved. These unequal treaties opened more Chinese ports to foreign trade, permitted foreign legations in the Chinese capital Beijing, allowed Christian missionary activity, and legalized the import of opium. They were ratified by the Emperor of China in the Convention of Peking in 1860 after the end of the war.
- East India Company
-
An English and later British joint-stock
company formed to pursue trade with the East Indies but in actuality trading mainly with the Indian subcontinent and Qing China. - Century of Humiliation
-
The period of intervention and imperialism by Western powers and Japan in China between 1839 and 1949. It arose in 1915 in the atmosphere of increased Chinese nationalism.
- Convention of Beijing
-
An agreement comprising three distinct treaties between the Qing Empire (China) and the United Kingdom, France, and Russia in 1860, which ended the Second Opium War.
- Second Opium War
-
A war pitting the British Empire and the French Empire against the Qing dynasty of China, lasting from 1856 to 1860.
- First Opium War
-
An 1839–1842 war fought between the United Kingdom and the Qing dynasty over their conflicting viewpoints on diplomatic relations, trade, and the administration of justice for foreign nationals in China.
Opium Trade in China
The history of opium in China began with the use of opium for medicinal purposes during the 7th century. In the 17th century, the practice of mixing opium with tobacco for smoking spread from Southeast Asia, creating a far greater demand.
After the British gained control over the Bengal Presidency, the largest colonial subdivision of British India, in the mid-18th century, the former monopoly on opium production held by the Mughal emperors passed to the East India Company (EIC) under the The East India Company Act, 1793. However, the EIC was £28 million in debt, partly as a result of the insatiable demand for Chinese tea in the UK market. Chinese tea had to be paid for in silver, so silver supplies had to be purchased from continental Europe and Mexico. To redress the imbalance, the EIC began auctions of opium in Calcutta and saw its profits soar from the opium trade. Considering that importation of opium into China had been virtually banned by Chinese law, the EIC established an elaborate trading scheme, partially relying on legal markets and partially leveraging illicit ones. British merchants bought tea in Canton on credit and balanced their debts by selling opium at auction in Calcutta. From there, the opium would reach the Chinese coast hidden aboard British ships and was smuggled into China by native merchants.
In 1797, the EIC further tightened its grip on the opium trade by enforcing direct trade between opium farmers and the British and ending the role of Bengali purchasing agents. British exports of opium to China grew from an estimated 15 long tons in 1730 to 75 long tons in 1773 shipped in over 2,000 chests. The Qing dynasty Jiaqing Emperor issued an imperial decree banning imports of the drug in 1799. Nevertheless, by 1804, the British trade deficit with China turned into a surplus, leading to seven million silver dollars going to India between 1806 and 1809. Meanwhile, Americans entered the opium trade with less expensive but inferior Turkish opium and by 1810 had around 10% of the trade in Canton.
In the same year the emperor issued a further imperial edict prohibiting the use and trade of opium. The decree had little effect. The Qing government, far away in Beijing in the north of China, was unable to halt opium smuggling in the southern provinces. A porous Chinese border and rampant local demand facilitated the trade and by the 1820s, China was importing 900 long tons of Bengali opium annually. The opium trafficked into China was processed by the EIC at its two factories in Patna and Benares. In the 1820s, opium from Malwa in the non-British controlled part of India became available and as prices fell due to competition, production was stepped up.
In addition to the drain of silver, by 1838 the number of Chinese opium addicts had grown to between four and 12 million and the Daoguang Emperor demanded action. Officials at the court who advocated legalizing and taxing the trade were defeated by those who advocated suppressing it. The Emperor sent the leader of the hard line faction, Special Imperial Commissioner Lin Zexu, to Canton, where he quickly arrested Chinese opium dealers and summarily demanded that foreign firms turn over their stocks with no compensation. When they refused, Lin stopped trade altogether and placed the foreign residents under virtual siege in their factories. The British Superintendent of Trade in China Charles Elliot got the British traders to agree to hand over their opium stock with the promise of eventual compensation for their loss from the British government. While this amounted to a tacit acknowledgment that the British government did not disapprove of the trade, it also placed a huge liability on the exchequer. This promise and the inability of the British government to pay it without causing a political storm was an important casus belli for the subsequent British offensive.
Two poor Chinese opium smokers. Gouache painting on rice-paper, 19th century.
Initially used by medical practitioners to control bodily fluid and preserve qi or vital force, during the Ming dynasty (1368–1644), opium also functioned as an aphrodisiac. First listed as a taxable commodity in 1589, opium remained legal until the early Qing dynasty.
First Opium War
In October 1839, the Thomas Coutts arrived in China and sailed to Canton. The ship was owned by Quakers, who refused to deal in opium. The ship’s captain, Warner, believed Elliot had exceeded his legal authority by banning the signing of the “no opium trade” bond and negotiated with the governor of Canton, hoping that all British ships could unload their goods at Chuenpi, an island near Humen. To prevent other British ships from following the Thomas Coutts, Elliot ordered a blockade of the Pearl River. Fighting began on November 3, 1839, when a second British ship, the Royal Saxon, attempted to sail to Canton. Then the British Royal Navy ships HMS Volage and HMS Hyacinth fired warning shots at the Royal Saxon. The Qing navy’s official report claimed that the navy attempted to protect the British merchant vessel and reported a victory for that day. In reality, they had been overtaken by the Royal Naval vessels and many Chinese ships were sunk.
The First Opium War revealed the outdated state of the Chinese military. The Qing navy was severely outclassed by the modern tactics and firepower of the British Royal Navy. British soldiers, using advanced muskets and artillery, easily outmaneuvered and outgunned Qing forces in ground battles. The Qing surrender in 1842 marked a decisive, humiliating blow to China. The Treaty of Nanking demanded war reparations, forced China to open up the Treaty Ports of Canton, Amoy, Fuchow, Ningpo, and Shanghai to western trade and missionaries, and to cede Hong Kong Island to Britain. It revealed weaknesses in the Qing government and provoked rebellions against the regime.
Second Opium War
The 1850s saw the rapid growth of Western imperialism. Some shared goals of the western powers were the expansion of their overseas markets and the establishment of new ports of call. To expand their privileges in China, Britain demanded the Qing authorities renegotiate the 1842 Treaty of Nanking, citing their most favored nation status. The British demands included opening all of China to British merchant companies, legalizing the opium trade, exempting foreign imports from internal transit duties, suppression of piracy, regulation of the coolie trade, permission for a British ambassador to reside in Beijing, and for the English-language version of all treaties to take precedence over the Chinese language.
To give Chinese merchant vessels operating around treaty ports the same privileges accorded British ships by the Treaty of Nanking, British authorities granted these vessels British registration in Hong Kong. In October 1856, Chinese marines in Canton seized a cargo ship called the Arrow on suspicion of piracy, arresting 12 of its 14 Chinese crew members. The Arrow was previously used by pirates, captured by the Chinese government, and subsequently resold. It was then registered as a British ship and still flew the British flag at the time of its detainment, although its registration expired. Its captain, Thomas Kennedy, aboard a nearby vessel at the time, reported seeing Chinese marines pull the British flag down from the ship. The British consul in Canton, Harry Parkes, contacted Ye Mingchen, imperial commissioner and Viceroy of Liangguang, to demand the immediate release of the crew and an apology for the alleged insult to the flag. Ye released nine of the crew members, but refused to release the last three.
On October 25, the British demanded to enter Canton. The next day, they started to bombard the city, firing one shot every 10 minutes. Ye Mingchen issued a bounty on every British head taken. On October 29, a hole was blasted in the city walls and troops entered, with a flag of the United States of America being planted by James Keenan (U.S. Consul) on the walls and residence of Ye Mingchen. Negotiations failed, the city was bombarded, and the war escalated.
In 1858, with no other options, the Xianfeng Emperor agreed to the Treaty of Tientsin, which contained clauses deeply insulting to the Chinese, such as a demand that all official Chinese documents be written in English and a proviso granting British warships unlimited access to all navigable Chinese rivers. Shortly after the Qing imperial court agreed to the disadvantageous treaties, hawkish ministers prevailed upon the Xianfeng Emperor to resist Western encroachment, which led to a resumption of hostilities. In 1860, with Anglo-French forces marching on Beijing, the emperor and his court fled the capital for the imperial hunting lodge at Rehe. Once in Beijing, the Anglo-French forces looted the Old Summer Palace and, in an act of revenge for the arrest of several Englishmen, burnt it to the ground. Prince Gong, a younger half-brother of the emperor, was forced to sign the Convention of Beijing. The agreement comprised three distinct treaties concluded between the Qing Empire and the United Kingdom, France, and Russia (while Russia had not been a belligerent, it threatened weakened China with a war on a second front). The British, French, and Russians were granted a permanent diplomatic presence in Beijing, something the Qing Empire resisted to the very end as it suggested equality between China and the European powers. The Chinese had to pay 8 million taels to Britain and France. Britain acquired Kowloon (next to Hong Kong). The opium trade was legalized and Christians were granted full civil rights, including the right to own property and the right to evangelize. The treaty also ceded parts of Outer Manchuria to the Russian Empire.
Legacy
The First Opium War marked the start of what 20th century nationalists called the Century of Humiliation. The ease with which the British forces defeated the numerically superior Chinese armies damaged the Qing dynasty’s prestige. The Treaty of Nanking was a step to opening the lucrative Chinese market to global commerce and the opium trade.
Opium smokers, c. 1880, by Lai Afong.
Historian Jonathan Spence notes that the harm opium caused was clear, but that in a stagnating economy, it supplied fluid capital and created new tax sources. Smugglers, poor farmers, coolies, retail merchants and officials all depended on opium for their livelihoods. In the last decade of the Qing dynasty, however, a focused moral outrage overcame these vested interests.
The terms of the treaties ending the Opium Wars undermined China’s traditional mechanisms of foreign relations and methods of controlled trade. More ports were opened for trade, gunboats, and foreign residence. Hong Kong was seized by the British to become a free and open port. Tariffs were abolished preventing the Chinese from raising future duties to protect domestic industries and extraterritorial practices exempted Westerners from Chinese law. This made them subject to their own civil and criminal laws of their home country. Most importantly, the opium problem was never addressed and after the treaty ending the First War was signed, opium addiction doubled. Due to the Qing government’s inability to control collection of taxes on imported goods, the British government convinced the Manchu court to allow Westerners to partake in government official affairs. In 1858 opium was legalized.
The First Opium War both reflected and contributed to a further weakening of the Chinese state’s power and legitimacy. Anti-Qing sentiment grew in the form of rebellions such as the Taiping Rebellion, a civil war lasting from 1850-64 in which at least 20 million Chinese died.
The opium trade faced intense enmity from the later British Prime Minister William Ewart Gladstone. As a member of Parliament, Gladstone called it “most infamous and atrocious,” referring to the opium trade between China and British India in particular. Gladstone was fiercely against both Opium Wars, denounced British violence against Chinese, and was ardently opposed to the British trade in opium to China. Gladstone criticized the First War as “unjust in its origin, a war more calculated in its progress to cover this country with permanent disgrace.” His hostility to opium stemmed from the effects of the drug on his sister Helen.
The standard interpretation in the People’s Republic of China presented the war as the beginning of modern China and the emergence of the Chinese people’s resistance to imperialism and feudalism.
27.1.5: Anti-Qing Sentiment
In the mid-19th century, China’s Qing Dynasty suffered a series of natural
disasters, economic problems, and defeats at the hands of the Western powers, which weakened the central imperial authority and led to a rapid development of anti-Qing movements.
Learning Objective
Paraphrase the reasons for rising Anti-Qing sentiment in China
Key Points
-
In the mid-19th century, China’s Qing Dynasty suffered a series
of natural disasters, economic problems, and defeats at the hands of the
Western powers. The terms of the treaties that ended the lost First Opium
War undermined the traditional mechanisms of foreign relations and methods
of controlled trade practiced by China for centuries. Shortly after the
treaties were signed, internal rebellions began to threaten the Chinese state
and its foreign trade. -
The government, led by ethnic Manchus, was seen by many Han
Chinese as ineffective and corrupt. Anti-Manchu sentiment was strongest in southern China among the Hakka community, a Han Chinese
subgroup. The Qing dynasty was blamed for transforming China from the world’s
premiere power to a poor, backwards country. In the broadest sense, an
anti-Qing activist was anyone who engaged in anti-Manchu direct action. -
While the Taiping Rebellion was not the first mass expression of
the anti-Qing sentiment, it turned into a long civil war
that cost millions of lives. It lasted from 1850 to 1864 and was fought between
the Qing dynasty and the millenarian movement of the Heavenly Kingdom
of Peace. It was the largest war in China since the Qing conquest in 1644 and
ranks as one of the bloodiest wars in human history, the bloodiest civil war,
and the largest conflict of the 19th century. -
A string of civil disturbances followed, including the Punti-Hakka
Clan Wars, Nian Rebellion, Dungan Revolt, and Panthay Rebellion. All rebellions
were ultimately put down, but at enormous cost and with millions dead,
seriously weakening the central imperial authority and introducing changes in
the military that would further undermine the influence of the Qing dynasty. -
In response to calamities within the empire and threats from
imperialism, some reformist movements emerged, but were undermined by
corrupt officials, cynicism, and quarrels within the imperial family. The
anti-Qing sentiment only strengthened as the internal chaos and foreign
influences grew.
Key Terms
- Nian Rebellion
-
An armed uprising in northern China from 1851 to 1868, concurrent with the Taiping Rebellion (1851–1864) in South China. The rebellion failed to topple the Qing dynasty, but caused the immense economic devastation and loss of life that became one of the major long-term factors in the collapse of the Qing regime in the early 20th century.
- Taiping Rebellion
-
A civil war in China (1850-1864) between the established Manchu-led Qing dynasty and the millenarian movement of the Heavenly Kingdom of Peace. It began in the southern province of Guangxi when local officials launched a campaign of persecution against a millenarian sect known as the God Worshipping Society led by Hong Xiuquan, who believed himself the younger brother of Jesus Christ. The war ranks as one of the bloodiest wars in human history, the bloodiest civil war, and the largest conflict of the 19th century.
- First Opium War
-
An 1839–1842 war between the
United Kingdom and the Qing dynasty over their conflicting viewpoints
on diplomatic relations, trade, and the administration of justice for foreign
nationals in China. - Panthay Rebellion
-
An 1856-1873 rebellion of the Muslim Hui people and other non-Muslim ethnic minorities against the Manchu rulers in southwestern Yunnan Province, China, as part of a wave of Hui-led multi-ethnic unrest. It started after massacres of Hui perpetrated by the Manchu authorities.
- Dungan Revolt
-
A mainly ethnic and religious war fought in 19th-century western China, mostly during the reign of the Tongzhi Emperor (r. 1861–75) of the Qing dynasty. The term sometimes includes the Panthay Rebellion in Yunnan, which occurred during the same period. The 1862-1877 revolt arose over a pricing dispute involving bamboo poles, when a Han merchant selling to a Hui did not receive the amount demanded for the goods.
- Punti-Hakka Clan Wars
-
The conflict between the Hakka and Punti (Cantonese people) in Guangdong, China, between 1855 and 1867. The wars were particularly fierce around the Pearl River Delta, especially in Taishan of the Sze Yup counties. They resulted in roughly a million dead with many more fleeing for their lives.
- millenarianism
-
The belief by a religious, social, or political group or movement in a major impending societal transformation. It is a concept or theme that exists in many cultures and religions.
In the mid-19th century, China’s Qing Dynasty suffered a series of natural disasters, economic problems, and defeats at the hands of the Western powers. In particular, the humiliating defeat in 1842 by the British Empire in the First Opium War exposed the increasing weakness of the Imperial government and military. The terms of the treaties that ended the First Opium War undermined the traditional mechanisms of foreign relations and methods of controlled trade practiced by China for centuries. Shortly after the treaties were signed, internal rebellions began to threaten the Chinese state and its foreign trade.
The government, led by ethnic Manchus, was seen by many Han Chinese as ineffective and corrupt. Anti-Manchu sentiments were strongest in southern China among the Hakka community, a Han Chinese subgroup.
The Qing dynasty was accused of destroying traditional Han culture by forcing Han to wear their hair in a queue in the Manchu style. It was blamed for suppressing Chinese science, causing China to be transformed from the world’s premiere power to a poor, backwards country.
In the broadest sense, an anti-Qing activist was anyone who engaged in anti-Manchu direct action. This included people from many mainstream political movements and uprisings that developed throughout the second half of the 19th century.
Taiping Rebellion
While the Taiping Rebellion was not the first mass expression of the anti-Qing sentiment, it turned into a long-lasting civil war that cost millions of lives. In 1837, Hong Xiuquan, a Hakka from a poor mountain village, once again failed the imperial examination, which meant that he could not follow his dream of becoming a scholar-official in the civil service. He returned home, fell sick, and was bedridden for several days, during which he experienced mystical visions. In 1842, after more carefully reading a pamphlet he had received years before from a Protestant Christian missionary, Hong declared that he now understood that his vision meant that he was the younger brother of Jesus and that he had been sent to rid China of the “devils,” including the corrupt Qing government and Confucian teachings. It was his duty to spread his message and overthrow the Qing dynasty. In 1843, Hong and his followers founded the God Worshiping Society, a movement that combined elements of Christianity, Taoism, Confucianism, and indigenous millenarianism. Confucianism due to the efforts of the various Chinese dynastic imperial regimes. The movement at first grew by suppressing groups of bandits and pirates in southern China in the late 1840s. The later suppression by Qing authorities led it to evolve into guerrilla warfare and subsequently a widespread civil war.
Hostilities began on January 1, 1851 when the Qing Green Standard Army launched an attack against the God Worshiping Society at the town of Jintian, Guangxi. Hong declared himself the Heavenly King of the Heavenly Kingdom of Peace (or Taiping Heavenly Kingdom), from which the term Taipings has often been applied to them in the English language. For a decade, the Taiping occupied and fought across much of the mid and lower Yangzi valley, some of the wealthiest and most productive lands in the Qing empire. The Taiping nearly managed to capture the Qing capital of Beijing with a northern expedition launched in 1853. Qing imperial troops were ineffective in halting Taiping advances, focusing on a perpetually stalemated siege of Nanjing. In Hunan Province, a local irregular army, called the Xiang Army or Hunan Army, under the personal leadership of Zeng Guofan, became the main armed force fighting for the Qing against the Taiping. Zeng’s Xiang Army gradually turned back the Taiping advance in the western theater of the war.
In 1856, the Taiping were weakened after infighting following an attempted coup led by the East King, Yang Xiuqing. During this time, the Xiang Army managed to gradually retake much of Hubei and Jiangxi province. In 1860, the Taiping defeated the imperial forces that had been besieging Nanjing since 1853, eliminating imperial forces from the region and opening the way for a successful invasion of southern Jiangsu and Zhejiang province, the wealthiest region of the Qing Empire. While Taiping forces were preoccupied in Jiangsu, Zeng’s forces moved down the Yangzi River capturing Anqing in 1861.
In 1862, the Xiang Army began directly sieging Nanjing and managed to hold firm despite numerous attempts by the Taiping Army to dislodge them with superior numbers. Hong died in 1864 and Nanjing fell shortly after that. The remains of the Taiping resistance were eventually defeated in 1866.
A drawing of Hong Xiuquan as the Heavenly King, ca. 1860
The Taiping Rebellion was a total war. Almost every citizen of the Taiping Heavenly Kingdom was given military training and conscripted into the army to fight against Qing imperial forces. During this conflict, both sides tried to deprive each other of the resources needed to continue the war and it became standard practice to destroy agricultural areas, butcher the population of cities, and exact a brutal price from captured enemy lands to drastically weaken the opposition’s war effort.
The Taiping Rebellion was the largest war in China since the Qing conquest in 1644 and ranks as one of the bloodiest wars in human history, the bloodiest civil war, and the largest conflict of the 19th century, with estimates of war dead ranging from 20 to 100 million and millions more displaced.
Continuous Crisis
A string of civil disturbances followed the outbreak of Taiping Rebellion, many of which lasted for years and resulted in massive casualties. For instance, the Punti-Hakka Clan Wars pitted the Hakka against Punti (Cantonese people) in Guangdong between 1855 and 1867. The wars resulted in roughly a million dead with many more fleeing for their lives.
The Nian Rebellion was an armed uprising that took place in northern China from 1851 to 1868, contemporaneously with the Taiping Rebellion in southern China. The rebellion caused immense economic devastation and loss of life that eventually became one of the major long-term factors in the collapse of the Qing regime in the early 20th century.
The Dungan Revolt (1862–1877) was a mainly ethnic and religious war fought in western China. The revolt arose over a pricing dispute involving bamboo poles, when a Han merchant selling to a Hui did not receive the amount demanded for the goods. Up to 12 million Chinese Muslims were killed during the revolt as a result of anti-Hui massacres by Qing troops sent to suppress their revolt.
Most civilian deaths were caused by war-induced faneil.
The Panthay Rebellion (1856-1873; discussed sometimes as part of the Dungan Revolt)
was a rebellion of the Muslim Hui people and other non-Muslim ethnic minorities against the Manchu rulers in southwestern Yunnan Province as part of a wave of Hui-led multi-ethnic unrest. It started after massacres of Hui perpetrated by the Manchu authorities.
All rebellions were ultimately put down, but at enormous cost and with millions dead, seriously weakening the central imperial authority. The military banner system that the Manchus had relied upon for so long failed. Banner forces were unable to suppress the rebels and the government called upon local officials in the provinces, who raised “New Armies” that successfully crushed the challenges to Qing authority. As a result of that and with China failing to rebuild a strong central army, many local officials became warlords who used military power to effectively rule independently in their provinces.
General Zeng Guofan, author unknown, scan from Jonathan Spence, In Search for Modern China, 1990.
Zeng Guofan’s strategy to fight anti-Qing rebels was to rely on local gentry to raise a new type of military organization. This new force became known as the Xiang Army, a hybrid of local militia and a standing army. The army’s professional training was paid for out of regional coffers and funds its commanders – mostly members of the Chinese gentry – could muster. This model would eventually lead to the further weakening of the central authority over the military.
In response to calamities within the empire and threats from imperialism, the Self-Strengthening Movement emerged. This institutional reform in the second half of the 19th century aimed to modernize the empire, with prime emphasis on strengthening the military. However, the reform was undermined by corrupt officials, cynicism, and quarrels within the imperial family. The Guangxu Emperor and the reformists then launched a more comprehensive reform effort, the Hundred Days’ Reform (1898), but it was soon overturned by the conservatives under Empress Dowager Cixi in a military coup. The anti-Qing sentiment only strengthened as the internal chaos and foreign influences grew, finally leading to the Boxer Rebellion, a violent
anti-foreign and anti-Christian uprising that was a turning point in the history of Imperial China.
27.1.6: The Boxer Rebellion
The Boxer Rebellion, a violent anti-foreign and anti-Christian uprising that took place in China between 1899 and 1901, both exposed and deepened the weakening of the Qing dynasty’s power.
Learning Objective
Discuss the reasons for and consequences of the Boxer Rebellion
Key Points
-
The Righteous and
Harmonious Fists (Yihetuan) arose in the inland sections of the northern
coastal province of Shandong long known for social unrest, religious sects, and
martial societies. American Christian missionaries were probably the first to
refer to the well-trained young men as Boxers because of the martial
arts they practiced. The excitement and moral
force of the group’s rituals were especially attractive to unemployed and
powerless village men. -
International tension and
domestic unrest fueled the spread of the Boxer movement. A drought
followed by floods in Shandong province in 1897–1898 forced farmers to flee to
cities and seek food. Another major cause of discontent in north China was Christian missionary activity. The killing of two German missionaries in 1897 prompted Germany to occupy
Jiaozhou Bay, which triggered a scramble for concessions by which Britain, France, Russia, and
Japan also secured their own spheres of influence in China. -
The
early growth of the Boxer movement coincided with the Hundred Days’ Reform
(June 11 – September 21, 1898). The Guangxu Emperor’s progressive reforms alienated many conservative officials. The opposition from conservative officials led Empress Dowager Cixi to
intervene and reverse the reforms. The failure of the reform movement
disillusioned many educated Chinese and thus further weakened the Qing
government. -
In January 1900, Empress Dowager Cixi issued edicts in the Boxers’
defense, causing protests from foreign powers. The Boxer movement spread
rapidly. After several months of
growing violence against both the foreign and Christian presence in
Shandong and the North China plain in June 1900, Boxer fighters converged on Beijing.
Foreigners and Chinese Christians sought refuge in the Legation Quarter. The
Eight-Nation Alliance sent the Seymour Expedition to relieve the
siege. The Expedition was stopped by the Boxers at the Battle of
Langfang and forced to retreat. - The Alliance’s attack on the Dagu
Forts led the Qing government and the initially
hesitant Empress Dowager Cixi to side with and support the Boxers. On June 21, 1900, she
issued an Imperial Decree officially declaring war on the foreign powers. The
Alliance formed the second, much larger Gaselee Expedition and finally
reached Beijing. The Qing government evacuated to Xi’an. The
Boxer Protocol ended the war. - As a result of the rebellion, the European powers
ceased their ambitions to colonize China. Concurrently, this period
marks the ceding of European great power interference in Chinese affairs, with
the Japanese replacing the Europeans as the dominant power.
Empress
Dowager Cixi reluctantly started reforms known as the New Policies despite her previous views. The question of the historical interpretation of the rebellion remains controversial.
Key Terms
- Boxer Protocol
-
A treaty signed on September 7, 1901, between the Qing Empire of China and the Eight-Nation Alliance that provided military forces (Austria-Hungary, France, Germany, Italy, Japan, Russia, the United Kingdom, and the United States) plus Belgium, Spain, and the Netherlands, which ended the Boxer Rebellion. It provided for the execution of government officials who supported the Boxers, foreign troops to be stationed in Beijing, and 450 million taels of silver to be paid as indemnity over the next 39 years to the eight nations involved.
- Hundred Days’ Reform
-
A failed 103-day national cultural, political, and educational reform movement from June 11 to September 21, 1898 in late Qing dynasty China. It was undertaken by the young Guangxu Emperor and his reform-minded supporters. The movement was short-lived, ending in a coup d’état by powerful conservative opponents led by Empress Dowager Cixi.
- Boxer Rebellion
-
A violent anti-foreign and anti-Christian uprising in China between 1899 and 1901, toward the end of the Qing dynasty. It was initiated by the Militia United in Righteousness (Yihetuan), known in English as the Boxers, and was motivated by proto-nationalist sentiments and opposition to imperialist expansion and associated Christian missionary activity.
- Boxers
-
A martial society, known as the Militia United in Righteousness (Yihetuan), motivated by proto-nationalist sentiments and opposition to imperialist expansion and associated Christian missionary activity in China at the end of the 19th century. Its members practiced martial arts and claimed supernatural invulnerability towards Western weaponry. They believed that millions of soldiers of Heaven would descend to purify China of foreign oppression, a belief characteristic of millenarian movements.
- Seymour Expedition
-
An attempt by a multi-national military force to march to Beijing and protect the diplomatic legations and foreign nationals in the city from attacks by Boxers in 1900. The Chinese army forced it to return to Tianjin (Tientsin).
- New Policies
-
A series of political, economical, military, cultural, and educational reforms implemented in the last decade of the Qing dynasty to keep it in power after the humiliating defeat in the Boxer Rebellion. The reforms started in 1901.
- Gaselee Expedition
-
A successful relief by a multi-national military force to march to Beijing and protect the diplomatic legations and foreign nationals in the city from attacks in 1900. The expedition was part of the war of the Boxer Rebellion.
- Legation Quarter
-
The area in Beijing, China, where a number of foreign legations were located between 1861 and 1959. It is located in the Dongcheng District, immediately east of Tiananmen Square.
- Juye Incident
-
The killing of two German Catholic missionaries, Richard Henle and Franz-Xavier Nies of the Society of the Divine Word, in Juye County Shandong Province, China on November 1, 1897.
The Righteous and Harmonious Fists (Yihetuan) arose in the inland sections of the northern coastal province of Shandong long known for social unrest, religious sects, and martial societies. American Christian missionaries were probably the first to refer to the well-trained, athletic young men as Boxers because of the martial arts and calisthenics they practiced. Their primary practice was a type of spiritual possession that involved the whirling of swords, violent prostrations, and chanting incantations to deities. The excitement and moral force of these possession rituals were especially attractive to unemployed and powerless village men, many of whom were teenagers.
The Boxers believed that through training, diet, martial arts, and prayer they could perform extraordinary feats. The tradition of possession and invulnerability went back several hundred years, but took on special meaning against the powerful new weapons of the West. The Boxers, armed with rifles and swords, claimed supernatural invulnerability to blows of cannon, rifle shots, and knife attacks. Furthermore, the Boxer groups popularly claimed that millions of soldiers of Heaven would descend to assist them in purifying China of foreign oppression.
Although women were not allowed to join the Boxer units, they formed their own groups, the Red Lanterns. Popular local lore reported that they were able to fly, walk on water, set Christians’ homes on fire, and stop foreign guns, powers which the male Boxers themselves did not claim. The only reliable account of their actual activities comes from the 1900 Battle of Tientsin, when they nursed wounded Boxers and did work such as sewing and cleaning.
Causes of Rebellion
International tension and domestic unrest fueled the spread of the Boxer movement. First, a drought followed by floods in Shandong province in 1897–1898 forced farmers to flee to cities and seek food. Another major cause of discontent in north China was missionary activity. The treaties signed after the Second Opium War granted foreign missionaries the freedom to preach anywhere in China and buy land on which to build churches. In 1897, a band of armed men who were likely members of the Big Swords Society,
a traditional peasant self-defense group widespread in northern China, stormed the residence of a German missionary and killed two priests. This attack is known as the Juye Incident. When Kaiser Wilhelm II received news of these murders, he dispatched the German East Asia Squadron to occupy Jiaozhou Bay on the southern coast of the Shandong peninsula. Germany’s action triggered a scramble for concessions by which Britain, France, Russia, and Japan also secured their own spheres of influence in China.
“China — the cake of kings and… of emperors” (a French pun on king cake and kings and emperors wishing to “consume” China), Henri Meyer, an illustration from supplement to Le Petit Journal, January 16, 1898, Bibliothèque nationale de France.
A French political cartoon depicting China as a pie about to be carved up by Queen Victoria (Britain), Kaiser Wilhelm II (Germany), Tsar Nicholas II (Russia), Marianne (France), and a samurai (Japan), while a Chinese mandarin helplessly looks on.
In 1898, a group of Boxers attacked the Christian community of Liyuantun village where a temple to the Jade Emperor had been converted into a Catholic church. This incident marked the first time the Boxers used the slogan “Support the Qing, destroy the foreigners” that would later characterize them. The Boxers called themselves the Militia United in Righteousness for the first time at the Battle of Senluo Temple (1899), a clash between Boxers and Qing government troops. By using the word militia rather than Boxers, they distanced themselves from forbidden martial arts sects and tried to give their movement the legitimacy of a group that defended orthodoxy.
The early growth of the Boxer movement coincided with the Hundred Days’ Reform (June 11 – September 21, 1898). Progressive Chinese officials, with support from Protestant missionaries, persuaded the Guangxu Emperor to institute reforms that alienated many conservative officials by their sweeping nature. Such opposition from conservative officials led Empress Dowager Cixi to intervene and reverse the reforms. The failure of the reform movement disillusioned many educated Chinese and thus further weakened the Qing government. After the reforms ended, the conservative Empress Dowager Cixi seized power and placed the reformist Guangxu Emperor under house arrest.
Despite the obvious internal weaknesses, the national crisis was widely seen as being caused by foreign aggression. Foreign powers had defeated China in several wars, asserted a right to promote Christianity, and imposed unequal treaties, under which foreigners and foreign companies in China were accorded special privileges, extraterritorial rights, and immunity from Chinese law, causing resentment and xenophobic reactions among the Chinese. When France, Japan, Russia, and Germany carved out spheres of influence, it appeared that China would be dismembered, with foreign powers each ruling a part of the country. By 1900, the Qing dynasty was crumbling and Chinese culture was under assault by powerful and unfamiliar religions and secular cultures.
Spreading Rebellion
In January 1900, with a majority of conservatives in the imperial court, Empress Dowager Cixi changed her long-standing policy of suppressing Boxers and issued edicts in their defense, causing protests from foreign powers. The Boxer movement spread rapidly. They burned Christian churches, killed Chinese Christians, and intimidated Chinese officials who stood in their way. After several months of growing violence against both the foreign and Christian presence in Shandong and the North China plain in June 1900, Boxer fighters, convinced they were invulnerable to foreign weapons, converged on Beijing. Foreigners and Chinese Christians sought refuge in the Legation Quarter. The Eight-Nation Alliance sent the Seymour Expedition of Japanese, Russian, Italian, German, French, American, and Austrian troops to relieve the siege. The Expedition was stopped by the Boxers at the Battle of Langfang and forced to retreat. Due to the Alliance’s attack on the Dagu Forts, the Qing government in response sided with the Boxers and
the initially hesitant Empress Dowager Cixi supported the Boxers. On June 21, 1900, she issued an Imperial Decree officially declaring war on the foreign powers. The Alliance formed the second, much larger Gaselee Expedition and finally reached Beijing. The Qing government evacuated to Xi’an.
A Boxer during the revolt, Department of the Army, Office of the Chief Signal Officer, 1899/1900.
Chinese officialdom was split between those supporting the Boxers and those favoring conciliation, led by Prince Qing. The supreme commander of the Chinese forces, the Manchu General Ronglu (Junglu), later claimed that he acted to protect the besieged foreigners.
The Boxer Protocol ended the war, signed on September 7, 1901, between the Qing Empire of China and the Eight-Nation Alliance that provided military forces (Austria-Hungary, France, Germany, Italy, Japan, Russia, the United Kingdom, and the United States) plus Belgium, Spain and the Netherlands.
It provided for the execution of government officials who had supported the Boxers, for foreign troops to be stationed in Beijing, and 450 million taels of silver—more than the government’s annual tax revenue—to be paid as indemnity over the course of the next 39 years to the eight nations involved.
A large portion of the reparations paid to the United States was diverted to pay for the education of Chinese students in U.S. universities under the Boxer Indemnity Scholarship Program. To prepare the students chosen for this program, an institute was established to teach the English language and serve as a preparatory school. When the first of these students returned to China they taught subsequent students. From this institute was born Tsinghua University. Some of the reparation due to Britain was later earmarked for a similar program.
Consequences
The European great powers finally ceased their ambitions to colonize China, having learned from the Boxer Rebellion that it was best to deal with China’s ruling dynasty rather than directly with the Chinese people. Concurrently, this period marks the ceding of European great power interference in Chinese affairs, with the Japanese replacing the Europeans as the dominant power for their lopsided involvement in the war against the Boxers as well as their victory in the First Sino-Japanese War (1894-95). With the toppling of the Qing that followed and the rise of the nationalist Kuomintang, European sway within China was reduced to symbolic status. After taking Manchuria in 1905, Japan came to dominate Asian affairs both militarily and culturally.
In 1900, Russia occupied Manchuria, a move that threatened Anglo-American hopes of maintaining what remained of China’s territorial integrity and the country’s openness to commerce under the Open Door Policy. Japan’s clash with Russia over Liaodong and other provinces in eastern Manchuria, due to the Russian refusal to honor the terms of the Boxer protocol that called for their withdrawal, led to the Russo-Japanese War when two years of negotiations broke down in 1904. Russia was ultimately defeated by an increasingly confident Japan.
Besides the compensation, Empress Dowager Cixi reluctantly started some reforms despite her previous views. Under her reforms known as the New Policies started in 1901, the imperial examination system for government service was eliminated and as a result the system of education through Chinese classics was replaced with a European liberal system that led to a university degree. Along with the formation of new military and police organizations, the reforms also simplified central bureaucracy and revamped taxation policies. Internal ideological differences between northern-Chinese anti-foreign royalists and southern-Chinese anti-Qing revolutionists further deepened.
President William McKinley’s decision to send 5,000 American troops to quell the rebellion without consulting Congress marked a crucial shift in the presidential employment of armed force overseas. In the 19th century, military force committed without congressional authorization was typically used against nongovernmental organizations but was now used against sovereign states.
From the beginning, views differed as to whether the Boxers were better seen as anti-imperialist, patriotic, and proto-nationalist or as violent, irrational, and futile opponents of inevitable change. More recently, Chinese historians have undermined
the dominant history textbook narrative in China, which presents the Boxer Uprising as an admirable expression of patriotism. The historians emphasize the damage and suffering that the rebellion caused and note that the majority of the Boxer rebels were both violent and xenophobic. This reinterpretation remains controversial in China.
27.1.7: The Open Door Policy
The Open Door Policy was a largely ineffective policy proposed by the United States at the turn of the 20th century to keep China equally open to trade with all countries, preventing any one power from gaining total control.
Learning Objective
Define the Open Door Policy
Key Points
-
At
the end of the 19th century, China faced the threat of being partitioned and
colonized by imperial powers, including Britain, France, Russia, Japan, and
Germany. After winning the Spanish-American War of 1898 and acquiring the Philippine Islands, the United States also increased its Asian
presence and was expecting to further its commercial and political interest in
China. However, the United States felt threatened by other powers’ much larger spheres of
influence and worried that it might lose access to the Chinese market
should the country be partitioned. - As a response, U.S. diplomat William
Woodville Rockhill formulated the Open Door Policy to safeguard American
business opportunities and other interests in China. In 1899, U.S. Secretary of
State John Hay sent notes to France, Germany, Britain, Italy, Japan, and
Russia, asking them to declare formally that they would uphold Chinese
territorial and administrative integrity and not interfere with the free
use of the treaty ports within their spheres of influence in China. The Open
Door Policy stated that all nations, including the United States, could enjoy
equal access to the Chinese market. -
In
1902, the United States government protested the Russian encroachment in
Manchuria after the Boxer Rebellion as a violation of the Open Door Policy.
When Japan replaced Russia in southern Manchuria after the Russo-Japanese War
(1904–05), the Japanese and U.S. governments pledged to maintain a policy of
equality in Manchuria. -
In 1917, a diplomatic note was signed between
the United States and Japan to regulate disputes over China. Signed by U.S.
Secretary of State Robert Lansing and Japanese special envoy Ishii Kikujirō and
thus known as the Lansing-Ishii Agreement, the note pledged to uphold the
Open Door Policy in China with respect to its territorial and administrative
integrity. However, the U.S. government also acknowledged that Japan had
“special interests” in China due to its geographic proximity. -
The Lansing–Ishii Agreement was replaced by the 1922 Nine-Power Treaty. During the Washington
Naval Conference of 1921–1922, the U.S. government again raised the
Open Door Policy as an international issue and had all attendees sign the Nine-Power Treaty, which intended
to make the Open Door Policy international law. The Nine-Power Treaty affirmed
the sovereignty and territorial integrity of China as per the Open Door
Policy. World War II effectively violated the treaty. - The Open Door Policy was a principle that was never formally adopted via treaty or international law. It was invoked or alluded to but never enforced as such. In practice, it was used to mediate competing interests of the colonial powers without much meaningful input from the Chinese, creating lingering resentment and causing it to later be seen as a symbol of national humiliation by Chinese historians.
Key Terms
- Lansing-Ishii Agreement
-
A diplomatic note signed between the United States and the Empire of Japan on November 2, 1917, over their disputes with regards to China.
Both parties pledged to uphold the Open Door Policy in China with respect to its territorial and administrative integrity. However, the United States government also acknowledged that Japan had “special interests” in China due to its geographic proximity, which was in effect a contradiction to the Open Door Policy. - Nine-Power Treaty
-
A 1922 treaty affirming the sovereignty and territorial integrity of China as per the Open Door Policy. The treaty was signed on February 6, 1922, by all attendees to the Washington Naval Conference: the United States, Belgium, the British Empire, Republic of China, France, Italy, Imperial Japan, the Netherlands, and Portugal.
- Open Door Policy
-
A term in foreign affairs initially used to refer to the United States policy established in the late 19th century and the early 20th century, as enunciated by Secretary of State John Hay. The policy proposed to keep China open to trade with all countries on an equal basis, preventing any one power from total control of the country.
Origins of Open Door Policy
At the end of the 19th century, China faced the threat of being partitioned and colonized by imperial powers, including Britain, France, Russia, Japan, and Germany. After winning the Spanish-American War of 1898 and acquiring the Philippine Islands, the United States also increased its Asian presence and was expecting to further its commercial and political interest in China. However, the United States felt threatened by other powers’ much larger spheres of influence in China and worried that it might lose access to the Chinese market should the country be partitioned. As a response, U.S. diplomat William Woodville Rockhill formulated the Open Door Policy to safeguard American business opportunities and interests in China. In 1899, U.S. Secretary of State John Hay sent notes to France, Germany, Britain, Italy, Japan, and Russia, asking them to declare formally that they would uphold Chinese territorial and administrative integrity and would not interfere with the free use of the treaty ports within their spheres of influence in China. The Open Door Policy stated that all nations, including the United States, could enjoy equal access to the Chinese market.
In reply, each country tried to evade Hay’s request, taking the position that it could not commit itself until the other nations had complied. However, Hay announced that each of the powers had granted consent in principle. In 1900, Britain and Germany signed the Yangtze Agreement, which provided that they would oppose the partition of China into spheres of influence. The agreement was an endorsement of the Open Door Policy.
Nonetheless, competition between the various powers for special concessions within Qing dynasty China for railroad rights, mining rights, loans, foreign trade ports, and privilege continued unabated.
“Putting his foot down” by J.S. Pughe, Punch, August 23, 1899.
Uncle Sam stands on map of China that is being cut up by German, Italy, England, Russia, and France (Austria is in the background sharpening shears); Uncle Sam clutches “Trade Treaty with China” and says: “Gentleman, you may cut up this map as much as you like, but remember, I’m here to stay, and you can’t divide Me up into spheres of influence.”
Open Door Policy in Practice
In 1902, the United States government protested the Russian encroachment in Manchuria after the Boxer Rebellion as a violation of the Open Door Policy. When Japan replaced Russia in southern Manchuria after the Russo-Japanese War (1904–05), the Japanese and U.S. governments pledged to maintain a policy of equality in Manchuria.
In 1917, a diplomatic note was signed between the United States and Japan to regulate disputes over China.
Signed by U.S. Secretary of State Robert Lansing and Japanese special envoy Ishii Kikujirō and thus known as the Lansing-Ishii Agreement, the note pledged to uphold the Open Door Policy in China with respect to its territorial and administrative integrity. However, the United States government also acknowledged that Japan had “special interests” in China due to its geographic proximity, especially in those areas of China adjacent to Japanese territory, which was in effect a contradiction to the Open Door Policy. In a secret protocol attached to the public note, both parties agreed not to take advantage of the special opportunities presented by World War I to seek special rights or privileges in China at the expense of other nations allied in the war effort against Germany.
William Woodville Rockhill (1854-1914), U.S. Ambassador to Russia, United States Department of State.
With the outbreak of the Boxer Rebellion, U.S. Secretary of State John Hay, who knew little of the Far East, turned to Rockhill for guidance. Rockhill drafted a memorandum that spelled out the Open Door Policy. The memorandum was circulated to Russia, Britain, Germany, France, Japan, and Italy and in March 1900, Secretary Hay announced that all the Great Powers had signed off on the Open Door Policy.
At the time, the Lansing-Ishii Agreement was touted as evidence that Japan and the United States had laid to rest their increasingly bitter rivalry over China, and the Agreement was hailed as a landmark in Japan-U.S. relations. However, critics soon realized that the vagueness of the Agreement meant that nothing had really been decided after two months of talks.
The Lansing-Ishii Agreement was replaced in 1923 by the Nine-Power Treaty.
During the Washington Naval Conference of 1921–1922, the United States government again raised the Open Door Policy as an international issue and had all of the attendees (United States, Republic of China, Imperial Japan, France, Great Britain, Italy, Belgium, Netherlands, and Portugal) sign the Nine-Power Treaty, which intended to make the Open Door Policy international law. The Nine-Power Treaty
affirmed the sovereignty and territorial integrity of China as per the Open Door Policy. It also effectively prompted Japan to return territorial control of Shandong province (a former German holding in China controlled by Japan as a result of World War I) to the Republic of China.
The Nine-Power Treaty lacked any enforcement regulations, and when violated by Japan during its invasion of Manchuria in 1931 and creation of Manchukuo, the United States could do little more than issue protests and impose economic sanctions. In 1937, the signatories of the Nine-Power Treaty convened in Brussels for the Nine Power Treaty Conference after the outbreak of the Second Sino-Japanese War, but to no avail. World War II effectively violated the Nine-Power Treaty.
Significance
The Open Door Policy was a principle that was never formally adopted via treaty or international law. It was invoked or alluded to but never enforced as such.
In practice, it was used to mediate competing interests of the colonial powers without much meaningful input from the Chinese, creating lingering resentment and causing it to later be seen as a symbol of national humiliation by Chinese historians.
27.2: From the Edo Period to Meiji Restoration in Japan
27.2.1: The Edo Period
The Edo period (1603-1868), when Japanese society was under the rule of the Tokugawa shogunate, was characterized by economic growth, strict social order, isolationist foreign policies, and stable population.
Learning Objective
Characterize the Edo Period in Japan
Key Points
-
Shogun was the military dictator of
Japan from 1185 to 1868 (with exceptions). In most of
this period, the shoguns were the de facto rulers of the
country, although nominally e appointed by the Emperor. The shogun held almost absolute power over
territories through military means. A shogun’s office or administration is the
shogunate, known in Japanese as the bakufu. Between 1603 and 1868 Japanese society was under the rule of the Tokugawa shogunate, a period known as the Edo period. - This period brought 250 years of stability to Japan.
The political system evolved into what historians call bakuhan, a
combination of the terms bakufu and han (domains)
to describe the government and society of the period. In the bakuhan,
the shogun had national authority and the daimyōs had regional
authority. This represented a new unity in the feudal structure, which featured
an increasingly large bureaucracy to administer the mixture of centralized and
decentralized authorities. -
A code of laws was established to regulate the daimyō houses.
It encompassed private conduct, marriage, dress, types of weapons, and
numbers of troops allowed. It required the feudal lords to reside in Edo every
other year, prohibited the construction of ocean-going ships, proscribed
Christianity, restricted castles to one per domain (han), and stipulated
that bakufu regulations were the national law. The
Tokugawa shogunate also went to great lengths to suppress social unrest. -
Edo society had an elaborate social structure
in which everyone knew their place and level of prestige. At the top were the
Emperor and the court nobility, invincible in prestige but weak in power. Next
came the shogun, daimyōs, and layers of feudal lords. A social order called “the four divisions of
society” was adapted to stabilize the country, comprised of samurai,
farming peasants, artisans, and merchants. The classes were not arranged by wealth or capital but by what philosophers
described as their moral purity. - The Edo period witnessed the growth of a vital
commercial sector, burgeoning urban centers, relatively well-educated elite,
sophisticated government bureaucracy, productive agriculture, highly developed
financial and marketing systems, and a national infrastructure of roads. Rice was the base of the economy. About 80% of
the people were rice farmers. Rice production increased steadily, but
population remained stable, so prosperity increased. - Japan also developed an advanced forest management policy. Increased demand for timber
resources for construction, shipbuilding, and fuel led to widespread
deforestation, which resulted in forest fires, floods, and soil erosion. In
response, the shogun instituted a policy to reduced
logging and increased the planting of trees.
Key Terms
- Shogun
-
The military dictator of Japan during the period from 1185 to 1868 (with exceptions). In most of this period, they were the de facto rulers of the country, although nominally they were appointed by the Emperor as a ceremonial formality. They held almost absolute power over territories through military means.
- Edo period
-
The period between 1603 and 1868 in the history of Japan, when Japanese society was under the rule of the Tokugawa shogunate and the country’s 300 regional daimyō. The period was characterized by economic growth, strict social order, and isolationist foreign policies.
- Sakoku
-
The foreign relations policy of Japan under which severe restrictions were placed on the entry of foreigners and Japanese people were forbidden to leave the country without special permission on penalty of death if they returned. The policy was enacted by the Tokugawa shogunate under Tokugawa Iemitsu through a number of edicts and policies from 1633–39 and largely remained officially in effect until 1866. The arrival of the American Black Ships of Commodore Matthew Perry, which started the forced opening of Japan to Western trade, eroded its enforcement severely.
- Tokugawa shogunate
-
The last feudal Japanese military government, which existed between 1603 and 1867. The head of government was the shogun and each was a member of the Tokugawa clan. The regime ruled from Edo Castle and the years of the shogunate became known as the Edo period.
Example
Shogun and Shogunate
Shogun was the military dictator of Japan from 1185 to 1868 (with exceptions). In most of this period, the shoguns were the de facto rulers of the country, although nominally they were appointed by the Emperor as a ceremonial formality. The shogun held almost absolute power over territories through military means.
A shogun’s office or administration is the shogunate, known in Japanese as the bakufu. The shogun’s officials were collectively the bakufu and carried out the actual duties of administration, while the imperial court retained only nominal authority. In this context, the office of the shogun had a status equivalent to that of a viceroy or governor-general, but in reality shoguns dictated orders to everyone including the reigning Emperor.
Tokugawa Shogunate
During the second half of the 16th century, Japan gradually reunified under two powerful warlords, Oda Nobunaga and Toyotomi Hideyoshi.
In the hope of founding a new dynasty, Hideyoshi asked his most trusted subordinates to pledge loyalty to his infant son Toyotomi Hideyori. Despite this, almost immediately after Hideyoshi’s death (1598), war broke out between Hideyori’s allies and those loyal to Tokugawa Ieyasu, a feudal lord (daimyō) and former ally of Hideyoshi. Tokugawa Ieyasu won a decisive victory at the Battle of Sekigahara in 1600 and although it took him three more years to consolidate his position of power over the Toyotomi clan and the daimyōs, Sekigahara is widely considered to be the unofficial beginning of the Tokugawa bakufu.
In 1603, Emperor Go-Yōzei declared Tokugawa Ieyasu shogun.
Ieyasu abdicated two years later to groom his son as the second shogun of what became a long dynasty. Despite laws imposing tighter controls on the daimyōs, the latter continued to maintain a significant degree of autonomy in their domains. The central government of the shogunate in Edo, which quickly became the most populous city in the world, took counsel from a group of senior advisors known as rōjū and employed the samurai as bureaucrats. The Emperor in Kyoto was funded lavishly by the government but had no political power.
Tokugawa Ieyasu, first shogun of the Tokugawa shogunate, by Kanō Tan’yū, Osaka Castle main tower
Ieyasu had a number of qualities that enabled him to rise to power. He was both careful and bold—at the right times, and in the right places. Calculating and subtle, Ieyasu switched alliances when he thought he would benefit from the change.
The period of the rule of the Tokugawa shogunate, known as the Edo period, brought 250 years of stability to Japan. The political system evolved into what historians call bakuhan, a combination of the terms bakufu and han (domains). In the bakuhan, the shogun had national authority and the daimyōs had regional authority. This represented a new unity in the feudal structure, which featured an increasingly large bureaucracy to administer the mixture of centralized and decentralized authorities.
A code of laws was established to regulate the daimyō houses. The code encompassed private conduct, marriage, dress, types of weapons, and numbers of troops allowed. It required the feudal lords to reside in Edo every other year, prohibited the construction of ocean-going ships, proscribed Christianity, restricted castles to one per domain (han) and stipulated that bakufu regulations were the national law. Although the daimyō were not taxed per se, they were regularly levied for contributions for military and logistical support and for such public works projects as castles, roads, bridges, and palaces. The various regulations and levies not only strengthened the Tokugawa but depleted the wealth of the daimyōs, thus weakening their threat to the central administration. The han, once military-centered domains, became mere local administrative units. The daimyōs did have full administrative control over their territories and their complex systems of retainers, bureaucrats, and commoners.
The Tokugawa shogunate went to great lengths to suppress social unrest. Harsh penalties, including crucifixion, beheading, and death by boiling, were decreed for even the most minor offenses, although criminals of high social class were often given the option of seppuku (“self-disembowelment”), an ancient form of suicide that became ritualized. Christianity, which was seen as a potential threat, was gradually restricted until it was completely outlawed. To prevent further foreign ideas from sowing dissent, the third Tokugawa shogun, Iemitsu, implemented the sakoku (“closed country”) isolationist policy, under which Japanese people were not allowed to travel abroad, return from overseas, or build ocean-going vessels. The only Europeans allowed on Japanese soil were the Dutch, who were granted a single trading post on the island of Dejima. China and Korea were the only other countries permitted to trade and many foreign books were banned from import.
Social Structure
Edo society had an elaborate social structure in which everyone knew their place and level of prestige. At the top were the Emperor and the court nobility, invincible in prestige but weak in power. Next came the shogun, daimyōs, and layers of feudal lords, whose rank was indicated by their closeness to the Tokugawa. The daimyōs comprised about 250 local lords of local han with annual outputs of 50,000 or more bushels of rice.
The Tokugawa government adapted a social order called “the four divisions of society” (shinōkōshō
or mibunsei) that stabilized the country. This system was based on the ideas of Confucianism that spread to Japan from China. Society was composed of samurai, farming peasants, artisans, and merchants. Samurai were placed at the top because they started an order and set a high moral example for others to follow. The system was meant to reinforce their position of power in society by justifying their ruling status. Peasants came second because they produced the most important commodity, food. According to Confucian philosophy, society could not survive without agriculture. Third were artisans because they produced nonessential goods. Merchants were at the bottom of the social order because they generated wealth without producing any goods. As this indicates, the classes were not arranged by wealth or capital but by what philosophers described as their moral purity. In actuality, shinōkōshō does not accurately describe Tokugawa society as many were excluded from this simplified division (e.g., soldiers, clergy, service providers like cleaners, etc.).
The individual had no legal rights in Tokugawa Japan. The family was the smallest legal entity and the maintenance of family status and privileges was of great importance at all levels of society.
Terakoya, private educational school (here specifically for girls) by Issunshi Hanasato
The first terakoya made their appearance at the beginning of the 17th century, as a development from educational facilities founded in Buddhist temples. Before the Edo period, public educational institutions were dedicated to the children of samurai and ruling families, thus the rise of the merchant class in the middle of the Edo period boosted the popularity of terakoya. They were common in large cities as Edo and Osaka, as well as in rural and coastal regions.
Economic Development
The Edo period witnessed the growth of a vital commercial sector, burgeoning urban centers, relatively well-educated elite, sophisticated government bureaucracy, productive agriculture, highly developed financial and marketing systems, and a national infrastructure of roads. Economic development included urbanization, increased shipping of commodities, a significant expansion of domestic and initially foreign commerce, and a diffusion of trade and handicraft industries. The construction trades flourished, along with banking facilities and merchant associations.
By the mid-18th century, Edo had a population of more than one million, and Osaka and Kyoto each had more than 400,000 inhabitants. Many other castle towns grew as well. Japan had almost zero population growth between the 1720s and 1820s. This is often attributed to lower birth rates in response to widespread famine, but some historians have presented different theories, such as a high rate of infanticide as a means to artificially control population.
Rice was the base of the economy. About 80% of the people were rice farmers. Rice production increased steadily, but population remained stable, so prosperity increased. Improved technology helped farmers control the all-important flow of irrigation to their paddies. Large-scale rice markets developed, centered on Edo and Ōsaka. The daimyōs collected the taxes from the peasants in the form of rice. Taxes were high, about 40% of the harvest. In the cities and towns, guilds of merchants and artisans met the growing demand for goods and services. The merchants, though low in status, prospered, especially those with official patronage. They invented credit instruments to transfer money, currency came into common use, and the strengthening credit market encouraged entrepreneurship.
It was during the Edo period that Japan developed an advanced forest management policy. Increased demand for timber resources for construction, shipbuilding, and fuel had led to widespread deforestation, which resulted in forest fires, floods, and soil erosion. In response, the shogun, beginning around 1666, instituted a policy to reduced logging and increased the planting of trees. The policy mandated that only the shogun and daimyōs could authorize the use of wood. By the 18th century, Japan had developed detailed scientific knowledge about silviculture and plantation forestry.
27.2.2: Isolationism in the Edo Period
The isolationist policy of the Tofugawa shogunate known as sakoku tightly controlled Japanese trade and foreign influences for over 200 years, ending with the Perry Expedition that forced Japan to open its market to European imperial powers.
Learning Objective
Describe Japanese isolationism in the Edo Period
Key Points
- Sakoku was the foreign relations policy of Japan, enacted by the Tokugawa shogunate through a number of edicts and policies from 1633–39, under which severe restrictions were placed on the entry of foreigners to Japan and Japanese people were forbidden to leave the country without special permission. Historians have argued that the sakoku policy was established to remove the colonial and religious influence of Spain and Portugal and for the Tokugawa to acquire sufficient control over Japan’s foreign policy.
- Japan was not completely isolated under the sakoku policy, but strict regulations were applied to commerce and foreign relations by the shogunate and by certain feudal domains (han). The shogunate maintained limited and tightly controlled trade relations with the Dutch, China, Korea, the Ainu people, and the Ryūkyū Kingdom.
- The growing commerce between America and China, the presence of American whalers in waters off Japan, and the increasing monopolization of potential coaling stations by the British and French in Asia were all contributing factors in the decision by U.S. President Millard Fillmore to dispatch an expedition to Japan. The Americans were also driven by the idea that Western civilization and Christianity would benefit and thus should be imposed on Asian nations.
- The Perry Expedition, under Commodore Matthew Calbraith Perry, left the U.S. in 1852 and reached Japan in 1853. Perry employed various techniques to intimidate the Japanese and refused their demands to leave or to proceed to Nagasaki, the only Japanese port open to foreigners. Eventually the Japanese decided that simply accepting a letter from the Americans would not constitute a violation of Japanese sovereignty. After presenting the letter, Perry departed for Hong Kong, promising to return the following year for the Japanese reply.
- Perry returned in 1854, after only half a year. After initial resistance, he was permitted to land at Kanagawa, where after negotiations lasting for around a month the Convention of Kanagawa was signed on March 31, 1854. The convention effectively meant the end of Japan’s policy of national seclusion by opening the ports of Shimoda and Hakodate to American vessels. It also ensured the safety of American castaways and established the position of an American consul in Japan.
- Externally, the treaty led to treaties with the United States, the United Kingdom, Russia, and France. Internally, debate over foreign policy and popular outrage over perceived appeasement to the foreign powers was a catalyst for the eventual end of the Tokugawa shogunate.
Key Terms
- Sakoku
-
The foreign relations policy of Japan under which severe restrictions were placed on the entry of foreigners to Japan and Japanese people were forbidden to leave the country without special permission, on penalty of death if they returned. The policy was enacted by the Tokugawa shogunate under Tokugawa Iemitsu through a number of edicts and policies from 1633–39 and largely remained officially in effect until 1866, although the arrival of the American Black Ships of Commodore Matthew Perry, which started the forced opening of Japan to Western trade, eroded its enforcement severely.
- Perry Expedition
-
A diplomatic expedition to Japan involving two separate trips by warships of the United States Navy, during 1853–54. The primary goal was to force an end to Japan’s 220-year-old policy of isolation and open Japanese ports to American trade, through the use of gunboat diplomacy if necessary. It led directly to the establishment of diplomatic relations between Japan and the western Great Powers and eventually to collapse of the ruling Tokugawa shogunate.
- Convention of Kanagawa
-
The first treaty between the United States of America and the Tokugawa Shogunate. Signed on March 31, 1854, under the threat of force, it effectively meant the end of Japan’s 220-year-old policy of national seclusion (sakoku) by opening the ports of Shimoda and Hakodate to American vessels. It also ensured the safety of American castaways and established the position of an American consul in Japan. The treaty precipitated the signing of similar treaties establishing diplomatic relations with other western powers.
- gunboat diplomacy
-
The pursuit of foreign policy objectives with the aid of conspicuous displays of naval power implying or constituting a direct threat of warfare, should terms not be agreeable to the superior force.
- Harris Treaty of 1858
-
A treaty, known formally as the Treaty of Amity and Commerce, between the United States and Japan signed on the deck of the USS Powhatan in Edo (now Tokyo) Bay on July 29, 1858. It opened the ports of Kanagawa and four other Japanese cities to trade and granted extraterritoriality to foreigners, among a number of trading stipulations.
- Tokugawa shogunate
-
The last feudal Japanese military government, which existed between 1603 and 1867. The head of government was the shogun and each was a member of the Tokugawa clan. The regime ruled from Edo Castle and the years of the shogunate became known as the Edo period.
Sakoku
Sakoku was the foreign relations policy of Japan under which severe restrictions were placed on the entry of foreigners to Japan and Japanese people were forbidden to leave the country without special permission, on penalty of death if they returned. The policy was enacted by the Tokugawa shogunate under Tokugawa Iemitsu, the third shogun of the Tokugawa dynasty, through a number of edicts and policies from 1633–39. It largely remained officially in effect until 1866, although the arrival of Commodore Matthew Perry in the 1850s began the opening of Japan to Western trade, eroding its enforcement.
Historians have argued that the sakoku policy was established to remove the colonial and religious influence of Spain and Portugal, perceived as posing a threat to the stability of the shogunate and to peace in the archipelago. Some scholars, however, have challenged this view as only a partial explanation. Another important factor behind sakoku was the Tokugawa government’s desire to acquire sufficient control over Japan’s foreign policy to guarantee peace and maintain Tokugawa supremacy over other powerful lords in the country.
Japan was not completely isolated under the sakoku policy, but strict regulations were applied to commerce and foreign relations by the shogunate and certain feudal domains (han). The policy stated that the only European influence permitted was the Dutch factory at Dejima in Nagasaki. Trade with China was also handled at Nagasaki. Trade with Korea was limited to the Tsushima Domain. Trade with the Ainu people was limited to the Matsumae Domain in Hokkaidō and trade with the Ryūkyū Kingdom took place in Satsuma Domain. Apart from these direct commercial contacts in peripheral provinces, trading countries sent regular missions to the shogun in Edo and Osaka Castle. Due to the necessity for Japanese subjects to travel to and from these trading posts, this trade resembled outgoing trade, with Japanese subjects making regular contact with foreign traders in essentially extraterritorial land. Trade with Chinese and Dutch traders in Nagasaki took place on an island called Dejima, separated from the city by a small strait. Foreigners could not enter Japan from Dejima, nor could Japanese enter Dejima, without special permissions or authority.
Western Challenges to Japanese Isolationism
The growing commerce between America and China, the presence of American whalers in waters off Japan, and the increasing monopolization of potential coaling stations by the British and French in Asia were all contributing factors in the decision by U.S. President Millard Fillmore to dispatch an expedition to Japan. The Americans were also driven by the idea that Western civilization and Christianity would benefit and thus should be imposed on Asian nations, which were seen as “backwards.” By the early 19th century, the Japanese policy of isolation was increasingly challenged. In 1844, King William II of the Netherlands sent a letter urging Japan to end the isolation policy on its own before change would be forced from the outside. Between 1790 and 1853, at least 27 U.S. ships (including three warships) visited Japan, only to be turned away. There were increasing sightings and incursions of foreign ships in Japanese waters and leading to debate in Japan on how to meet this potential threat to Japan’s economic and political sovereignty.
In 1851, U.S. Secretary of State Daniel Webster drafted a letter addressed to the “Japanese Emperor” with assurances that the planned expedition under the authority of Commodore John H. Aulick had no religious purpose, but was only to request “friendship and commerce” and supplies of coal needed by ships en route to China. The letter also boasted of American expansion across the North American continent and the technical prowess of the country. It was signed by President Fillmore. However, Aulick became involved in a diplomatic row with a Brazilian diplomat and quarrels with the captain of his flagship and was relieved of his command before he could undertake the expedition. His replacement, Commodore Matthew Calbraith Perry (1794–1858) was a senior-ranking officer in the United States Navy and had extensive diplomatic experience.
Perry Expedition
In 1852, Perry was assigned a mission to force the opening of Japanese ports to American trade, through the use of gunboat diplomacy if necessary. On November 24, 1852, Perry embarked from Norfolk, Virginia, in pursuit of a Japanese trade treaty. On his way, he met with American-born Sinologist Samuel Wells Williams, who provided Chinese language translations of his official letters, and with the Dutch-born American diplomat, Anton L. C. Portman, who translated his official letters into the Dutch language. Perry finally reached Uraga at the entrance to Edo Bay in Japan on July 8, 1853. His actions at this crucial juncture were shaped by a careful study of Japan’s previous contacts with Western ships and what he knew about the Japanese hierarchical culture. As he arrived, Perry ordered his ships to steam past Japanese lines towards the capital of Edo and turn their guns towards the town of Uraga. He refused Japanese demands to leave or to proceed to Nagasaki, the only Japanese port open to foreigners.
Matthew Calbraith Perry, photo by Mathew Brady, ca. 1856-58.
When Perry returned to the United States in 1855, Congress voted to grant him a reward of $20,000 (USD $514,000 in 2017) in appreciation of his work in Japan. He used part of this money to prepare and publish a report on the expedition in three volumes, titled Narrative of the Expedition of an American Squadron to the China Seas and Japan.
Perry attempted to intimidate the Japanese by presenting them a white flag and a letter, which said that if they chose to fight, the Americans would destroy them. He also fired blank shots from his 73 cannons, which he claimed was in celebration of the American Independence Day. Perry’s ships were equipped with new Paixhans shell guns, cannons capable of wreaking explosive destruction with every shell. He also ordered his ship boats to commence survey operations of the coastline and surrounding waters over the objections of local officials.
In the meantime, the Japanese government was paralyzed by the illness of Shogun Tokugawa Ieyoshi and political indecision on how to handle the unprecedented threat to the nation’s capital. On July 11, the chief senior councilor (rōjū) Abe Masahiro decided that simply accepting a letter from the Americans would not constitute a violation of Japanese sovereignty and Perry was asked to move his fleet slightly southwest to the beach at Kurihama, where he was allowed to land. After presenting the letter to attending delegates, Perry departed for Hong Kong, promising to return the following year for the Japanese reply.
Perry returned on February 13, 1854, after only half a year rather than the full year promised, with ten ships and 1,600 men. Both actions were calculated to put even more pressure on the Japanese. After initial resistance, Perry was permitted to land at Kanagawa, where after month-long negotiations the Convention of Kanagawa was signed on March 31, 1854. Signed under the threat of force, the convention effectively meant the end of Japan’s 220-year-old policy of national seclusion by opening the ports of Shimoda and Hakodate to American vessels. It also ensured the safety of American castaways and established the position of an American consul in Japan.
Consequences
In the short-term, both sides were satisfied with the agreement. Perry had achieved his primary objective of breaking Japan’s sakoku policy and setting the grounds for protection of American citizens and an eventual commercial agreement. The Tokugawa shogunate could point out that the treaty was not actually signed by the Shogun or any of his rōjū, and by the agreement made, had at least temporarily averted the possibility of immediate military confrontation.
Japanese 1854 print relating Perry’s visit
After the signing of the convention, the Americans presented the Japanese with a miniature steam locomotive, a telegraph apparatus, various agricultural tools, and small arms as well as 100 gallons of whiskey, clocks, stoves, and books about the United States. The Japanese responded with gold-lacquered furniture and boxes, bronze ornaments, porcelain goblets, and upon learning of Perry’s personal hobby, a collection of seashells.
Externally, the treaty led to the United States-Japan Treaty of Amity and Commerce, the Harris Treaty of 1858, which allowed the establishment of foreign concessions, extraterritoriality for foreigners, and minimal import taxes for foreign goods. The Kanagawa Convention was also followed by similar agreements with the United Kingdom (Anglo-Japanese Friendship Treaty, 1854), the Russians (Treaty of Shimoda, 1855), and the French (Treaty of Amity and Commerce between France and Japan, 1858).
Internally, the treaty had far-reaching consequences. Decisions to suspend previous restrictions on military activities led to re-armament by many domains and further weakened the position of the Shogun. Debate over foreign policy and popular outrage over perceived appeasement to the foreign powers was a catalyst for the sonnō jōi movement (the movement to overthrow the Tokugawa shogunate) and a shift in political power from Edo back to the Imperial Court in Kyoto. The opposition of Emperor Kōmei to the treaties further lent support to the tōbaku (overthrow the Shogunate) movement, and eventually to the Meiji Restoration.
27.2.3: Art and Culture in the Edo Period
The Edo period witnessed the energetic growth of intellectual and artistic trends, including the development of sciences shaped by both Western and national influences, the emergence of new schools of art, and the rise of new literary genres fueled by the rising literacy rate among urban populations.
Learning Objective
Identify some artistic trends during the Edo Period
Key Points
- During the Edo period, the Japanese studied Western sciences and techniques (called rangaku, “Dutch studies”) through the information and books received from Dutch traders in Dejima. The main areas of study included geography, medicine, natural sciences, astronomy, art, languages, physical sciences, and mechanical sciences.
- The flourishing of neo-Confucianism was the major intellectual development of the Tokugawa period. Although this system of thought was not new during the Edo period, its major tenets became more popular, including a secular view of man and society, ethical humanism, rationalism, and historical perspective of neo-Confucian doctrine.
- By the mid-17th century, neo-Confucianism was Japan’s dominant legal philosophy and contributed directly to the development of the kokugaku. This school of Japanese philology and philosophy worked to refocus Japanese scholarship away from the then-dominant study of Chinese, Confucian, and Buddhist texts in favor of research into the early Japanese classics. It held that the Japanese national character would reveal its splendor once the foreign (Chinese) influences were removed.
- Advanced studies and growing applications of neo-Confucianism contributed to the transition of the social and political order from feudal norms to class- and large-group-oriented practices. The rule of the people or Confucian man was gradually replaced by the rule of law. New laws were developed and new administrative devices were instituted.
- For the first time, urban populations had the means and leisure time to support a new mass culture. Their search for enjoyment became known as ukiyo (the floating world), an ideal world of fashion, popular entertainment, and the discovery of aesthetic qualities in objects and actions of everyday life. Yoshiwara was a famous district of such enjoyment in Edo. Prostitution based on the indentured servitude of girls and young women became the critical component of the district’s identity.
- Music, popular stories, kabuki and bunraku (puppet theater), poetry, literature, and art all flourished during the Edo period. A new style of painting and printmaking known as ukiyo-e emerged in fine arts. In literature, many genres debuted, helped by a rising literacy rate among the growing population of townspeople and the development of lending libraries.
Key Terms
- ukiyo-e
-
A genre of art flourished in Japan from the 17th through 19th centuries. Its artists produced woodblock prints and paintings of such subjects as female beauties, kabuki actors, and sumo wrestlers, scenes from history and folk tales, travel scenes and landscapes, flora and fauna, and erotica. The term translates as “picture[s] of the floating world.”
- Chōnindō
-
A distinct culture that arose in cities such as Osaka, Kyoto, and Edo
during the Edo period of Japanese history. It encouraged aspiration to bushido (samurai code of conduct) qualities—diligence, honesty, honor, loyalty, and frugality—while blending Shinto, Neo-Confucian, and Buddhist beliefs. Study of mathematics, astronomy, cartography, engineering, and medicine were also encouraged. Emphasis was placed on quality of workmanship, especially in the arts. - Shinto
-
A Japanese ethnic religion that focuses on ritual practices to be carried out diligently and establishing a connection between present-day Japan and its ancient past. Its practices were first recorded and codified in the written historical records of the Kojiki and Nihon Shoki in the 8th century.
- Neo-Confucianism
-
A moral, ethical, and metaphysical Chinese philosophy influenced by Confucianism that became prominent in Japan during the Edo period. It was an attempt to create a more rationalist and secular form of Confucianism by rejecting superstitious and mystical elements of Taoism and Buddhism that had influenced Confucianism.
- Yoshiwara
-
A famous pleasure and red-light district in Edo, present-day Tōkyō. In the early 17th century, there was widespread male and female prostitution throughout the cities of Kyoto, Edo, and Osaka. To counter this, an order of Tokugawa Hidetada of the Tokugawa shogunate restricted prostitution to designated districts to prevent the nouveau riche (townsmen) from engaging in political intrigue.
- Kokugaku
-
An academic school of Japanese philology and philosophy that originated during the Tokugawa period. Its scholars worked to refocus Japanese scholarship away from the then-dominant study of Chinese, Confucian, and Buddhist texts in favor of research into the early Japanese classics.
Intellectual Trends
During the Edo period, the Japanese studied
Western sciences and techniques (called rangaku,
“Dutch studies”) through the information and books received from Dutch traders in Dejima. The main areas of study included geography,
medicine, natural sciences, astronomy, art, languages, physical sciences such
as the study of electrical phenomena, and mechanical sciences as exemplified by
the development of Japanese clockwatches, or wadokei,
inspired by Western techniques.
The flourishing of neo-Confucianism was
the major intellectual development of the Tokugawa period. Confucian studies
had long been kept active in Japan by Buddhist clerics,
but during the Tokugawa period, Confucianism emerged from Buddhist religious
control. Neo-Confucianism was an attempt to create a more rationalist and
secular form of Confucianism by rejecting superstitious and
mystical elements of Taoism and Buddhism that
earlier influenced Confucianism. Although the neo-Confucianists were
critical of Taoism and Buddhism, the new philosophy borrowed terms and concepts from both.
However, unlike the Buddhists and Taoists, who saw metaphysics as
a catalyst for spiritual development, religious enlightenment, and immortality,
the Neo-Confucianists used metaphysics as a guide for developing a rationalist ethical philosophy.
Although this system of thought was not new during the Edo period, its major
tenets, including a secular view of man
and society, ethical humanism, rationalism,
and historical perspective of neo-Confucian doctrine, grew in popularity.
By
the mid-17th century, Neo-Confucianism was Japan’s dominant legal philosophy
and contributed directly to the development of the kokugaku, a school of Japanese philology and philosophy that
originated during the Tokugawa
period. Kokugaku scholars worked to refocus Japanese scholarship away from
the then-dominant study of Chinese, Confucian, and Buddhist texts
in favor of research into the early Japanese classics. The Kokugaku school held that the Japanese national
character was naturally pure and would reveal its splendor once the foreign
(Chinese) influences were removed. The “Chinese heart” was different
from the “true heart” or “Japanese heart.” This true Japanese
spirit needed to be revealed by removing a thousand years of Chinese learning. Kokugaku contributed
to the emperor-centered nationalism of modern Japan and the revival of Shinto
as a national creed in the 18th and 19th centuries. Some purists in the
kokugaku movement, such as Motoori
Norinaga, even criticized the Confucian and Buddhist influences—in effect,
foreign influences—for contaminating Japan’s ancient ways.
Members of the samurai class
adhered to their ways of life (a code of conduct known as bushido) with a
renewed interest in Japanese history and in cultivation of the practices of
Confucian scholar-administrators. Another special way of life—chōnindō—also
emerged. Chōnindō (“the way of the townspeople”)
was a distinct culture that arose in cities such as Osaka, Kyoto, and Edo. It
encouraged aspiration to bushido qualities—diligence, honesty, honor, loyalty,
and frugality—while blending Shinto, Neo-Confucian, and Buddhist beliefs. Study of
mathematics, astronomy, cartography, engineering, and medicine were also
encouraged. Emphasis was placed on quality of workmanship, especially in the
arts.
Cultural Trends and Japanese Social
Order
Advanced studies and growing
applications of neo-Confucianism contributed to the transition of the social
and political order from feudal norms to class- and large-group-oriented
practices. The rule of the people or Confucian man was gradually replaced by the rule of
law. New laws were developed and new administrative devices were
instituted. A new theory of government and a new vision of society emerged to justify more comprehensive governance by the shogunate. Each person
had a distinct place in society and was expected to work to fulfill his or her
mission in life. The people were ruled with benevolence.
Government was all-powerful but responsible and humane. Although the class
system was influenced by neo-Confucianism, it was not identical to it. Whereas
soldiers and clergy were at the bottom of the hierarchy in the Chinese model,
in Japan, some members of these classes constituted the ruling elite.
For the first time, urban populations
had the means and leisure time to support new mass culture. Their search for
enjoyment became known as ukiyo (the floating world), an ideal world of fashion,
popular entertainment, and the discovery of aesthetic qualities in objects and
actions of everyday life. This increasing interest in pursuing recreational
activities developed an array of new industries, many
found in an area known as Yoshiwara. The region was better known for being the
center of Edo’s developing sense of elegance and refinement. This center of
pleasure and luxury became a destination for the elite and wealthy merchants
who wished to flaunt their fortune. For many who inhabited and
worked in this region, maintaining the illusion of grandeur was the only way of
supporting their businesses.
Yoshiwara
was home to many girls and women who provided services to lure
guests into returning. These included dancing, singing, playing an
instrument, gossiping, or providing companionship, which usually meant prostitution.
Girls were often indentured to the brothels by their parents between the ages
of seven and 12. Some would become an apprentice to a high-ranking courtesan.
When the girl was old enough and had completed her training, she would become a
courtesan herself and work her way up the ranks. The young women often had a
contract to the brothel for five to ten years, but massive debt sometimes
kept them there for life. The alleged cost of living at
Yoshiwara perpetuated the cycle of abuse as women were forced to pay the cost
of rent, clothing, make-up, gifts, and even their work contract. One way a woman could get out of Yoshiwara was for a rich
man to buy her contract from the brothel and keep her as his personal wife or concubine.
Another was if she managed to be successful to buy her
own freedom. This did not occur very often. Many women died of sexually
transmitted diseases or from failed abortions before completing their contracts. A
significant number served out their contracts and married a client, went into
other employment (including other forms of prostitution), or returned to their
family homes.
Prostitutes on display in Yoshiwara during the Meiji period (the period following the Edo period in the Japanese history), possibly by Kusakabe Kimbei.
The area was damaged by an extensive fire in 1913, then nearly wiped out by an earthquake in 1923. It remained in business, however, until prostitution was outlawed by the Japanese government in 1958 after World War II.
Arts and Literature
Music, popular stories, kabuki and bunraku (puppet
theater), poetry, literature, and art all flourished during the Edo period.
Around 1661, painted hanging scrolls known
as Portraits of Kanbun Beauties gained popularity. The
paintings of the Kanbun era (1661–73), most of which are
anonymous, marked the beginnings of a new style of painting and printmaking
known as ukiyo-e. The paintings of Iwasa
Matabei (1578–1650) are seen by some scholars as evidence that Matabei
he was the genre’s founder. In response to the increasing demand for ukiyo-e
works, Hishikawa Moronobu (1618–1694) produced the
first ukiyo-e woodblock prints. By 1672, Moronobu was so successful that he
began to sign his work—the first of the book illustrators to do so. He was a
prolific illustrator who worked in a wide variety of genres and developed an
influential style of portraying female beauties. Most significantly, he began
to produce illustrations, not just for books, but as single-sheet images which
could stand alone or be used as part of a series. The Hishikawa school
attracted a large number of followers.
Suzuki Harunobu produced
the first full-color nishiki-e prints in 1765, a form that has become
synonymous with ukiyo-e. The genre peaked in technique towards
the end of the century with the works of such artists as Kiyonaga and Utamaro. As the
Edo period came to an end, a great diversity of topics proliferated: warriors,
nature, folklore, and the landscapes of Hokusai and Hiroshige.
The genre declined throughout the rest of the century in the face of
modernization that saw ukiyo-e as both old-fashioned and laborious to produce
compared to Western technologies. Ukiyo-e was a primary part of the wave of Japanism that
swept Western art in the late 19th century.
Katsushika Hokusai’s The Great Wave off Kanagawa, 1831 (from
Thirty-six Views of Mount Fuji).
This one of the best-known works of Japanese art represents ukiyo-e.
Although it is often used in tsunami literature, there is no reason to suspect that Hokusai intended it to be interpreted in that way. The waves in this work are sometimes mistakenly referred to as tsunami but they are more accurately called okinami, great off-shore waves.
Due in large part to the rise of the
working and middle classes in the new capital of Edo (modern Tokyo), forms of
popular drama developed which would later evolve into kabuki. The jōruri and
kabuki dramatist Chikamatsu Monzaemon became popular at
the end of the 17th century and is known as Japan’s Shakespeare.
Many genres of literature made their début during the Edo Period, helped by a
rising literacy rate among the growing population of townspeople and the
development of lending libraries. Although there was a minor Western
influence trickling into the country from the Dutch settlement at
Nagasaki, it was the importation of Chinese vernacular fiction that proved
the greatest outside influence on the development of early modern Japanese
fiction. Ihara Saikaku is credited for the birth of modern
Japanese novel, mixing vernacular dialogue into his humorous and cautionary
tales of the pleasure quarters. Jippensha
Ikku wrote Tōkaidōchū Hizakurige, a mix of
travelogue and comedy. Tsuga Teisho, Takebe Ayatari, and Okajima Kanzan were
instrumental in developing the yomihon,
historical romances almost entirely in prose, influenced by Chinese
vernacular. Other genres included horror, crime stories, morality stories,
comedy, and pornography—often accompanied by colorful woodcut prints.
During the Tokugawa
period, as in earlier periods, scholarly work continued to be published in
Chinese, considered the language of the learned much as Latin was in Europe.
27.2.4: The Meiji Restoration
The Meiji Restoration was a chain of events, triggered by an internal crisis and strong anti-Western sentiments, that ended the Edo period and thus the rule of the Tokugawa shogunate and restored practical imperial rule to Japan in 1868 under Emperor Meiji.
Learning Objective
Explain why the Meiji Restoration occurred
Key Points
-
Bakumatsu refers to the final years of the Edo
period when the Tokugawa shogunate ended. Between 1853 and 1867, Japan ended
its isolationist foreign policy known as sakoku and changed
from a feudal Tokugawa shogunate to the pre-modern empire of the Meiji government.
The major ideological-political divide during this period was between the
pro-imperial nationalists called ishin shishi and the
shogunate forces, which included the elite shinsengumi swordsmen. -
During the last years of the Bakumatsu, the
shogunate took strong measures to try to reassert its dominance, although its
involvement with modernization and foreign powers made it a target of
anti-Western sentiment throughout the country. -
Tokugawa Yoshinobu (informally known as Keiki)
reluctantly became head of the Tokugawa house and shogun following the
unexpected death of Tokugawa Iemochi in 1866. In 1867, Emperor Kōmei died and
was succeeded by his second son, Mutsuhito, as Emperor Meiji. Tokugawa
Yoshinobu tried to reorganize the government under the Emperor while preserving
the shogun’s leadership role, a system known as kōbu gattai. -
The civil war known as the Boshin War decided the fate of the Tokugawa shogunate. An alliance of western samurai, particularly the domains of Chōshū, Satsuma, and Tosa, and court officials, secured control of the imperial court and influenced the Emperor Meiji. Tokugawa Yoshinobu, realizing the futility of his situation, abdicated political power to the emperor,
essentially ending both the power of the
Tokugawa and the shogunate that had ruled Japan for over 250 years. -
A new era, Meiji, was proclaimed. The first reform was
the promulgation of the Charter Oath in 1868, a general statement of the aims
of the Meiji leaders to boost morale and win financial support for the new
government. Implicit in the Charter Oath was an end to
exclusive political rule by the bakufu (a shogun’s direct administration
including officers), and a move toward more democratic participation in
government. To implement the Charter Oath, a short-lived constitution was drawn
up in 1868. -
The Meiji government assured the foreign powers
that it would follow the old treaties. Mutsuhito selected a new reign title—Meiji, or Enlightened
Rule—to mark the beginning of a new era in Japanese history. The capital was relocated from Kyoto to Tokyo (Eastern Capital), the new name for Edo. In a
move critical for the consolidation of the new regime, most feudal lords voluntarily
surrendered their land and census records to the Emperor in the abolition of
the han (feudal domain) system, symbolizing that the land and people were under
the Emperor’s jurisdiction.
Key Terms
- Bakumatsu
-
The final years of the Edo period when the Tokugawa shogunate ended. Between 1853 and 1867 Japan ended its isolationist foreign policy known as sakoku and changed from a feudal Tokugawa shogunate to the pre-modern empire of the Meiji government.
- Charter Oath
-
The 1868 oath that outlined the main aims and the course of action to be followed during Emperor Meiji’s reign, setting the legal stage for Japan’s modernization. It remained influential, less for governing than inspiring, throughout the Meiji era and into the 20th century and can be considered the first constitution of modern Japan.
- Boshin War
-
A civil war in Japan, sometimes known as the Japanese Revolution, fought from 1868 to 1869 between forces of the ruling Tokugawa shogunate and those seeking to return political power to the Imperial Court.
- Tokugawa shogunate
-
The last feudal Japanese military
government, which existed between 1603 and 1867. The head of government
was the shogun and each was a member of the Tokugawa clan. The regime
ruled from Edo Castle and the years of the shogunate became known as the
Edo period.
Bakumatsu
Bakumatsu refers to the final years of the Edo period when the Tokugawa shogunate ended. Between 1853 and 1867, Japan ended its isolationist foreign policy known as sakoku and changed from a feudal Tokugawa shogunate to the pre-modern empire of the Meiji government. The major ideological-political divide during this period was between the pro-imperial nationalists called ishin shishi and the shogunate forces, which included the elite shinsengumi swordsmen. Although these two groups were the most visible powers, many other factions attempted to use the chaos of Bakumatsu to seize personal power. There were two other main driving forces for dissent: growing resentment among outside feudal lords and growing anti-western sentiment following the arrival of Matthew C. Perry and the resulting end of isolationism. The feudal lords fought against Tokugawa forces at the Battle of Sekigahara in 1600 and had from that point on been excluded permanently from all powerful positions within the shogunate. The anti-Western sentiment was often expressed in the phrase sonnō jōi, or “revere the Emperor, expel the barbarians.”
During the last years of the Bakumatsu, the shogunate took strong measures to try to reassert its dominance, although its involvement with modernization and foreign powers made it a target of anti-Western sentiment throughout the country. Naval students were sent to study in Western schools for several years, starting a tradition of foreign-educated future leaders. By the end of the Tokugawa shogunate in 1868, the Japanese navy of the shogun already possessed eight western-style steam warships. A French Military Mission to Japan (1867) was established to help modernize the shogunate armies. Japan sent a delegation to and participated in the 1867 World Fair in Paris.
Tokugawa Yoshinobu (informally known as Keiki) reluctantly became head of the Tokugawa house and shogun following the unexpected death of Tokugawa Iemochi in 1866. In 1867, Emperor Kōmei died and was succeeded by his second son, Mutsuhito, as Emperor Meiji. Tokugawa Yoshinobu tried to reorganize the government under the Emperor while preserving the shogun’s leadership role, a system known as kōbu gattai. Fearing the growing power of the Satsuma and Chōshū feudal domains, other domains called for returning the shogun’s political power to the emperor and a council chaired by the former Tokugawa shogun. With the threat of an imminent Satsuma-Chōshū led military action, Yoshinobu moved pre-emptively by surrendering some of his previous authority.
Tokugawa Yoshinobu, the last shogun, in French military uniform, c. 1867
Tokugawa Yoshinobu took over the position of shogun at the time of massive turmoil. The opening of Japan to uncontrolled foreign trade brought massive economic instability. While some entrepreneurs prospered, many others went bankrupt. Unemployment and inflation rose. Coincidentally, major famines increased the price of food drastically. Incidents occurred between brash foreigners, qualified as “the scum of the earth” by a contemporary diplomat, and the Japanese.
Boshin War
After Keiki temporarily avoided the growing conflict, anti-shogunal forces instigated widespread turmoil in the streets of Edo using groups of masterless samurais known as rōnins. Satsuma and Chōshū forces then moved on Kyoto in force, pressuring the Imperial Court for a conclusive edict demolishing the shogunate. Following a conference of feudal domains (daimyōs), the Imperial Court issued such an edict, removing the power of the shogunate in 1867. The Satsuma, Chōshū, and other domain leaders and radical courtiers, rebelled, seized the imperial palace, and announced their own restoration on January 3, 1868. Keiki nominally accepted the plan, retiring from the Imperial Court to Osaka at the same time as resigning as shogun. Fearing a feigned concession of the shogunal power to consolidate power, the dispute continued until culminating in a military confrontation between Tokugawa and allied domains with Satsuma, Tosa, and Chōshū forces in Fushimi and Toba. With battle turning toward anti-shogunal forces, Keiki then quit Osaka for Edo, essentially ending both the power of the Tokugawa and the shogunate that had ruled Japan for over 250 years.
A teenage Emperor Meiji with foreign representatives at the end of the Boshin War
The Meiji Restoration and the resultant modernization of Japan influenced Japanese self-identity with respect to its Asian neighbors, as Japan became the first Asian state to modernize based on the European model, replacing the traditional Confucian hierarchical order that persisted previously under a dominant China with one based on modernity.
Meiji Restoration
The fall of Edo in 1868 marked the end of the Tokugawa shogunate, and a new era, Meiji, was proclaimed. The first reform was the promulgation of the Charter Oath in 1868, a general statement of the aims of the Meiji leaders to boost morale and win financial support for the new government. Its main provisions included the establishment of assemblies, the involvement of all classes in carrying out state affairs, the revocation of class restrictions on employment, the introduction of “the “just laws of nature,” and seeking international expertise to strengthen the foundations of imperial rule. Implicit in the Charter Oath was an end to exclusive political rule by the bakufu (a shogun’s direct administration including officers), and a move toward more democratic participation in government. To implement the Charter Oath, a short-lived constitution was drawn up in 1868. Besides providing for a new Council of State, legislative bodies, and systems of ranks for nobles and officials, it limited office tenure to four years, allowed public balloting, provided for a new taxation system, and ordered new local administrative rules.
The Meiji government assured the foreign powers that it would follow the old treaties negotiated by the bakufu and announced that it would act in accordance with international law. Mutsuhito, who was to reign until 1912, selected a new reign title—Meiji, or Enlightened Rule—to mark the beginning of a new era in Japanese history. To further dramatize the new order, the capital was relocated from Kyoto, where it had been situated since 794, to Tokyo (Eastern Capital), the new name for Edo. In a move critical for the consolidation of the new regime, most daimyōs voluntarily surrendered their land and census records to the Emperor in the abolition of the han (feudal domain) system, symbolizing that the land and people were under the Emperor’s jurisdiction. Confirmed in their hereditary positions, the feudal lords became governors and the central government assumed their administrative expenses and paid samurai stipends. The han were replaced with prefectures in 1871 and authority continued to flow to the national government. Officials from the favored former han, such as Satsuma, Chōshū, Tosa, and Hizen, staffed the new ministries. Formerly old court nobles and lower-ranking but more radical samurai became a new ruling class.
27.2.5: The Meiji Constitution
The Meiji Constitution, proclaimed in 1889 and enacted in 1890, established mixed constitutional and absolute monarchy, creating tensions between democratic and authoritarian tendencies with the emperor as head of state and the prime minister as head of government.
Learning Objective
Extrapolate the main ideas of the Meiji Constitution
Key Points
-
After the Meiji restoration, the leaders of
the samurai who overthrew the Tokugawa shogunate had no
pre-developed plan on how to run Japan. With no official centralized government, the
country was a collection of largely semi-independent feudal domains (the han system). In 1868, the new Meiji government summoned delegates from all of the domains
to Kyoto to establish a provisional consultative national assembly. The Charter
Oath and the administrative code
known as Seitaisho were promulgated to establish the new
administrative basis for the Meiji government. -
In 1869, the central government led by Ōkubo
Toshimichi of Satsuma felt strong enough to effect centralization. After
merging the armies of Satsuma and Chōshū into a combined force, Ōkubo convinced the feudal lords (daimyō) of Satsuma, Chōshū, Hizen, and Tosa to surrender their domains to the emperor. Other daimyō were
forced to do the same and all were reappointed as governors to their respective
domains. By the end of 1871, Japan
had become a fully centralized state. -
Prior
to the Meiji Restoration, Japan had no written constitution and the
idea of one became a subject of heated debate. In 1881, Itō Hirobumi was appointed to chair a
government bureau to research various forms of constitutional government and in
1882, Itō led an overseas mission to observe and study various systems
first-hand. The
Reichstag and legal structures of the German Empire, particularly that of
Prussia, proved to be of the most interest to the Constitutional Study Mission.
Influence was also drawn from the British Westminster system. -
The
draft committee included Japanese officials along with a number of foreign
advisers, in particular some German legal scholars. The central issue was the
balance between sovereignty vested in the person of the Emperor and an elected
representative legislature with powers that would limit or restrict the power
of the sovereign. The final version, drafted without public debate, was
submitted to Emperor Meiji in 1888. -
The new constitution was promulgated in 1889,
but came into effect in 1890. The first National Diet of Japan, a new
representative assembly, reflected both Prussian and
British influences, most notably in the inclusion of the House of
Representatives as the lower house and the House of Peers as the upper
house.
The Constitution established clear limits
on the power of the executive branch and the Emperor and guaranteed some civil rights and liberties,
although in many cases they were subject to limitation by law. -
The Meiji Constitution was ambiguous in wording
and in many places self-contradictory. The leaders of the government and
political parties were left to interpret whether the
Meiji Constitution could be used to justify authoritarian or liberal-democratic
rule. It was the struggle between these tendencies that dominated the
government of the Empire of Japan.
Key Terms
- Boshin War
-
A civil war in Japan, sometimes
known as the Japanese Revolution, fought from 1868 to 1869 between forces of
the ruling Tokugawa shogunate and those seeking to return political power
to the Imperial Court. - Han
-
The Japanese historical term for the estate of a warrior after the 12th century or of a daimyō (feudal lord) in the Edo period (1603–1868) and early Meiji period (1868–1912).
- Charter Oath
-
The 1868 oath that outlined the
main aims and course of action to be followed during Emperor Meiji’s reign,
setting the legal stage for Japan’s modernization. It remained influential, less for governing than inspiring, throughout the Meiji era and into the
20th century and is considered the first constitution of modern
Japan. - Tokugawa shogunate
-
The last feudal Japanese military
government, existing between 1603 and 1867. The head of government
was the shogun and each was a member of the Tokugawa clan. The regime
ruled from Edo Castle and the years of the shogunate became known as the
Edo period. - Meiji Constitution
-
The constitution of the Empire of Japan proclaimed on February 11, 1889. It established mixed constitutional and absolute monarchy based on the Prussian and British models. In theory, the Emperor of Japan was the supreme ruler and the Cabinet, whose Prime Minister would be elected by a Privy Council, were his followers. In practice, the Emperor was head of state but the Prime Minister was the actual head of government. The Prime Minister and his Cabinet were not necessarily chosen from the elected members of the Diet.
New Imperial Government
After the Meiji restoration, the leaders of the samurai who overthrew the Tokugawa shogunate had no clear agenda or pre-developed plan on how to run Japan. Immediately after the resignation of Tokugawa Yoshinobu in 1867, with no official centralized government, the country was a collection of largely semi-independent feudal domains (the han system), held together by the military strength of the Satchō Alliance (military alliance between the feudal domains of Satsuma and Chōshū formed in 1866 to combine their efforts to restore Imperial rule) and the prestige of the Imperial Court. In 1868, with the outcome of the Boshin War still uncertain, the new Meiji government summoned delegates from all of the domains to Kyoto to establish a provisional consultative national assembly. The Charter Oath was promulgated, in which Emperor Meiji set out the broad general outlines for Japan’s development and modernization. The same year, administrative code known as Seitaisho was promulgated to establish the new administrative basis for the Meiji government. It was a mixture of western concepts such as division of powers and a revival of ancient Japanese structures of bureaucracy.
Centralization: Abolition of Han System
In 1869, the central government led by Ōkubo Toshimichi of Satsuma felt strong enough to effect centralization. After merging the armies of Satsuma and Chōshū into a combined force, Ōkubo and Kido Takayoshi convinced the feudal lords (daimyō) of Satsuma, Chōshū, Hizen. and Tosa to surrender their domains to the emperor. Other daimyō were forced to do the same and all were reappointed as governors to their respective domains, now treated as sub-divisions of the central government. In 1871, Ōkubo and several other leaders held a secret meeting and decided to completely abolish the han domains. Eventually, all of the ex-daimyō were summoned to the Emperor, who issued a decree converting the domains to prefectures headed by a bureaucratic appointee from the central government. The daimyō were generously pensioned into retirement and their castles became the local administrative centers for the central government. By the end of 1871, Japan was a fully centralized state. The transition was made gradually to avoid disruption to the lives of the common people and outbreaks of resistance or violence. The central government absorbed all of the debts and obligations of the domains and many former officials found new employment with the central government.
In 1871, the central government supported the creation of consultative assemblies at the town, village, and county levels. The membership of the prefectural assemblies was drawn from these local assemblies. As the local assemblies only had the power of debate and not legislation, they provided an important safety valve without the ability to challenge the authority of the central government.
Constitution
Prior to the Meiji Restoration, Japan had no written constitution, and the idea of one became a subject of heated debate. The conservative Meiji oligarchy viewed anything resembling democracy or republicanism with suspicion, favoring a gradual approach. The Freedom and People’s Rights Movement demanded the immediate establishment of an elected national assembly and the promulgation of a constitution. In 1881, Itō Hirobumi was appointed to chair a government bureau to research various forms of constitutional government and in 1882, Itō led an overseas mission to observe and study various systems first-hand. The United States Constitution was rejected as too liberal. The French and Spanish models were rejected as tending toward despotism. The Reichstag and legal structures of the German Empire, particularly that of Prussia, proved to be of the most interest to the Constitutional Study Mission. Influence was also drawn from the British Westminster system, although it was considered being unwieldy and granting too much power to Parliament.
The Council of State was replaced in 1885 with a cabinet headed by Itō as Prime Minister. The draft committee included Japanese officials along with a number of foreign advisers, in particular some German legal scholars. The central issue was the balance between sovereignty vested in the person of the Emperor and an elected representative legislature with powers that would limit or restrict the power of the sovereign. The final version, drafted without public debate, was submitted to Emperor Meiji in 1888.
Meiji Constitution promulgation by Toyohara Chikanobu, undated.
The Meiji Constitution consists of 76 articles in seven chapters, amounting to around 2,500 words. It is also usually reproduced with its Preamble, the Imperial Oath Sworn in the Sanctuary in the Imperial Palace, and the Imperial Rescript on the Promulgation of the Constitution, which come to nearly another 1,000 words.
The new constitution was promulgated by Emperor Meiji on February 11 (the National Foundation Day of Japan in 660 BC), 1889, but came into effect in 1890. The first National Diet of Japan, a new representative assembly, convened on the day the Meiji Constitution came into force. The organizational structure of the Diet reflected both Prussian and British influences, most notably in the inclusion of the House of Representatives as the lower house and the House of Peers as the upper house. The second chapter of the constitution, detailing the rights of citizens, bore a resemblance to similar articles in both European and North American constitutions of the day.
The Meiji Constitution established clear limits on the power of the executive branch and the Emperor. It also created an independent judiciary. Civil rights and civil liberties were guaranteed, although in many cases they were subject to limitation by law.
Unlike its modern successor, the Meiji Constitution was founded on the principle that sovereignty resided in person of the emperor, by virtue of his divine ancestry “unbroken for ages eternal,” rather than in the people.
The emperor had the right to exercise executive authority and to appoint and dismiss all government officials. He also had the sole rights to declare war, make peace, conclude treaties, dissolve the lower house of Diet, and issue Imperial ordinances in place of laws when the Diet was not in session. Most importantly, command over the Imperial Japanese Army and Imperial Japanese Navy was directly held by the Emperor and not the Diet. Cabinet consisted of Ministers of State who answered to the Emperor rather than the Diet. The Privy Council, an advisory council to the Emperor of Japan, was also established. Not mentioned in the Constitution were the genrō, an inner circle of advisers to the Emperor, who wielded considerable influence.
The Emperor meets with his Privy Councilors, ukiyo-e woodblock prints by Yōshū Chikanobu, 1888.
The Privy Council consisted of a chairman, a vice chairman (non-voting), 12 (later expanded to 24) councilors, a chief secretary, and three additional secretaries. All privy councilors were appointed by the emperor for life, on the advice of the prime minister and the cabinet. In addition to the 24 voting privy counselors, the prime minister and the other ministers of state were ex officio members of the council.
The Meiji Constitution was ambiguous in wording and in many places self-contradictory. The leaders of the government and the political parties were left to interpret whether the Meiji Constitution could be used to justify authoritarian or liberal-democratic rule. It was the struggle between these tendencies that dominated the government of the Empire of Japan. Following Japan’s defeat in World War II, the Meiji Constitution was replaced by a new document, the postwar Constitution of Japan. This document—officially an amendment to the Meiji Constitution—replaced imperial rule with a form of Western-style liberal democracy.
27.2.6: Japan’s Industrial Revolution
The rapid industrialization of Japan during the Meiji period resulted from a carefully engineered transfer of Western technology, modernization trends, and education led by the government in partnership with the private sector.
Learning Objective
Analyze the success of Japan’s rapid shift to industrialization
Key Points
-
The Industrial Revolution in Japan began about
1870 as Meiji period leaders decided to catch up with the West. In 1871, a
group of Japanese statesmen and scholars known as the Iwakura Mission embarked
upon a voyage across Europe and the United States. The mission aimed to gain recognition for the newly reinstated imperial dynasty and begin preliminary renegotiation of the unequal treaties, but it was the exploration of modern Western industrial, political,
military, and educational systems and structures that became its most consequential outcome. -
Japan’s
Industrial Revolution first appeared in textiles, including cotton and
especially silk, traditionally made in home workshops in rural
areas. By the 1890s, Japanese textiles dominated the home markets and competed
successfully with British products in China and India. Japan largely skipped water power and moved
straight to steam-powered mills, which were more productive. That in
turn created a demand for coal. -
To
promote industrialization, the government decided that while it should help
private business allocate resources and plan, the private sector was best
equipped to stimulate economic growth. In the early
Meiji period, the government built factories and shipyards that were sold to
entrepreneurs at a fraction of their value. It also provided infrastructure, building railroads, improving roads, and
inaugurating a land reform program to prepare the country for further
development. -
Important
social changes supported by the government also fueled
industrialization. One of the biggest economic impacts of the
Meiji period was the end of the feudal system. Japanese people now had the ability to
become more educated as the Meiji period leaders inaugurated a new, more accessible Western-based
education system. - The
government initially was involved in economic modernization, but by the 1890s largely relinquished direct control of the
modernization process.
Hand in hand, industrial and financial business
conglomerates known as zaibatsu and government guided the
nation, borrowing technology from the West.
The private sector embraced the government-promoted Western model of capitalism. -
The
phenomenal industrial growth sparked rapid urbanization, and most
people lived longer and healthier lives. Like in other rapidly industrializing countries,
poor working conditions in factories led to growing labor unrest, and many
workers and intellectuals came to embrace socialist ideas. The
government also introduced social legislation in 1911, setting maximum work
hours and a minimum age for employment.
Key Terms
- Iwakura Mission
-
A Japanese diplomatic voyage to the United States and Europe conducted between 1871 and 1873 by leading statesmen and scholars of the Meiji period. Although it had a number of political, diplomatic, and economic goals, it is most well-known and possibly most significant in terms of its impact on the modernization of Japan after a long period of isolation from the West.
- zaibatsu
-
Industrial and financial business conglomerates in the Empire of Japan, whose influence and size allowed control over significant parts of the Japanese economy from the Meiji period until the end of World War II.
Iwakura Mission
The Industrial Revolution in Japan began about 1870 as Meiji period leaders decided to catch up with the West. In 1871, a group of Japanese statesmen and scholars known as the Iwakura Mission embarked upon a voyage across Europe and the United States. The aim of the mission was threefold: to gain recognition for the newly reinstated imperial dynasty under the Emperor Meiji, to begin preliminary renegotiation of the unequal treaties with the dominant world powers, and to explore modern Western industrial, political, military, and educational systems and structures.
The mission was named after and headed by Iwakura Tomomi in the role of extraordinary and plenipotentiary ambassador, assisted by four vice-ambassadors. It also included a number of administrators and scholars, totaling 48 people. In addition to the mission staff, about 53 students and attendants joined. Several students were left behind to complete their education in the foreign countries, including five young women who stayed in the United States.
Leaders of the Iwakura Mission photographed in London in 1872: Kido Takayoshi, Yamaguchi Masuka, Iwakura Tomomi, Itō Hirobumi, Ōkubo Toshimichi
The mission is the most well-known and possibly most significant in terms of its impact on the modernization of Japan after a long period of isolation from the West. It was first proposed by the influential Dutch missionary and engineer Guido Verbeck, based to some degree on the model of the Grand Embassy of Peter I.
Of the initial goals of the mission, the aim of revision of the unequal treaties was not achieved, prolonging the mission by almost four months but also impressing the importance of the second goal on its members. The attempts to negotiate new treaties under better conditions with the foreign governments led to criticism that members of the mission were attempting to go beyond the mandate set by the Japanese government. The missionaries were nonetheless impressed by industrial modernization in America and Europe and the tour provided them with a strong impetus to lead similar modernization initiatives.
Industrialization in Japan
Japan’s Industrial Revolution first appeared in textiles, including cotton and especially silk, traditionally made in home workshops in rural areas. By the 1890s, Japanese textiles dominated the home markets and competed successfully with British products in China and India. Japanese shippers competed with European traders to carry these goods across Asia and even in Europe. As in the West, the textile mills employed mainly women, half of them younger than age 20. They were sent by and gave their wages to their fathers. Japan largely skipped water power and moved straight to steam-powered mills, which were more productive. That in turn created a demand for coal.
To promote industrialization, the government decided that while it should help private business to allocate resources and to plan, the private sector was best equipped to stimulate economic growth. The greatest role of government was to help provide the economic conditions in which business could flourish. In the early Meiji period, the government built factories and shipyards that were sold to entrepreneurs at a fraction of their values. Many of these businesses grew rapidly into larger conglomerates. Government emerged as chief promoter of private enterprise, enacting a series of pro-business policies. The government also provided infrastructure, building railroads, improving roads, and inaugurating a land reform program to prepare the country for further development.
Social Changes
Important social changes supported by the government also fueled industrialization. One of the biggest economic impacts of the period was the end of the feudal system. With a relatively loose social structure, the Japanese were able to advance through the ranks of society more easily than before by inventing and selling their own wares. The Japanese people also now had the ability to become more educated. The Meiji period leaders inaugurated a new Western-based education system for all young people, sent thousands of students to the United States and Europe, and hired more than 3,000 Westerners to teach modern science, mathematics, technology, and foreign languages in Japan. With a more educated population, Japan’s industrial sector grew significantly.
The first Japanese study-abroad female students to the United States, sponsored by the Meiji Government. From left: Shigeko Nagai (age 10), Teiko Ueda (16), Ryōko Yoshimasu (16), Umeko Tsuda (1864–1929, age 9 in the picture), and Sutematsu Yamakawa (1860–1919, age 12 in the picture).
Tsuda Umeko, who left Japan to study in the US at the age of 7, returned to Japan in 1900 and founded Tsuda College.
It remains one of the most prestigious women’s institutes of higher education in Japan. Although Tsuda strongly desired social reform for women, she did not advocate feminist values and opposed the women’s suffrage movement. Her activities were based on her philosophy that education should focus on developing individual intelligence and personality.
Government vs. Private Sector
The government initially was involved in economic modernization, providing a number of “model factories” to facilitate the transition to the modern period. Economic reforms included a unified modern currency based on the yen, banking, commercial and tax laws, stock exchanges, and a communications network. Establishment of a modern institutional framework conducive to an advanced capitalist economy took time, but was completed by the 1890s. By this time, the government had largely relinquished direct control of the modernization process, primarily for budgetary reasons.
From the onset, the Meiji rulers embraced the concept of a market economy and adopted British and North American forms of free enterprise capitalism. The private sector—in a nation with an abundance of aggressive entrepreneurs—welcomed such change.
Hand in hand,
industrial and financial business conglomerates known as zaibatsu and government guided the nation, borrowing technology from the West.
Many of the former feudal lords, whose pensions had been paid in a lump sum, benefited greatly through investments they made in emerging industries. Those who had been informally involved in foreign trade before the Meiji Restoration also flourished. Old firms that clung to their traditional ways failed in the new business environment.
After the first twenty years of the Meiji period, the industrial economy expanded rapidly with inputs of advanced Western technology and large private investments. Implementing the Western ideal of capitalism into the development of technology and applying it to their military helped make Japan into both a militaristic and economic powerhouse by the beginning of the 20th century. Stimulated by wars and through cautious economic planning, Japan emerged from World War I as a major industrial nation.
Japan gradually took control of much of Asia’s market for manufactured goods. The economic structure became very mercantilistic, importing raw materials and exporting finished products—a reflection of Japan’s relative poverty in raw materials.
Consequences
The phenomenal industrial growth sparked rapid urbanization. The proportion of the population working in agriculture shrank from 75 percent in 1872 to 50 percent by 1920. Japan enjoyed solid economic growth during the Meiji period and most people lived longer and healthier lives. The population rose from 34 million in 1872 to 52 million in 1915. Like in other rapidly industrializing countries, poor working conditions in factories led to growing labor unrest, and many workers and intellectuals came to embrace socialist ideas. The Meiji government responded with harsh suppression of dissent. Radical socialists plotted to assassinate the Emperor in the High Treason Incident of 1910, after which the Tokkō secret police force was established to root out left-wing agitators. The government also introduced social legislation in 1911, setting maximum work hours and a minimum age for employment.
27.2.7: Japanese Militarization
The modernization of the Japanese military during the Meiji period was a response to the growing presence and threat of Western colonial powers. It followed Western European military models, ending the centuries-long dominance of the samurai class.
Learning Objective
Interpret the reasons for Japan’s militarization
Key Points
-
In
1854, after Admiral Matthew C. Perry forced the signing of the Treaty of
Kanagawa, Japanese elites concluded that they needed to modernize the state’s
military capacities or risk further coercion from Western powers. The Tokugawa
shogunate did not officially share this point of view and not until the
beginning of the Meiji Era in 1868 did the Japanese government begin to
modernize the military. Two first arsenals were opened in 1868 and 1870. - In 1868, Masujiro Omura established Japan’s first
military academy in Kyoto. Omura, regarded
today as the father of the modern Japanese army, sought to
introduce conscription and military training for commoners rather than
rely on a hereditary feudal force. He faced opposition from many
of his peers, including most conservative samurai, who recognized that these ideas would end not only the livelihood of thousands of samurai but also
their privileged position in society. In 1869, a group of ex-samurai
assassinated Omura. -
When the Emperor Meiji assumed all the powers of
state, he ordered the formation of Imperial Guard to protect himself, the
Japanese imperial family, and their properties. In 1867, the Imperial Guard was
formed from loyal retainers and former samurai. This unit would go on to form
the nucleus of the new Imperial Japanese Army. -
In 1873, the Conscription Law was passed requiring every able-bodied male Japanese citizen, regardless of class, to
serve a mandatory term of three years with the first reserves and two
additional years with the second reserves. This monumental law, signifying the
beginning of the end for the samurai class, initially met resistance from both
the peasants and warriors. The law aimed for social control, placing the unruly samurai class back into their
roles as warriors and allowing the military to educate the enlisted. -
In conjunction with the new law,
the Japanese government began modeling their ground forces after the French
military, and the new Japanese army used the same rank structure as the French.
The French government contributed substantial training to Japanese officers.
Many were employed at the military academy in Kyoto. - Despite
the Conscription Law of 1873 and other reforms and progress, the new
Japanese army was still untested. In 1874,
Japan launched a successful military expedition to Taiwan to assert their claims to
the Ryukyu Islands. At
home, the decisive test for the new army came in 1877, when Saigō Takamori led
the Satsuma Rebellion, the last rebellion of the samurai. The national
army’s victory validated the modernization of the
Japanese army and ended the era of the samurai.
Key Terms
- Satsuma Rebellion
-
An 1877 revolt of disaffected samurai against the new imperial government. Its name comes from the domain, which was influential in the Meiji Restoration and became home to unemployed samurai after military reforms rendered their status obsolete. The rebellion was decisively crushed and its leader, Saigō Takamori, ended his life.
- Treaty of Kanagawa
-
The first treaty between the
United States and the Tokugawa Shogunate. Signed on March 31,
1854, under the threat of force, it effectively ended Japan’s
220-year-old policy of national seclusion (sakoku) by opening the ports
of Shimoda and Hakodate to American vessels. It also ensured the
safety of American castaways and established of an American
consul in Japan. The treaty precipitated the signing of similar
treaties establishing diplomatic relations with other western powers. - Imperial Guard
-
An organization dedicated to protection of the Emperor of Japan and his family, palaces, and other imperial properties. Originally formed in 1867, it was dissolved at the conclusion of World War II and replaced by a civilian counterpart in 1947.
- samurai
-
The military nobility and officer caste of medieval and early-modern Japan.
Meiji Militarization Efforts
In 1854, after Admiral Matthew C. Perry forced the signing of the Treaty of Kanagawa, Japanese elites concluded that they needed to modernize the state’s military capacities or risk further coercion from Western powers. The Tokugawa shogunate did not officially share this point of view, and not until the beginning of the Meiji Era in 1868 did the Japanese government begin to modernize the military.
In 1868, the Japanese government established the Tokyo Arsenal, in which small arms and associated ammunition were developed and manufactured.
In 1870, another arsenal opened in Osaka. At that site, machine guns and ammunition were produced and four gunpowder facilities were opened. Also in 1868, Masujiro Omura established Japan’s first military academy in Kyoto.
Under the new Meiji government, Omura, regarded today as
the father of the modern Japanese army, was appointed to the post equivalent to vice minister of war. He was tasked with the creation of a national army along western lines and sought to introduce conscription and military training for commoners, rather than rely on a hereditary feudal force. He also strongly supported the abolition of the han system (feudal domains) and with it the numerous private armies maintained by the feudal lords, which he considered a drain on resources and a potential threat to security. Omura faced opposition from many of his peers, including most conservative samurai who saw his ideas on modernizing and reforming the Japanese military as too radical, ending not only the livelihood of thousands of samurai but also their privileged position in society. In 1869, a group of ex-samurai assassinated Omura.
When the Emperor Meiji assumed all the powers of state, he ordered the formation of Imperial Guard to protect himself, the Japanese imperial family, and their properties. In 1867, the Imperial Guard was formed from loyal retainers and former samurai. This unit would go on to form the nucleus of the new Imperial Japanese Army. By the 1870s the Imperial Guard, which had been organized and trained along French military lines, consisted of 12,000 officers and men. In 1873, the Conscription Law was passed, requiring every able-bodied male Japanese citizen, regardless of class, to serve a mandatory term of three years with the first reserves and two additional years with the second reserves. This monumental law, signifying the beginning of the end for the samurai class, initially met resistance from both the peasants and warriors. The peasant class interpreted the term for military service, ketsu-eki (blood tax), literally and attempted to avoid service by any means necessary, including maiming, self-mutilation, and local uprisings. The samurai were generally resentful of the new, western-style military and at first refused to stand in formation with the lowly peasant class. The Conscription Law was also a method of social control, placing the unruly samurai class back into their roles as warriors. The Meiji Restoration initially caused dissent among the samurai class and the conscription system was a way of stabilizing that dissent. Some of the samurai, more disgruntled than the others, formed pockets of resistance to circumvent the mandatory military service. Many committed self-mutilation or openly rebelled.
The law also allowed the military to educate the enlisted, providing opportunities for both basic (e.g., learning how to read) and advanced education and career advancement. The government realized that an educated soldier could be a more productive member of society, and education was seen as a path to the advancement of the state. Military service also required a medical examination. Those unable to pass the exam were sent back to their families. While there was no material penalty for failing the exam, the practice created a division between those able to serve the country and those who were not. The latter were often marginalized by society.
In conjunction with the new law, the Japanese government began modeling their ground forces after the French military, and the new Japanese army used the same rank structure as the French. The French government contributed substantially to the training of Japanese officers. Many were employed at the military academy in Kyoto and many more were feverishly translating French field manuals for use in the Japanese ranks.
Reception by the Meiji Emperor of the Second French Military Mission to Japan, 1872, from a drawing by Deschamps, Le Monde Illustre, February 1, 1873.
The task of the mission was to help reorganize the Imperial Japanese Army and establish the first draft law, enacted in 1873. The law established military service for all males for a duration of three years, with additional years in the reserve.
End of the Samurai Class
An imperial rescript of 1882 called for unquestioning loyalty to the emperor by the new armed forces and asserted that commands from superior officers were equivalent to commands from the emperor himself. Thenceforth, the military existed in an intimate and privileged relationship with the imperial institution. Top-ranking military leaders were given direct access to the emperor and the authority to transmit his pronouncements directly to the troops. The sympathetic relationship between conscripts and officers, particularly junior officers who were drawn mostly from the peasantry, tended to bring the military closer to the people. In time, most people came to look for guidance in national matters from military commanders rather than from political leaders.
Despite the Conscription Law of 1873 and other reforms and progress, the new Japanese army was still untested.
In 1871, a Ryukyuan ship was shipwrecked on Taiwan and the crew was massacred. In 1874, using the incident as a pretext, Japan launched a military expedition to Taiwan to assert their claims to the Ryukyu Islands. The expedition featured the first instance of the Japanese military ignoring the orders of the civilian government as the expedition set sail after being ordered to postpone.
At home, the decisive test for the new army came in 1877 when Saigō Takamori led the Satsuma Rebellion, the last rebellion of the samurai.
Its name comes from Satsuma Domain, which became home to unemployed samurai after military reforms rendered their status increasingly obsolete. Kumamoto castle was the site of the first major engagement when garrisoned forces fired on Saigō’s army as they attempted to force their way into the castle. Two days later, Saigō’s rebels, while attempting to block a mountain pass, encountered advanced elements of the national army en route to reinforce Kumamoto castle. After a short battle, both sides withdrew to reconstitute their forces. A few weeks later the national army engaged Saigō’s rebels in a frontal assault at what now is called the Battle of Tabaruzuka. During this eight-day battle, Saigō’s nearly 10,000-strong army battled hand-to-hand the equally matched national army. Both sides suffered nearly 4,000 casualties. Due to conscription, however, the Japanese army was able to reconstitute its forces, while Saigō’s was not. Later, forces loyal to the emperor broke through rebel lines and managed to end the siege on Kumamoto castle after 54 days. Saigō’s troops fled north and were pursued by the national army. The national army caught up with Saigō at Mt. Enodake. Saigō’s army was outnumbered seven-to-one, prompting a mass surrender of many samurai. The rebellion ended following the final engagement with Imperial forces, which resulted in the deaths of the remaining 40 samurai including Saigō, who was honorably beheaded by his retainer after suffering a fatal bullet wound. The national army’s victory validated the the modernization of the Japanese army and ended the era of the samurai.
Imperial Japanese Army officers of the Kumamoto garrison, who resisted Saigō Takamori’s siege, 1877
Financially, crushing the Satsuma Rebellion cost the government greatly, forcing Japan off the gold standard and causing the government to print paper currency. The rebellion also effectively ended the samurai class, as the new Imperial Japanese Army built of conscripts without regard to social class had proven itself in battle.
27.2.8: Foreign Policy in the Meiji Period
Victories over China and Russia, alliance with Britain, and annexation of Korea allowed Japan of the Meiji pioerd to become a leader in East Asia and a highly respected military power among the most influential countries in the world.
Learning Objective
Characterize the foreign policy goals of the Japanese government in the Meiji period
Key Points
-
Meiji
Japan’s foreign policy was shaped by its need to reconcile its
Asian identity with its desire for status and security in an international
order dominated by the West. The principal foreign policy goals of the Meiji
period (1868–1912) were to protect the integrity and independence of Japan
against Western domination, including
gaining international respect through the modernization and expansion of the military. -
Japan’s unequal status was symbolized by the treaties imposed on the country when it was forcefully opened to foreign influences. Many social
and institutional reforms of the Meiji period were designed to remove the
stigma of backwardness and inferiority. The major task of Meiji diplomacy was to press for the revision of the unequal treaties. -
The newly created military was used to extend
Japanese power overseas as many leaders believed that national security
depended on expansion and not merely a strong defense.
In 1873 and 1874, friction came about between
China and Japan over Taiwan. Later, after Japan’s victory in the First Sino-Japanese
War in 1894–95, the peace treaty ceded the island to Japan. Perhaps
most importantly, Japan gained enormous prestige by being the first non-Western
country to operate a modern colony. -
In
1894, China and Japan went to war over Korea in the First Sino-Japanese War. The 1895 Treaty of Shimonoseki
recognized Korean independence, established indemnity to Korea from China, and ceded Taiwan, the Penghu Islands,
and the Liaodong Peninsula to Japan, although Japan gave back
Liaodong in return for a larger indemnity from China under the pressure of Russia, Germany, and France.
Ironically,
in the wake of the later Russo-Japanese War, Japan forced
Korea to sign the Eulsa Protective Treaty, which made Korea a protectorate of
Japan. In 1910, Korea was formally annexed to the Japanese empire. -
Japan also succeeded in attracting a Western
ally to its cause. Japan and Britain, both of whom wanted to keep Russia out of
Manchuria, signed the Anglo-Japanese Treaty of Alliance in 1902. This recognized Japanese
interests in Korea and assured Japan they would remain neutral in case of a
Russo-Japanese war, but would become more actively involved if another power (an
allusion to France) entered the war as a Russian ally.
In the following Russo-Japanese War (1904–5), Japan won possession of southern Sakhalin and a position of paramount influence in Korea and southern Manchuria. - U.S.-Japanese relations at the time were shaped by anti-Japanese
sentiment, especially on the West Coast, and an eventual informal Gentlemen’s
Agreement of 1907 assured Japan the U.S. would not bar Japanese immigration if Japan ensured little or no movement to the U.S. The agreement also rescinded the
segregation order of the San Francisco School Board in California, which had
humiliated and angered the Japanese.
Key Terms
- First Sino-Japanese War
-
An 1894 – 1895 war fought between the Qing Empire of China and the Empire of Japan, primarily over influence of Korea. After more than six months of unbroken successes by Japanese land and naval forces and the loss of the Chinese port of Weihaiwei, the Qing government sued for peace in February 1895.
For the first time, regional dominance in East Asia shifted from China to Japan. - Anglo-Japanese Treaty of Alliance
-
A 1902 treaty signed by Lord Lansdowne (British foreign secretary) and Hayashi Tadasu (Japanese minister in London). A diplomatic milestone that saw an end to Britain’s splendid isolation, the treaty was renewed and expanded in scope twice, in 1905 and 1911, before its demise in 1921. It was officially terminated in 1923.
- Triple Intervention
-
A diplomatic intervention by Russia, Germany, and France in 1895 over the terms of the Treaty of Shimonoseki, signed between Japan and Qing Dynasty China that ended the First Sino-Japanese War. The Japanese reaction against the Triple Intervention was one of the underlying causes of the subsequent Russo-Japanese War.
- Russo-Japanese War
-
A 1904 – 1905 war between the Russian Empire and the Empire of Japan over rival imperial ambitions in Manchuria and Korea. The major theaters of operations were the Liaodong Peninsula and Mukden in Southern Manchuria and the seas around Korea, Japan, and the Yellow Sea.
- Treaty of Shimonoseki
-
An 1895 treaty between the Empire of Japan and the Qing Empire, ending the First Sino-Japanese War.
It accomplished several things: recognition of Korean independence, cessation of Korean tribute to China, a 200 million tael (Chinese ounces of silver, the equivalent in 1895 of US $150 million) indemnity to Korea from China, cession of Taiwan, the Penghu Islands, and the Liaodong Peninsula to Japan, and opening of Chang Jiang (Yangtze River) ports to Japanese trade. - unequal treaty
-
A term applied to any of a series of treaties signed with Western powers during the 19th century by late Tokugawa Japan after suffering military defeat by the foreign powers or threat of military action by those powers. The term is also applied to treaties imposed during the same time period on late Joseon Korea by the Meiji era Empire of Japan.
Goals of Meiji Foreign Policy
Meiji Japan’s foreign policy was shaped at the outset by the need to reconcile its Asian identity with desire for status and security in an international order dominated by the West. The principal foreign policy goals of the Meiji period (1868–1912) were to protect the integrity and independence of Japan against Western domination and win equal status with the leading nations of the West by reversing the unequal treaties. Because fear of Western military power was the chief concern for the Meiji leaders, their highest priority was building up the military, an important objective of which was to gain the respect of the Western powers and achieve equal status in the international community.
Japan’s unequal status was symbolized by the treaties imposed when the country was first forcefully opened to foreign influences. The treaties were objectionable to the Japanese not only because they imposed low fixed tariffs on foreign imports and thus handicapped domestic industries, but also because their provisions gave a virtual monopoly of external trade to foreigners and granted extraterritorial status to foreign nationals in Japan, exempting them from Japanese jurisdiction and placing Japan in the inferior category of nations incapable of determining their own laws. Many of the social and institutional reforms of the Meiji period were designed to remove the stigma of backwardness and inferiority represented by the unequal treaties, and a major task of Meiji diplomacy was to press for the revision of the treaties.
Overseas Expansion
The newly created military was used to extend Japanese power overseas as many leaders believed that national security depended on expansion and not merely a strong defense. In 1873 and 1874, friction came about between China and Japan over Taiwan, particularly when the Japanese launched a punitive expedition into Taiwan in the wake of the killing of several Okinawans by Taiwanese aborigines. Later, after Japan’s victory in the First Sino-Japanese War in 1894–95, the peace treaty ceded the island to Japan. The Japanese realized that its home islands could only support a limited resource base and hoped that Taiwan, with its fertile farmlands, would make up the shortage. By 1905, Taiwan was producing significant amounts of rice and sugar. Perhaps more importantly, Japan gained enormous prestige by being the first non-Western country to operate a modern colony. To maintain order, Japan installed a police state.
The Korean Peninsula, a strategically located feature critical to the defense of the Japanese archipelago, occupied Japan’s attention in the 19th century. Earlier tension over Korea had been settled temporarily through the Japan–Korea Treaty of 1876, which opened Korean ports to Japan, and through the Tianjin Convention in 1885, which provided for the removal from Korea of both Chinese and Japanese troops sent to support contending factions in the Korean court. In effect, the convention made Korea a co-protectorate of Beijing and Tokyo at a time when Russian, British, and American interests in the peninsula were also increasing.
In 1894, China and Japan went to war over Korea in the First Sino-Japanese War.
After nine months of fighting, a cease-fire was called and peace talks were held. The eventual Treaty of Shimonoseki accomplished several things: recognition of Korean independence, cessation of Korean tribute to China, a 200 million tael (Chinese ounces of silver, the equivalent in 1895 of US$150 million) indemnity to Korea from China, cession of Taiwan, the Penghu Islands, and the Liaodong Peninsula to Japan, and opening of Chang Jiang (Yangtze River) ports to Japanese trade. It also assured Japanese rights to engage in industrial enterprises in China. Ironically, a decade after the Treaty of Shimonoseki forced China to recognize Korean independence, Japan, in the wake of the Russo-Japanese War, effectively forced Korea to sign the Eulsa Protective Treaty, which made it a protectorate of Japan. In 1910, Korea was formally annexed to the Japanese empire, beginning a period of Japanese colonial rule of Korea that would not end until 1945.
Signing of the 1895 Treaty of Shimonoseki
The Triple Intervention triggered by signing the Treaty of Shimonoseki is regarded by many Japanese historians as a crucial turning point in Japanese foreign affairs. The nationalist, expansionist, and militant elements began to join ranks and steer Japan from a foreign policy based mainly on economic hegemony toward outright imperialism.
Western Response
Immediately after the terms of the treaty became public, Russia—with its own designs and sphere of influence in China—expressed concern about Japanese acquisition of the Liaodong Peninsula and the possible impact of the terms of the treaty on the stability of China. Russia persuaded France and Germany to apply diplomatic pressure on Japan for return of the territory to China in exchange for a larger indemnity (Triple Intervention). Threatened with a tripartite naval maneuver in Korean waters, Japan decided to give back Liaodong in return for a larger indemnity from China. Russia moved to fill the void by securing from China a 25-year lease of Dalian (Dairen in Japanese, also known as Port Arthur) and rights to the South Manchurian Railway Company, a semi-official Japanese company, to construct a railroad. Russia also wanted to lease more Manchurian territory, and although Japan was loath to confront Russia over this issue, it did move to use Korea as a bargaining point. Japan would recognize Russian leaseholds in southern Manchuria if Russia would leave Korean affairs to Japan. The Russians only agreed not to impede the work of Japanese advisers in Korea, but Japan was able to use diplomatic initiatives to keep Russia from leasing Korean territory in 1899. At the same time, Japan was able to wrest a concession from China that the coastal areas of Fujian Province, across the strait from Taiwan, were within Japan’s sphere of influence and could not be leased to other powers.
Japan also succeeded in attracting a Western ally to its cause. Japan and Britain, both of whom wanted to keep Russia out of Manchuria, signed the Anglo-Japanese Treaty of Alliance in 1902, which was in effect until in 1921 when the two signed the Four Power Treaty on Insular Possessions, which took effect in 1923. The British recognized Japanese interests in Korea and assured Japan they would remain neutral in case of a Russo-Japanese war but would become more actively involved if another power (an allusion to France) entered the war as a Russian ally. In the face of this joint threat, Russia became more conciliatory toward Japan and agreed to withdraw its troops from Manchuria in 1903. The new balance of power in Korea favored Japan and allowed Britain to concentrate its interests elsewhere in Asia. Hence, Tokyo moved to gain influence over Korean banks, opened its own financial institutions in Korea, and began constructing railroads and obstructing Russian and French undertakings on the peninsula.
In response to the alliance, Russia sought to form alliances with France and Germany, which Germany declined. In 1902, a mutual pact was signed between France and Russia. China and the United States were strongly opposed to the alliance. Nevertheless, the nature of the Anglo-Japanese alliance meant that France was unable to come to Russia’s aid in the Russo-Japanese War of 1904, as this would mean war with Britain.
A scan of a cartoon from The New Punch Library, Vol. 1, p. 44, published in London in 1932 (first published in 1905).
The cartoon (1905), accompanied by a quote from Rudyard Kipling, that appeared in the British press after the Anglo-Japanese alliance was renewed in 1905 demonstrates that the British public saw the alliance as an equal treaty between two powers.
Russo-Japanese War
When Russia failed to withdraw its troops from Manchuria by an appointed date, Japan issued a protest. Russia replied that it would agree to a partition of Korea at the 39th parallel, with a Japanese sphere to the south and a neutral zone to the north, but Manchuria was to be outside Japan’s sphere and Russia would not guarantee the evacuation of its troops. The Russo-Japanese War broke out in 1904 with Japanese surprise attacks on Russian warships at Dalian and Chemulpo (in Korea, now called Incheon). Despite tremendous loss of life on both sides, the Japanese won a series of land battles and then decisively defeated Russia’s Baltic Sea Fleet (renamed the Second Pacific Squadron) at the Battle of Tsushima in 1905. At an American-mediated peace conference in Portsmouth, New Hampshire, Russia acknowledged Japan’s paramount interests in Korea and agreed to avoid “military measures” in Manchuria and Korea. Both sides agreed to evacuate Manchuria, except for the Guandong Territory (a leasehold on the Liaodong Peninsula) and restore the occupied areas to China. Russia transferred its lease on Dalian and adjacent territories and railroads to Japan, ceded the southern half of Sakhalin to Japan, and granted Japan fishing rights in the Sea of Okhotsk and the Bering Sea.
Relations with the U.S.
In the late 19th century, the opening of sugar plantations in the kingdom of Hawaii led to the immigration of many Japanese. Hawaii became part of the U.S. in 1898, and the Japanese have been the largest element of the population ever since. However, there was friction over control of Hawaii and the Philippines. The two nations cooperated with the European powers in suppressing the Boxer Rebellion in China in 1900, but the U.S. was increasingly troubled by Japan’s denial of the Open Door Policy that would ensure that all nations could do business with China equally. President Theodore Roosevelt played a major role in negotiating an end to the war between Russia and Japan in 1905-6.
Anti-Japanese sentiment, especially on the West Coast, soured relations in the 1907–1924 (beyond the Meiji period). Washington did not want to anger Japan by passing legislation that would bar Japanese immigration to the U.S. as had been done with Chinese immigration. Instead, there was an informal Gentlemen’s Agreement of 1907 between the U.S. and Japan whereby Japan made sure there was very little or no movement to the U.S. The agreement also rescinded the segregation order of the San Francisco School Board in California, which had humiliated and angered the Japanese. It remained in effect until 1924 when Congress forbade all immigration from Japan.
The adoption of the 1907 Agreement spurred the arrival of “picture brides” — marriages of convenience made at a distance through photographs. By establishing marital bonds at a distance, women seeking to emigrate to the United States were able to gain a passport, while Japanese workers in America were able to gain a mate of their own nationality. Because of this loophole, which helped close the gender gap within the community from a ratio of 7 men to every woman in 1910 to less than 2 to 1 by 1920, the Japanese American population continued to grow despite the Agreement’s limits on immigration.
27.3: British India
27.3.1: The East India Trading Company
For about 250 years, the British East India Company evolved from a company chartered by the British Crown to trade with the East Indies into de facto British administrator of India, which set off the era of British colonization of the Indian Subcontinent.
Learning Objective
Describe the East India Trading Company
Key Points
-
After 1588, London merchants presented a
petition to Queen Elizabeth I for permission to sail to the Indian Ocean.
Permission was granted to several ships, but in 1600 a group of merchants known as the Adventurers succeeded at gaining a Royal Charter under the
name Governor and Company of Merchants of London trading with the East Indies.
For 15 years, the charter awarded the newly formed company a
monopoly on trade with all countries east of the Cape of Good Hope and west of
the Straits of Magellan. -
English traders frequently
engaged in hostilities with their Dutch and Portuguese counterparts in the
Indian Ocean. The Company decided to gain a
territorial foothold in mainland India with official sanction from both
Britain and the Mughal Empire. The requested diplomatic
mission launched by James I in 1612 arranged for a commercial treaty that would give the
Company exclusive rights to reside and establish factories in Surat and other
areas. While Portuguese
and Spanish influences in the region were soon eliminated, competition against the Dutch resulted in the Anglo-Dutch Wars of
the 17th and 18th centuries. -
In
an act aimed at strengthening the power of the EIC, King Charles II granted the
EIC (in a series of five acts around 1670) the rights to autonomously acquire territory, mint money, command fortresses and troops and form
alliances, make war and peace, and exercise both civil and criminal jurisdiction
over the acquired areas. These decisions would eventually turn the EIC from a
trading company into de
facto an
administrative agent with wide powers granted by the British government. -
In 1698, a new “parallel” EIC was established. The two companies wrestled
with each other for some time but it quickly became evident that in practice, the original
company faced scarcely any measurable competition. The companies merged in
1708 by a tripartite indenture involving both companies and the state. With the advent of the
Industrial Revolution, the EIC became the single largest player on the British global market.
With the
backing of its own private army, it was able to
assert its interests in new regions in India without further
obstacles from other colonial powers. -
In the hundred years from
the Battle of Plassey in 1757 to the Indian Rebellion of 1857, the EIC began to function more as an
administrator and less as a trading concern. The proliferation of the Company’s
power chiefly took two forms: the outright annexation of
Indian states and subsequent direct governance of the underlying regions, or asserting power
through treaties in which Indian rulers acknowledged the Company’s hegemony
in return for limited internal autonomy. -
In the aftermath of the Indian Rebellion of 1857, under the provisions of the Government of India Act 1858, the
British government nationalized the EIC. The Crown took over its Indian
possessions, its administrative powers and machinery, and its armed forces. The
EIC was officially dissolved in 1858 and the rebellion also led the British to
reorganize the army, the financial system, and the administration in
India. The country was thereafter directly governed by the Crown as
the new British Raj.
Key Terms
- British Raj
-
The rule of the British Crown in the Indian subcontinent between 1858 and 1947.
- Battle of Plassey
-
A decisive victory of the British East India Company over the Nawab of Bengal and his French allies on June 23, 1757. The battle consolidated the Company’s presence in Bengal, which later expanded to cover much of India over the next hundred years.
- Indian Rebellion of 1857
-
A rebellion in India against the rule of the British East India Company from May 1857 to July 1859. It began as a mutiny of sepoys of the East India Company’s army in the cantonment of the town of Meerut and soon escalated into other mutinies and civilian rebellions.
It led to the dissolution of the East India Company in 1858. India was thereafter directly governed by the Crown as the new British Raj. - East India Company
-
An English and later British joint-stock company formed to pursue trade with the East Indies but actually trading mainly with the Indian subcontinent and Qing China. The company rose to account for half of the world’s trade, particularly in basic commodities including cotton, silk, indigo dye, salt, saltpetre, tea, and opium. It also ruled the beginnings of the British Empire in India.
- Government of India Act 1858
-
An Act of the Parliament of the United Kingdom (21 & 22 Vict. c. 106) passed on August 2, 1858. Its provisions called for the liquidation of the British East India Company, which had been ruling British India under the auspices of Parliament, and the transference of its functions to the British Crown.
Founding of East India Company
Soon after the defeat of the Spanish Armada in 1588, London merchants presented a petition to Queen Elizabeth I for permission to sail to the Indian Ocean. Permission was granted and in 1591, three ships sailed from Torbay around the Cape of Good Hope to the Arabian Sea on one of the earliest English overseas Indian expeditions. In 1596, three more ships sailed east but were all lost at sea. In 1599, another group of merchants that eventually became known as the Adventurers stated their intention to sail to the East Indies
and applied to the Queen for support of the project. Although their first attempt had not been completely successful, they nonetheless sought the Queen’s unofficial approval to continue, bought ships for their venture, and increased their capital.
The Adventurers convened again a year later. This time they succeeded and on December 31, 1600, the Queen granted a Royal Charter to “George, Earl of Cumberland, and 215 Knights, Aldermen, and Burgesses” under the name Governor and Company of Merchants of London trading with the East Indies. For 15 years the charter awarded the newly formed company a monopoly on trade with all countries east of the Cape of Good Hope and west of the Straits of Magellan. Anybody who traded in breach of the charter without a license from the Company was liable to forfeiture of their ships and cargo (half of which went to the Crown and the other half to the Company), as well as imprisonment at the “royal pleasure.”
Early Operation
Between 1601 and 1608, four voyages left Britain to establish trade with East Indies. Initially, the company struggled in the spice trade because of the competition from the already well-established Dutch East India Company. The East India Company (EIC or the Company) opened a factory in Bantam on the first voyage and imports of pepper from Java were an important part of the Company’s trade for 20 years. In the next two years, it established its first factory in south India in the town of Machilipatnam in Bengal. The high profits reported by the Company after landing in India initially prompted King James I to grant subsidiary licences to other trading companies in England. But in 1609, he renewed the charter given to the EIC for an indefinite period, including a clause that specified that the charter would cease if the trade turned unprofitable for three consecutive years.
English traders frequently engaged in hostilities with their Dutch and Portuguese counterparts in the Indian Ocean. The Company decided to explore the feasibility of gaining a territorial foothold in mainland India with official sanction from both Britain and the Mughal Empire, and requested that the Crown launch a diplomatic mission. In 1612, James I instructed Sir Thomas Roe to visit the Mughal Emperor Nuruddin Salim Jahangir to arrange for a commercial treaty that would give the Company exclusive rights to reside and establish factories in Surat and other areas. In return, the Company offered to provide the Emperor with goods and rarities from the European market. This mission was highly successful.
Expansion
The Company, which benefited from the imperial patronage, soon expanded its commercial trading operations, eclipsing the Portuguese Estado da Índia, which had established bases in Goa, Chittagong, and Bombay. Portugal later ceded this land to England as part of the dowry of Catherine de Braganza, kind Charles II’s wife. The EIC also launched a joint attack with the Dutch United East India Company on Portuguese and Spanish ships off the coast of China, which helped secure their ports in China. By 1647, the company had 23 factories and 90 employees in India. The major factories became the walled forts of Fort William in Bengal, Fort St George in Madras, and Bombay Castle. With reduced Portuguese and Spanish influence in the region, the EIC and Dutch East India Company entered a period of intense competition, resulting in the Anglo-Dutch Wars of the 17th and 18th centuries.
In an act aimed at strengthening the power of the EIC, King Charles II granted the EIC (in a series of five acts around 1670) the rights to autonomously acquire territory, mint money, command fortresses and troops and form alliances, make war and peace, and exercise both civil and criminal jurisdiction over the acquired areas. These decisions would eventually turn the EIC from a trading company into a de facto administrative agent with wide powers granted by the British government.
Monopoly
The prosperity that the officers of the Company enjoyed allowed them to return to Britain and establish sprawling estates and businesses and obtain political power. The Company developed a lobby in the English parliament. Under pressure from ambitious tradesmen and former associates of the Company, who wanted to establish private trading firms in India, a deregulating act was passed in 1694. This allowed any English firm to trade with India unless specifically prohibited by act of parliament, thereby annulling the charter that had been in force for almost 100 years.
By an act passed in 1698, a new “parallel” East India Company (officially titled the English Company Trading to the East Indies) was floated under a state-backed indemnity of £2 million. The two companies wrestled with each other for some time, both in England and in India, for a dominant share of the trade. It quickly became evident that in practice, the original company faced scarcely any measurable competition. The companies merged in 1708 by a tripartite indenture involving both companies and the state. Under this arrangement, the merged company lent to the Treasury a sum of £3,200,000 in return for exclusive privileges for the next three years, after which the situation was to be reviewed. The amalgamated company became the United Company of Merchants of England Trading to the East Indies.
With the advent of the Industrial Revolution, Britain surged ahead of its European rivals. Britain’s growing prosperity, demand, and production had a profound influence on overseas trade. The EIC became the single largest player on the British global market. Following the Seven Years’ War (1756–63) and the defeat of France, French ambitions on Indian territories were effectively laid to rest, thus eliminating a major source of economic competition for the EIC. The Company, with the backing of its own private well-disciplined and experienced army, was able to assert its interests in new regions in India without facing obstacles from other colonial powers, although it continued to experience resistance from local rulers.
Changing Political Role
In the hundred years from the Battle of Plassey in 1757, in which the EIC defeated the ruler of Bengal Nawab and his French allies and consolidated the Company’s presence in Bengal, to the Indian Rebellion of 1857, the EIC began to function more as an administrator and less as a trading concern.
The proliferation of the Company’s power chiefly took two forms. The first was the outright annexation of Indian states and subsequent direct governance of the underlying regions, which collectively comprised British India. The second form of asserting power involved treaties in which Indian rulers acknowledged the Company’s hegemony in return for limited internal autonomy. In the early 19th century, the territories of these princes accounted for two-thirds of India. When an Indian ruler who was able to secure his territory wanted to enter such an alliance, the Company welcomed it as an economical method of indirect rule that did not involve the economic costs of direct administration or the political costs of gaining the support of alien subjects. In return, the company pledged to defend its allies.
This Company painting probably depicts William Fullerton of Rosemount, who joined the East India Company’s service in 1744, by Dip Chand, c. 1760-64.
Company style or Company painting is a term for a hybrid Indo-European style of paintings made in India by Indian artists, many of whom worked for European patrons in the British East India Company or other foreign Companies in the 18th and 19th centuries. The style blended traditional elements from Rajput and Mughal painting with a more Western treatment of perspective, volume, and recession.
In the early 19th century, the Indian question of geopolitical dominance and empire holding remained with the East India Company. The Company’s independent armies, with some locally raised irregular forces, expanded to a total of 280,000 men by 1857. First recruited from mercenaries and low-caste volunteers, the Bengal Army eventually became composed largely of high-caste Hindus and landowning Muslims. Within the army, British officers always outranked Indians, no matter how long their service. Indian officers received no training in administration or leadership so they would remain dependent on the British officers. During the wars against the French and their allies in the late 18th and early 19th centuries, the EIC’s armies were used to seize the colonial possessions of other European nations, including the islands of Réunion and Mauritius.
Indian Rebellion of 1857
The Indian Rebellion of 1857, which eventually led to the dissolution of the EIC, had diverse political, economic, military, religious and social causes. A direct trigger wad the grievances of the sepoys, a generic term used for native Indian soldiers of the Bengal Army, against the EIC administration, caused mainly by the ethnic gulf between the European officers and their Indian troops. The spark that led directly to a mutiny in several sepoy companies was the issue of new gunpowder cartridges for the Enfield rifle. In 1857, British officers insisted that the new cartridges be used by both Muslim and Hindu soldiers, but the cartridges were made from cow and pig fat. Loading the Enfield required tearing open the greased cartridge with one’s teeth. This insulted both Hindu and Muslim religious practices. Underlying grievances over British taxation and recent land annexations by the EIC were ignited by the sepoy mutineers and within weeks, dozens of units of the Indian army joined peasant armies in widespread rebellion. The old Muslim and Hindu aristocracies, who were seeing their power steadily eroded by the EIC, also rebelled against the British rule.
In the aftermath of the Rebellion, under the provisions of the Government of India Act 1858, the British government nationalized the EIC. The Crown took over its Indian possessions, its administrative powers and machinery, and its armed forces. The EIC was officially dissolved in 1858 and the rebellion led the British to reorganize the army, the financial system, and the administration in India. The country was thereafter directly governed by the Crown as the new British Raj.
Capture of the last Mughal emperor Bahadur Shah Zafar and his sons by William Hodson in 1857, by Robert Montgomery Martin, c. 1860.
The East India Company had a long lasting impact on the Indian Subcontinent. Although dissolved following the Rebellion of 1857, it stimulated the growth of the British Empire. Its armies were to become the armies of British India after 1857, and it played a key role in introducing English as an official language in India.
27.3.2: The British Raj
In the aftermath of the Indian Rebellion of 1857, the British government dissolved the East India Company and established the formal colonial rule in India that would become known as the British Raj.
Learning Objective
Explain why the British Raj was established in India
Key Points
-
The
control of rich Bengal gained in the aftermath of the Battle of Plassey brought
India into the public spotlight in Britain, and Parliament established regulations to manage the affairs of the
East India Company. Although some wanted the Company’s territories to be taken over by the
British state, the eventual compromise asserted that the Company could act as a
sovereign power on behalf of the Crown while subject to oversight and regulation by the British government and
parliament. - Under
the terms of The Charter Act of 1833, the British Parliament revoked the
Company’s trade license, which made the Company a part of British
governance, but administration of British India remained the responsibility
Company officers. The Act also charged the
Governor-General-in-Council (to whose title was now added “of India”)
with the supervision of civil and military administration of India as well as the exclusive power of legislation. - After the
Indian Rebellion of 1857, the British government took control of the Company. All power
was transferred from the EIC to the British Crown, which began to administer
most of India as a number of provinces. The Crown controlled the Company’s
lands directly and had considerable indirect influence over the rest of India. What
followed became known as the British Raj: the rule of the British
Crown in the Indian subcontinent between 1858 and 1947. -
The Government of India Act 1858 made changes in
the governance of India at three levels: in the imperial government in London,
in the central government in Calcutta, and in the provincial governments in the
presidencies (and later in the provinces).
In
London, it provided for a cabinet-level Secretary of State for India and a
fifteen-member Council of India. In
Calcutta, the Governor-General remained head of the Government of India, commonly called the Viceroy. - If the Government of India needed to enact new
laws, it followed the decisions of a Legislative Council, half of which consisted of British officials with voting power and half
comprised Indians and domiciled Britons in India who served only in an advisory capacity. All laws enacted by Legislative
Councils in India required the final assent of the Secretary of State in
London. This prompted Sir Charles Wood, the second Secretary of State, to
describe the Government of India as “a despotism controlled from
home.” -
A
princely state was a semi-sovereign
principality during the British Raj that was not directly governed by the
British, but rather by a local ruler. The princely states varied greatly in status, size, and wealth.
Their courts
existed under the authority of the respective rulers. The British controlled the external affairs of the
princely states absolutely. As the states were not British possessions,
however, they retained control over their own internal affairs, subject to a
degree of British influence which in many states was substantial.
Key Terms
- princely state
-
A semi-sovereign principality on the Indian subcontinent during the British Raj that was not directly governed by the British, but rather by a local ruler, subject to a form of indirect rule on some matters.
- Charter Act of 1833
-
An 1833 act that intended to provide for an extension of the royal charter granted to the East India Company. It extended the charter by 20 years, redesignated the Governor-General of Bengal as the Governor-General of India, and deprived the Governors of Bombay and Madras of their legislative powers. The Governor-General and his executive council were given exclusive legislative powers for the whole of British India. The act ended the activities of the British East India Company as a commercial body and it became a purely administrative body.
- East India Company
-
An English and later British
joint-stock company formed to pursue trade with the East Indies. It ended up trading mainly with the Indian subcontinent and Qing China. The
company rose to account for half of the world’s trade, particularly in basic
commodities including cotton, silk, indigo dye, salt, saltpetre, tea, and
opium. It also ruled the beginnings of the British Empire in India. - Indian Rebellion of 1857
-
A rebellion in India against the
rule of the British East India Company from May 1857 to July
1859. It began as a mutiny of sepoys of the East India Company’s
army in the cantonment of the town of Meerut and soon escalated into other
mutinies and civilian rebellions. It led to the dissolution of the East India
Company in 1858. India was thereafter directly governed by the Crown as
the new British Raj. - Government of India Act 1858
-
An Act of the Parliament of
the United Kingdom (21 & 22 Vict. c. 106) passed on August 2, 1858.
Its provisions called for the liquidation of the British East India Company,
which had been ruling British India under the auspices of
Parliament) and the transference of its functions to the British Crown. - British Raj
-
The rule of the British
Crown in the Indian subcontinent between 1858 and 1947.
East India Company vs. British Government
Until the 1757 Battle of Plassey, the East India Company (EIC or the Company) territories in India, which consisted largely of the presidency towns of Calcutta, Madras, and Bombay, were governed by the mostly autonomous—and sporadically unmanageable—town councils, all composed of merchants. The councils barely had enough powers for the effective management of their local affairs and the ensuing lack of oversight of the overall Company operations in India led to some grave abuses by Company officers and their allies. The control of rich Bengal gained in the aftermath of the Battle of Plassey brought India into the public spotlight in Britain and the Company’s money management practices were questioned.
By 1772, the Company needed British government loans to stay afloat and there was fear in London that the Company’s corrupt practices could soon seep into British business and public life. Consequently, the Parliament established regulations at aimed to manage the affairs of the EIC. Although some wanted the Company’s territories to be taken over by the British state, the eventual compromise asserted that the Company could act as a sovereign power on behalf of the Crown and while subject to oversight and regulation by the British government and parliament. From 1784, the British government had the final word on all major appointments in India.
With increased British power in India, supervision of Indian affairs by the British Crown and Parliament increased as well. By the 1820s, British nationals could transact business or engage in missionary work under the protection of the Crown in the three presidencies. Finally, under the terms of The Charter Act of 1833, the British Parliament revoked the Company’s trade license altogether. This made the Company a part of British governance, but administration of British India remained the responsibility of Company officers. The Charter Act of 1833 also charged the Governor-General-in-Council (to whose title was now added “of India”) with the supervision of civil and military administration of the totality of India and the exclusive power of legislation.
The proliferation of the
Company’s power chiefly took two forms. The first was the outright
annexation of Indian states and subsequent direct governance of the underlying
regions that came to comprise British India. The second involved treaties in which Indian rulers acknowledged the
Company’s hegemony in return for limited internal autonomy. In the early 19th
century, the territories of these princes accounted for two-thirds of India.
When an Indian ruler who was able to secure his territory wanted to enter
such an alliance, the Company welcomed it as an economical method of indirect
rule that did not involve the economic costs of direct administration or the
political costs of gaining the support of alien subjects. In return, the company
pledged to defend its allies.
British Raj: “Despotism Controlled from Home”
The Indian Rebellion of 1857, a large-scale rebellion by soldiers employed by the EIC in northern and central India against the Company’s rule, was brutally suppressed. The British government took control of the Company and all power was transferred from the EIC to the British Crown, which began to administer most of India as a number of provinces. The Crown controlled the Company’s lands directly and had considerable indirect influence over the rest of India, which consisted of the princely states ruled by local royal families. What followed became known as the British Raj, the rule of the British Crown in the Indian subcontinent between 1858 and 1947.
A 1909 map of the British Indian Empire,
Edinburgh Geographical Institute, J. G. Bartholomew and Sons, Oxford University Press, 1909.
The British Raj extended over almost all present-day India, Pakistan, and Bangladesh, except for small holdings by other European nations such as Goa and Pondicherry. This area is very diverse, containing the Himalayan mountains, fertile floodplains, the Indo-Gangetic Plain, a long coastline, tropical dry forests, arid uplands, and the Thar desert.
The Government of India Act 1858 made changes in the governance of India at three levels: in the imperial government in London, in the central government in Calcutta, and in the provincial governments in the presidencies (and later in the provinces). In London, it provided for a cabinet-level Secretary of State for India and a 15-member Council of India, whose members were required, to have spent at least ten years in India no more than 10 years ago. The Act envisaged a system of “double government,” in which the Council ideally served both as a check on excesses in imperial policy making and as a body of up-to-date expertise on India. However, the Secretary of State also had special emergency powers that allowed him to make unilateral decisions and, in reality, the Council’s expertise was sometimes outdated.
In Calcutta, the Governor-General remained head of the Government of India and now was more commonly called the Viceroy on account of his secondary role as the Crown’s representative to the nominally sovereign princely states. He was, however, now responsible to the Secretary of State in London and through him to Parliament. The Governor-General in the capital, Calcutta, and the Governor in a subordinate presidency (Madras or Bombay) was each required to consult his advisory council. However, in the years of the post-rebellion reconstruction, Viceroy Lord Canning found the collective decision making of the Council to be too time-consuming for the pressing tasks ahead, so he requested the “portfolio system” of an Executive Council, in which the business of each government department (the portfolio) was assigned to and became the responsibility of a single council member. Routine departmental decisions were made exclusively by the member, but important decisions required the consent of the Governor-General and in the absence of such consent, required discussion by the entire Executive Council. This innovation in Indian governance was promulgated in the Indian Councils Act 1861.
If the Government of India needed to enact new laws, the Councils Act allowed for a Legislative Council—an expansion of the Executive Council by up to twelve additional members, each appointed to a two-year term—with half the members consisting of British officials of the government (termed official) and allowed to vote and the other half comprising Indians and domiciled Britons in India (termed non-official) and serving only in an advisory capacity. All laws enacted by Legislative Councils in India required the final assent of the Secretary of State in London. This prompted Sir Charles Wood, the second Secretary of State, to describe the Government of India as “a despotism controlled from home.” Moreover, although the appointment of Indians to the Legislative Council was a response to calls for more consultation with Indians, those appointed were from the landed aristocracy, often chosen for their British loyalty.
Princely States
A princely state, also called native state, refers to a semi-sovereign principality during the British Raj that was not directly governed by the British, but rather by a local ruler, subject to a form of indirect rule on some matters. The princely states varied greatly in status, size, and wealth.
The British Crown’s suzerainty over 175 princely states, generally the largest and most important, was exercised in the name of the British Crown by the central government of British India under the Viceroy. The remaining approximately 500 states were influenced by agents answerable to the provincial governments of British India under a Governor, Lieutenant-Governor, or Chief Commissioner. A clear distinction between “dominion” and “suzerainty” was supplied by the jurisdiction of the courts of law: the law of British India rested upon the legislation enacted by the British Parliament and the legislative powers those laws vested in the various governments of British India, both central and local. In contrast, the courts of the princely states existed under the authority of the respective rulers of those states.
By treaty, the British controlled the external affairs of the princely states absolutely. As the states were not British possessions, however, they retained control over their own internal affairs, subject to a degree of British influence which in many states was substantial.
Viceroy Lord Canning meets Maharaja Ranbir Singh of Jammu & Kashmir, March 9, 1860 by William Simpson, 1867.
Suzerainty over 175 princely states, some of the largest and most important, was exercised (in the name of the British Crown) by the central government of British India under the Viceroy. The remaining approximately 500 states were dependents of the provincial governments of British India under a Governor, Lieutenant-Governor, or Chief Commissioner (as the case might have been).
By the beginning of the 20th century, relations between the British and the four largest states – Hyderabad, Mysore, Jammu and Kashmir, and Baroda – were directly under the control of the Governor-General of India in the person of a British Resident. Two agencies, for Rajputana and Central India, oversaw 20 and 148 princely states respectively. The remaining princely states had their own British political officers, or agents, who answered to the administrators of India’s provinces.
27.3.3: The “Civilising Mission”
The British used the rationale of “civilising mission” to justify their imperial control of India and to introduce limited reforms to produce a qualified white-collar labor force that loyally supported colonial rule.
Learning Objective
Define the “civilising mission”
Key Points
-
The mission civilisatrice, a
French term that translates literally into English as civilising
mission, is a rationale for intervention or colonization, purporting to
contribute to the spread of civilization and used mostly in relation to the
colonization and Westernization of indigenous peoples in the 19th and 20th
centuries. Its advocates postulated a duty of Europeans
to help “backwards” peoples “civilize.” -
In
India, the British “civilising mission” focused largely on
educational reforms designed to speed up modernization and reduce administrative charges. Colonial
authorities fervently debated the question of the best policy. The orientalists believed that education should
happen in Indian languages while the utilitarians (also called anglicists)
strongly believed that traditional India had nothing to teach regarding modern
skills and the best education would happen in English. -
One
of the most influential reformers was Thomas Babington Macaulay, who in 1835 authored “Minute on Indian
Education.” In it, he urged the Governor-General to reform
secondary education on utilitarian lines to deliver “useful
learning,” which to Macaulay was synonymous with Western culture. He argued that Sanskrit and Persian were no more accessible than English to the
speakers of the Indian vernacular languages and existing Sanskrit and Persian
texts were of little use for “useful learning.” -
Macaulay’s
text largely coincided with Governor-General William Bentinck’s views and
Bentinck’s English Education Act 1835 closely matched Macaulay’s
recommendations. Under Macaulay, thousands of elementary and secondary schools
were opened, typically with all-male student bodies. However, Macaulay’s
views enjoyed little support in London and subsequent Governors-General
took a more conciliatory approach to existing Indian education. -
Missionaries
opened their own schools that taught Christianity and the 3-Rs (reading,
writing, and arithmetic). Universities in Calcutta, Bombay, and Madras were
established in 1857. The government opened 186 universities and colleges of higher education by 1911. All these benefits, however, went
to the Indian elites and middle classes, who were expected to serve as loyal
supporters of the British rule in India. -
The
“civilising mission” rhetoric continued, but soon became an alibi
for British misrule and racism without the pretense that Indian
progress was ever a goal. Those who advocated actual reforms became less influential. The British assumed Indians had to be
ruled by heavy hand, with democratic opportunities postponed indefinitely.
Key Terms
- civilising mission
-
A rationale for intervention or colonization purporting to contribute to the spread of civilization, used mostly in relation to the colonization and Westernization of indigenous peoples in the 19th and 20th centuries.
- Whig history
-
An approach to historiography that presents the past as an inevitable progression towards ever greater liberty and enlightenment, culminating in modern forms of liberal democracy and constitutional monarchy. In general, historians representing this approach emphasize the rise of constitutional government, personal freedoms, and scientific progress. The term is often applied generally (and pejoratively) to histories that present the past as the inexorable march of progress towards enlightenment.
Intellectual Origins of “Civilising Mission”
The mission civilisatrice, a French term which translates literally into English as civilising mission, is a rationale for intervention or colonization, purporting to contribute to the spread of civilization and used mostly in relation to the colonization and Westernization of indigenous peoples in the 19th and 20th centuries. It was influential in the French colonies of Algeria, French West Africa, and Indochina and in the Portuguese colonies of Angola, Guinea, Mozambique, and Timor. The rationale was also used by the British in their Asian and African colonies. The European colonial powers argued it was their duty to bring Western civilization to what they perceived as backward people. In addition to governing colonies, the Europeans also attempted to Westernize them in accordance with a colonial ideology known as “assimilation.” They aimed to influence indigenous elites who would loyally support imperial rule.
The intellectual origins of the mission civilisatrice trace back to the European thinkers, who discussed the idea of social change by using a development metaphor. In the 18th century, many saw history as a linear unending inevitable process of social evolutionism with the European nations running ahead. Racism underlined the arguments of two dominant lines of thought that emerged from this assumption. Some Europeans saw the “backward” nations as intrinsically incapable of reaching what Europeans saw as a more advanced level of social development. Others did not deny non-European societies these capabilities but postulated a duty to help those peoples “civilize.”
The Role of Education
In India, the British “civilising mission” focused largely on educational reforms. Education in English became a high priority with the goal to speed up modernization and reduce administrative charges. Colonial authorities fervently debated the question of the best policy, falling roughly in one of the two main camps. The orientalists believed that education should happen in Indian languages and favored classical or court languages like Sanskrit or Persian. Conversely, the utilitarians (also called anglicists) strongly believed that traditional India had nothing to teach regarding modern skills and the best education would happen in English.
One of the most influential reformers, Thomas Babington Macaulay (1800–1859), belonged to the latter group. Macaulay was a historian and politician who represented the tradition of Whig history, according to which the past is an inevitable progression towards ever greater liberty and enlightenment, culminating in modern forms of liberal democracy and constitutional monarchy. In general, Whig historians emphasize the rise of constitutional government, personal freedoms, and scientific progress.
Macauley went to India in 1834 and served on the Supreme Council of India until 1838. At the time, he authored his famous “Minute on Indian Education” (1835), in which he urged the Governor-General to reform secondary education on utilitarian lines to deliver “useful learning,” which to Macaulay was synonymous with Western culture. Macaulay argued that Sanskrit and Persian were no more accessible than English to the speakers of the Indian vernacular languages and existing Sanskrit and Persian texts were of little use for “useful learning.” Although he did not know Sanskrit or Arabic, he claimed that all Western experts could not “deny that a single shelf of a good European library was worth the whole native literature of India and Arabia.” Hence, he advocated that from the sixth year of schooling, students should be taught a European curriculum in English. This aimed to create a class of anglicized Indians to serve as cultural intermediaries between the British and the Indians. Macualay assumed that the creation of such a class was necessary before any reform of vernacular education.
Macaulay’s text largely coincided with Governor-General William Bentinck’s views and Bentinck’s English Education Act 1835 closely matched Macaulay’s recommendations. Under Macaulay, thousands of elementary and secondary schools opened, typically with all-male student bodies. However, Macaulay’s views enjoyed little support in London and subsequent Governors-General took a more conciliatory approach to existing Indian education.
Missionaries opened their own schools that taught Christianity and the 3-Rs (reading, writing, and arithmetic). Universities in Calcutta, Bombay, and Madras were established in 1857, just before the Rebellion. By 1890, some 60,000 Indians had matriculated, chiefly in the liberal arts or law. About a third entered public administration and another third became lawyers. The result was a very well-educated professional state bureaucracy. By 1887, of 21,000 mid-level civil service appointments, 45% were held by Hindus, 7% by Muslims, 19% by Eurasians (European father and Indian mother), and 29% by Europeans. Of the 1,000 top-level positions, almost all were held by Britons, typically with Oxbridge degrees. The government, often working with local philanthropists, opened 186 universities and colleges of higher education by 1911 and enrolled 36,000 students (over 90% men). By 1939, the number of institutions had doubled and enrollment reached 145,000. The curriculum followed classical British standards et by Oxford and Cambridge and stressed English literature and European history. All these benefits of education, however, went to the Indian elites and middle classes, who were expected to serve as loyal supporters of the British rule in India. Historians of Indian education have generally linked the idea of educational reform under the British rule to colonial dominance and control.
The “civilising mission” rhetoric continued, but soon became an alibi for British misrule and racism, this time without even pretending that Indian progress was ever a goal. Those who advocated actual reforms became less influential. Instead, the British assumed Indians had to be ruled by heavy hand with democratic opportunities postponed indefinitely, although some English historians argued that the so-called liberal imperialists truly believed that the British rule would bring the benefits of “ordered liberty” and Britain could fulfill its moral duty. Much of the debate on the role of Britain in India took place in Britain, where the imperialists worked hard to convince the general population that the “civilising mission” was well under-way. This campaign served to strengthen imperial support at home and thus bolster the moral authority of the elites who ran the Empire.
University of Bombay
A photo of University of Mumbai’s Fort Campus taken in the 1870s. Rajabai Clock Tower, seen here shrouded in scaffolding, was completed in 1878.
27.3.4: The Great Uprising of 1857
The Indian Rebellion of 1857, triggered by numerous grievances of both Indian soldiers (sepoys) and civilians against the East India Company, ended the Company’s rule in India and established the formal imperial rule of the British Crown across the region.
Learning Objective
Analyze the reasons for the Great Uprising of 1857
Key Points
-
The
Indian Rebellion of 1857 resulted
from an accumulation of factors over time rather than any single event. In the military,
sepoys
had a number of grievances, including losing their perquisites as
landed gentry and the anticipation of increased land-revenue payments
that the 1856 annexation of Oudh might bring about; being convinced that the Company was masterminding mass conversions of
Hindus and Muslims to Christianity; changes in the terms of
professional service; and the issue of
promotions based on seniority. -
The
final spark was provided by the ammunition for the new Enfield P-53 rifle.
To load the rifle,
sepoys had to bite the cartridge open to release the powder, but the grease used on
these cartridges was rumored to include tallow derived from beef, offensive to Hindus, and pork, offensive to Muslims. While the Company was quick to reverse the effects of the
policy to quell the unrest, this convinced many sepoys that the rumors were true and their fears
were justified. -
Civilians developed their own grievances
against the Company. The nobility felt it interfered with a traditional
system of inheritance through the Doctrine of Lapse. Rural landlords
lost half their landed estates to peasant farmers as a result of the land
reforms in the wake of annexation of Oudh. Some historians have suggested that heavy land-revenue assessment in some areas resulted in many
landowning families losing their land or going into great debt. -
The
rebellion began as a mutiny of sepoys on May 10, 1857, in the cantonment of the
town of Meerut, and soon escalated into other mutinies and civilian rebellions,
largely in the upper Gangetic plain and central India, with the major
hostilities confined to present-day Uttar Pradesh, western Bihar, northern
Madhya Pradesh, and the Delhi region. In general, the rebels were disorganized, had
differing goals, were poorly equipped, led, and trained, and had no outside
support or funding. -
The rebellion and its aftermath resulted in the
deaths of more than 100,000 Indians. The alleged killings of women and children
by the rebels left many British soldiers
seeking revenge. Most of the British press and British public,
outraged by the stories of alleged rape and the killings of civilians and
wounded British soldiers, did not advocate clemency of any kind. -
The
rebellion saw the end of the East India Company’s rule in India. By
the Government of India Act 1858, the company was formally dissolved and its
ruling powers over India were transferred to the British Crown. The rebellion also transformed both the native and
European armies of British India.
Key Terms
- Government of India Act 1858
-
An Act of the Parliament of
the United Kingdom (21 & 22 Vict. c. 106) passed on August 2, 1858.
Its provisions called for the liquidation of the British East India Company,
which had been ruling British India under the auspices of
Parliament and the transference of its functions to the British Crown. - East India Company
-
An English and later British
joint-stock company formed to pursue trade with the East Indies but trading mainly with the Indian subcontinent and Qing China. The
company rose to account for half of the world’s trade, particularly in basic
commodities including cotton, silk, indigo dye, salt, saltpeter, tea, and
opium. It also ruled the beginnings of the British Empire in India. - Indian Rebellion of 1857
-
A rebellion in India against the
rule of the British East India Company from May 1857 to July
1859. It began as a mutiny of sepoys of the East India Company’s
army in the cantonment of the town of Meerut and soon escalated into other
mutinies and civilian rebellions. It led to the dissolution of the East India
Company in 1858. India was thereafter directly governed by the Crown as
the new British Raj. - sepoy
-
A term used in the forces of the British East India Company that initially referred to Hindu or Muslim soldiers without regular uniform or discipline. It later referred to all native soldiers in the service of the European powers in India.
Causes of 1857 Rebellion
The Indian Rebellion of 1857 (known also as the Great Uprising of 1857) resulted from an accumulation of factors over time rather than from any single event.
In 1772, Warren Hastings was appointed India’s first Governor-General, and one of his first undertakings was the rapid expansion of the East India Company’s army. New sepoys (local soldiers, usually of Hindu or Muslim background) were recruited and to forestall any social friction, the Company took action to adapt its military practices to the requirements of their religious rituals. Over time, however, sepoys developed a number of grievances. After the annexation of Oudh (Awadh) by the EIC in 1856, many sepoys were disquieted both from losing their perquisites as landed gentry and from the anticipation of any increased land-revenue payments that the annexation might bring about. Furthermore, by 1857, some Indian soldiers, interpreting the presence of missionaries as a sign of official intent, were convinced that the Company was masterminding mass conversions of Hindus and Muslims to Christianity. Finally, changes in the terms of professional service also created resentment. As the extent of the EIC’s jurisdiction expanded with victories in wars or annexation, the soldiers were now expected not only to serve in less familiar regions but also without the “foreign service” remuneration that had previously been their due. Moreover, the new recruits of the Bengal Army, who until 1856 had been exempted from overseas service in observance of certain caste rituals, were now required a commitment for general service. There were also grievances over the issue of promotions based on seniority. This as well as the increasing number of European officers in the battalions made promotion slow, and many Indian officers did not reach commissioned rank until they were too old to be effective.
The final spark was provided by the ammunition for the new Enfield P-53 rifle. These used paper cartridges that came pre-greased. To load the rifle, sepoys had to bite the cartridges open to release the powder. The grease used was rumored to include tallow derived from beef, offensive to Hindus, and pork, offensive to Muslims. There were rumors that the British sought to destroy the religions of the Indian people and forcing the native soldiers to break their sacred code certainly increased this concern. The Company was quick to reverse the effects of the policy in hopes that the unrest would be quelled. Colonel Richard Birch, the Military Secretary, ordered that all cartridges issued from depots were to be free from grease and that sepoys could grease them themselves using whatever mixture “they may prefer.” A modification was also made to the drill for loading so that the cartridge was torn with the hands and not bitten. This, however, convinced many sepoys that the rumors were true and that their fears were justified.
Civilians developed their own grievances against the Company. The nobility, many of whom lost titles and domains under the Doctrine of Lapse which refused to recognize the adopted children of princes as legal heirs, felt that the Company had interfered with a traditional system of inheritance. In the areas of central India where such loss of privilege had not occurred, the princes remained loyal to the Company, even in areas where the sepoys had rebelled. Rural landlords called taluqdars lost half their landed estates to peasant farmers as a result of the land reforms that came in the wake of annexation of Oudh. Some historians have also suggested that heavy land-revenue assessment in some areas resulted in many landowning families either losing their land or going into great debt (money lenders, in addition to the Company, were particular objects of the rebels’ animosity). Eventually, the civilian rebellion was highly uneven in its geographic distribution and historians still attempt to explain why some areas rebelled while others remained calm.
“The Sepoy Revolt at Meerut,” Illustrated London News, 1857.
At Meerut, a large military cantonment, 2,357 Indian sepoys and 2,038 British soldiers were stationed along with 12 British-manned guns. The station held one of the largest concentrations of British troops in India and this was later cited as evidence that the original rising was a spontaneous outbreak rather than a pre-planned plot.
Rebellion of 1857
The rebellion began as a mutiny of sepoys on May 10, 1857, in the cantonment of the town of Meerut, and soon escalated into other mutinies and civilian rebellions, largely in the upper Gangetic plain and central India, with the major hostilities confined to present-day Uttar Pradesh, western Bihar, northern Madhya Pradesh, and the Delhi region. The rebellion posed a considerable threat to EIC’s power in that region. Other regions of Company-controlled India, the Bombay Presidency and the Madras Presidency, remained largely calm. The large princely states of Hyderabad, Mysore, Travancore, and Kashmir, as well as the smaller ones of Rajputana, did not join the rebellion. In some regions such as Oudh, the rebellion took on the attributes of a patriotic revolt against European presence. Some rebel leaders, such as Lakshmibai, the Rani of Jhansi, became folk heroes in the nationalist movement in India half a century later. In the Bengal Presidency, the revolt was entirely centered on Bihar, which experienced multiple disturbances in the Shahabad region where the revolt was led by Kunwar Singh. In Punjab, the Sikh princes backed the Company by providing soldiers and support. In general, the rebels were disorganized, had differing goals, were poorly equipped, led, and trained, and had no outside support or funding. The rebellion was contained only with the Indian defeat in Gwalior on June 18, 1858, during which Rani of Jhansi was killed. By 1859, rebel leaders Bakht Khan and Nana Sahib had either been slain or had fled.
Aftermath
The rebellion and its aftermath resulted in the deaths of more than 100,000 Indians. The alleged killings of women and children by the rebels as well as wounded British soldiers left many British soldiers seeking revenge. The mutineers were hung or blown from cannon, an old Mughal punishment where sentenced rebels were tied over the mouths of cannons and blown to pieces when the cannons were fired. Most of the British press, outraged by the stories of alleged rape and the killings of civilians and wounded British soldiers, did not advocate clemency of any kind. When Governor-General Canning ordered moderation in dealing with native sensibilities, he earned the scornful sobriquet “Clemency Canning” from the press and later parts of the British public.
Sepoy execution by blowing from a cannon
Incidents of rape allegedly committed by Indian rebels against European women and girls appalled the British public. These atrocities were often used to justify the British reaction to the rebellion. A series of exhaustive investigations were carried out by British police and intelligence officials into reports that British women prisoners had been “dishonored” at the Bibighar and elsewhere. The consensus was that there was no convincing evidence of such crimes having been committed, although numbers of European women and children had been killed outright.
The rebellion saw the end of the East India Company’s rule in India. In August, by the Government of India Act 1858, the company was formally dissolved and its ruling powers over India were transferred to the British Crown. A new British government department, the India Office, was created to handle the governance of India, and its head, the Secretary of State for India, was entrusted with formulating Indian policy. The Governor-General of India gained a new title, Viceroy of India, and implemented the policies devised by the India Office. On a political level, the British assumed that the previous lack of consultation between rulers and ruled was a significant factor in contributing to the uprising. In consequence, Indians were drawn into government at a local level, although on a limited scale. Nonetheless, a new white-collar Indian elite comprised of a professional middle class was starting to arise, in no way bound by the values of the past.
The Bengal army dominated the Indian army before 1857 and a direct result after the rebellion was the scaling back of the size of the Bengali contingent. The Brahmin presence in the Bengal Army was reduced because of their perceived primary role as mutineers. The rebellion transformed both the native and European armies of British India. The old Bengal Army almost completely vanished from the order of battle. These troops were replaced by new units recruited from castes hitherto underutilized by the British and from the minority so-called “martial races,” such as the Sikhs and the Gurkhas. There were also fewer European officers, but they associated themselves far more closely with their soldiers. More responsibility was given to the Indian officers.
27.3.5: The Economy in British India
The economy of British India was largely designed to protect and expand interests of the British economy, but the British collaborated closely with the Indian elites who, unlike the masses of ordinary Indians, benefited from the many economic changes.
Learning Objective
Describe the economy of British India and how it fit into Britain’s mercantilism
Key Points
-
Both the direct administration of India by
the British Crown and the technological change ushered in by the Industrial
Revolution closely intertwined the economies of India and
Great Britain. Railways, roads, canals, and bridges were rapidly
built in India and telegraph links established so that raw materials, most
notably cotton, from India’s hinterland could be transported more efficiently
to ports for subsequent export to England. Finished goods from
England were transported back just as efficiently for sale in the burgeoning
Indian markets. -
Despite
Britain’s position as the global leader of industrial development, India’s
industrialization was limited beyond textiles. Historians
have pointed to two causes: relatively low labor costs that discouraged investment in new labor-saving technologies and
British control of trade and exports of cheap
Manchester cotton. Entrepreneur Jamsetji Tata became the symbol of local industrial success, establishing a company that remains an influential global brand today. -
A
plan for a rail system in India was first put forward in 1832. A few short
lines were built in the 1830s, but they did not interconnect. In 1844,
Governor-General Lord Hardinge allowed private entrepreneurs to set up a rail
system in India. The colonial government encouraged new railway companies
backed by private investors under a scheme that would provide land and
guarantee an annual return of up to five percent during the initial years of
operation. Encouraged
by the government guarantees, investment flowed in and a series of new rail
companies were established, leading to rapid expansion of the rail system in
India. -
The
railways were privately owned and operated and run by British
administrators, engineers, and skilled craftsmen. At
first, only the unskilled workers were Indians. Like hiring practices, building and maintaining the railways were
designed to benefit mostly British companies.
India thus provides an example of the British Empire
pouring its money and expertise into a well-built system designed for
military purposes with the hope that it would
stimulate industry. -
The Indian economy grew about 1% per year
from 1880 to 1920 and the population also grew at 1%. The result was, on
average, no long-term change in income levels. Agriculture was still dominant,
with most peasants at the subsistence level. Extensive irrigation systems were
built, providing an impetus for growing cash crops for export and for raw
materials for Indian industry, especially jute, cotton, sugarcane, coffee, and
tea. - Historians
continue to debate whether the long-term impact of British rule accelerated or hindered the economic development of India. Some argue that
the new economy brought by the British in the 18th century was a form of
“plunder.” Others note the British takeover did not make any sharp break with the past. Many scholars in India and the West agree today that the British power depended upon excellent cooperation with Indian
elites and that the British rule did not change the highly divisive caste-based hierarchy of the Indian society.
Key Terms
- East India Company
-
An English and later British
joint-stock company formed to pursue trade with the East Indies but
trading mainly with the Indian subcontinent and Qing China. The
company rose to account for half of the world’s trade, particularly in basic
commodities including cotton, silk, indigo dye, salt, saltpeter, tea, and
opium. It also ruled the beginnings of the British Empire in India. - Indian Rebellion of 1857
-
A rebellion in India against the
rule of the British East India Company from May 1857 to July
1859. It began as a mutiny of sepoys of the East India Company’s
army in the cantonment of the town of Meerut and soon escalated into other
mutinies and civilian rebellions. It led to the dissolution of the East India
Company in 1858. India was thereafter directly governed by the Crown as
the new British Raj.
Limited Industrialization
In the second half of the 19th century, both the direct administration of India by the British Crown and the technological change ushered in by the Industrial Revolution closely intertwined the economies of India and Great Britain. Many of the major changes in transport and communications typically associated with Crown Rule of India began before the Indian Rebellion of 1857. Railways, roads, canals, and bridges were rapidly built in India and telegraph links established so that raw materials, most notably cotton, from India’s hinterland could be transported more efficiently to ports for subsequent export to England. Finished goods from England were transported back just as efficiently for sale in the burgeoning Indian markets. Imports of British cotton covered 55% of the Indian market by 1875.
Despite Britain’s position as the global leader of industrial development, India’s industrialization was limited, prompting historians to examine why. In the 17th century, India was a relatively urbanized and commercialized country with a buoyant export trade, devoted largely to cotton textiles but also including silk, spices, and rice. India was the world’s main producer of cotton textiles and had a substantial export trade to Britain and many other European countries via the East India Company. Yet while the British cotton industry underwent technological revolution in the late 18th century, the Indian industry stagnated and industrialization in India was delayed until the 20th century.
Historians have suggested that occurred because India was still a largely agricultural nation with low wages. In Britain, wages were relatively high, so cotton producers had the incentive to invent and purchase expensive new labor-saving technologies. In India, by contrast, wages were low, so producers preferred to increase output by hiring more workers rather than investing in technology. British control of trade and exports of cheap Manchester cotton are cited as other significant factors.
Despite the unrivaled quality of Indian cotton, universally recognized as late as the end of the 18th century, Indian textile exports declined significantly over the 19th century. High tariffs against Indian textile workshops and British restrictions on Indian cotton imports quickly transformed India from the source of textiles to a source of raw cotton.
Industrial production as it developed in European factories was unknown until the 1850s when the first cotton mills opened in Bombay, posing a challenge to the cottage-based home production system based on family labor.
The entrepreneur Jamsetji Tata (1839–1904) began his industrial career in 1877 with the Central India Spinning, Weaving, and Manufacturing Company in Bombay. While other Indian mills produced cheap coarse yarn (and later cloth) using local short-staple cotton and cheap machinery imported from Britain, Tata imported expensive longer-stapled cotton from Egypt and bought more complex ring-spindle machinery from the United States to spin finer yarn that could compete with imports from Britain. In the 1890s, Tata launched plans to expand into heavy industry using Indian funding. The Raj did not provide capital, but aware of Britain’s declining position against the U.S. and Germany in the steel industry, it wanted steel mills in India and promised to purchase any surplus steel Tata could not otherwise sell. The Tata Iron and Steel Company (TISCO), headed by his son Dorabji Tata (1859–1932), opened its plant in 1908. It became the leading iron and steel producer in India, with 120,000 employees in 1945. TISCO became India’s proud symbol of technical skill, managerial competence, entrepreneurial flair, and high pay for industrial workers.
Railway Industry
A plan for a rail system in India was first put forward in 1832. A few short lines were built in the 1830s, but they did not interconnect. In 1844, Governor-General Lord Hardinge allowed private entrepreneurs to set up a rail system in India. The colonial government encouraged new railway companies backed by private investors under a scheme that would provide land and guarantee an annual return of up to five percent during the initial years of operation. The companies were to build and operate the lines under a 99-year lease, with the government having the option to buy them earlier.
Encouraged by the government guarantees, investment flowed in and a series of new rail companies were established, leading to rapid expansion of the rail system in India. Soon several large princely states built their own rail systems and the network spread across regions.
British investors and engineers built a modern railway system by the late 19th century. It was the fourth largest in the world and was renowned for quality of construction and service. The government was supportive, realizing its value for military use in case of another rebellion as well as its value for economic growth. All the funding and management came from private British companies. The railways at first were privately owned and operated and run by British administrators, engineers, and skilled craftsmen.
At first, only the unskilled workers were Indians. Historians note that until the 1930s, both the Raj lines and the private companies hired only European supervisors, civil engineers, and even operating personnel such as locomotive engineers. Like hiring practices, building and maintaining the railways were designed to benefit mostly British companies. The government required that bids on railway contracts be made to the India Office in London, shutting out most Indian firms. The railway companies purchased most of their hardware and parts in Britain. There were railway maintenance workshops in India, but they were rarely allowed to manufacture or repair locomotives.
“The most magnificent railway station in the world,” Victoria Terminus, Bombay, completed in 1888
By 1875, about £95 million (equal to £117 billion in 2012) was invested by British companies in Indian-guaranteed railways. It later transpired that there was heavy corruption in these investments, on the part of both members of the British Colonial Government in India and companies who supplied machinery and steel in Britain. This resulted in railway lines and equipment costing nearly double what they should have.
India provides an example of the British Empire pouring its money and expertise into a well-built system designed for military purposes after the Rebellion of 1857 with the hope that it would stimulate industry. The system was overbuilt and too expensive for the small amount of freight traffic it carried. However, it did capture the imagination of the Indians, who saw their railways as the symbol of an industrial modernity—but one that was not realized until after Independence.
Economic Impact
The Indian economy grew at about 1% per year from 1880 to 1920 and the population also grew at 1%. The result was, on average, no long-term change in income levels. Agriculture was still dominant, with most peasants at the subsistence level. Extensive irrigation systems were built, providing an impetus for growing cash crops for export and for raw materials for Indian industry, especially jute, cotton, sugarcane, coffee, and tea. Agricultural income imparted the strongest effect on GDP.
Historians continue to debate whether the long-term impact of British rule was to accelerate or hinder the economic development of India. In 1780, conservative British politician Edmund Burke raised the issue of India’s position. He vehemently attacked the EIC, claiming that Warren Hastings and other top officials had ruined the Indian economy and society. Indian historian Rajat Kanta Ray (1998) continues this line of attack, arguing that the new economy brought by the British in the 18th century was a form of plunder and a catastrophe for the traditional economy of the Mughal Empire. Ray accuses the British of depleting the food and money stocks and of imposing high taxes that helped cause the terrible Bengal famine of 1770, which killed a third of the city’s people.
P. J. Marshall shows that recent scholarship has reinterpreted the view that the prosperity of the formerly benign Mughal rule gave way to poverty and anarchy. He argues the British takeover did not make any sharp break with the past, which largely delegated control to regional Mughal rulers and sustained a generally prosperous economy for the rest of the 18th century. Marshall notes the British went into partnership with Indian bankers and raised revenue through local tax administrators, keeping the old Mughal rates of taxation. Many historians agree that the EIC inherited an onerous taxation system that took one-third of the produce of Indian cultivators. Instead of the Indian nationalist account of the British as alien aggressors, seizing power by brute force and impoverishing all of India, Marshall presents the interpretation (supported by many scholars in India and the West) that the British were not in full control but instead were players in what was primarily an Indian play and in which their rise to power depended upon excellent cooperation with Indian elites. Marshall admits that much of his interpretation is still highly controversial among many historians. However, historians agree that the British rule did not change the divisive caste-based hierarchy of the Indian society and thus ordinary Indians remained excluded from the benefits of economic growth.
The railway network in 1909, when it was the fourth largest railway network in the world
In 1907, almost all the rail companies were taken over by the government. The following year, the first electric locomotive made its appearance. With the arrival of World War I, the railways were used to meet the needs of the British outside India. With the end of the war, the railways were in a state of disrepair and collapse.
27.3.6: The Indian National Congress
The Indian National Congress has dominated Indian politics since leading the Indian independence movement. In the post-independence era, it has remained the most influential political party in India under the continuous leadership of the Nehru-Gandhi political dynasty.
Learning Objective
List the key goals of the Indian National Congress and the reasons for its formation
Key Points
- The Indian National
Congress was founded in 1885 by Indian and British
members of the Theosophical Society to obtain a greater
share in government for educated Indians and create a platform for civic and
political dialogue between educated Indians and the British Raj.Within the next few years,
the organization decided to advocate in
favor of the independence movement. After internal conflicts over how to win independence, the moderate faction advocating gradual reforms won leadership over the radical faction that called for an open rebellion. -
Mahatma Gandhi returned
from South Africa in 1915. With the help of the moderate group led by Ghokhale,
Gandhi became president of the Congress and in the years following World
War I, he remained its
unofficial spiritual leader and icon. Gandhi’s ideas and
strategies of non-violent civil disobedience initially appeared
impractical to some Indians and congressmen. In the end, however, Gandhi’s
vision brought millions of ordinary Indians into the movement, transforming it
from an elitist struggle to a national one. -
In
1929, under the presidency of Jawaharlal Nehru, the Congress declared complete
independence as the party’s goal. In 1936-37, the British
government allowed provincial elections in India. The Congress gained power in eight out of 11 provinces. However, in
1939, the Viceroy Linlithgow declared India’s entrance into World War II
without consulting provincial governments. In protest, the Congress asked all
its elected representatives to resign from the government. The Congress also supported the actions of the Azad
Hind, an Indian provisional government established in Singapore during WWII. -
After
Indian independence in 1947, the Indian National Congress became the dominant
political party in the country. In 1952, in the first general election held
after independence, the party swept to power in the national parliament and most
state legislatures. It held power nationally until 1977, returned to power
in 1980, and ruled until 1989, when it was once again defeated. It formed the
government in 1991 at the head of a coalition as well as in 2004 and 2009. During this period, the Congress
remained center-left in its social policies while steadily shifting from a
socialist to a neoliberal economic outlook. - Throughout the post-independence period, Congress leadership was dominated by the Nehru-Gandhi political dynasty. From
1951 until his death in 1964, Jawaharlal Nehru was the Congress’ paramount
leader under the tutelage of Mahatma Gandhi.
After Nehru’s death, Lal Bahadur Shastri took over but his death in 1966 elevated to power Indira Gandhi,
Nehru’s daughter. Over time,
Gandhi’s
government grew increasingly more authoritarian and unrest among the opposition
grew. -
In
1984, Indira Gandhi’s son Rajiv Gandhi became nominal head of the Congress and
prime minister upon her assassination. His government was accused of corruption and in 1991, Gandhi was
killed by a bomb. He was succeeded
as party leader by P. V. Narasimha Rao, who is often referred to as the “father of Indian economic
reforms.” Rao was
succeeded as president by Sitaram Kesri, the party’s first non-Brahmin leader, but in order to boost the party’s popularity, Congress
leaders urged Sonia Gandhi – widow of Rajiv Gandhi – to assume the
leadership of the party, which she holds until today.
Key Terms
- Indian National Congress
-
One of two major political parties in India, founded in 1885 during the British Raj. In the late 19th and early to mid-20th centuries, it became a pivotal participant in the Indian independence movement, with over 15 million members and over 70 million participants in its opposition to British colonial rule in India.
- Indian National Army trials
-
The British Indian trial by courts-martial of a number of officers of the Indian National Army (INA) between November 1945 and May 1946. INA was
an armed force formed by Indian nationalists in 1942 in Southeast Asia that fought against the British. Charges included treason, torture, murder, and abetment. - Azad Hind
-
An Indian provisional government established in occupied Singapore in 1943 and supported by Japan and Nazi Germany.
- British Raj
-
The rule of the British
Crown in the Indian subcontinent between 1858 and 1947.
Early Years
The Indian National Congress (INC or the Congress) was founded in 1885 by Indian and British members of the Theosophical Society. Its objective was to obtain a greater share in government for educated Indians and create a platform for civic and political dialogue between educated Indians and the British Raj. The first session was held in December 1885 and attended by 72 delegates. Representing each province of India, the Party’s delegates comprised 54 Hindus and two Muslims. The rest were of Parsi and Jain backgrounds.
Within the next few years, the demands of the Congress became more radical in the face of constant opposition from the British government. The organization decided to advocate in favor of the independence movement because it would allow a new political system in which the Congress could be a major party.
In 1907, the Congress was split into two factions. The radicals, led by
Bal Gangadhar Tilak, advocated civil agitation and direct revolution to overthrow the British Empire and the abandonment of all things British. The moderates, led by leaders like Dadabhai Naoroji and Gopal Krishna Gokhale, wanted reform within the framework of British rule. Tilak was backed by rising public leaders like Bipin Chandra Pal and Lala Lajpat Rai, who held the same point of view. Under them, India’s three major states, Maharashtra, Bengal, and Punjab, shaped the demand of the people and India’s nationalism. Gokhale criticized Tilak for encouraging acts of violence and disorder. But the Congress of 1906 did not have public membership and thus Tilak and his supporters were forced to leave the party.
Mass Movement
Mahatma Gandhi returned from South Africa in 1915. With the help of the moderate group led by Ghokhale, Gandhi became president of the Congress and formed an alliance with the Khilafat Movement, a pan-Islamic, political protest campaign launched by Muslims to influence the British government and increase Hindu Muslim unity. In protest, a number of leaders resigned to set up the Swaraj Party. The Khilafat movement soon collapsed and in the years following World War I, the party became associated with Mahatma Gandhi, who remained its unofficial spiritual leader and icon.
Gandhi’s ideas and strategies of non-violent civil disobedience, which
had to be carried out non-violently by withdrawing co-operation with the corrupt state,
initially appeared impractical to some Indians and congressmen. In the end, however, Gandhi’s vision brought millions of ordinary Indians into the movement, transforming it from an elitist struggle to a national one. The nationalist cause was expanded to include the interests and industries that formed the economy of common Indians. For example, in Champaran, Bihar, Gandhi championed the plight of desperately poor sharecroppers and landless farmers who were forced to pay oppressive taxes and grow cash crops at the expense of the subsistence crops that formed their food supply. The profits from the crops they grew were insufficient to provide for their sustenance. Proposals aimed at eradicating caste differences, untouchability, poverty, and religious and ethnic divisions made the Congress a forceful group that dominated the Indian independence movement. Although its members were predominantly Hindu, it had members from other religions, economic classes, and ethnic and linguistic groups.
In 1929, under the presidency of Jawaharlal Nehru, the Congress declared complete independence as the party’s goal. In the winter of 1936-37, the British government allowed provincial elections in India that were held in eleven provinces. The Congress gained power in eight of the provinces. However, in 1939, the Viceroy Linlithgow declared India’s entrance into World War II without consulting provincial governments. In protest, the Congress asked all elected representatives to resign from the government. In 1943 Azad Hind, an Indian provisional government, was established in Singapore and supported by Japan. In 1946, Indian soldiers who had fought alongside the Japanese during World War II were tried by the British in the Indian National Army trials. In response, the Congress helped to form the INA Defense Committee, which assembled a legal team to defend the case of the soldiers of the Azad Hind government. The team included several famous lawyers, including Bhulabhai Desai, Asaf Ali, and Jawaharlal Nehru.
Gandhi and Nehru in 1942
Nehru emerged as the paramount leader of the Indian independence movement under the tutelage of Mahatma Gandhi and ruled India from its establishment as an independent nation in 1947 until his death in 1964. He is considered to be the architect of the modern Indian nation-state: a sovereign, socialist, secular, and democratic republic.
Post-Independence Congress
After Indian independence in 1947, the Indian National Congress became the dominant political party in the country. In 1952, in the first general election held after independence, the party swept to power in the national parliament and most state legislatures. It held power nationally until 1977. It returned to power in 1980 and ruled until 1989, when it was once again defeated. It formed the government in 1991 at the head of a coalition as well as in 2004 and 2009, when it led the United Progressive Alliance. During this period, the Congress remained center-left in its social policies while steadily shifting from a socialist to a neoliberal economic outlook. The Party’s rivals at state level have been national parties the Bharatiya Janata Party (BJP), the Communist Party of India (Marxist) (CPM), and various regional parties.
From 1951 until his death in 1964, Jawaharlal Nehru was the Congress’s paramount leader under the tutelage of Mahatma Gandhi. During his tenure, Nehru implemented policies based on import substitution industrialization and advocated a mixed economy, where the government-controlled public sector co-existed with the private sector. He believed the establishment of basic and heavy industries was fundamental to the development and modernization of the Indian economy. The Nehru government directed investment primarily into key public sector industries – steel, iron, coal, and power – promoting their development with subsidies and protectionist policies. Nehru embraced secularism, socialistic economic practices based on state-driven industrialization, and a non-aligned and non-confrontational foreign policy that became typical of the modern Congress Party. The policy of non-alignment during the Cold War meant Nehru received financial and technical support from both the Eastern Bloc and the Western Bloc to build India’s industrial base.
After Nehru’s death, no leader except
Lal Bahadur Shastri had his popular appeal. Shastri retained many members of Nehru’s Council of Ministers and appointed Indira Gandhi (no relation to Mahatma Gandhi), Jawaharlal Nehru’s daughter and former Congress President, Minister of Information and Broadcasting. Shastri died in 1966, reportedly of a heart attack but the circumstances of his death remain mysterious.
After Shastri’s death, the Congress elected Indira Gandhi as leader.
In the parliamentary elections held in 1971, the Gandhi-led Congress won a landslide victory on a platform of progressive policies such as the elimination of poverty. However, from 1975, Gandhi’s government grew increasingly more authoritarian and unrest among the opposition grew. In 1975, the High Court of Allahabad declared Indira Gandhi’s election to the Lok Sabha, the lower house of India’s parliament, void on the grounds of electoral malpractice. Gandhi rejected calls to resign and announced plans to appeal to the Supreme Court. She moved to restore order by ordering the arrest of most of the opposition participating in the unrest. In response to increasing disorder, Gandhi’s cabinet and government recommended that President Fakhruddin Ali Ahmed declare a state of emergency. During the 19-month emergency, widespread oppression and abuse of power by Gandhi’s unelected younger son and political heir Sanjay Gandhi and his close associates occurred. This period of political oppression ended in 1977, when Gandhi released all political prisoners and called fresh elections to the Lok Sabha.
The opposition Janata Party won a landslide victory over the Congress.
Indira Gandhi, second-longest-serving Prime Minister of India and the only woman to hold the office
Gandhi served as her father’s personal assistant and hostess during his tenure as prime minister between 1947 and 1964. She was elected Congress President in 1959. Upon her father’s death in 1964, Gandhi refused to enter the Congress party leadership contest and instead chose to become a cabinet minister in the government led by Lal Bahadur Shastri. In the Congress Party’s parliamentary leadership election held in early 1966, upon the death of Shastri, she succeeded Shastri as Prime Minister of India.
In 1978, Ghandi and her followers seceded and formed a new opposition party, popularly called Congress (I)—the I signifying Indira. During the next year, her new party attracted enough members of the legislature to become the official opposition. In the same year, Gandhi regained a parliamentary seat. In 1980, following a landslide victory for the Congress (I), she was again elected prime minister. The national election commission declared Congress (I) to be the real Indian National Congress for 1984 general election and the designation I was dropped. As prime minister, Gandhi became known for her political ruthlessness and unprecedented centralization of power. In 1984, two of Gandhi’s bodyguards, Satwant Singh and Beant Singh, shot her with their service weapons in the garden of the prime minister’s residence.
In 1984, Indira Gandhi’s son Rajiv Gandhi became nominal head of the Congress and became prime minister upon her assassination, leading the Congress to a landslide victory. His administration took measures to reform the government bureaucracy and liberalize the country’s economy. After his government became embroiled in several financial scandals, however, his leadership became increasingly ineffectual, although Gandhi was regarded as a non-abrasive person who consulted other party members and refrained from hasty decisions. In 1991, Gandhi was killed by a bomb concealed in a basket of flowers carried by a woman associated with the Tamil Tigers.
Rajiv Gandhi was succeeded as party leader by P. V. Narasimha Rao, who was elected prime minister in 1991. His administration oversaw a major economic change and several home incidents that affected India’s national security. Rao, who held the Industries portfolio, is often referred to as the “father of Indian economic reforms.” By 1996, the party’s image was suffering from allegations of corruption and in elections that year the Congress was reduced to 140 seats, its lowest number in the Lok Sabha to that point, becoming parliament’s second largest party. Rao later resigned as prime minister and as party president. He was succeeded as president by Sitaram Kesri, the party’s first non-Brahmin leader.
Congress Today
In the 1998 general election, the Congress did not regain its leading position. To boost its popularity and improve its performance in the forthcoming election, Congress leaders urged Sonia Gandhi – widow of Rajiv Gandhi – to assume the leadership of the party. She had previously declined offers to become actively involved in party affairs and stayed away from politics. After her election as party leader, a section of the party that objected to the choice because of her Italian origins broke away and formed the Nationalist Congress Party (NCP), led by Sharad Pawar. Sonia Gandhi remains the leader of the Congress, highlighting the long Indian tradition of politics as a dynastic affair.
27.3.7: Calls for Independence
The Indian independence movement, which achieved its goal in 1947, was one of many independence struggles that intensified after World War II across Asia and Africa.
Learning Objective
Connect calls for independence in India to worldwide movements for independence
Key Points
-
The
decades following the Indian Rebellion of 1857 were a period of growing
political awareness, manifestation of Indian public opinion, and emergence of
Indian leadership at both national and provincial levels. Members of the
upwardly mobile and successful western-educated elites established organizations that
aimed to ensure that they would gain influence in Indian politics but were not focused on the question of Indian independence. -
By 1900, although the Indian National Congress, the leading independence movement organization, emerged as an all-India political organization, its achievement
was undermined by its failure to attract Muslims. In response, the All India
Muslim League was founded to secure the interests of the Muslim diaspora in British
India. In the 1940s, the League played a decisive role during the 1940s in the
Indian self-rule movement and developed into the driving nationalist force that
led to the creation of Pakistan in the Indian subcontinent. -
The
early part of the 20th century saw a more radical approach towards political
self-rule (swaraj) propagated by
increasingly influential Mahatma Gandhi.
From the 1920s, the Congress adopted Gandhi’s policy of
nonviolence and civil resistance and Muhammad Ali Jinnah focused on constitutional struggle
for the rights of minorities in India. Some
activists preached armed revolution, literary professionals used texts as a tool for political awareness, feminists
promoted the emancipation of Indian women, and some groups championed the cause of the disadvantaged sections of Indian
society. The
work of these various movements led ultimately to the Indian Independence Act
1947, which ended the suzerainty in India and the creation of Pakistan. -
In the aftermath of
World War II, European colonies, controlling more than one billion people
throughout the world, still ruled most of the Middle East, southeast Asia,
Africa, and until 1947 the Indian subcontinent. Independence
movements
emerged across Africa and in regions of Asia that remained under the European control. They often referred to the 1941 Atlantic Charter and applied a number of strategies, both militant and based on
the civil disobedience model. -
New modernizing forms of African nationalism gained strength in the
early 20th-century with the emergence of Pan-Africanism. By
the 1930s, the colonial powers in Africa had cultivated, sometimes inadvertently, a small
elite group of leaders who advocated the idea of
self-determination. The struggle culminated in 1960, known today as the Year of Africa, when the
number of independent countries rose from nine to
26 and African nations were recognized as a force to be reckoned with on the international arena.
Many colonies continued to fight for their independence
throughout the 1960s and 1970s. -
In
Asia, the image of European pre-eminence was shattered by the wartime Japanese
occupations of large portions of British, French, and Dutch territories in the
Pacific. The destabilization of European rule led to the rapid growth of
nationalist movements, and nearly all Asian colonies gained independence in the aftermath of World War II, sometimes as a result of violent conflicts.
Key Terms
- Indian National Congress
-
One of two major political parties
in India, founded in 1885 during the British Raj. In the late 19th and
early to mid-20th centuries, it became a pivotal participant in the Indian
independence movement, with over 15 million members and over 70 million
participants in its opposition to British colonial rule in India. - swaraj
-
A Hindi term that means generally self-governance or self-rule and was used to refer to Gandhi’s concept for Indian independence from foreign domination. It put stress on governance not by a hierarchical government, but through individual self-governance and community building focused on political decentralization.
- Quit India Movement
-
A civil
disobedience movement launched in Bombay by Mahatma Gandhi on August 8,
1942, during World War II, demanding an end to British Rule of
India. Gandhi made a call to do or die in a
speech delivered in Bombay at the Gowalia Tank Maidan. The All-India
Congress Committee launched a mass protest demanding what Gandhi called
“An Orderly British Withdrawal” from India. Almost the entire
leadership of the Indian National Congress was imprisoned without trial within
hours of Gandhi’s speech. - Pan-Africanism
-
A worldwide intellectual movement to encourage and strengthen bonds of solidarity between all people of African descent. Based upon a common fate going back to the Atlantic slave trade, the movement extends beyond continental Africans, with a substantial support base among the African diaspora in the Caribbean and the United States. It is based on the belief that unity is vital to economic, social, and political progress and aims to “unify and uplift” people of African descent.
- Atlantic Charter
-
A pivotal policy statement issued in 1941 that defined the Allied goals for the post-war world. The leaders of the United Kingdom and the United States drafted the work and the Allies of World War II later confirmed it. The document stated the ideal goals of the war: no territorial aggrandizement; no territorial changes against the wishes of the people; right to self-determination; restoration of self-government to those deprived of it; reduction of trade restrictions; global cooperation to secure better economic and social conditions for all; freedom from fear and want; freedom of the seas; and abandonment of the use of force, as well as disarmament of aggressor nations.
- Indian Civil Service
-
The elite higher civil service of the British Empire in British India during British rule in the period between 1858 and 1947.
- Year of Africa
-
A term used to refer to 1960 because of the independence of 17 African nations that took place that year, highlighting the growing Pan-African sentiments in the continent. The year brought about the culmination of African independence movements and the subsequent emergence of Africa as a major force in the United Nations.
- All India Muslim League
-
A political party established during the early years of the 20th century in the British Indian Empire. Its strong advocacy for the establishment of a separate Muslim-majority nation-state, Pakistan, successfully led to the partition of British India in 1947 by the British Empire.
Indian Independence Movement
The decades following the Indian Rebellion of 1857 were a period of growing political awareness, manifestation of Indian public opinion, and emergence of Indian leadership at both national and provincial levels.
Members of the upwardly mobile and successful western-educated elites, engaged in professions such as law, teaching, and journalism, established organizations to ensure they would gain influence in Indian politics (e.g., East India Association in 1867, Indian National Association in 1876, the Indian National Congress in 1885). Despite their claims to represent all India, these organizations initially voiced the interests of urban elites, and the number of participants from other social and economic backgrounds remained negligible.
This new middle class of educated professionals, although spread thinly across the country, expressed the growing sense of solidarity, empowerment, and discontent with the British rule, fueled by success in education and accordant benefits, including employment in the Indian Civil Service. Many Indians were especially encouraged when Canada was granted dominion status in 1867 and established an autonomous democratic constitution. Furthermore, the work of contemporaneous scholars like Monier Monier-Williams and Max Müller, who presented ancient India as a great civilization, contributed to the growing feeling of national pride. Discontent, on the other hand, came not just from policies of racial discrimination at the hands of the British in India, but also from specific government actions like the use of Indian troops in imperial campaigns (e.g. in the Second Anglo-Afghan War) and the attempts to control the vernacular press.
Viceroy Lord Ripon’s partial reversal of the Ilbert Bill (1883), a legislative measure that proposed putting Indian judges in the Bengal Presidency on equal footing with British ones, that transformed the discontent into political action. The event contributed to the establishment of the Indian National Congress, the single most influential organization of the Indian independence movement. During its first twenty years, Congress primarily debated British policy toward India. However, its debates created a new outlook that held Great Britain responsible for draining India of its wealth. Britain did this, the nationalists claimed, by unfair trade, restraint on indigenous Indian industry, and using Indian taxes to pay the high salaries of the British civil servants in India.
By 1900, although the Congress had emerged as an all-India political organization, its achievement was undermined by its singular failure to attract Muslims, who felt that their representation in government service was inadequate. In response, the All India Muslim League was founded in 1906. In 1916, the League’s leader, Muhammad Ali Jinnah, joined the Indian National Congress. Like most of the Congress at the time, Jinnah did not favor outright self-rule, considering British influences on education, law, culture, and industry as beneficial to India.
To secure the interests of the Muslim diaspora in British India, the League eventually played a decisive role during the 1940s in the Indian self-rule movement and developed into the driving nationalist force that led to the creation of Pakistan in the Indian subcontinent.
The nationalistic sentiments among Congress members led the movement to be represented in the bodies of government and the legislation and administration of India. Congressmen saw themselves as loyalists, but wanted an active role in governing their own country, albeit as part of the Empire. However, the early part of the 20th century saw a more radical approach towards political self-rule (swaraj) propagated by increasingly influential Mahatma Gandhi. Swaraj put stress on governance not by a hierarchical government, but by individuals and community building. The focus was on political decentralization. Since this was against the political and social systems followed by Britain, swaraj advocated India’s discarding British political, economic, bureaucratic, legal, military, and educational institutions.
Demonstration against the British rule in India, c. 1930s
By 1929, in the midst of rising political discontent and increasingly violent regional movements, the call for complete sovereignty and end of British rule began to find increasing grounds within the Congress leadership. Under the presidency of Jawaharlal Nehru at his historic Lahore session in December 1929, the Indian National Congress adopted a resolution calling for complete self-rule and end of British rule.
The last stages of the self-rule struggle from the 1920s saw the Congress adopt Gandhi’s policy of nonviolence and civil resistance, Muhammad Ali Jinnah’s constitutional struggle for the rights of minorities in India, and several other campaigns. Some activists preached armed revolution to achieve self-rule. Poets and writers used literature, poetry, and speech as toolS for political awareness. Feminists promoted the emancipation of Indian women and their participation in national politics. Others championed the cause of the disadvantaged sections of Indian society within the larger self-rule movement. The period of the Second World War saw the peak of the campaigns by the Quit India Movement, which
demanded what Gandhi
called “an orderly British withdrawal” from India, and the Indian National Army movement
– an armed force formed by Indian nationalists in
1942 in Southeast Asia that fought against the British. The work of these movements led ultimately to the Indian Independence Act 1947, which ended the suzerainty in India and the creation of Pakistan. India remained a Dominion of the Crown until 1950, when the Constitution of India came into force, establishing the Republic of India. Pakistan was a dominion until 1956, when it adopted its first republican constitution. In 1971, East Pakistan declared independence as the People’s Republic of Bangladesh.
Decolonization as Global Struggle
The independence struggle of India was only one of many that succeeded in the post-World War II era.
In the aftermath of World War II, European colonies, controlling more than one billion people throughout the world, still ruled most of the Middle East, southeast Asia, Africa, and until 1947 the Indian subcontinent.
Independence movements applying a number of different strategies, both militant and based on the civil disobedience model, emerged across the African continent and in regions of Asia that remained under the European control.
In Africa,
Britain, and France had the largest holdings, but Germany, Spain, Italy, Belgium, and Portugal also had colonies. As a result of colonialism and imperialism, a majority of Africa lost sovereignty and control of precious natural resources.
By the 1930s, the colonial powers had cultivated, sometimes inadvertently, a small elite of leaders educated in Western universities and advocated the idea of self-determination. These leaders came to lead the struggles for independence and included leading nationalists such as Jomo Kenyatta (Kenya), Kwame Nkrumah (Gold Coast, now Ghana), Julius Nyerere (Tanganyika, now Tanzania), Léopold Sédar Senghor (Senegal), Nnamdi Azikiwe (Nigeria), and Félix Houphouët-Boigny (Côte d’Ivoire).
In the northeast the continued independence of the Empire of Ethiopia remained a beacon of hope to pro-independence activists. However, with the anti-colonial wars of the 1900s barely over, modern forms of African nationalism gained strength in the early 20th-century with the emergence of Pan-Africanism.
This worldwide intellectual movement aims to encourage and strengthen bonds of solidarity between all people of African descent. It was based on the belief that unity is vital to economic, social, and political progress and aims to “unify and uplift” people of African descent.
Modern Pan-Africanism began around the start of the 20th century. The African Association, later renamed the Pan-African Association, was established around 1897 by Henry Sylvester-Williams, who organized the First Pan-African Conference in London in 1900.
The red, black, and green Pan-African flag designed by the Universal Negro Improvement Association in 1920
Variations of the flag have been used in various countries and territories in Africa and the Americas to represent Pan-Africanist ideologies. Among these are the flags of Malawi, Kenya, and Saint Kitts and Nevis. Several Pan-African organizations and movements have often employed the emblematic red, black, and green tri-color scheme in variety of contexts. Additionally, the flags of a number of nations in Africa and of Pan-African groups use green, yellow, and red. This color combination was originally adopted from the 1897 flag of Ethiopia and was inspired by the fact that Ethiopia is the continent’s oldest independent nation.
In 1941, United States President Franklin D. Roosevelt and British Prime Minister Winston Churchill met to discuss the postwar world, resulting in the Atlantic Charter. It was not a treaty and was not submitted to the British Parliament or the Senate of the United States for ratification, but became a very influential document. Among the principal points of the Charter were post-war territorial adjustments to be decided in accord with the wishes of the peoples concerned and the statement that all people had a right to self-determination. While
Churchill rejected its universal applicability when it came to the self-determination of subject nations, after World War II, the U.S. and the African colonies put pressure on Britain to abide by the terms of the Atlantic Charter.
In Asia, the image of European pre-eminence was shattered by the wartime Japanese occupations of large portions of British, French, and Dutch territories in the Pacific. The destabilization of European rule led to the rapid growth of nationalist movements—especially in Indonesia, Malaya, Burma, and French Indochina.
In the Philippines, the U.S. remained committed to its previous pledges to grant the islands their independence, and the Philippines became the first of the Western-controlled Asian colonies to become independent post-World War II. However, the Philippines remained under pressure to adopt a political and economic system similar to their old imperial master.
A year after India gained its independence, the exhausted British granted independence to Burma and Ceylon. In the Middle East, Britain granted independence to Jordan in 1946 and two years later ended its mandate of Palestine.
Following the end of the war, nationalists in Indonesia demanded complete independence from the Netherlands. A brutal conflict ensued and in 1949, through United Nations mediation, the Dutch East Indies achieved independence, becoming the new nation of Indonesia.
France granted the State of Vietnam based in Saigon independence in 1949 whilst Laos and Cambodia received independence in 1953.
In Africa, the struggle culminated in 1960, known today as the Year of Africa, when
the number of independent countries rose from nine (with population 95 million) to 26 (population 180 million), gaining their independence from Belgium, France, and the United Kingdom. The Year of Africa altered the symbolic status of Africans worldwide by forcing the world to recognize the existence of African nations on the international arena. It marked the beginning of a new, more Afrocentric era in African studies and it was a major boost for African Americans, who were engaged in a civil rights strife within their own country. The struggle of independence in Africa, however, did not end but was fueled by the events of 1960 as many colonies continued to fight for their independence throughout the 1960s and 1970s.
27.4: Indochina
27.4.1: Pre-French Indochina
The diverse cultures of what would eventually become French Indochina traced their roots to pre-modern kingdoms and empires. For centuries this area was shaped by numerous influences, most notably the expansive trade and political contacts of South and East Asia.
Learning Objective
Describe the cultures of Indochina before French colonialism
Key Points
-
In
the pre-modern era, significant parts of the region that would later become
French Indochina belonged to what was known as Greater India. The kingdoms that belonged to
Greater India and eventually overlapped with what would become French Indochina
were Funan and its successor Chenla, Champa, and the Khmer Empire. -
Champa controlled what is now
south and central Vietnam since approximately 192 CE. The dominant religion was
Hinduism and the culture was heavily influenced by India.
Between
the 3rd and the 5th centuries, Funan and its successor, Chenla, coalesced in
present-day Cambodia and southwestern Vietnam. For more than 2,000 years, what
was to become Cambodia absorbed influences from India. The Khmer Empire,
with the capital city in Angkor, grew out of the remnants of Chenla, becoming
firmly established in 802. -
After
a long series of wars with neighboring kingdoms, Angkor was sacked by the
Ayutthaya Kingdom and abandoned in 1432. The period that followed is today known as the
Dark Ages of Cambodia, the historical era from the early 15th century to 1863. In
the 19th century a renewed struggle between Siam and Vietnam for control of
Cambodia resulted in the Siamese–Vietnamese War
(1841–1845) that placed the country under joint
suzerainty. -
Laos
traces its history to the kingdom of Lan Xang (Million Elephants), founded in
the 14th century by Lao prince Fa Ngum. Ngum made Theravada Buddhism the state religion. Within 20
years of its formation, the kingdom expanded eastward to Champa and along the
Annamite mountains in Vietnam. In 1421, Lan Xang collapsed into warring factions
for the next 100 years. In
the 17th century, Lan Xang would further expand its frontiers and in today’s
Laos, this period is often regarded as the country’s golden age. - In
the 18th century, Burmese armies overran northern Laos and annexed Luang Phrabang,
while Champasak eventually came under Siamese suzerainty. Chao Anouvong was
installed as a vassal king of Vientiane by the Siamese. Under Vietnamese pressure, he
rebelled against the Siamese in 1826. The rebellion failed and Vientiane was
ransacked. -
In
938, the Vietnamese lord Ngo Quyen defeated the forces of the Chinese Southern
Han state and achieved full independence for Vietnam after a millennium of
Chinese domination. Renamed as Dai Viet (Great Viet), the state enjoyed a
golden era between the 11th and the beginning of the 15th centuries. Between the 11th
and 18th centuries, Vietnam expanded southward, eventually conquering the
kingdom of Champa and part of the Khmer Empire. Internal conflicts between local lords divided the country that eventually fell under the French rule.
Key Terms
- Indochina
-
A geographical term originating in the early 19th century and referring to the continental portion of the region now known as Southeast Asia. The name refers to the lands historically within the cultural influence of India and China and physically bound by India in the west and China in the north. It corresponds to the present-day areas of Myanmar, Thailand, Laos, Cambodia, Vietnam, and (variably) peninsular Malaysia. The term was later adopted as the name of the French colony of today’s Vietnam, Cambodia, and Laos.
- Greater India
-
A term most commonly used to encompass the historical and geographic extent of all political entities of the Indian subcontinent and beyond. To varying degrees, these entities were transformed by the acceptance and induction of cultural and institutional elements of pre-Islamic India.
- Dark Ages of Cambodia
-
The historical era from the early 15th century to 1863, the year that marks the beginning of the French Protectorate of Cambodia. As reliable sources for the 15th and 16th century in particular are very rare, a fully defensible and conclusive explanation for the decline of the Khmer Empire, recognized unanimously by the scientific community, has so far not been produced.
Indochina
Indochina, originally Indo-China, is a geographical term originating in the early 19th century for the continental portion of the region now known as Southeast Asia. The name refers to the lands historically within the cultural influence of India and China and physically bound by India in the west and China in the north. It corresponds to the present-day areas of Myanmar, Thailand, Laos, Cambodia, Vietnam, and (variably) peninsular Malaysia. The term was later adopted as the name of the colony of French Indochina (today’s Vietnam, Cambodia, and Laos), and the entire area of Indochina is now usually referred to as the Indochinese Peninsula or Mainland Southeast Asia.
An 1886 map of Indochina, Scottish Geographical Magazine (Vol. II) edited by Hugh A. Webster and Arthur Silva White.
The origins of the name Indo-China are usually attributed jointly to the Danish-French geographer Conrad Malte-Brun, who referred to the area as indo-chinois in 1804, and the Scottish linguist John Leyden, who used the term Indo-Chinese to describe the area’s inhabitants and their languages in 1808. As the French established the colony of French Indochina, use of the term became restricted to the French colony and today the area is usually referred to as Mainland Southeast Asia.
Greater India
In the pre-modern era, significant parts of the region that would later become French Indochina belonged to what is known as Greater India. Although the term is not precise, Greater India is most commonly used to encompass the historical and geographic extent of all political entities of the Indian subcontinent and beyond that had to varying degrees been transformed by the acceptance and induction of cultural and institutional elements of pre-Islamic India. Since around 500 B.C. Asia’s expanding land and maritime trade resulted in prolonged socioeconomic and cultural stimulation and diffusion of Hindu and Buddhist beliefs into regional cosmology, particularly in Southeast Asia and Sri Lanka. The kingdoms that belonged to Greater India and eventually overlapped with what would become French Indochina were Funan and its successor Chenla, Champa, and the Khmer Empire.
Champa controlled what is now south and central Vietnam since approximately 192 CE. The dominant religion was Hinduism and the culture was heavily influenced by India. By the late 15th century, the Vietnamese—descendants of the Sinic civilization sphere—conquered the last remaining territories of the once powerful maritime kingdom of Champa. The last surviving Chams began their diaspora in 1471, many resettling in Khmer territory.
Between the 3rd and the 5th centuries, Funan and its successor, Chenla, coalesced in present-day Cambodia and southwestern Vietnam. For more than 2,000 years, what was to become Cambodia absorbed influences from India, passing them on to other Southeast Asian civilizations that are now Thailand and Laos. The Khmer Empire, with the capital city in Angkor, grew out of the remnants of Chenla, firmly established in 802 when Jayavarman II declared independence from Java. He and his followers instituted the cult of the God-king and began a series of conquests that formed an empire, which flourished in the area from the 9th to the 15th centuries. Around the 13th century, monks from Sri Lanka introduced Theravada Buddhism to Southeast Asia. The religion spread and eventually displaced Hinduism and Mahayana Buddhism as the popular religion of Angkor.
After a long series of wars with neighboring kingdoms, Angkor was sacked by the Ayutthaya Kingdom and abandoned in 1432 because of ecological failure and infrastructure breakdown. This led to a period of economic, social, and cultural stagnation when the kingdom’s internal affairs came increasingly under the control of its neighbors. The period that followed is today known as the Dark Ages of Cambodia: the historical era from the early 15th century to 1863, the year that marks the beginning of the French Protectorate of Cambodia. As reliable sources from this period are very rare, a fully defensible and conclusive explanation for the decline of the Khmer Empire, recognized unanimously by the scientific community, has so far not been produced.
In the 19th century a renewed struggle between Siam and Vietnam for control of Cambodia resulted in a period when Vietnamese officials attempted to force the Khmers to adopt Vietnamese customs. This led to several rebellions against the Vietnamese and appeals to Thailand for assistance. The Siamese-Vietnamese War (1841–1845) ended with an agreement to place the country under joint suzerainty. This later led to the signing of a treaty for French Protection of Cambodia by King Norodom Prohmborirak.
Angkor Wat, the front side of the main complex, photo by Bjørn Christian Tørrissen.
Angkor was the capital city of Khmer Empire, which flourished from approximately the 9th to 15th centuries. It was a megacity supporting at least 0.1% of the global population during 1010-1220. The city houses the magnificent Angkor Wat, one of Cambodia’s popular tourist attractions. In 2007, an international team of researchers using satellite photographs and other modern techniques concluded that Angkor had been the largest pre-industrial city in the world.
Lan Xang
Laos traces its history to the kingdom of Lan Xang (Million Elephants), founded in the 14th century by Lao prince Fa Ngum, who with 10,000 Khmer troops took over Vientiane. Ngum made Theravada Buddhism the state religion. Within 20 years of its formation, the kingdom expanded eastward to Champa and along the Annamite mountains in Vietnam. Following the exile of Ngum, his eldest son, Oun Heuan, came to the throne under the name Samsenthai and reigned for 43 years. During his reign, Lan Xang became an important trade center. After his death in 1421, Lan Xang collapsed into warring factions for the next 100 years.
In the 17th century, Lan Xang would further expand its frontiers and in today’s history of Laos, this period is often regarded as the country’s golden age. In the 18th century, Burmese armies overran northern Laos and annexed Luang Phrabang, while Champasak eventually came under Siamese suzerainty. Chao Anouvong was installed as a vassal king of Vientiane by the Siamese. He encouraged a renaissance of Lao fine arts and literature. Under Vietnamese pressure, he rebelled against the Siamese in 1826. The rebellion failed and Vientiane was ransacked. Anouvong was taken to Bangkok as a prisoner, where he died.
Lan Xang had ethnic diversity from trade and overland ethnic migrations. The multiple hill tribe peoples were grouped into the broad cultural categories of Lao Theung (which included most indigenous groups and the Mon-Khmer) and Lao Sung. The Lao Loum were ethnically dominant and there were several closely related Tai groups. Perhaps because of the complicated ethnic diversity of Lan Xang, the structure of society was fairly straightforward, especially in comparison to the Khmer with their complex caste system and concepts of a divine kingship or devaraja.
Dynastic Vietnam
In 938, the Vietnamese lord Ngo Quyen defeated the forces of the Chinese Southern Han state and achieved full independence for Vietnam after a millennium of Chinese domination. Renamed as Dai Viet (Great Viet), the state enjoyed a golden era between the 11th and the beginning of the 15th centuries. Buddhism flourished and became the state religion. In the 15th century, Vietnamese independence was briefly interrupted by the Chinese Ming dynasty, but was restored by Le Loi, the founder of the Le dynasty. The Vietnamese dynasties reached their zenith in the Le dynasty of the 15th century. Between the 11th and 18th centuries, Vietnam expanded southward, eventually conquering the kingdom of Champa and part of the Khmer Empire. From the 16th century, civil strife and frequent political infighting engulfed much of Vietnam. Although the state remained nominally under the Le dynasty, actual power was divided between the northern Trinh lords and the southern Nguyen lords, who engaged in a civil war for more than four decades before a truce was called in the 1670s. During this time, the Nguyen expanded southern Vietnam into the Mekong Delta, annexing the Central Highlands and the Khmer lands there.
The division of the country ended a century later when the Tay Son brothers established a new dynasty. However, their rule did not last long, and they were defeated by the remnants of the Nguyen lords aided by the French, who soon took over the region.
27.4.2: The French Protectorate in Indochina
To ensure their presence in Southeast Asia, the French used the pretext of anti-Catholic persecution in Vietnam to take advantage of the internal weaknesses of Cambodia and Laos, establishing a colony with the predominant goal of economic exploitation.
Learning Objective
Analyze the French reasons for establishing a protectorate in Indochina
Key Points
-
The
French were determined to establish their presence in Southeast Asia and used religious persecution as pretext for intervention.
In 1857, the Vietnamese emperor Tu Duc executed two Spanish
Catholic missionaries. It was not the first incident of this nature but this time,
it coincided with the Second Opium War. France and Britain had just
dispatched a joint military expedition to the Far East, so the French had troops on hand and could easily intervene in Annam. -
In
1858, a joint French and Spanish expedition landed at Tourane (Da Nang) and
captured the town. What began as a limited punitive campaign known as
Cochincina Campaign ended as a French war of conquest. By
1884, the entire country gradually came under French rule. Cochichina, Annam, and
Tonkin were formally integrated into the union
of French Indochina in 1887. -
During the 19th century, the kingdom of Cambodia was reduced to a vassal state of the
kingdom of Siam. In 1863, King Norodom of Cambodia, installed as
a leader by Siam, requested a French protectorate over his kingdom. In 1867, Siam renounced
suzerainty over Cambodia and officially recognized the 1863 French
protectorate on Cambodia. Under the treaty with the French, the
Cambodian monarchy was allowed to remain, but power was largely vested in a
resident general to be housed in Phnom Penh. -
After
the acquirement of Cambodia in 1863, French explorers went on several
expeditions along the Mekong River to find possible trade relations for the
territories of French Cambodia and Cochinchina to the south. In 1885, a French
consulate was established in Luang Prabang, which along with the province of
Vientiane was a vassal kingdom to Siam. Following French intervention in a conflict
between Chinese forces and Siam, King Oun Kham, who had
received support from the French, requested a French protectorate over his
kingdom. Luang Prabang became a protectorate of France in 1889. -
In
1893, France went to war with Siam. The kingdom was quickly forced to recognize
French control over the eastern side of the Mekong River. Pavie continued to
support French expeditions in Laotian territory and gave the territory its
modern-day name of Laos. Following Siam’s acceptance of the ultimatum to cede
the lands east of the Mekong including its islands, the Protectorate of Laos
was officially established and the administrative capital moved from Luang
Prabang to Vientiane. -
On
paper, Cochinchina was the only region of French Indochina with direct
rule, but the differences between direct and indirect rule were
purely theoretical and political interference was equally intrusive across the
entire area. The
French adopted a policy of assimilation rather than association. However, their settlement in Indochina
did not occur at a grand scale as French Indochina was seen as a colonie
d’exploitation économique (economic colony) rather than a colonie
de peuplement (settlement colony).
Key Terms
- Cochincina Campaign
-
An 1858–1862 military campaign fought between the French and Spanish on one side and the Vietnamese on the other. It began as a limited punitive campaign and ended as a French war of conquest. The war concluded with the establishment of the French colony of Cochinchina, a development that inaugurated nearly a century of French colonial dominance in Vietnam.
- French Indochina
-
A grouping of French colonial territories in Southeast Asia consisting of three Vietnamese regions of Tonkin (north), Annam (center), and Cochinchina (south), Cambodia, and Laos, with the leased Chinese territory of Guangzhouwan added in 1898. The capital was moved from Saigon (in Cochinchina) to Hanoi (Tonkin) in 1902 and again to Da Lat (Annam) in 1939. In 1945 it was moved back to Hanoi.
Background: French Imperial Ambitions in Indochina
The French had few pretexts to justify their imperial ambitions in Indochina. In the early years of the 19th century, some in France believed that the Vietnamese emperor Gia Long owed the French a favor for the help French troops had given him in 1802 against his Tay Son enemies. However, it soon became clear that Gia Long felt no more bound to France than he did to China, which had also provided help. Gia Long believed that as the French government did not honor its agreement to assist him in the civil war—the Frenchmen who helped were volunteers and adventurers, not government units—he was not obliged to return any favors. Vietnamese leaders were interested in reproducing the French strategies of fortification and in buying French cannon and rifles, but neither Gia Long nor his successor Minh Mang had any intention of coming under French influence.
However, the French were determined to establish their presence in the region and it was religious persecution that they eventually used as pretext for intervention. French missionaries had been active in Vietnam since the 17th century and by the middle of the 19th century, there were around 300,000 Roman Catholic converts in Annam and Tonkin. Most of the bishops and priests were either French or Spanish. Many in Vietnam were suspicious of this sizable Christian community and its foreign leaders. The French, conversely, began to claim responsibility for their safety. The tension built up gradually. During the 1840s, persecution or harassment of Catholic missionaries in Vietnam by the Vietnamese emperors Minh Mang and Thieu Tri evoked only sporadic and unofficial French reprisals. In 1857, the Vietnamese emperor Tu Duc executed two Spanish Catholic missionaries. It was neither the first nor the last such incident and on previous occasions the French government had overlooked them. But this time, the incident coincided with the Second Opium War. France and Britain had just dispatched a joint military expedition to the Far East, so the French had troops on hand and could easily intervene in Annam.
Seizing Control
In 1858, a joint French and Spanish expedition landed at Tourane (Da Nang) and captured the town.
What began as a limited punitive campaign, known as Cochincina Campaign, ended as a French war of conquest.
Sailing south, French troops captured the poorly defended city of Saigon in 1859. In 1862, the Vietnamese government was forced to cede three additional provinces and Emperor Tu Duc was forced to cede three treaty ports in Annam and Tonkin as well as all of Cochinchina, the latter formally declared a French territory in 1864. In 1867, three other provinces were added to French-controlled territories.
By 1884, the entire country had come under French rule, with the central and northern parts of Vietnam separated in the two protectorates of Annam and Tonkin. The three Vietnamese entities were formally integrated into the union of French Indochina in 1887.
French marine infantrymen in Tonkin, c. 1884-1888
French troops landed in Vietnam in 1858 and by the mid-1880s had established a firm grip over the northern region. Nationalist sentiments developed in the 19th century and intensified during and after World War I, but all the uprisings and tentative efforts failed to obtain any concessions from the French overseers.
During the 19th century, the kingdom of Cambodia had been reduced to a vassal state of the kingdom of Siam (present-day Thailand), which had annexed its western provinces while growing influence from the Vietnamese Nguyen Dynasty threatened the eastern portion of the country. In 1863, King Norodom of Cambodia, installed as a leader by Siam, requested a French protectorate over his kingdom. At the time, Pierre-Paul de La Grandière, colonial governor of Cochinchina, was carrying out plans to expand French rule over the whole of Vietnam and viewed Cambodia as a buffer between French possessions in Vietnam and Siam. The country gradually fell under the French control. In 1867, Siam renounced suzerainty over Cambodia and officially recognized the 1863 French protectorate on Cambodia in exchange for the control of Battambang and Siem Reap provinces, which officially became part of Thailand. These provinces were ceded back to Cambodia by a border treaty between France and Siam in the first decade of the 20th century. Under the treaty with the French, the Cambodian monarchy was allowed to remain, but power was largely vested in a resident general to be housed in Phnom Penh. France was also to be in charge of Cambodia’s foreign and trade relations and provide military protection.
After the acquisition of Cambodia in 1863, French explorers went on several expeditions along the Mekong River to find possible trade relations for the territories of French Cambodia and Cochinchina to the south. In 1885, a French consulate was established in Luang Prabang, which along with the province of Vientiane was a vassal kingdom to Siam. Siam soon feared that France was planning to annex Luang Prabang and signed a treaty with them in 1886 that recognized Siam’s suzerainty over the Lao kingdoms. By the end of 1886, however, Auguste Pavie was named vice-consul to Luang Prabang and was in charge of expeditions occurring in Laotian territory, with the possibility of turning Laos into a French territory. Following French intervention in a conflict between Chinese forces and Siam, King Oun Kham of Luang Prabang who had received support from the French, requested a French protectorate over his kingdom. Luang Prabang became a protectorate of France in 1889.
In 1893, France went to war with Siam. The kingdom was quickly forced to recognize French control over the eastern side of the Mekong River. Pavie continued to support French expeditions in Laotian territory and gave the territory its modern-day name of Laos. Following Siam’s acceptance of the ultimatum to cede the lands east of the Mekong including its islands, the Protectorate of Laos was officially established and the administrative capital moved from Luang Prabang to Vientiane. However, Luang Prabang remained the seat of the royal family, whose power was reduced to figureheads, while the actual power was transferred over to French officials.
Outcome
On paper, Cochinchina was the only region of French Indochina with direct rule imposed, with the province legally annexed by France. The rest of the provinces, Tonkin, Annam, Cambodia, and Laos, had the official status of French protectorate. However, the differences between direct and indirect rule were purely theoretical and political interference was equally intrusive across the entire area.
Map of French Indochina from the colonial period showing its subdivisions, c. 1930
French Indochina was formed on October 17, 1887, from Annam, Tonkin, Cochinchina (which together form modern Vietnam), and the Kingdom of Cambodia. Laos was added after the Franco-Siamese War in 1893.
The French adopted a policy of assimilation rather than association. This allowed the colonialists to rule through native rulers while upholding their traditional cultures and hierarchy, similar to British rule in Malaya. However, the French chose to adopt the policy of assimilation. French was the language of administration. The Napoleonic Code was introduced in 1879 in the five provinces, sweeping away the Confucianism that has existed for centuries in Indochina.
Unlike Algeria, French settlement in Indochina did not occur at a grand scale. By 1940, only about 34,000 French civilians lived in French Indochina, along with a smaller number of French military personnel and government workers. The principal reason why French settlement did not grow in a manner similar to that of French North Africa (which had a population of over 1 million French civilians) was that French Indochina was seen as a colonie d’exploitation économique (economic colony) rather than a colonie de peuplement (settlement colony).
27.4.3: Economic and Social Impacts of Imperialism in Indochina
As French Indochina was the colony of financial exploitation, economic and social development in the region aimed to benefit the French and a small group of local wealthy elites, with limited investments to produce immediate returns rather than long-term benefits for the local populations.
Learning Objective
Explain how French imperialism affected the people of Indochina
Key Points
-
The Vietnamese, Lao, and Khmer ethnic groups
formed the majority of their respective colony’s populations. According to a 1913 estimate, around 95% of French Indochina’s population was
rural and urbanization grew slowly over the course of French rule. French was the principal language of
education, government, trade, and media, widespread among urban
and semi-urban populations and the elite and
educated. Local populations still largely spoke their
native languages. -
French Indochina was designated as a colonie
d’exploitation (colony of economic exploitation) by the French
government, but both exploitation and economic development differed
significantly across the main regions of the colony. The
economic and social policies introduced under Governor-General Paul Doumer, who
arrived in 1897, determined the
development of French Indochina. -
Vietnam
was to become a source of raw materials and a market for tariff-protected goods
produced by French industries. Funding for the colonial government came from taxes on local populations, and the French government established a
near monopoly on the trade of opium, salt, and rice alcohol. The
exploitation of natural resources for direct export was the chief purpose of
all French investments, with rice, coal, rare minerals, and later rubber
as the main products. -
At
the turn of the 20th century, the growing automobile industry in France
resulted in the growth of the rubber industry in French Indochina. Plantations were built throughout the colony, especially in Annam and Cochinchina.
France soon became a leading producer of rubber and Indochinese rubber was prized in the industrialized world. The success of rubber plantations in French
Indochina resulted in an increase in investment in the colony by various firms.
However, because all investments aimed to attain immediate high returns for
investors, only a small fraction of profit was reinvested. - Economically,
the French did not develop Laos and Cambodia to the scale that they did Vietnam. The colonial government’s budget originally relied largely on tax
collections in Cambodia as its main source of revenue, and Cambodians paid the
highest taxes per capita in French Indochina.
As French rule strengthened, development slowly began in Cambodia, where rice and pepper
crops allowed the economy to grow. As the French automobile industry grew, rubber
plantations like the ones already in Cochinchina and Annam were built and run
by French investors. -
Economic progress made under the French benefited the French and the
small class of the local wealthy created by the colonial regime. The masses
were deprived of economic and social benefits. The
French imposed high taxes to finance their ambitious program of public
works and recruited forced labor from local populations without protection against exploitation in the
mines and rubber plantations.
Key Terms
- French Indochina
-
A grouping of French colonial
territories in Southeast Asia consisting of three Vietnamese regions of Tonkin
(north), Annam (center), and Cochinchina (south), Cambodia, and Laos, with the
leased Chinese territory of Guangzhouwan added in 1898. The capital was moved
from Saigon (in Cochinchina) to Hanoi (Tonkin) in 1902 and again to Da Lat
(Annam) in 1939. In 1945 it was moved back to Hanoi. - colony of economic exploitation
-
A colony conquered to exploit its natural resources and native population. The practice contrasts with the colonies of settlement conquered to establish a branch of the metropolis (Motherland) and for the exploitation of its natural resources and native population.
French Indochine Society
The Vietnamese, Lao, and Khmer ethnic groups formed the majority of their respective colony’s populations. Minority groups such as the Muong, Tay, Chams, and Jarai were collectively known as Montagnards and resided principally in the mountain regions of Indochina. Ethnic Han Chinese were largely concentrated in major cities, especially in Southern Vietnam and Cambodia where they became heavily involved in trade and commerce. According to a 1913 estimate, 95% of French Indochina’s population was rural and urbanization grew slowly over the course of French rule.
Since French Indochina was seen as a colonie d’exploitation économique (economic colony) rather than a colonie de peuplement (settlement colony), by 1940 only about 34,000 French civilians lived in the region, along with a smaller number of French military personnel and government workers.
During French colonial rule, French was the principal language of education, government, trade, and media. It became widespread among urban and semi-urban populations and among the elite and educated. This was most notable in the colonies of Tonkin and Cochinchina, where French influence was particularly prominent, while Annam, Laos, and Cambodia were less influenced by French education. Despite the dominance of French among the educated, local populations still largely spoke their native languages.
A French government official and Lao children in Luang Prabang, 1887, French National Library.
The French did not plan to expand the Laotian economy and geographic isolation also led to Laos being less influenced from France compared to other French colonies. In a 1937 estimate, only 574 French civilians along with a smaller number of government workers lived in Laos, a figure significantly smaller than in Vietnam and Cambodia.
Economy
French Indochina was designated as a colonie d’exploitation (colony of economic exploitation) by the French government, but both exploitation and economic development differed significantly across the main regions of the colony.
The economic and social policies introduced under Governor-General Paul Doumer, who arrived in 1897, determined the development of French Indochina. The railroads, highways, harbors, bridges, canals, and other public works built by the French were almost all started under Doumer, whose aim was a rapid and systematic exploitation of Indochina’s potential wealth for the benefit of France. Vietnam became a source of raw materials and a market for tariff-protected goods produced by French industries. Funding for the colonial government came from taxes on local populations and the French government established a near monopoly on the trade of opium, salt, and rice alcohol. The trade of those three products formed about 44% of the colonial government’s budget in 1920 but declined to 20% by 1930 as the colony began to economically diversify. Indochina was the second most invested-in French colony by 1940 after Algeria, with investments totaling up to 6.7 million francs.
The exploitation of natural resources for direct export was the chief purpose of all French investments, with rice, coal, rare minerals, and later also rubber as the main products. Doumer and his successors up to the eve of World War II were not interested in promoting industry, which was limited to the production of goods for immediate local consumption. Among these enterprises—located chiefly in Saigon, Hanoi, and Haiphong (the outport for Hanoi)—were breweries, distilleries, small sugar refineries, rice and paper mills, and glass and cement factories. The greatest industrial establishment was a textile factory at Nam Dinh, which employed more than 5,000 workers. The total number of workers employed by all industries and mines in Vietnam was some 100,000 in 1930.
At the turn of the 20th century, the growing automobile industry in France resulted in the growth of the rubber industry in French Indochina and plantations were built throughout the colony, especially in Annam and Cochinchina. France soon became a leading producer of rubber and Indochinese rubber became prized in the industrialized world. The success of rubber plantations in French Indochina resulted in an increase in investment in the colony by various firms. With the growing number of investments in the colony’s mines as well as rubber, tea, and coffee plantations, French Indochina began to industrialize as factories opened in the colony. These new factories produced textiles, cigarettes, beer, and cement, which were then exported throughout the French Empire. Because the aim of all investments was not the systematic economic development of the colony but the attainment of immediate high returns for investors, only a small fraction of the profits was reinvested.
Palace of the Governor-General (Norodom Palace) in Saigon, about 1875, photo by Émile Gsell.
Saigon became a principal port in Southeast Asia and rivaled the British port of Singapore as the region’s busiest commercial center. By 1937, Saigon was the sixth busiest port in the entire French Empire. French settlers further added their influence on the colony by constructing buildings in the form of Beaux-Arts and added French-influenced landmarks such as the Hanoi Opera House and Saigon Notre-Dame Basilica.
Economically, the French did not develop Laos to the scale that it did Vietnam, and many Vietnamese were recruited to work in the government in Laos instead of the Laotian people, causing conflicts between local populations and the government. Economic development occurred very slowly in Laos and was initially fueled primarily by rice cultivation and distilleries producing rice alcohol.
Although tin mining and coffee cultivation began in the 1920s, the country’s isolation and difficult terrain meant that Laos largely remained economically unviable to the French. More than 90% of the Lao remained subsistence farmers, growing just enough surplus produce to sell for cash to pay their taxes.
Originally serving as a buffer territory for France between its more important Vietnamese colonies and Siam, Cambodia was not initially seen as an economically important area. The colonial government’s budget originally relied largely on tax collections in Cambodia as its main source of revenue and Cambodians paid the highest taxes per capita in French Indochina. Poor and sometimes unstable administration in the early years of French rule in Cambodia meant infrastructure and urbanization grew at a much slower rate than in Vietnam, and traditional social structures in villages remained in place. However, as French rule strengthened after the Franco-Siamese War, development slowly began in Cambodia, where rice and pepper crops allowed the economy to grow. As the French automobile industry grew, rubber plantations like the ones in Cochinchina and Annam were built and run by French investors. Economic diversification continued throughout the 1920s, when corn and cotton crops were also grown. Despite economic expansion and investment, Cambodians still continued to pay high taxes and in 1916, protests broke out demanding for tax cuts.
Infrastructure and public works were developed to some extent under French rule, and roads and railroads were constructed in Cambodian territory. Most notably, a railway connected Phnom Penh with Battambang on the Thai border.
Industry was later developed but was primarily designed to process raw materials for local use or for export. As in nearby British Burma and British Malaya, foreigners dominated the work force of the economy due to French discrimination that kept Cambodians from holding important economic positions. Many Vietnamese were recruited to work on rubber plantations and later immigrants played key roles in the colonial economy as fisherman and businessmen. Chinese Cambodians continued to be largely involved in commerce but higher positions were given to the French.
Effects of Colonial Rule
Whatever economic progress was made under the French, it benefited the French and the small class of the local wealthy created by the colonial regime. The masses were deprived of economic and social benefits. Through the construction of irrigation works, chiefly in the Mekong delta, the area of land devoted to rice cultivation quadrupled between 1880 and 1930. During the same period, however, the individual peasant’s rice consumption decreased without the substitution of other foods. The new lands were not distributed among the landless and the peasants but were sold to the highest bidder or given away at nominal prices to Vietnamese collaborators and French speculators. These policies created a new class of Vietnamese landlords and a class of landless tenants who worked the fields of the landlords for rents of up to 60 percent of the crop, which was sold by the landlords at the Saigon export market. The mounting export figures for rice resulted not only from the increase in cultivable land but also from the growing exploitation of the peasantry.
The peasants who owned their land were rarely better off than the landless tenants. Peasants continually lost their land to the large owners because they were unable to repay loans given them by the landlords and other money lenders at exorbitant interest rates. As a result, the large landowners of Cochinchina (less than 3 percent of the total number of landowners) owned 45 percent of the land, while the small peasants (who accounted for about 70 percent of the owners) owned only about 15 percent of the land. The number of landless families in Vietnam before World War II was estimated at half of the population.
The French had imposed high taxes to finance their ambitious program of public works and recruited forced labor with no protection against exploitation in the mines and rubber plantations, although the scandalous working conditions, the low salaries, and the lack of medical care were frequently attacked in the French Chamber of Deputies in Paris. The mild social legislation decreed in the late 1920s was never adequately enforced.
Apologists for the colonial regime claimed that French rule led to vast improvements in medical care, education, transport, and communications. The statistics kept by the French, however, appear to cast doubt on such assertions. In 1939, for example, no more than 15 percent of all school-age children received any kind of schooling and about 80 percent of the population was illiterate, in contrast to precolonial times when the majority of the people possessed some degree of literacy. With more than 20 million inhabitants in 1939, Vietnam had one university with fewer than 700 students. Medical care was well organized for the French in the cities, but in 1939 there were only two physicians for every 100,000 Vietnamese.
27.4.4: Resistance to French Rule
The first wave of resistance to French rule emerged in Indochina shortly after France colonized the region, with particularly active nationalist movements in Vietnam, more limited and mostly elite-based opposition in Cambodia, and fragmented, often ethnically-divided rebellions in Laos.
Learning Objective
Evaluate instances of resistance to French rule
Key Points
-
Nationalist
sentiments emerged in French Indochina shortly after colonial rule was
established. In 1885, Phan Dinh Phung led a rebellion against the colonizing power. The Can
Vuong movement, which sought to expel the French and install the boy Emperor
Ham Nghi at the head of an independent Vietnam, initiated the revolt. The insurrection in Annam spread and flourished in 1886, reached
its climax the following year, and gradually faded out by 1889. The Can Vuong
movement was the first resistance movement that saw all of Vietnamese
society, royalty, scholar-gentry, and peasantry, working together against the
French. -
At
the beginning of the 20th century, two parallel movements emerged. The Dong Du
(“Go East”) Movement led by Phan Boi Chau planned to send Vietnamese students to Japan to learn modern skills so in the
future they could lead a successful armed revolt against the French. Duy Tan (“Modernization”) led by Phan Chau
Trinh favored a non-violent struggle to gain independence, stressing education for the masses and modernization. The
French suppressed both movements and Vietnamese revolutionaries began to radicalize. -
Phan
Boi Chau created the Viet Nam Quang Phuc Hoi in Guangzhou, planning armed
resistance against the French. In 1925, French agents captured him in Shanghai
and spirited him to Vietnam. Due to his popularity, Chau was spared from
execution. In 1927, the
Viet Nam Quoc Dan Dang (Vietnamese Nationalist Party) and the party launched the armed Yen Bai
mutiny in 1930 in Tonkin, which resulted in
many leaders captured and executed by the guillotine. - In
1885, Si Votha, half brother of king Norodom and contender for the throne, led
a rebellion to dispose of the French-backed Norodom after returning from
exile in Siam. Gathering support from opponents of Norodom and the French, Si
Votha led a rebellion that was primarily concentrated in the jungles of
Cambodia and the city of Kampot. French forces later aided Norodom to defeat Si
Votha. Unlike
in Vietnam, Cambodian nationalism remained relatively quiet during much of
French rule, although Khmer nationalism began to emerge outside of Cambodia. -
In
1901, a revolt broke out in the south of Laos among
groups of Lao Theung led by Ong Kaeo. The revolt challenged
French control over Laos and was not fully suppressed until 1910. Between
1899 and 1910, political unrest in the northern Phongsali Province occurred as
local hill tribe chiefs challenged French rule and assimilation policies being
carried out in the highlands. Although the revolt initially
started as a resistance against French influence, it focused on stopping French suppression
of the opium trade. - Instability
continued in the north of Laos in 1919. Hmong groups, the chief
opium producers in Indochina, revolted against French taxation and special
status given to the Lao Loum, minorities in the highlands, in a
conflict known as the War of the Insane. After the revolt, the French government granted
Hmongs partial autonomy in the Xiangkhouang Province.
Key Terms
- War of the Insane
-
A Hmong revolt against taxation in the French colonial administration in Indochina lasting from 1918 to 1921. Pa Chay Vue, the leader of the revolt, regularly climbed trees to receive military orders from heaven. The French granted the Hmong a special status in 1920, effectively ending the conflict.
- Yen Bai mutiny
-
An uprising of Vietnamese soldiers in the French colonial army in 1930 in collaboration with civilian supporters who were members of the Viet Nam Quoc Dan Dang (Vietnamese Nationalist Party).
- Can Vuong
movement -
A large-scale Vietnamese insurgency between 1885 and 1889 against French colonial rule. Its objective was to expel the French and install the boy emperor Hàm Nghi as the leader of an independent Vietnam.
Nationalist Movements in Vietnam
Nationalist sentiments emerged in French Indochina shortly after the colonial rule was established. By the mid-1880s, French troops established a firm grip over the northern region of Vietnam and in 1885, Phan Dinh Phung, a prominent imperial court official, led a rebellion against the colonizing power. The Can Vuong
movement, which sought to expel the French and install the boy Emperor Ham Nghi at the head of an independent Vietnam, initiated the revolt in 1885 when Ton That Thuyet, another court official, launched a surprise attack against the colonial forces after a diplomatic confrontation with the French. Thuyet took Ham Nghi northwards to the Tan So mountain base near the border with Laos after the attack failed.
The Can Vuong movement lacked a coherent national structure and consisted mainly of regional leaders who attacked French troops in their own provinces. It initially prospered but failed after the French recovered from the surprise of the insurgency and poured troops into Annam from bases in Tonkin and Cochinchina. The insurrection in Annam spread and flourished in 1886, reached its climax the following year, and gradually faded out by 1889.
The Can Vuong movement was the first resistance movement that saw all of Vietnamese society, royalty, scholar-gentry, and peasantry, working together against the French. However, although there were some 50 resistance groups, they lacked collaboration and unifying military authority. Actions taken by the resistance were never national, but the narratives of their struggle against foreign domination were passed down to the next generations.
At the beginning of the 20th century, two parallel movements emerged. The Dong Du (“Go East”) Movement started in 1905 by Phan Boi Chau. Chau’s plan was to send Vietnamese students to Japan to learn modern skills so that in the future they could lead a successful armed revolt against the French. With Prince Cuong De, he started two organizations in Japan: Duy Tan Hoi and Viet Nam Cong Hien Hoi. Due to French diplomatic pressure, Japan later deported Chau. A second movement, Duy Tan (“Modernization”), led by Phan Chau Trinh, favored a peaceful, non-violent struggle for independence. It stressed education for the masses, modernizing the country, fostering understanding and tolerance between the French and the Vietnamese, and peaceful transitions of power.
The French suppressed both movements and
Vietnamese revolutionaries began to turn to more radical paths, particularly
after witnessing revolutionaries in action in China and Russia. Phan Boi Chau created the
Viet Nam Quang Phuc Hoi in Guangzhou, planning armed resistance against the French. In 1925, French agents captured him in Shanghai and spirited him to Vietnam. Due to his popularity, Chau was spared from execution and placed under house arrest until his death in 1940. In 1927, the Viet Nam Quoc Dan Dang (Vietnamese Nationalist Party), modeled after the Kuomintang in China, was founded. The party launched the armed Yen Bai mutiny in 1930 in Tonkin, which resulted in its chairman Nguyen Thai Hoc and many other leaders captured and executed by the guillotine.
Resistance in Cambodia
The first decades of French rule in Cambodia included numerous reforms into Cambodian politics, including the reduction of the monarch’s power. In 1884, the governor of Cochinchina, Charles Anthoine François Thomson, attempted to overthrow the monarch and establish full French control over Cambodia by sending a small force to the royal palace in Phnom Penh. The movement was largely unsuccessful as the governor-general of French Indochina prevented full colonization due to possible conflicts with Cambodians and the monarch became a mere figurehead. In 1885, Si Votha, half brother of king Norodom and contender for the throne, led a rebellion to dispose of the French-backed Norodom after coming back from exile in Siam. Gathering support from opponents of Norodom and the French, Si Votha led a rebellion that was primarily concentrated in the jungles of Cambodia and the city of Kampot. French forces later aided Norodom to defeat Si Votha under agreements that the Cambodian population be disarmed and acknowledge the resident-general as the highest power in the protectorate.
King Norodom, the monarch who initiated overtures to France to make Cambodia its protectorate in 1863 to escape Siamese pressure
In 1904, King Norodom died and the French passed the succession to Norodom’s brother Sisowath, whose branch of the royal family was more submissive and less nationalistic. Norodom was viewed as responsible for the constant Cambodian revolts against French rule. Norodom’s favorite son Prince Yukanthor, his natural successor, had on one of his trips to Europe stirred up public opinion about French colonial brutalities in occupied Cambodia.
Unlike in Vietnam, Cambodian nationalism remained relatively quiet during much of French rule. The population had limited access to education, which kept literacy rates low and prevented nationalist movements like those in Vietnam from widely circulating their message. However, among the French-educated Cambodian elite, the Western ideas of democracy and self-rule and French restoration of monuments such as Angkor Wat created a sense of pride and awareness of Cambodia’s powerful status in the past. Cambodian students resented the favored status of the minority Vietnamese. In 1936, Son Ngoc Than and Pach Choeun began publishing Nagaravatta (Notre cité), a French language anti-colonial and at times, anti-Vietnamese newspaper. Minor independence movements, especially the Khmer Issarak, began to develop in 1940 among Cambodians in Thailand who feared their actions would have led to punishment if they operated in their homeland.
Resistance in Laos
In 1901, a revolt broke out in the south of Laos in the Bolaven Plateau among groups of Lao Theung led by Ong Kaeo, a self-proclaimed “holy man” who led a messianic cult. The revolt challenged French control over Laos and was not fully suppressed until 1910 when Ong Kaeo was killed. His successor Ong Kommadam became an early leader in the Lao nationalist movement.
Between 1899 and 1910, political unrest in the northern Phongsali Province occurred as local hill tribe chiefs challenged French rule and assimilation policies being carried out in the highlands. At the height of the revolt, the unrest spread to the highlands of Tonkin (northern Vietnam) and was largely concentrated among the minority groups of the Khmu and Hmong. Although the revolt initially started as a resistance against French influence and tightening of administration, it later focused on stopping the French suppression of the opium trade.
Instability continued in the north of Laos in 1919 when Hmong groups, the chief opium producers in Indochina, revolted against French taxation and special status given to the Lao Loum, minorities in the highlands, in a conflict known as the War of the Insane. Hmong rebels claimed that both Lao and French officials treated them as subordinate and uncivilized groups. They were defeated in 1921. After the revolt, the French government granted Hmongs partial autonomy in the Xiangkhouang Province.
Chapter 26: Change in the Americas
26.1: The South American Revolutions
26.1.1: The Spread of Revolution
The Latin American Wars of Independence, which took place during the late 18th and early 19th centuries, were deeply influenced by the American and French Revolutions and resulted in the creation of a number of independent countries in Latin America.
Learning Objective
Relate the South American Revolutions to the American and French Revolutions
Key Points
- The revolutionary fervor of the 18th century, influenced by Enlightenment ideals of liberty and equality, resulted in massive political upheaval across the world, starting with the American Revolution in 1776 and the French Revolution in 1789.
- The principles expounded by the revolutionaries in Europe and their political success in overthrowing the autocratic rule of the monarchy inspired similar movements in Latin America, first in Haiti (then the French colony of Saint Domingue), whose revolution began just two years after the start of the French Revolution.
- At first, the white settler-colonists were inspired by the French Revolution to gain independent control over their colonies, but soon the revolution became centered on a slave-led rebellion against slavery and colonization, a trend that would continue throughout the America with varying degrees of success.
- Soon after the French Revolution and its resulting political instability, Napoleon Bonaparte took power, further destabilizing the Latin American colonies and leading to more revolution.
- The Peninsular War, which resulted from the Napoleonic occupation of Spain, caused Spanish Creoles in Spanish America to question their allegiance to Spain, stoking independence movements that culminated in the wars of independence, which lasted almost two decades.
- At the time of the wars of independence, there was discussion of creating a regional state or confederation of Latin American nations to protect the area’s new autonomy, but after several projects failed, the issue was not taken up again until the late 19th century.
Key Terms
- Haitian Revolution
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A successful anti-slavery and anti-colonial insurrection that took place in the former French colony of Saint Domingue from 1791 until 1804. It affected the institution of slavery throughout the Americas. Self-liberated slaves destroyed slavery at home, fought to preserve their freedom, and with the collaboration of mulattoes, founded the sovereign state of Haiti.
- Napoleonic wars
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A series of major conflicts pitting the French Empire and its allies, led by Napoleon I, against a fluctuating array of European powers formed into various coalitions, primarily led and financed by the United Kingdom. The wars resulted from the unresolved disputes associated with the French Revolution and the Revolutionary Wars, which raged for years before concluding with the Treaty of Amiens in 1802. The resumption of hostilities the following year paved the way for more than a decade of constant warfare. These wars had profound consequences for global and European history, leading to the spread of nationalism and liberalism, the rise of the British Empire as the world’s premier power, the independence movements in Latin America and the collapse of the Spanish Empire, the fundamental reorganization of German and Italian territories into larger states, and the establishment of radically new methods in warfare.
- Libertadores
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Refers to the principal leaders of the Latin American wars of independence from Spain and Portugal. They are named in contrast with the Conquistadors, who were so far the only Spanish/Portuguese peoples recorded in the South American history. They were largely bourgeois criollos (local-born people of European, mostly of Spanish or Portuguese, ancestry) influenced by liberalism and in most cases with military training in the metropole (mother country).
The Latin American Wars of Independence were the revolutions that took place during the late 18th and early 19th centuries and resulted in the creation of a number of independent countries in Latin America. These revolutions followed the American and French Revolutions, which had profound effects on the Spanish, Portuguese, and French colonies in the Americas. Haiti, a French slave colony, was the first to follow the United States to independence during the Haitian Revolution, which lasted from 1791 to 1804. From this Napoleon Bonaparte emerged as French ruler, whose armies set out to conquer Europe, including Spain and Portugal, in 1808.
The Peninsular War, which resulted from the Napoleonic occupation of Spain, caused Spanish Creoles in Spanish America to question their allegiance to Spain, stoking independence movements that culminated in the wars of independence, lasting almost two decades. The crisis of political legitimacy in Spain with the Napoleonic invasion sparked reaction in Spain’s overseas empire. The outcome in Spanish America was that most of the region achieved political independence and instigated the creation of sovereign nations. The areas that were most recently formed as viceroyalties were the first to achieve independence, while the old centers of Spanish power in Mexico and Peru with strong and entrenched institutions and the elites were the last to achieve independence. The two exceptions were the islands of Cuba and Puerto Rico, which along with the Philippines remained Spanish colonies until the 1898 Spanish-America War. At the same time, the Portuguese monarchy relocated to Brazil during Portugal’s French occupation. After the royal court returned to Lisbon, the prince regent, Pedro, remained in Brazil and in 1822 successfully declared himself emperor of a newly independent Brazil.
Spanish America: Hope for a Unified Latin America
The chaos of the Napoleonic wars in Europe cut the direct links between Spain and its American colonies, allowing decolonization to begin.
During the Peninsula War, Napoleon installed his brother Joseph Bonaparte on the Spanish Throne and captured King Fernando VII. Several assemblies were established after 1810 by the Criollos to recover the sovereignty and self-government based in Seven-Part Code and restore the laws of Castilian succession to rule the lands in the name of Ferdinand VII of Spain.
This experience of self-government, along with the influence of Liberalism and the ideas of the French and American Revolutions, brought about a struggle for independence led by the Libertadores. The territories freed themselves, often with help from foreign mercenaries and privateers. United States, Europe and the British Empire were neutral, aiming to achieve political influence and trade without the Spanish monopoly.
In South America, Simón Bolívar and José de San Martín led the final phase of the independence struggle. Although Bolívar attempted to keep the Spanish-speaking parts of the continent politically unified, they rapidly became independent of one another as well, and several further wars were fought, such as the Paraguayan War and the War of the Pacific. At the time, there was discussion of creating a regional state or confederation of Latin American nations to protect the area’s newly won autonomy. After several projects failed, the issue was not taken up again until the late 19th century.
A related process took place in Spain’s North and Central American colonies with the Mexican War of Independence and related struggles. Independence was achieved in 1821 by a coalition uniting under Agustín de Iturbide and the Army of the Three Guarantees. Unity was maintained for a short period under the First Mexican Empire, but within a decade the region had also split into various nations.
In 1898, in the Greater Antilles, the United States won the Spanish-American War and occupied Cuba and Puerto Rico, ending Spanish territorial control in the Americas.
Impact of the French Revolution: Haiti
The Haitian Revolution was a successful anti-slavery and anti-colonial insurrection that took place in the former French colony of Saint Domingue from 1791 until 1804. It affected the institution of slavery throughout the Americas. Self-liberated slaves destroyed slavery at home, fought to preserve their freedom, and with the collaboration of mulattoes, founded the sovereign state of Haiti.
From the beginning of colonization, white colonists and black slaves frequently came into violent conflict. The French Revolution, which began in 1789, shaped the course of the ongoing conflict in Saint-Domingue and was at first welcomed in the island. In France, the National Assembly made radical changes in French laws, and on August 26, 1789, published the Declaration of the Rights of Man, declaring all men free and equal. Wealthy whites saw it as an opportunity to gain independence from France, which would allow elite plantation-owners to take control of the island and create trade regulations that would further their own wealth and power. There were so many twists and turns in the leadership in France and so many complex events in Saint-Domingue that various classes and parties changed their alignments many times. However, the Haitian Revolution quickly became a test of the ideology of the French Revolution, as it radicalized the slavery question and forced French leaders to recognize the full meaning of their revolution.
The African population on the island began to hear of the agitation for independence by the rich European planters, the grands blancs, who resented France’s limitations on the island’s foreign trade. The Africans mostly allied with the royalists and the British, as they understood that if Saint-Domingue’s independence were to be led by white slave masters, it would probably mean even harsher treatment and increased injustice for the African population. The plantation owners would be free to operate slavery as they pleased without the existing minimal accountability to their French peers.
Saint-Domingue’s free people of color, most notably Julien Raimond, had been actively appealing to France for full civil equality with whites since the 1780s. Raimond used the French Revolution to make this the major colonial issue before the National Assembly of France. In October 1790, Vincent Ogé, another wealthy free man of color from the colony, returned home from Paris, where he had been working with Raimond. Convinced that a law passed by the French Constituent Assembly gave full civil rights to wealthy men of color, Ogé demanded the right to vote. When the colonial governor refused, Ogé led a brief insurgency in the area around Cap Français. He and an army of around 300 free blacks fought to end racial discrimination in the area. He was captured in early 1791, and brutally executed by being “broken on the wheel” before being beheaded. Ogé was not fighting against slavery, but his treatment was cited by later slave rebels as one of the factors in their decision to rise up in August 1791 and resist treaties with the colonists. The conflict up to this point was between factions of whites and between whites and free blacks. Enslaved blacks watched from the sidelines.
The Revolution in Haiti did not wait on the Revolution in France. The individuals in Haiti relied on no resolution but their own. The call for modification of society was influenced by the revolution in France, but once the hope for change found a place in the hearts of the Haitian people, there was no stopping the radical reformation that was occurring. The Enlightenment ideals and the initiation of the French Revolution were enough to inspire the Haitian Revolution, which evolved into the most successful and comprehensive slave rebellion. Just as the French were successful in transforming their society, so were the Haitians. On April 4, 1792, The French National Assembly granted freedom to slaves in Haiti and the revolution culminated in 1804; Haiti was an independent nation comprised solely of free people. The activities of the revolutions sparked change across the world. France’s transformation was most influential in Europe, and Haiti’s influence spanned across every location that continued to practice slavery. John E. Baur honors Haiti as home of the most influential revolution in history.
Haitian Revolution
Battle at San Domingo, a painting by January Suchodolski, depicting a struggle between Polish troops in French service and the slave rebels and freed revolutionary soldiers.
26.1.2: Simón Bolívar
Simón Bolívar was a Venezuelan military and political leader who played a leading role in the Latin American wars of independence and was a major proponent of a unified Latin America.
Learning Objective
Recall Simón Bolívar and his contributions to South American independence movements
Key Points
- The military and political career of Simón Bolívar, which included both formal service in the armies of various revolutionary regimes and actions organized by himself or in collaboration with other exiled patriot leaders from 1811 to 1830, was important in the success of the independence wars in South America.
- These wars, often under the leadership of Bolívar, resulted in the creation of several South American states out of the former Spanish colonies: the currently existing Venezuela, Colombia, Ecuador, Peru, and Bolivia, and the now-defunct Gran Colombia.
- Bolívar first found success in his native Venezuela, taking advantage of the instability caused by Napoleon’s Peninsular War and leading the revolutionary forces to a victory in 1821, which resulted in the creation of an independent Venezuela.
- Throughout his military career, he also lead efforts to oust Spanish rulers from Ecuador, Peru, and Bolivia.
- Bolívar was passionate about the creation of a unified Latin America, through military and economic alliances and various confederations to protect the area’s newly won autonomy, but in the end, nationalistic enterprises won out.
Key Terms
- Gran Colombia
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A name used today for the state that encompassed much of northern South America and part of southern Central America from 1819 to 1831. It included the territories of present-day Colombia, Venezuela, Ecuador, Panama, northern Peru, western Guyana, and northwest Brazil.
- caudillismo
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A cultural and political phenomenon first appearing during the early 19th century in revolutionary Spanish America, characterized by a military land owners who possessed political power, charismatic personalities, and populist politics and created authoritarian regimes in Latin American nations.
- Creole
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A social class in the hierarchy of the overseas colonies established by Spain in the 16th century, especially in Hispanic America, comprising the locally born people of confirmed European (primarily Spanish) ancestry. Although they were legally Spaniards, in practice, they ranked below the Iberian-born Peninsulares. Nevertheless, they had preeminence over all the other populations: Amerindians, enslaved Africans, and people of mixed descent.
- Peninsular War
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A military conflict between Napoleon’s empire and the allied powers of Spain, Britain, and Portugal for control of the Iberian Peninsula during the Napoleonic Wars. The war started when French and Spanish armies invaded and occupied Portugal in 1807, and escalated in 1808 when France turned on Spain, its previous ally. The war on the peninsula lasted until the Sixth Coalition defeated Napoleon in 1814, and is regarded as one of the first wars of national liberation, significant for the emergence of large-scale guerrilla warfare.
El Libertador: Simón Bolívar
Simón Bolívar (July 24, 1783 – December 17, 1830) was a Venezuelan military and political leader who played a key role in the establishment of Venezuela, Bolivia, Colombia, Ecuador, Peru, and Panama as sovereign states independent of Spanish rule.
Bolívar was born into a wealthy, aristocratic Creole family and like others of his day was educated abroad at a young age, arriving in Spain when he was 16 and later moving to France. While in Europe, he was introduced to the ideas of Enlightenment philosophers, which gave him the ambition to replace the Spanish as rulers. Taking advantage of the disorder in Spain prompted by the Peninsular War, Bolívar began his campaign for Venezuelan independence in 1808, appealing to the wealthy Creole population through a conservative process, and established an organized national congress within three years. Despite a number of hindrances, including the arrival of an unprecedentedly large Spanish expeditionary force, the revolutionaries eventually prevailed, culminating in a patriot victory at the Battle of Carabobo in 1821 that effectively made Venezuela an independent country.
Following this triumph over the Spanish monarchy, Bolívar participated in the foundation of the first union of independent nations in Latin America, Gran Colombia, of which he was president from 1819 to 1830. Through further military campaigns, he ousted Spanish rulers from Ecuador, Peru, and Bolivia (which was named after him). He was simultaneously president of Gran Colombia (current Venezuela, Colombia, Panamá, and Ecuador) and Peru, while his second in command Antonio José de Sucre was appointed president of Bolivia. He aimed at a strong and united Spanish America able to cope not only with the threats emanating from Spain and the European Holy Alliance but also with the emerging power of the United States. At the peak of his power, Bolívar ruled over a vast territory from the Argentine border to the Caribbean Sea.
In his 21-year career, Bolívar faced two main challenges. First was gaining acceptance as undisputed leader of the republican cause. Despite claiming such a role since 1813, he began to achieve acceptance only in 1817, and consolidated his hold on power after his dramatic and unexpected victory in New Granada in 1819. His second challenge was implementing a vision to unify the region into one large state, which he believed (and most would agree, correctly) would be the only guarantee of maintaining American independence from the Spanish in northern South America. His early experiences under the First Venezuelan Republic and in New Granada convinced him that divisions among republicans, augmented by federal forms of government, only allowed Spanish American royalists to eventually gain the upper hand. Once again, it was his victory in 1819 that gave him the leverage to bring about the creation of a unified state, Gran Colombia, with which to oppose the Spanish Monarchy on the continent.
Bolívar is, along with Argentine General José de San Martín, considered one of the great heroes of the Hispanic independence movements of the early 19th century.
Simón Bolívar
A portait of Simón Bolívar by Arturo Michelena. Bolívar is considered one of the leading figures in the Latin American wars of independence.
Failed Dream of a Unified Latin America
At the end of the wars of independence (1808–1825), many new sovereign states emerged in the Americas from the former Spanish colonies. Throughout this revolutionary era, Bolívar envisioned various unions that would ensure the independence of Spanish America vis-à-vis the European powers—in particular Britain—and the expanding United States. Already in his 1815 Cartagena Manifesto, Bolívar advocated that the Spanish American provinces should present a united front to the Spanish in order to prevent being re-conquered piecemeal, though he did not yet propose a political union of any kind. During the wars of independence, the fight against Spain was marked by an incipient sense of nationalism. It was unclear what the new states that replaced the Spanish Monarchy should be. Most of those who fought for independence identified with both their birth provinces and Spanish America as a whole, both of which they referred to as their patria, a term roughly translated as “fatherland” and “homeland.”
For Bolivar, Hispanic America was the fatherland. He dreamed of a united Spanish America and in the pursuit of that purpose not only created Gran Colombia but also the Confederation of the Andes, which was to gather the latter together with Peru and Bolivia. Moreover, he envisaged and promoted a network of treaties that would hold together the newly liberated Hispanic American countries. Nonetheless, he was unable to control the centrifugal process that pushed in all directions. On January 20, 1830, as his dream fell apart, Bolívar delivered his last address to the nation, announcing that he would be stepping down from the presidency of Gran Colombia. In his speech, a distraught Bolívar urged the people to maintain the union and to be wary of the intentions of those who advocated for separation. At the time, “Colombians” referred to the people of Gran Colombia (Venezuela, New Granada, and Ecuador), not modern-day Colombia:
Colombians! Today I cease to govern you. I have served you for twenty years as soldier and leader. During this long period we have taken back our country, liberated three republics, fomented many civil wars, and four times I have returned to the people their omnipotence, convening personally four constitutional congresses. These services were inspired by your virtues, your courage, and your patriotism; mine is the great privilege of having governed you…
Colombians! Gather around the constitutional congress. It represents the wisdom of the nation, the legitimate hope of the people, and the final point of reunion of the patriots. Its sovereign decrees will determine our lives, the happiness of the Republic, and the glory of Colombia. If dire circumstances should cause you to abandon it, there will be no health for the country, and you will drown in the ocean of anarchy, leaving as your children’s legacy nothing but crime, blood, and death.
Fellow Countrymen! Hear my final plea as I end my political career; in the name of Colombia I ask you, beg you, to remain united, lest you become the assassins of the country and your own executioners.
Bolívar ultimately failed in his attempt to prevent the collapse of the union. Gran Colombia was dissolved later that year and replaced by the republics of Venezuela, New Granada, and Ecuador. Ironically, these countries were established as centralist nations and would be governed for decades this way by leaders who, during Bolívar’s last years, accused him of betraying republican principles and wanting to establish a permanent dictatorship. These separatists, among them José Antonio Páez and Francisco de Paula Santander, justified their opposition to Bolívar for this reason and publicly denounced him as a monarch.
For the rest of the 19th century and into the early 20th century, the political environment of Latin America was fraught with civil wars and characterized by a sociopolitical phenomenon known as caudillismo. This was characterized by the arrival of an authoritarian but charismatic political figure who would typically rise to power in an unconventional way, often legitimizing his right to govern through undemocratic processes. These caudillos would maintain their control primarily on the basis of a cult of personality, populist politics, and military might. On his deathbed, Bolívar envisaged the emergence of countless “caudillos” competing for the pieces of the great nation he once dreamed about.
26.1.3: Gran Colombia
Gran Colombia, a state that encompassed much of northern South America and part of southern Central America, was created in 1819 by Simón Bolívar as part of his vision for a unified Latin America, but was fraught with political instability and collapsed in 1831.
Learning Objective
Identify Gran Colombia and the modern states it later became
Key Points
- As the wars of independence in Latin America were being fought, Simón Bolívar developed a vision for a unified Latin America to protect the new independence from European interests.
- Out of this vision, Gran Colombia was formed in 1819 following Bolívar’s victory against the Spanish at the Battle of Carabobo; he was elected the president.
- In its first years, Gran Colombia helped other provinces still at war with Spain become independent, adding more territories to its federation; by 1824 it had 12 administrative departments.
- The history of Gran Colombia was marked by a struggle between those who supported a centralized government with a strong presidency and those who supported a decentralized, federal form of government.
- After years of struggle between the centralists and federalists, in 1828 delegates met to create a new constitution which Bolívar proposed to base on Bolivia’s, but it was unpopular and the constitutional convention fell apart.
- In two years, Bolívar resigned as president and within a year, Gran Colombia dissolved, forming the independent states of Venezuela, Ecuador, and New Granada.
- Gran Colombia included the territories of present-day Colombia, Venezuela, Ecuador, Panama, northern Peru, western Guyana, and northwest Brazil.
Key Terms
- Battle of Carabobo
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A battle fought between independence fighters led by Venezuelan General Simón Bolívar and the Royalist forces led by Spanish Field Marshal Miguel de la Torre. Bolívar’s decisive victory at Carabobo led to the independence of Venezuela and establishment of the Republic of Gran Colombia.
- federation
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A political entity characterized by a union of partially self-governing states or regions under a central government. Typically, the self-governing status of the component states, as well as the division of power between them and the central government, is constitutionally entrenched and may not be altered by a unilateral decision of either party.
- New Granada
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The name given on May 27, 1717, to the jurisdiction of the Spanish Empire in northern South America, corresponding to modern Colombia, Ecuador, Panama, and Venezuela.
Gran Colombia is a name used today for the state that encompassed much of northern South America and part of southern Central America from 1819 to 1831. It included the territories of present-day Colombia, Venezuela, Ecuador, Panama, northern Peru, western Guyana, and northwest Brazil.
The first three were the successor states to Gran Colombia at its dissolution. Panama was separated from Colombia in 1903. Since Gran Colombia’s territory corresponded more or less to the original jurisdiction of the former Viceroyalty of New Granada, it also claimed the Caribbean coast of Nicaragua, the Mosquito Coast.
Its existence was marked by a struggle between those who supported a centralized government with a strong presidency and those who supported a decentralized, federal form of government.
At the same time, another political division emerged between those who supported the Constitution of Cúcuta and two groups who sought to do away with the Constitution, either in favor of breaking up the nation into smaller republics or maintaining the union but creating an even stronger presidency. The faction that favored constitutional rule coalesced around Vice-President Francisco de Paula Santander, while those who supported the creation of a stronger presidency were led by President Simón Bolívar. The two men had been allies in the war against Spanish rule, but by 1825, their differences became public and contributed to the political instability from that year onward. Gran Columbia broke apart in 1831.
History of Gran Colombia
As Bolívar made advances against the royalist forces during the Venezuelan war of independence, he began to propose the creation of various large states and confederations, inspired by Francisco de Miranda’s idea of an independent state consisting of all of Spanish America, called “Colombia,” the “American Empire,” or the “American Federation.” The aim was to ensure the independence of Spanish America and protect the area’s newly won autonomy. In 1819 Bolívar was able to successfully create a nation called “Colombia” (today referred to as Gran Colombia) out of several Spanish American provinces.
Since the new nation was quickly proclaimed after Bolívar’s unexpected victory in New Granada, its government was temporarily set up as a federal republic, made up of three departments headed by a vice-president and with capitals in the cities of cities of Bogotá (Cundinamarca Department), Caracas (Venezuela Department), and Quito (Quito Department).
The Constitution of Cúcuta was drafted in 1821 at the Congress of Cúcuta, establishing the republic’s capital in Bogotá. Bolívar and Santander were elected as the nation’s president and vice-president. A great degree of centralization was established by the assembly at Cúcuta, since several New Granadan and Venezuelan deputies of the Congress who were formerly ardent federalists now came to believe that centralism was necessary to successfully manage the war against the royalists. The departments created in 1819 were split into 12 smaller departments, each governed by an intendant appointed by the central government. Since not all of the provinces were represented at Cúcuta because many areas of the nation remained in royalist hands, the congress called for a new constitutional convention to meet in ten years.
In its first years, Gran Colombia helped other provinces still at war with Spain to become independent: all of Venezuela except Puerto Cabello was liberated at the Battle of Carabobo, Panama joined the federation in November 1821, and the provinces of Pasto, Guayaquil, and Quito in 1822. The Gran Colombian army later consolidated the independence of Peru in 1824. Bolívar and Santander were re-elected in 1826.
As the war against Spain came to an end in the mid-1820s, federalist and regionalist sentiments that were suppressed for the sake of the war arose once again. There were calls for a modification of the political division, and related economic and commercial disputes between regions reappeared. Ecuador had important economic and political grievances. Since the end of the 18th century, its textile industry suffered because cheaper textiles were being imported. After independence, Gran Colombia adopted a low-tariff policy, which benefited agricultural regions such as Venezuela. Moreover, from 1820 to 1825, the area was ruled directly by Bolívar because of the extraordinary powers granted to him. His top priority was the war in Peru against the royalists, not solving Ecuador’s economic problems.
The strongest calls for a federal arrangement came from Venezuela, where there was strong federalist sentiment among the region’s liberals, many of whom had not fought in the war of independence but supported Spanish liberalism in the previous decade and now allied themselves with the conservative Commandant General of the Department of Venezuela, José Antonio Páez, against the central government.
In 1826, Venezuela came close to seceding from Gran Colombia. That year, Congress began impeachment proceedings against Páez, who resigned his post on April 28 but reassumed it two days later in defiance of the central government.
In November, two assemblies met in Venezuela to discuss the future of the region, but no formal independence was declared at either. That same month, skirmishes broke out between the supporters of Páez and Bolívar in the east and south of Venezuela. By the end of the year, Bolívar was in Maracaibo preparing to march into Venezuela with an army, if necessary. Ultimately, political compromises prevented this. In January, Bolívar offered the rebellious Venezuelans a general amnesty and the promise to convene a new constitutional assembly before the ten-year period established by the Constitution of Cúcuta, and Páez backed down and recognized Bolívar’s authority. The reforms, however, never fully satisfied the different political factions in Gran Colombia, and no permanent consolidation was achieved. The instability of the state’s structure was now apparent to all.
In 1828, the new constitutional assembly, the Convention of Ocaña, began its sessions. At its opening, Bolívar again proposed a new constitution based on the Bolivian one, but this suggestion continued to be unpopular. The convention fell apart when pro-Bolívar delegates walked out rather than sign a federalist constitution. After this failure, Bolívar believed that by centralizing his constitutional powers he could prevent the separatists from bringing down the union. He ultimately failed to do so. As the collapse of the nation became evident in 1830, Bolívar resigned from the presidency. Internal political strife between the different regions intensified even as General Rafael Urdaneta temporarily took power in Bogotá, attempting to use his authority to ostensibly restore order but actually hoping to convince Bolívar to return to the presidency and the nation to accept him. The federation finally dissolved in the closing months of 1830 and was formally abolished in 1831. Venezuela, Ecuador, and New Granada came to exist as independent states.
Gran Colombia
A map of Gran Colombia showing the 12 departments created in 1824 and territories disputed with neighboring countries.
26.1.4: José de San Martín
José de San Martín was one of the prime leaders of Latin America’s successful struggle for freedom from the Spanish Empire, commanding crucial military campaigns that led to independence for Argentina, Chile, and Peru.
Learning Objective
Compare José de San Martín’s efforts to Bolívar’s
Key Points
- José de San Martín, along with Simón Bolívar, was one of the most important leaders of the Latin American independence movements.
- His military leadership was crucial in the wars of independence in Argentina, Chile, and Peru.
- Born in what became Argentina, San Martín mostly grew up in Spain, taking part in the Peninsular War against Napoleon.
- He left Spain and joined the Argentine War of Independence in 1811, a choice debated by historians.
- He provided a much-needed boost to the revolution, mustering the Army of the Andes, whose crossing of the Andes was instrumental in freeing Argentina and Chile from Spanish rule.
- From there he went to Peru, where he fought for several years in collaboration and conflict with Simón Bolívar. He left suddenly in 1822 for France, leaving the remainder of the war for independence to be led by Bolívar, who succeeded against the Spanish forces in 1824.
Key Terms
- Crossing of the Andes
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One of the most important feats in the Argentine and Chilean wars of independence, in which a combined army of Argentine soldiers and Chilean exiles invaded Chile, leading to Chile’s liberation from Spanish rule. The crossing of the Andes was a major step in the strategy devised by José de San Martín to defeat the royalist forces at their stronghold of Lima, Viceroyalty of Perú, and secure the Spanish American independence movements.
- Army of the Andes
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A military force created by the United Provinces of the Río de la Plata (Argentina) and mustered by general José de San Martín in his campaign to free Chile from the Spanish Empire. In 1817, it crossed the Andes Mountains from the Argentine province of Cuyo (at the current-day province of Mendoza, Argentina), and succeeded in dislodging the Spanish from the country.
José de San Martín was an Argentine general and the prime leader of the southern part of South America’s successful struggle for independence from the Spanish Empire. Born in Yapeyú, Corrientes, in modern-day Argentina, he left his mother country at the early age of seven to study in Málaga, Spain.
In 1808, after taking part in the Peninsular War against Napoleon’s France, San Martín contacted South American supporters of independence from Spain. In 1812, he set sail for Buenos Aires and offered his services to the United Provinces of the Río de la Plata, present-day Argentina. After the Battle of San Lorenzo and time commanding the Army of the North during 1814, he organized a plan to defeat the Spanish forces that menaced the United Provinces from the north, using an alternative path to the Viceroyalty of Peru. This objective first involved the establishment of a new army, the Army of the Andes, in Cuyo Province, Argentina. From there, he led the Crossing of the Andes to Chile and triumphed at the Battle of Chacabuco and the Battle of Maipú (1818), thus liberating Chile from royalist rule. Then he sailed to attack the Spanish stronghold of Lima, Peru.
On July 12, 1821, after seizing partial control of Lima, San Martín was appointed Protector of Peru, and Peruvian independence was officially declared on July 28. On July 22, after a closed-door meeting with fellow libertador Simón Bolívar at Guayaquil, Ecuador, Bolívar took over the task of fully liberating Peru. San Martín unexpectedly left the country and resigned the command of his army, excluding himself from politics and the military, and moved to France in 1824. The details of the July 22 meeting would be a subject of debate by later historians.
San Martín is regarded as a national hero of Argentina and Peru, and together with Bolívar, one of the Liberators of Spanish South America. The Order of the Liberator General San Martín (Orden del Libertador General San Martín), created in his honor, is the highest decoration conferred by the Argentine government.
Wars of Independence: Argentina, Chile, Peru
San Martín entered the Argentine War of Independence about a year after it started. The reasons that he left Spain in 1811 to join the Spanish American wars of independence as a patriot remain contentious among historians. The action would seem contradictory and out of character, because if the patriots were waging an independentist and anti-Hispanic war, then he would be a traitor or deserter. There are a variety of explanations by different historians. Some argue that he returned because he missed South America, and the war of independence justified changing sides to support it. Other contend that the wars in the Americas were not initially separatist but between supporters of absolutism and liberalism, which thus maintains a continuity between San Martín’s actions in Spain and in Latin America.
The Argentine War of Independence started with the May Revolution and other military campaigns with mixed success. The undesired outcomes of the Paraguay and Upper Peru campaigns led the Junta (the provisional government after the May Revolution) to be replaced by an executive Triumvirate in September 1811.
A few days after his arrival in Buenos Aires, San Martín was interviewed by the First Triumvirate. They appointed him a lieutenant colonel of cavalry and asked him to create a cavalry unit, as Buenos Aires did not have good cavalry. He began to organize the Regiment of Mounted Grenadiers with Alvear and Zapiola. As Buenos Aires lacked professional military leaders, San Martín was entrusted with the protection of the whole city, but kept focused in the task of building the military unit. A year later the Triumvirate was renewed and San Martín was promoted to colonel.
San Martín came up with a plan: organize an army in Mendoza, cross the Andes to Chile, and move to Peru by sea, all while another general defended the north frontier. This would place him in Peru without crossing the harsh terrain of Upper Peru, where two campaigns had already been defeated. To advance this plan, he requested the governorship of the Cuyo province, which was accepted.
San Martín began immediately to organize the Army of the Andes. He drafted all citizens who could bear arms and all slaves from ages 16 to 30, requested reinforcements to Buenos Aires, and reorganized the economy for war production. San Martín proposed that the country declare independence immediately, before the crossing. That way, they would be acting as a sovereign nation and not as a mere rebellion, but the proposal never was accepted. Needing even more soldiers, San Martín extended the emancipation of slaves to ages 14 to 55, and even allowed them to be promoted to higher military ranks. He proposed a similar measure at the national level, but Pueyrredón encountered severe resistance. He included the Chileans who escaped Chile after the disaster of Rancagua, and organized them in four units: infantry, cavalry, artillery, and dragoons. At the end of 1816, the Army of the Andes had 5,000 men, 10,000 mules, and 1,500 horses. San Martin organized military intelligence, propaganda, and disinformation to confuse the royalist armies (such as the specific routes taken in the Andes), boost the national fervor of his army, and promote desertion among the royalists.
In early 1817, San Martín led the Crossing of the Andes into Chile, obtaining a decisive victory at the battle of Chacabuco on February 17, which allowed the exiled Chilean leader Bernardo O’Higgins to enter Santiago de Chile unopposed and install a new independent government. In December 1817, a popular referendum was set up to decide about the Independence of Chile. On February 18, 1818, the first anniversary of the battle of Chacabuco, Chile declared its independence from the Spanish Crown.
From there, San Martín took the Army of the Andes to fight in Peru. To begin the liberation of Peru, Argentina and Chile signed a treaty on February 5, 1819, to prepare for the invasion. General José de San Martín believed that the liberation of Argentina wouldn’t be secure until the royalist stronghold in Peru was defeated. Peru had armed forces nearly four times the strength of those of San Martín. With this disparity, San Martín tried to avoid battles. He tried instead to divide the enemy forces in several locations, as during the Crossing of the Andes, and trap the royalists with a pincer movement with either reinforcements of the Army of the North from the South or the army of Simón Bolívar from the North. He also tried to promote rebellions and insurrection within the royalist ranks, and promised the emancipation of any slaves that deserted their Peruvian masters and joined the army of San Martín. When he reached Lima, San Martín invited all of the populace of Lima to swear oath to the Independence cause. The signing of the Act of Independence of Peru was held on July 15, 1821. San Martín became the leader of the government, even though he did not want to lead. He was appointed Protector of Peru. After several years of fighting, San Martín abandoned Peru in September 1822 and left the whole command of the Independence movement to Simon Bolivar. The Peruvian War culminated in 1824 with the defeat of the Spanish Empire in the battles of Junin and Ayacucho.
Guayaquil Conference
The Guayaquil Conference was a meeting that took place on July 26, 1822, in Guayaquil, Ecuador, between José de San Martín and Simón Bolívar, to discuss the future of Perú (and South America in general). San Martín arrived in Guayaquil on July 25, where he was enthusiastically greeted by Bolívar. However, the two men could not come to an agreement, despite their common goals and mutual respect, even when San Martín offered to serve under Bolívar. Both men had very different ideas about how to organize the governments of the countries that they had liberated. Bolívar was in favor of forming a series of republics in the newly independent nations, whereas San Martín preferred the European system of rule and wanted to put monarchies in place. San Martín was also in favor of placing a European prince in power as King of Peru when it was liberated. The conference, consequently, was a failure, at least for San Martín.
San Martín, after meeting with Bolívar for several hours on July 26, stayed for a banquet and ball given in his honor. Bolívar proposed a toast to “the two greatest men in South America: the general San Martín and myself,” whereas San Martín drank to “the prompt conclusion of the war, the organization of the different Republics of the continent and the health of the Liberator of Colombia.” After the conference, San Martín abdicated his powers in Peru and returned to Argentina. Soon afterward, he left South America entirely and retired in France.
Guayaquil Conference
The conference between Simón Bolívar and José de San Martín. The real conference took place inside an office, and not in the countryside as the portrait suggests.
26.2: Brazilian Independence
26.2.1: Portugese Colonization of Brazil
Colonial Brazil comprises the period from 1500 with the arrival of the Portuguese until 1815 when Brazil was elevated to a kingdom. It was characterized by the development of sugar and gold production, slave labor, and conflicts with the French and Dutch.
Learning Objective
Assess the Portuguese colonization of Brazil
Key Points
- In 1494, the two kingdoms of the Iberian Peninsula (Portugal and Spain) divided the New World between them in the Treaty of Tordesillas
- In 1500, navigator Pedro Álvares Cabral landed in what is now Brazil and claimed it in the name of King Manuel I of Portugal.
- The Portuguese identified brazilwood as a valuable red dye and an exploitable product and attempted to force indigenous groups in Brazil to cut the trees, but at first gave little attention to the area.
- Over time, the Portuguese realized that some European countries, especially France, were also sending excursions to Brazil to extract brazilwood, and the Portuguese crown decided to send large missions to take possession of the land by setting up hereditary captaincies, which were largely a failure.
- Starting in the 16th century, sugarcane production became the base of Brazilian economy and society, with the use of slaves on large plantations to make sugar for export to Europe.
- Throughout most of the colonial period, the Portuguese settlers fought conflicts with the French and the Dutch for control over the territory.
- The discovery of gold in the early 18th century ushered in a gold rush, bringing in many new European settlers.
Key Terms
- Dutch West India Company
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A chartered company of Dutch merchants. On June 3, 1621, it was granted a charter for a trade monopoly in the West Indies (meaning the Caribbean) by the Republic of the Seven United Netherlands and given jurisdiction over the Atlantic slave trade, Brazil, the Caribbean, and North America. The intended purpose of the charter was to eliminate competition, particularly Spanish or Portuguese, between the various trading posts established by the merchants. The company became instrumental in the Dutch colonization of the Americas.
- Treaty of Tordesillas
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A treaty signed on June 7, 1494, that divided the newly discovered lands outside Europe between Portugal and the Crown of Castile (Spain) along a meridian 370 leagues west of the Cape Verde islands off the west coast of Africa. This line of demarcation was about halfway between the Cape Verde islands (already Portuguese) and the islands entered by Christopher Columbus on his first voyage (claimed for Castile and León), named in the treaty as Cipangu and Antilia (Cuba and Hispaniola). It created the Tordesillas Meridian, dividing the world between those two kingdoms. All land discovered or to be discovered east of that meridian was to be the property of Portugal, and everything to the west of it went to Spain.
- engenhos
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A colonial-era Portuguese term for a sugar cane mill and the associated facilities.
European Discovery and Early Colonization of Brazil
The Portuguese “discovery” of Brazil was preceded by a series of treaties between the kings of Portugal and Castile, following Portuguese sailings down the coast of Africa to India and the voyages to the Caribbean of the Genoese mariner sailing for Castile, Christopher Columbus. The most decisive of these treaties was the Treaty of Tordesillas, signed in 1494, that created the Tordesillas Meridian, dividing the world between those two kingdoms. All land discovered or to be discovered east of that meridian was to be the property of Portugal, and everything to the west of it went to Spain.
The Tordesillas Meridian divided South America into two parts, leaving a large chunk of land to be exploited by the Spaniards. The Treaty of Tordesillas was one of the most decisive events in all Brazilian history, since it alone determined that a portion of South America would be settled by Portugal instead of Spain. The present extent of Brazil’s coastline is almost exactly that defined by the Treaty of Madrid, which was approved in 1750.
On April 22, 1500, during the reign of King Manuel I, a fleet led by navigator Pedro Álvares Cabral landed in Brazil and took possession of the land in the name of the king. Although it is debated whether previous Portuguese explorers had already been in Brazil, this date is widely and politically accepted as the day of the discovery of Brazil by Europeans. Álvares Cabral was leading a large fleet of 13 ships and more than 1,000 men following Vasco da Gama’s way to India, around Africa. The place where Álvares Cabral arrived is now known as Porto Seguro (“safe harbor”) in Northeastern Brazil.
After the voyage of Álvares Cabral, the Portuguese concentrated their efforts on the lucrative possessions in Africa and India and showed little interest in Brazil. Between 1500 and 1530, relatively few Portuguese expeditions came to the new land to chart the coast and obtain brazilwood, which the Portuguese had identified as a valuable commodity upon arrival and from where Brazil gets its name. In Europe, this wood was used to produce a valuable dye to give color to luxury textiles. To extract brazilwood from the tropical rainforest, the Portuguese and other Europeans relied on the work of the natives, who initially labored in exchange for European goods like mirrors, scissors, knives, and axes.
In this early stage of the colonization of Brazil and also later, the Portuguese frequently relied on the help of Europeans who lived together with the indigenous peoples and knew their languages and culture. The most famous of these were João Ramalho, who lived among the Guaianaz tribe near today’s São Paulo, and Diogo Álvares Correia, nicknamed Caramuru, who lived among the Tupinambá natives near today’s Salvador da Bahia.
Colonial Brazil
Portuguese map by Lopo Homem (c. 1519) showing the coast of Brazil and natives extracting brazilwood, as well as Portuguese ships.
Colonial Brazil
Portugal’s relative lack of interest allowed traders, pirates, and privateers of several countries to poach profitable brazilwood in lands claimed by Portugal. Over time, the Portuguese realized that some European countries, especially France, were also sending excursions to the land to extract brazilwood. Worried about foreign incursions and hoping to find mineral riches, the Portuguese crown decided to send large missions to take possession of the land and combat the French.
In 1530, an expedition led by Martim Afonso de Sousa arrived in Brazil to patrol the entire coast, ban the French, and create the first colonial villages like São Vicente on the coast. The Portuguese crown devised a system to effectively occupy Brazil without paying the costs. Through the hereditary Captaincies system, Brazil was divided into strips of land that were donated to Portuguese noblemen, who were in turn responsible for the occupation and administration of the land and answered to the king. The system was a failure with only four lots successfully occupied: Pernambuco, São Vicente (later called São Paulo), Captaincy of Ilhéus, and Captaincy of Porto Seguro. The captaincies gradually reverted to the Crown and became provinces and eventually states of the country.
Starting in the 16th century, sugarcane grown on plantations called engenhos along the northeast coast became the base of Brazilian economy and society, with the use of slaves on large plantations to make sugar for export to Europe. At first, settlers tried to enslave the natives as labor to work the fields. The initial exploration of Brazil’s interior was largely due to paramilitary adventurers, the bandeirantes, who entered the jungle in search of gold and Native slaves. However, colonists were unable to sustainably enslave Natives, and Portuguese land owners soon imported millions of slaves from Africa. Mortality rates for slaves in sugar and gold enterprises were very high, and there were often not enough females or proper conditions to replenish the slave population. Still, Africans became a substantial section of Brazilian population, and long before the end of slavery in 1888, they began to merge with the European Brazilian population through interracial marriage.
During the first 150 years of the colonial period, attracted by the vast natural resources and untapped land, other European powers tried to establish colonies in several parts of Brazilian territory in defiance of the Treaty of Tordesillas. French colonists tried to settle in present-day Rio de Janeiro from 1555 to 1567 (the so-called France Antarctique episode), and in present-day São Luís from 1612 to 1614 (the so-called France Équinoxiale). Jesuits arrived early and established Sao Paulo, evangelizing the natives. These native allies of the Jesuits assisted the Portuguese in driving out the French.
The unsuccessful Dutch intrusion into Brazil was longer-lasting and more troublesome to Portugal. Dutch privateers began by plundering the coast; they sacked Bahia in 1604, and even temporarily captured the capital Salvador. From 1630 to 1654, the Dutch set up more permanently in the northwest and controlled a long stretch of the coast most accessible to Europe, without penetrating the interior. But the colonists of the Dutch West India Company in Brazil were in a constant state of siege. After several years of open warfare, the Dutch withdrew by 1654. Little French and Dutch cultural and ethnic influence remained of these failed attempts.
The discovery of gold in the early 18th century was met with great enthusiasm by Portugal, which had an economy in disarray following years of wars against Spain and the Netherlands. A gold rush quickly ensued, with people from other parts of the colony and Portugal flooding the region in the first half of the 18th century.
The Napoleonic Wars in Europe, especially the Peninsular War and its resulting treaties, would reshape the political structure of Brazil in the early 19th century from a colony of Portugal to the Kingdom of Brazil.
26.2.2: Brazil’s Exports
During the first 300 years of Brazilian colonial history, the economic exploitation of the territory was based on brazilwood extraction (16th century), sugar production (16th-18th centuries), and finally on gold and diamond mining (18th century).
Learning Objective
List Brazil’s economic power and role in the Portuguese Empire
Key Points
- The Portuguese colony of Brazil was centered upon a series of commodity productions: first brazilwood extraction, then sugar production, and finally gold and diamond mining.
- Initially, colonists were heavily dependent on indigenous labor, often through capture and coercion, during the early phases of settlement, subsistence farming, and brazilwood production.
- The importation of African slaves began midway through the 16th century, but the enslavement of indigenous peoples continued well into the 17th and 18th centuries.
- During the Atlantic slave trade era, Brazil imported more African slaves than any other country, with an estimated 4.9 million slaves from Africa coming to Brazil from 1501 to 1866.
- Slave labor was the driving force behind the growth of the sugar economy in Brazil, and sugar was the primary export of the colony from 1600–1650.
- Gold and diamond deposits were discovered in Brazil in 1690, which sparked an increase in the importation of African slaves to power this newly profitable market.
- Gold production declined towards the end of the 18th century, beginning a period of relative stagnation of the Brazilian hinterland.
Key Terms
- Triangular trade
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A historical term indicating trade among three ports or regions, especially the transatlantic slave trade. This operated from the late 16th to early 19th centuries, carrying slaves, cash crops, and manufactured goods between West Africa, Caribbean or American colonies, and the European colonial powers, with the northern colonies of British North America, especially New England, sometimes taking over the role of Europe.
- Xica da Silva
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A Brazilian woman who became famous for becoming rich and powerful despite being born into slavery. Her life has been a source of inspiration for many works in television, film, theater, and literature. She is popularly known as the slave who became a queen.
- brazilwood
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A genus of flowering plants in the legume family, Fabaceae. This plant has a dense, orange-red heartwood that takes a high shine, and it is the premier wood used to make bows for stringed instruments. The wood also yields a red dye called brazilin, which oxidizes to brazilein. Starting in the 16th centuries, this tree became highly valued in Europe and quite difficult to get.
During the first 300 years of Brazilian colonial history, the economic exploitation of the territory was based on brazilwood extraction (16th century), sugar production (16th–18th centuries), and finally gold and diamond mining (18th century). Slaves, especially those brought from Africa, provided most of the working force of the Brazilian export economy after a brief period of Indian slavery. The boom and bust economic cycles were linked to export products. Brazil’s sugar age, with the development of plantation slavery (merchants serving as middle men between production sites, Brazilian ports, and Europe) was undermined by the growth of the sugar industry in the Caribbean on islands that European powers had seized from Spain. Gold and diamonds were discovered and mined in southern Brazil through the end of the colonial era. Brazilian cities were largely port cities and the colonial administrative capital was moved several times in response to the rise and fall of export products’ importance.
Brazilwood Production
After European arrival, the land’s major export was a type of tree the traders and colonists called pau-Brasil (Latin for wood red like an ember) or brazilwood from whence the country got its name. This large tree (Caesalpinia echinata) has a trunk that yields a prized red dye, and was nearly wiped out as a result of exploitation. Starting in the 16th centuries, brazilwood became highly valued in Europe and quite difficult to get. A related wood from Asia, sappanwood, was traded in powder form and used as a red dye in the manufacture of luxury textiles, such as velvet, in high demand during the Renaissance.
When Portuguese navigators discovered present-day Brazil on April 22, 1500, they immediately saw that brazilwood was extremely abundant along the coast and in its hinterland along the rivers. In a few years, a hectic and very profitable operation for felling and shipping all the brazilwood logs they could get was established as a crown-granted Portuguese monopoly. The rich commerce that soon followed stimulated other nations to try to harvest and smuggle brazilwood contraband out of Brazil and corsairs to attack loaded Portuguese ships in order to steal their cargo. For example, the unsuccessful attempt in 1555 of a French expedition led by Nicolas Durand de Villegaignon, vice-admiral of Brittany and corsair under the King, to establish a colony in present-day Rio de Janeiro (France Antarctique) was motivated in part by the bounty generated by economic exploitation of brazilwood.
The Sugar Age (1530–1700)
Since the initial attempts to find gold and silver failed, the Portuguese colonists adopted an economy based on the production of agricultural goods to be exported to Europe. Tobacco, cotton and other crops were produced, but sugar became by far the most important Brazilian colonial product until the early 18th century. The first sugarcane farms were established in the mid-16th century and were the key for the success of the captaincies of São Vicente and Pernambuco, leading sugarcane plantations to quickly spread to other coastal areas in colonial Brazil. Initially, the Portuguese attempted to utilize Indian slaves for sugar cultivation, but shifted to the use of black African slave labor.
The period of sugar-based economy (1530 – c. 1700) is known as the sugar age in Brazil. The development of the sugar complex occurred over time with a variety of models. The dependencies of the farm included a casa-grande (big house) where the owner of the farm lived with his family, and the senzala, where the slaves were kept.
Portugal owned several commercial facilities in Western Africa, where slaves were bought from African merchants. These slaves were then sent by ship to Brazil, chained and in crowded conditions. The idea of using African slaves in colonial farms was also adopted by other European colonial powers in tropical regions of America (Spain in Cuba, France in Haiti, the Netherlands in the Dutch Antilles, and England in Jamaica).
The Portuguese attempted to severely restrict colonial trade, meaning that Brazil was only allowed to export and import goods from Portugal and other Portuguese colonies. Brazil exported sugar, tobacco, cotton, and native products and imported from Portugal wine, olive oil, textiles, and luxury goods – the latter imported by Portugal from other European countries. Africa played an essential role as the supplier of slaves, and Brazilian slave traders in Africa frequently exchanged cachaça, a distilled spirit derived from sugarcane, and shells for slaves. This comprised what is now known as the triangular trade between Europe, Africa and the Americas during the colonial period.
Merchants during the sugar age were crucial to the economic development of the colony as the link between the sugar production areas, coastal Portuguese cities, and Europe. Merchants initially came from many nations, including Germany, Italy, and modern-day Belgium, but Portuguese merchants came to dominate the trade in Brazil.
Even though Brazilian sugar had a reputation for quality, the industry faced a crisis during the 17th and 18th centuries when the Dutch and the French started producing sugar in the Antilles, located much closer to Europe, causing sugar prices to fall.
The Sugar Age
View of a sugar-producing farm (engenho) in colonial Pernambuco by Dutch painter Frans Post (17th century).
Gold Rush
The discovery of gold was met with great enthusiasm by Portugal, which had an economy in disarray following years of wars against Spain and the Netherlands. A gold rush quickly ensued, with people from other parts of the colony and Portugal flooding the region in the first half of the 18th century. The large portion of the Brazilian inland where gold was extracted became known as the Minas Gerais (General Mines). Gold mining in this area became the main economic activity of colonial Brazil during the 18th century. In Portugal, the gold was mainly used to pay for industrialized goods (textiles, weapons) obtained from countries like England and especially during the reign of King John V, to build magnificent Baroque monuments like the Convent of Mafra. Apart from gold, diamond deposits were also found in 1729 around the village of Tijuco, now Diamantina. A famous figure in Brazilian history of this era was Xica da Silva, a slave woman who had a long term relationship in Diamantina with a Portuguese official; the couple had 13 children and she died a rich woman.
Minas Gerais was the gold mining center of Brazil during the 18th century. Slave labor was generally used for the workforce. The discovery of gold in the area caused a huge influx of European immigrants and the government decided to bring in bureaucrats from Portugal to control operations. They set up numerous bureaucracies, often with conflicting duties and jurisdictions. The officials generally proved unequal to the task of controlling this highly lucrative industry. In 1830, the Saint John d’El Rey Mining Company, controlled by the British, opened the largest gold mine in Latin America. The British brought in modern management techniques and engineering expertise. Located in Nova Lima, the mine produced ore for 125 years.
Gold production declined towards the end of the 18th century, beginning a period of relative stagnation of the Brazilian hinterland.
Diamond Mining
Slaves mine for diamonds in Minas Gerais (ca. 1770s). Gold and diamond deposits were discovered in Brazil in 1690, which sparked an increase in the importation of African slaves to power this newly profitable market.
26.2.3: Constitutionalist Movement in Portugal
In 1820, 13 years after the Portuguese king fled to Brazil during the Napoleonic Wars, the Constitutionalist Revolution erupted in the city of Porto and quickly and peacefully spread to the rest of the country, resulting in the return of the Portuguese crown to Europe and the declaration of Brazil’s independence from Portugal in 1822.
Learning Objective
Describe the ties between the Constitutionalist Movement and Brazilian Independence
Key Points
- In 1807, at the time of the first invasion of Portugal by Napoleon’s forces, the King of Portugal, João VI, fled to Brazil.
- When French forces were finally defeated in Europe in 1815, King João decided to continue ruling from Brazil, founding the United Kingdom of Portugal, Brazil and the Algarves, leaving a strong British presence in Portugal.
- Many people resented British influence and began a movement to reestablish the monarchy in Portugal, specifically a liberal, constitutional monarchy.
- In 1820, the constitutionalists rose up in revolution, created a constitution, and forced the return of the Portuguese King.
- King João returned to Portugal in April 1821, leaving behind his son and heir, Prince Dom Pedro, to rule Brazil as his regent.
- On September 7, 1822, Prince Dom Pedro declared Brazil’s independence from Portugal, founding the Empire of Brazil, which led to a two-year war of independence.
- Formal recognition came with a treaty signed by both Brazil and Portugal in late 1825.
Key Terms
- Brazilian war of independence
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A war waged between the newly independent Empire of Brazil and United Kingdom of Portugal, Brazil and the Algarves which had just undergone the Liberal Revolution of 1820. It lasted from February 1822, when the first skirmishes took place, to March 1824, when the last Portuguese garrison of Montevideo surrendered to Commander Sinian Kersey.
- United Kingdom of Portugal, Brazil, and the Algarves
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A monarchy formed by the elevation of the Portuguese colony of Brazil to the status of a kingdom and by the simultaneous union of that Kingdom of Brazil with the Kingdom of Portugal and the Kingdom of the Algarves, constituting a single state consisting of three kingdoms. It was formed in 1815 after the transfer of the Portuguese Court to Brazil during the Napoleonic invasions of Portugal and continued to exist for about one year after the return of the Court to Europe. It was de facto dissolved in 1822 when Brazil proclaimed its independence.
- Constitutionalist Revolution
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A Portuguese political revolution that erupted in 1820. It began with a military insurrection in the city of Porto, in northern Portugal, that quickly and peacefully spread to the rest of the country. The Revolution resulted in the return in 1821 of the Portuguese Court to Portugal from Brazil, where it had fled during the Peninsular War, and initiated a constitutional period in which the 1822 Constitution was ratified and implemented.
Napoleonic Wars and Constitutionalist Revolution
From 1807 to 1811, Napoleonic French forces invaded Portugal three times. During the invasion of Portugal (1807), the Portuguese royal family fled to Brazil, establishing Rio de Janeiro as the de facto capital of Portugal. From Brazil, the Portuguese king João VI ruled his trans-Atlantic empire for 13 years.
The capital’s move to Rio de Janeiro accentuated the economic, institutional, and social crises in mainland Portugal, which was administered by English commercial and military interests under William Beresford’s rule in the absence of the monarch. The influence of liberal ideals was strengthened by the aftermath of the war, the continuing impact of the American and French revolutions, discontent under absolutist government, and the general indifference shown by the Portuguese regency for the plight of its people.
This also had the side effect of creating within Brazil many of the institutions required to exist as an independent state; most importantly, it freed the country to trade with other nations at will. After Napoleon’s army was finally defeated in 1815, to maintain the capital in Brazil and allay Brazilian fears of being returned to colonial status, King João VI of Portugal raised the de jure status of Brazil to an equal, integral part of a United Kingdom of Portugal, Brazil, and the Algarves, rather than a mere colony. It enjoyed this status for the next seven years.
Following the defeat of the French forces, Portugal experienced a prolonged period of political turmoil in which many sought greater self-rule for the Portuguese people. Eventually this unrest put an end to the king’s long stay in Brazil, when his return to Portugal was demanded by the revolutionaries.
Even though the Portuguese participated in the defeat of the French, the country found itself virtually a British protectorate. The officers of the Portuguese Army resented British control of the Portuguese armed forces. After Napoleon’s definite defeat in 1815, a clandestine Supreme Regenerative Council of Portugal and the Algarve was formed in Lisbon by army officers and freemasons, headed by General Gomes Freire de Andrade—Grand Master of the Grande Oriente Lusitano and former general under Napoleon until his defeat in 1814—with the objective to end British control of the country and promote “salvation and independence.”
In 1820 the Constitutionalist Revolution erupted in Portugal. The movement initiated by the liberal constitutionalists resulted in the meeting of the Cortes (or Constituent Assembly) that would create the kingdom’s first constitution. The Cortes demanded the return of King João VI, who had been living in Brazil since 1808. The revolution began with a military insurrection in the city of Porto, in northern Portugal, that quickly and peacefully spread to the rest of the country. The Revolution resulted in the return in 1821 of the Portuguese Court to Portugal from Brazil, where it had fled during the Peninsular War, and initiated a constitutional period in which the 1822 Constitution was ratified and implemented. The revolutionaries also sought to restore Portuguese exclusivity in the trade with Brazil, reverting Brazil to the status of a colony. It was officialy reduced to a “Principality of Brazil,” instead of the Kingdom of Brazil, which it had been for the past five years. The movement’s liberal ideas had an important influence on Portuguese society and political organization in the 19th century.
The Constitutionalists
The General and Extraordinary Cortes of the Portuguese Nation that wrote and approved the first Constitution. This constitutional assembly was composed of diplomatic functionaries, merchants, agrarian burghers, and university-educated representatives who were usually lawyers.
Brazilian Independence
King João returned to Portugal in April 1821, leaving behind his son and heir, Prince Dom Pedro, to rule Brazil as his regent. The Portuguese government immediately moved to revoke the political autonomy that Brazil had been granted since 1808. The threat of losing their limited control over local affairs ignited widespread opposition among Brazilians. José Bonifácio de Andrada, along with other Brazilian leaders, convinced Pedro to declare Brazil’s independence from Portugal on September 7, 1822. On October 12, the prince was acclaimed Pedro I, first Emperor of the newly created Empire of Brazil, a constitutional monarchy. The declaration of independence was opposed throughout Brazil by armed military units loyal to Portugal. The ensuing Brazilian war of independence was fought across the country, with battles in the northern, northeastern, and southern regions. The war lasted from February 1822, when the first skirmishes took place, to March 1824, when the last Portuguese garrison of Montevideo surrendered to Commander Sinian Kersey. It was fought on land and sea and involved both regular forces and civilian militia. Independence was recognized by Portugal in August 1825.
26.2.4: The Brazilian Empire
The Empire of Brazil, founded in 1822 when the prince regent of Portugal, Pedro I, declared its independence from Portugal, was a relatively stable and democratic constitutional monarchy that saw several wars and the abolition of slavery in 1888.
Learning Objective
Summarize the breadth and structure of the Brazilian Empire
Key Points
- Brazil was one of only three modern states in the Americas to have its own indigenous monarchy (the other two were Mexico and Haiti) for a period of almost 90 years.
- In 1808, the Portuguese court, fleeing from Napoleon’s invasion of Portugal during the Peninsular War, moved the government apparatus to its then-colony, Brazil, establishing themselves in the city of Rio de Janeiro from where the Portuguese king ruled his huge empire for 15 years.
- When the king left Brazil to return to Portugal in 1821, his elder son, Pedro I, stayed in his stead as regent of Brazil.
- One year later, Pedro stated the reasons for the secession of Brazil from Portugal and led the Independence War. He instituted a constitutional monarchy in Brazil, assuming its head as Emperor Pedro I.
- Also known as “Dom Pedro I” after his abdication in 1831 for political incompatibilities (disliked both by the landed elites who thought him too liberal and the intellectuals who felt he was not liberal enough), he left for Portugal, leaving behind his five-year-old son as Emperor Pedro II. This left the country ruled by regents between 1831 and 1840.
- This period was beset by rebellions of various motivations and political instability.
- After this period, Pedro II was declared of age and assumed his full prerogatives, leading Brazil into a period of peace and stability.
- Although there was no desire for a change in the form of government among most Brazilians, the Emperor was overthrown in a sudden coup d’état that had almost no support outside a clique of military leaders who desired a republic headed by a dictator.
- The reign of Pedro II and the Brazilian Empire came to an unusual end—he was overthrown while highly regarded by the people and at the pinnacle of his popularity. Some of his accomplishments were soon brought to naught as Brazil slipped into a long period of weak governments, dictatorships, and constitutional and economic crises.
Key Terms
- bicameral parliament
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A legislature in which the legislators are divided into two separate assemblies, chambers, or houses. Often, the members of the two chambers are elected or selected using different methods that vary from country to country.
- Pedro II
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The second and last ruler of the Empire of Brazil, reigning for over 58 years. Inheriting an empire on the verge of disintegration, he turned Portuguese-speaking Brazil into an emerging power in the international arena. The nation grew distinguished from its Hispanic neighbors on account of its political stability, zealously guarded freedom of speech, respect for civil rights, vibrant economic growth, and especially its government: a functional, representative parliamentary monarchy.
- Pedro I
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Nicknamed “the Liberator,” he was the founder and first ruler of the Empire of Brazil. He reigned briefly over Portugal.
- First Brazilian Republic
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The period of Brazilian history from 1889 to 1930. It ended with a military coup, also known as the Brazilian Revolution of 1930, that installed Getúlio Vargas as a dictator.
Early Years
The Empire of Brazil was a 19th-century state that broadly comprised the territories of modern Brazil and Uruguay. Its government was a representative parliamentary constitutional monarchy under the rule of Emperors Dom Pedro I and his son Dom Pedro II. A colony of the Kingdom of Portugal, Brazil became the seat of the Portuguese colonial Empire in 1808 when the Portuguese prince regent, later King Dom João VI, fled from Napoleon’s invasion of Portugal and established himself and his government in the Brazilian city of Rio de Janeiro. João VI later returned to Portugal, leaving his eldest son and heir, Pedro, to rule the Kingdom of Brazil as regent. On September 7, 1822, Pedro declared the independence of Brazil and after waging a successful war against his father’s kingdom, was acclaimed on October 12 as Pedro I, the first Emperor of Brazil. The new country was huge but sparsely populated and ethnically diverse.
Unlike most of the neighboring Hispanic American republics, Brazil had political stability, vibrant economic growth, constitutionally guaranteed freedom of speech, and respect for civil rights of its subjects, albeit with legal restrictions on women and slaves, the latter regarded as property and not citizens. The empire’s bicameral parliament was elected under comparatively democratic methods for the era, as were the provincial and local legislatures. This led to a long ideological conflict between Pedro I and a sizable parliamentary faction over the role of the monarch in the government.
He also faced other obstacles. The unsuccessful Cisplatine War against the neighboring United Provinces of the Río de la Plata in 1828 led to the secession of the province of Cisplatina (later Uruguay). In 1826, despite his role in Brazilian independence, Pedro I became the king of Portugal; he immediately abdicated the Portuguese throne in favor of his eldest daughter. Two years later, she was usurped by Pedro I’s younger brother Miguel. Unable to deal with both Brazilian and Portuguese affairs, Pedro I abdicated his Brazilian throne on April 7, 1831, and immediately departed for Europe to restore his daughter to the Portuguese throne.
Pedro II
Pedro I’s successor in Brazil was his five-year-old son, Pedro II. As the latter was still a minor, a weak regency was created. The power vacuum resulting from the absence of a ruling monarch led to regional civil wars between local factions. Having inherited an empire on the verge of disintegration, Pedro II, once he was declared of age, managed to bring peace and stability to the country, which eventually became an emerging international power.
Brazil was victorious in three international conflicts (the Platine War, the Uruguayan War, and the Paraguayan War) under Pedro II’s rule, and the Empire prevailed in several other international disputes and outbreaks of domestic strife. With prosperity and economic development came an influx of European immigration, including Protestants and Jews, although Brazil remained mostly Catholic. Slavery, which was initially widespread, was restricted by successive legislation until its final abolition in 1888. Brazilian visual arts, literature, and theater developed during this time of progress. Although heavily influenced by European styles that ranged from Neoclassicism to Romanticism, each concept was adapted to create a culture that was uniquely Brazilian.
End of the Empire
Even though the last four decades of Pedro II’s reign were marked by continuous internal peace and economic prosperity, he had no desire to see the monarchy survive beyond his lifetime and made no effort to maintain support for the institution. The next in line to the throne was his daughter Isabel, but neither Pedro II nor the ruling classes considered a female monarch acceptable. Lacking any viable heir, the Empire’s political leaders saw no reason to defend the monarchy.
Although there was no desire for a change in the form of government among most Brazilians, after a 58-year reign, on November 15, 1889, the emperor was overthrown in a sudden coup d’état led by a clique of military leaders whose goal was the formation of a republic headed by a dictator, forming the First Brazilian Republic. Pedro II had become weary of emperorship and despaired over the monarchy’s future prospects, despite its overwhelming popular support. He allowed no prevention of his ouster and did not support any attempt to restore the monarchy. He spent the last two years of his life in exile in Europe, living alone on very little money.
The reign of Pedro II thus came to an unusual end—he was overthrown while highly regarded by the people and at the pinnacle of his popularity, and some of his accomplishments were soon brought to naught as Brazil slipped into a long period of weak governments, dictatorships, and constitutional and economic crises. The men who had exiled him soon began to see in him a model for the Brazilian republic.
Brazilian Senate, 1888
The senators are voting on the Golden Law, which abolished slavery in Brazil, as a large crowd watches in the background.
26.3: The Mexican War of Independence
26.3.1: The Effect of Events in Europe on Mexico
In 1808, Napoleon turned on Spain, a previous ally, during the Peninsular War, forcing the abdication of the Spanish king and replacing him with Napoleon’s brother Joseph. This created a crisis and power vacuum in Spain that rippled out to its American colonies, including New Spain (Mexico).
Learning Objective
Analyze the effect events in Europe had on Mexico in 1808
Key Points
- Events in Spain during the Peninsular War had profound effects on Spanish America, leading to numerous successful independence movements.
- In 1808, a year after Napoleon invaded Portugal, the French turned on Spain, a previous ally, which led to a political crisis.
- Napoleon forced the abdication of the Spanish king, Charles IV, and replaced him with his brother, Joseph Bonaparte, who ruled Spain for five years.
- Numerous revolts occurred throughout Spain in response, causing confusion and crisis.
- A number of juntas (councils) were set up Spain to fill the power vacuum and lead the charge against the French.
- This crisis also resulted in a shift in leadership over the colonies in the Americas, where juntas were also set up. Some of these were loyal to Charles IV’s son, Ferdinand VII, and some pushed for independence, which was achieved in 1821.
Key Terms
- juntas
-
A Spanish and Portuguese term for a civil deliberative or administrative council. In English, it predominantly refers to the government of an authoritarian state run by high-ranking officers of a military. The term literally means “union” and often refers to the army, navy, and air force commanders taking over the power of the president, prime minister, king, or other non-military leader.
- Spanish Constitution of 1812
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Established on March 19, 1812, by the Cádiz Cortes, Spain’s first national sovereign assembly. It established the principles of universal male suffrage, national sovereignty, constitutional monarchy, and freedom of the press, and supported land reform and free enterprise. This constitution, one of the most liberal of its time, was effectively Spain’s first.
- Peninsular War
-
A military conflict between Napoleon’s empire and the allied powers of Spain, Britain, and Portugal for control of the Iberian Peninsula during the Napoleonic Wars.
The Peninsular War and the Crisis in Spain
The Peninsular War (1807–14) was a military conflict between Napoleon’s empire and the allied powers of Spain, Britain, and Portugal for control of the Iberian Peninsula during the Napoleonic Wars. The war started when French and Spanish armies invaded and occupied Portugal in 1807, and escalated in 1808 when France turned on Spain, its ally until then. The war on the peninsula lasted until the Sixth Coalition defeated Napoleon in 1814, and is regarded as one of the first wars of national liberation, significant for the emergence of large-scale guerrilla warfare.
Spain had been allied with France against the United Kingdom since the Second Treaty of San Ildefonso in 1796. However, after the defeat of the combined Spanish and French fleets by the British at the Battle of Trafalgar in 1805, cracks began to appear in the alliance, with Spain preparing to invade France from the south after the outbreak of the War of the Fourth Coalition. In 1806, Spain readied for an invasion in case of a Prussia victory, but Napoleon’s rout of the Prussian army at the Battle of Jena-Auerstaedt caused Spain to back down. However, Spain continued to resent the loss of its fleet at Trafalgar and the fact that they were forced to join the Continental System. Nevertheless, the two allies agreed to partition Portugal, a long-standing British trading partner and ally that refused to join the Continental System. Napoleon was fully aware of the disastrous state of Spain’s economy and administration and its political fragility, and felt it had little value as an ally. He insisted on positioning French troops in Spain to prepare for a French invasion of Portugal, but once this was done, he continued to move additional French troops into Spain without any sign of an advance into Portugal. The presence of French troops on Spanish soil was extremely unpopular in Spain, resulting in the Mutiny of Aranjuez and the abdication of Charles IV of Spain in March 1808.
Charles IV hoped that Napoleon, who by this time had 100,000 troops stationed in Spain, would help him regain the throne. However, Napoleon refused to help Charles and refused to recognize his son, Ferdinand VII, as the new king. Instead, he succeeded in pressuring both Charles and Ferdinand to cede the crown to his brother, Joseph Bonaparte. The head of the French forces in Spain, Marshal Joachim Murat, meanwhile pressed for the former Prime Minister of Spain, Manuel de Godoy, whose role in inviting the French forces into Spain had led to the mutiny of Aranjuez, to be set free. The failure of the remaining Spanish government to stand up to Murat caused popular anger. On May 2, 1808, Murat ordered the younger son of Charles IV, the Infante Francisco de Paula, to leave Spain for France, leading to a widespread rebellion in the streets of Madrid.
The Council of Castile, the main organ of central government in Spain under Charles IV, was now in Napoleon’s control. However, due to the popular anger at French rule, it quickly lost authority outside the population centers that were directly French-occupied. To oppose this occupation, former regional governing institutions, such as the Parliament of Aragon and the Board of the Principality of Asturias, resurfaced in parts of Spain; elsewhere, juntas (councils) were created to fill the power vacuum and lead the struggle against French imperial forces. Provincial juntas began to coordinate their actions; regional juntas were formed to oversee the provincial ones. The move, however, led to more confusion, since there was no central authority and most juntas did not recognize the presumptuous claim of others to represent the monarchy as a whole. The Junta of Seville, in particular, claimed authority over the overseas empire.
Joseph Bonaparte, King of Spain
During the Peninsular War, Napoleon forced the abdication of the Spanish King and replaced him with his brother, Joseph Bonaparte.
Effect on Spanish America
This impasse was resolved through negotiations between the juntas and the Council of Castile, which led to the creation of a “Supreme Central and Governmental Junta of Spain and the Indies” on September 25, 1808. It was agreed that the traditional kingdoms of the peninsula would send two representatives to this Central Junta, and that the overseas kingdoms would send one representative each. These “kingdoms” were defined as “the viceroyalties of New Spain [Mexico], Peru, New Granada, and Buenos Aires, and the independent captaincies general of the island of Cuba, Puerto Rico, Guatemala, Chile, Province of Venezuela, and the Philippines.”
This scheme was criticized for providing unequal representation to the overseas territories. The dissolution of the Supreme Junta on January 29, 1810, because of the reverses suffered after the Battle of Ocaña by the Spanish forces paid with Spanish American money set off another wave of juntas in the Americas. French forces had taken over southern Spain and forced the Supreme Junta to seek refuge in the island-city of Cadiz. The Junta replaced itself with a smaller, five-man council, the Council of Regency of Spain and the Indies. Most Spanish Americans saw no reason to recognize a rump government that was under the threat of capture by the French at any moment, and began to work for the creation of local juntas to preserve the region’s independence from the French. Junta movements were successful in New Granada (Colombia), Venezuela, Chile, and Río de la Plata (Argentina).
The creation of juntas in Spanish America, such as the Junta Suprema de Caracas on April 19, 1810, set the stage for the fighting that would afflict the region for the next decade and a half. Political fault lines appeared and often caused military conflict. Although the juntas claimed to carry out their actions in the name of the deposed king, Ferdinand VII, their creation provided an opportunity for people who favored outright independence to publicly and safely promote their agenda. The proponents of independence called themselves patriots, a term which eventually was generally applied to them.
The Spanish Constitution of 1812 adopted by the Cortes de Cadiz served as the basis for independence in New Spain (Mexico) and Central America, since in both regions it was a coalition of conservative and liberal royalist leaders who led the establishment of new states. The restoration of the Spanish Constitution and representative government was enthusiastically welcomed in New Spain and Central America. Elections were held, local governments formed, and deputies sent to the Cortes. Among liberals, however, there was fear that the new regime would not last, and conservatives and the Church worried that the new liberal government would expand its reforms and anti-clerical legislation. This climate of instability created the conditions for the two sides to forge an alliance. This coalesced towards the end of 1820 behind Agustín de Iturbide, a colonel in the royal army, who at the time was assigned to destroy the guerrilla forces led by Vicente Guerrero.
In January 1821, Iturbide began peace negotiations with Guerrero, suggesting they unite to establish an independent New Spain. The simple terms that Iturbide proposed became the basis of the Plan of Iguala: the independence of New Spain (now called the Mexican Empire) with Ferdinand VII or another Bourbon as emperor; the retention of the Catholic Church as the official state religion and the protection of its existing privileges; and the equality of all New Spaniards, whether immigrants or native-born. The resulting Treaty of Córdoba, signed on August 24, kept all existing laws, including the 1812 Constitution, in force until a new constitution for Mexico was written. O’Donojú became part of the provisional governing junta until his death on October 8. Both the Spanish Cortes and Ferdinand VII rejected the Treaty of Córdoba, and the final break with the mother country came on May 19, 1822, when the Mexican Congress conferred the throne on Itrubide.
26.3.2: Spanish Rule in Mexico
New Spain was a colonial territory of the Spanish Empire that included the land of Mexico, Central America, and the Southwestern United States. It was administered based on a hierarchical racial classification system, with Spaniards at the top and indigenous Indians at the bottom.
Learning Objective
Describe Spanish rule in Mexico
Key Points
- New Spain, a colonial kingdom ruled by Spain, was founded after the Spanish conquest over the Aztec people in the 16th century.
- Along with the territory of what is now Mexico, it also included Cuba, Puerto Rico, Central America as far south as Costa Rica, the southwestern United States as well as Florida, and the Philippines.
- The monarch of Spain had tremendous power and control over New Spain including property rights, although much of the law was made and administered by local councils, elected positions limited to Spaniards.
- New Spain had a hierarchical racial classification system, which not only determined social class, but also had an effect on every aspect of life, including economics and taxation.
- The racial system ranked Spanish-born Spaniards at the top, then American-born Spaniards (Crioles), then Mestizo (mixed Spaniard and Indian), then indigenous Indian and African.
- The Creoles, Mestizos, and Indians often disagreed, but all resented the small minority of Spaniards who had all the political power, leading eventually to the Mexican independence movement.
Key Terms
- Cabildos
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A Spanish colonial and early post-colonial administrative council which governed a municipality. They were sometimes appointed, sometimes elected, but always considered representative of all land-owning heads of household (vecinos).
- New Spain
-
A colonial territory of the Spanish Empire, in the New World north of the Isthmus of Panama. It was established following the Spanish conquest of the Aztec Empire in 1521, and following additional conquests, it was made a viceroyalty in 1535. The first of four viceroyalties Spain created in the Americas, it comprised Mexico, Central America, much of the Southwestern and Central United States, and Spanish Florida as well as the Philippines, Guam, Mariana, and Caroline Islands.
- El Dorado
-
The term used by the Spanish Empire to describe a mythical tribal chief (zipa) of the Muisca native people of Colombia, who as an initiation rite covered himself with gold dust and submerged in Lake Guatavita. The legends changed over time, evolving from a man, to a city, to a kingdom, and then finally an empire. In pursuit of the legend, Spanish conquistadors and numerous others searched Colombia, Venezuela, and parts of Guyana and northern Brazil for the city and its fabulous king. In the course of these explorations, much of northern South America, including the Amazon River, was mapped.
- Mestizos
-
A person of mixed race, especially the offspring of a Spaniard and an American Indian.
New Spain
As a colony, Mexico was part of the much larger Viceroyalty of New Spain, which included Cuba, Puerto Rico, Central America as far south as Costa Rica, the southwestern United States as well as Florida, and the Philippines. Hernán Cortés conquered the great empire of the Aztecs and established New Spain as the largest and most important Spanish colony. During the 16th century, Spain focused on conquering areas with dense populations that produced Pre-Columbian civilizations, because such populations had a disciplined labor force and people to evangelize with the Christian faith.
Territories populated by nomadic peoples were harder to conquer, and although the Spanish explored much of North America, seeking the fabled “El Dorado,” they made no concerted effort to settle the northern desert regions in what is now the United States until the end of 16th century (Santa Fe, 1598). The northern area of Mexico, a region of nomadic and semi-nomadic indigenous populations, was thus not generally conducive to dense settlements, but the discovery of silver in Zacatecas in the 1540s drew settlement there to exploit the mines. Silver mining not only became the engine of the economy of New Spain, but vastly enriched Spain and transformed the global economy.
Although New Spain was a dependency of Spain, it was a kingdom not a colony, subject to the presiding monarch on the Iberian Peninsula. The monarch had sweeping power in the overseas territories. According to historian Clarence Haring:
The king possessed not only the sovereign right but the property rights; he was the absolute proprietor, the sole political head of his American dominions. Every privilege and position, economic political, or religious came from him. It was on this basis that the conquest, occupation, and government of the [Spanish] New World was achieved.
New Spain lost parts of its territory to other European powers and independence, but the core area remained under Spanish control until 1821, when it achieved independence as the Mexican Empire— when the latter dissolved, it became modern Mexico and Central America. It developed highly regional divisions, which reflect the impact of climate, topography, the presence or absence of dense indigenous populations, and the presence or absence of mineral resources. The areas of central and southern Mexico had dense indigenous populations with complex social, political, and economic organization.
Laws were introduced that created a balance between local jurisdiction (the Cabildos) and the Crown, whereby upper administrative offices were closed to natives, even those of pure Spanish blood.
Racial Divides
The population of New Spain was divided into four main groups or classes. The group a person belonged to was determined by racial background and birthplace. Created by Hispanic elites, this hierarchical system of race classification (sistema de castas), was based on the principle that people varied due to their birth, color, race and origin of ethnic types. The system of castas was more than socio-racial classification. It had an effect on every aspect of life, including economics and taxation. Both the Spanish colonial state and the Church required more tax and tribute payments from those of lower socio-racial categories. Related to Spanish ideas about purity of blood (which historically also related to its reconquest of Spain from the Moors), the colonists established a caste system in Latin America by which a person’s socio-economic status generally correlated with race or racial mix in the known family background, or simply on phenotype (physical appearance) if the family background was unknown.
From the colonial period on when the Spanish imposed control, many wealthy persons and high government officials were of peninsular (Iberian) and/or European background, while African or indigenous ancestry, or dark skin, generally was correlated with inferiority and poverty. The “whiter” the heritage a person could claim, the higher in status they could claim; conversely, darker features meant less opportunity.
The most powerful group was the Spaniards, people born in Spain and sent across the Atlantic to rule the colony. Only Spaniards could hold high-level jobs in the colonial government.
The second group, called Creoles, were those of Spanish background born in Mexico. Many Creoles were prosperous landowners and merchants, but even the wealthiest had little say in government.
The third group, the Mestizos, were people who had some Spanish ancestors and some Indian ancestors. The word Mestizo means “mixed.” Mestizos had a much lower position and were looked down upon by both the Spaniards and the Creoles, who held the racist belief that people of pure European background were superior to everyone else.
The poorest, most marginalized group in New Spain was the Indians, descendants of pre-Columbian peoples. They had less power and endured harsher conditions than other groups. Indians were forced to work as laborers on the ranches and farms (called haciendas) of the Spaniards and Creoles.
In addition to the four main groups, there were also black Africans in colonial Mexico. They were imported as laborers and shared the low status of the Indians. They made up about 4% to 5% of the population, and their mixed-race descendants, called mulattoes, eventually grew to represent about 9%.
De Mestizo y d’India; Coyote by Miguel Cabrera, 1763.
A painting of a Mestizo man with his Indian wife and their children. The child of a Mestizo and an Indian is called a Coyote. The hierarchical system of race classification created by the Spanish during colonial rule had Spaniards born in Spain at the top and indigenous Indians and Africans at the bottom.
Economy and Culture
From an economic point of view, New Spain was administered principally for the benefit of the Empire and its military and defensive efforts. Mexico provided more than half of the Empire taxes and supported the administration of all North and Central America. Competition with Spain was discouraged; for example, cultivation of grapes and olives, introduced by Cortez himself, was banned out of fear that these crops would compete with Spain’s.
Education was encouraged by the Crown from the very beginning, and Mexico boasts the first primary school (Texcoco, 1523), first university, the University of Mexico (1551) and the first printing press (1524) of the Americas. Indigenous languages were studied mainly by the religious orders during the first centuries, and became official languages in the so-called Republic of Indians, only to be outlawed and ignored after independence by the prevailing Spanish-speaking creoles.
The syncretism between indigenous and Spanish cultures gave rise to many of nowadays Mexican staple and world-famous cultural traits like tequila (since the 16th century), mariachi (18th), jarabe (17th), churros (17th) and the highly prized Mexican cuisine, fruit of the mixture of European and indigenous ingredients and techniques.
The Creoles, Mestizos, and Indians often disagreed, but all resented the small minority of Spaniards who had all the political power. By the early 1800s, many native-born Mexicans believed that Mexico should become independent of Spain, following the example of the United States. The man who finally touched off the revolt against Spain was the Catholic priest Father Miguel Hidalgo Y Costilla. He is remembered today as the Father of Mexican Independence.
26.3.3: Indigenous Efforts Against Colonialism
After the Spanish conquest of Central America, there were several indigenous uprisings against colonial rule, most notably the Mixtón War and the Chichimeca War. The latter shifted many of the policies and attitudes of the Spanish toward the indigenous populations.
Learning Objective
Examine some of the indigenous uprisings against the Spanish
Key Points
- After the Spanish conquest of the Aztec Empire, the Spanish created the colony and kingdom of New Spain, which placed the indigenous populations at the bottom of the racial hierarchy.
- Territories populated by indigenous nomadic peoples were harder to conquer, and once the natives got hold of horses, many populations evaded Spanish rule for much of the colonial period.
- Other natives in densely populated areas suffered continual abuse and oppression under the Spaniards, leading to several revolts.
- The first revolt, named the Mixtón war, pitted the viceroy of New Spain, Don Antonio de Mendoza, against the Caxcanes Indians, who began a rebellion in 1440.
- After two years of fighting, with the natives repeatedly repelling the Spanish army, the stronghold of Mixtón fell to the Spaniards and the rebellion was over.
- Skirmishes continued, and by 1550, another war broke out against the Chichimeca Indians. It lasted for forty years and led the Spanish to take an approach of assimilation rather than enslavement and abuse.
Key Terms
- Chichimeca War
-
A military conflict between Spanish colonizers and their Indian allies against a confederation of Chichimeca Indians. It was the longest and most expensive conflict between Spaniards and the indigenous peoples of New Spain in the history of the colony.
- assimilation
-
The process by which a minority group gradually adapts to the customs and attitudes of the prevailing culture and customs.
- Mixtón War
-
A war fought from 1540 until 1542 between the Caxcanes and other semi-nomadic indigenous people of the area of northwestern Mexico against Spanish invaders, including their Aztec and Tlaxcalan allies.
Indigenous Uprisings in New Spain
After the conquest of central Mexico, several major Indian revolts challenged Spanish rule. The first was in 1541, the Mixtón war, in which the viceroy himself, Don Antonio de Mendoza, led an army against the uprising by Caxcanes. The other was the 1680 Pueblo revolt, in which Indians in 24 settlements in New Mexico expelled the Spanish who left for Texas, an exile lasting a decade. The Chichimeca war lasted over fifty years, 1550-1606, between the Spanish and various indigenous groups of northern New Spain, particularly in silver mining regions and the transportation trunk lines. Non-sedentary or semi-sedentary Northern Indians were difficult to control once they acquired horses. In 1616, the Tepehuan revolted against the Spanish, but were quickly suppressed by the Spanish. The Tarahumara Indians were in revolt in the mountains of Chihuahua for several years. In 1670 Chichimecas invaded Durango, and the governor, Francisco González, abandoned its defense.
In the southern area of New Spain, the Tzeltal Maya and other indigenous groups, including the Tzotzil and Chol, revolted in 1712. It was a multiethnic revolt sparked by religious issues in several communities. In 1704, viceroy Francisco Fernández de la Cueva suppressed a rebellion of the Pima Indians in Nueva Vizcaya.
Mixtón War
The Mixtón War was fought from 1540 until 1542 between the Caxcanes and other semi-nomadic indigenous people of the area of northwestern Mexico against Spanish invaders, including Aztec and Tlaxcalan allies. The war was named after Mixtón, a hill in the southern part of Zacatecas state in Mexico that served as an Indigenous stronghold.
Although other indigenous groups also fought against the Spanish in the Mixtón War, the Caxcanes were the “heart and soul” of the resistance. The Caxcanes lived in the northern part of the present-day Mexican state of Jalisco, in southern Zacatecas and Aquascalientes. They are often considered part of the Chichimeca, a generic term used by the Spaniards and Aztecs for all the nomadic and semi-nomadic Native Americans living in the deserts of northern Mexico. However, the Caxcanes seem to have been sedentary, depending upon agriculture for their livelihood and living in permanent towns and settlements.
The first contact of the Caxcan and other indigenous peoples of the northwestern Mexico with the Spanish was in 1529 when Nuño Beltrán de Guzmán set forth from Mexico City with 300-400 Spaniards and 5,000 to 8,000 Azteca and Tlaxcalan allies on a march through Nayarit, Jalisco, Durango, Sinaloa, and Zacatecas. Over a six-year period, Guzmán, brutal even by the standards of the day, killed, tortured, and enslaved thousands of Indians. Guzmán’s policy was to “terrorize the natives with often unprovoked killing, torture, and enslavement.” Guzmán and his lieutenants founded towns and Spanish settlements in the region, called Nueva Galicia, including Guadalajara in or near the homeland of the Caxcanes. But the Spaniards encountered increased resistance as they moved further from the complex hierarchical societies of Central Mexico and attempted to force Indians into servitude through the encomienda system.
In Spring 1540, the Caxcanes and their allies struck back, emboldened perhaps by the fact that Governor Francisco Vásquez de Coronado had taken more than 1,600 Spaniards and Amerindian allies from the region northward with him on his expedition to what would become the southwestern United States. The province was thus bereft of many of its most competent soldiers. The spark which set off the war was the arrest of 18 rebellious Indian leaders and the hanging of nine of them in mid-1540. Later in the same year, the Indians rose up to kill, roast, and eat the encomendero Juan de Arze. Spanish authorities also became aware that the Indians were participating in “devilish” dances. After killing two Catholic priests, many Indians fled the encomiendas and took refuge in the mountains, especially on the hill fortress of Mixtón. Acting Governor Cristobal de Oñate led a Spanish and Indian force to quell the rebellion. The Caxcanes killed a delegation of one priest and ten Spanish soldiers. Oñate attempted to storm Mixtón, but the Indians on the summit repelled his attack.
The Viceroy Antonio de Mendoza called upon the experienced conquistador Pedro de Alvarado to assist in putting down the revolt. Alvarado declined to await reinforcements and attacked Mixton in June 1541 with 400 Spaniards and an unknown number of Indian allies. He was met by an estimated 15,000 Indians under Tenamaztle and Don Diego, a Zacateco Indian. The first attack of the Spanish was repulsed with ten Spaniards and many Indian allies killed. Subsequent attacks by Alvarado were also unsuccessful and on June 24 he was crushed when a horse fell on him.
The Spanish authorities were now thoroughly alarmed and feared that the revolt would spread. They assembled a force of 450 Spaniards and 30 to 60 thousand Aztec, Tlaxcalan and other Indians and under Viceroy Antonio de Mendoza invaded the land of the Caxcanes. With his overwhelming force, Mendoza captured the city of Nochistlan and Tenamaztle, but the Indian leader later escaped. Tenamaztle would remain at large as a guerrilla until 1550. In early 1542 the stronghold of Mixtón fell to the Spaniards and the rebellion was over.
The aftermath of the Indians’ defeat was that “thousands were dragged off in chains to the mines, and many of the survivors (mostly women and children) were transported from their homelands to work on Spanish farms and haciendas.” By the viceroy’s order, men, women, and children were seized and executed, some by cannon fire, some torn apart by dogs, and others stabbed. The reports of the excessive violence against civilian Indians caused the Council of the Indies to undertake a secret investigation into the conduct of the viceroy.
Mixtón War
Viceroy don Antonio de Mendoza and Tlaxcalan Indians battle with the Caxcanes in the Mixtón war, 1541-42 in Nueva Galicia.
Chichimeca War
The Chichimeca War (1550–90) was a military conflict between Spanish colonizers and their Indian allies against a confederation of Chichimeca Indians. It was the longest and most expensive conflict between Spaniards and the indigenous peoples of New Spain in the history of the colony.
The Chichimeca wars began eight years after the Mixtón War. It can be considered a continuation of the rebellion as the fighting did not halt in the intervening years. The war was fought in the Bajío region known as La Gran Chichimeca, specifically in the Mexican states of Zacatecas, Guanajuato, Aguascalientes, Jalisco, and San Luis Potosí.
The conflict proved much more difficult and enduring than the Spanish anticipated. The Chichimecas seemed primitive and unorganized but proved a many-headed hydra. Although the Spanish often attacked and defeated bands of Chichimecas, Spanish military successes had little impact on other independent groups who continued the war. The increase in number of Spanish soldiers in the Gran Chichimeca was not entirely favorable to the war effort as the soldiers often supplemented their income by slaving, thus reinforcing the animosity of the Chichimeca. Moreover, the Spanish were short of soldiers, often staffing their presidios with only three Spaniards.
As the war continued unabated, it became clear that the Spanish policy of a war of fire and blood had failed. The royal treasury was emptied by the demands of the war. Churchmen and others who initially supported the war of fire and blood now questioned the policy. Mistreatment and enslavement of the Chichimeca by Spaniards was increasingly seen as the cause of the war. In 1574, the Dominicans, contrary to the Augustinians and Franciscans, declared that the Chichimeca War was unjust and caused by Spanish aggression. Thus, to end the conflict, the Spanish began to work toward an effective counterinsurgency policy which rewarded the Chichimeca for peaceful behavior while taking steps to assimilate them.
The Spanish policy that evolved to pacify the Chichimecas had four components: negotiation of peace agreements, converting Indians to Christianity with missionaries, resettling Native Americans allies to the frontier to serve as examples and role models, and providing food, other commodities, and tools to potentially hostile Indians to encourage them to become sedentary. This established the pattern of Spanish policy for the assimilation of Native Americans on their northern frontier. The principal components of the policy of peace by purchase would continue for nearly three centuries and would not be uniformly successful, as later threats from hostile Indians such as Apaches and Comanches would demonstrate.
26.3.4: The Hidalgo Revolt
On September 16, 1810, a Criole priest named Miguel Hidalgo issued the “Cry of Delores” from his pulpit, calling on the people to revolt against the Spaniards. He then led a poorly organized army to Mexico City, but retreated at the last minute, leading to defeat.
Learning Objective
Explain the goals of the Hidalgo Revolt
Key Points
- Inspired by the American and French Revolutions, Mexican insurgents who sought independence saw an opportunity in 1808 as the king abdicated in Madrid and Spain was overwhelmed by war and occupation.
- The rebellion began as a peasants’ and miners’ movement led by a local priest Miguel Hidalgo y Costilla, for whom it is called the Hidalgo revolt.
- Hidalgo issued “The Cry of Dolores” on September 16, 1810, when he called upon the townspeople to revolt; the day is celebrated as Independence Day.
- Shouting “Independence and death to the Spaniards!” Hidalgo marched on the capital with a very large, poorly organized army.
- Gathering more people along the way, Hidalgo’s army, supported by Spanish military captain Ignacio Allende, continued to march successfully while killing Spaniards until reaching Mexico City. Hidalgo then decided to retreat against the advice of Allende, a choice that has puzzled historians since.
- The retreat is considered a tactical error, leading to the suppression of the revolt and the execution of Hidalgo and Allende.
Key Terms
- hagiographic
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A biography of a saint or an ecclesiastical leader in any of the world’s spiritual traditions. The term, especially in contemporary times, is often used as a pejorative reference to biographies and histories whose authors are perceived to be uncritical of or reverential to their subject.
- Ignacio Allende
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A captain of the Spanish Army in Mexico who came to sympathize with the Mexican independence movement. He attended the secret meetings organized by Josefa Ortiz de Domínguez where the possibility of an independent New Spain was discussed. He fought along with Miguel Hidalgo y Costilla in the first stage of the struggle, eventually succeeding him in leadership of the rebellion.
- Miguel Hidalgo y Costilla
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A Mexican Roman Catholic priest and a leader of the Mexican War of Independence.
Start of the Mexican War of Independence
The Mexican War of Independence was an armed conflict, the culmination of a political and social process which ended the rule of Spain in 1821 in the territory of New Spain. The war had its antecedent in the French invasion of Spain in 1808; it extended from the Grito de Dolores by Father Miguel Hidalgo y Costilla on September 16, 1810, to the entrance of the Army of the Three Guarantees led by Augustín de Iturbide to Mexico City on September 27, 1821. September 16 is celebrated as Mexican Independence Day.
The movement for independence was inspired by the Age of Enlightenment and the liberal revolutions of the last part of the 18th century. By that time, the educated elite of New Spain began to reflect on the relations between Spain and its colonial kingdoms. Changes in the social and political structure occasioned by Bourbon reforms and a deep economic crisis in New Spain caused discomfort among the Creole (native-born) elite.
Political events in Europe had a decisive effect on events in most of Spanish America. In 1808, King Charles IV and Ferdinand VII abdicated in favor of French leader Napoleon Bonaparte, who left the crown of Spain to his brother Joseph Bonaparte. The same year, the ayuntamiento (city council) of Mexico City, supported by viceroy José de Iturrigaray, claimed sovereignty in the absence of the legitimate king. That led to a coup against the viceroy; when it was suppressed, the leaders of the movement were jailed.
Despite the defeat in Mexico City, small groups of conspirators met in other cities of New Spain to raise movements against colonial rule. In 1810, after being discovered, Querétaro conspirators chose to take up arms on September 16 in the company of peasants and indigenous inhabitants of Dolores (Guanajuato), who were called to action by the secular Catholic priest Miguel Hidalgo, former rector of the Colegio de San Nicolás Obispo.
The Hidalgo Revolt
Miguel Hidalgo y Costilla, a priest and member of a group of educated Criollos in Querétaro, hosted secret gatherings in his home to discuss whether it was better to obey or to revolt against a tyrannical government, as he defined the Spanish colonial government in Mexico. Famed military leader Ignacio Allende was among the attendees. In 1810, Hidalgo concluded that a revolt was needed because of injustices against the poor of Mexico. By this time, Hidalgo was known for his achievements at the prestigious San Nicolás Obispo school in Valladolid (now Morelia), and later served there as rector. He also became known as a top theologian. When his older brother died in 1803, Hidalgo took over as priest for the town of Dolores.
Hidalgo was in Dolores on September 15, 1810, with other rebel leaders including commander Allende, when they learned their conspiracy had been discovered. Hidalgo ran to the church, calling for all the people to gather, where from the pulpit he called upon them to revolt. They all shouted in agreement. They were a comparatively small group and poorly armed with whatever was at hand, including sticks and rocks. On the morning of September 16, 1810, Hidalgo called upon the remaining locals who happened to be in the market, and again, from the pulpit, exhorted the people of Dolores to join him. Most did; Hidalgo had a mob of some 600 men within minutes. This became known as the Grito de Dolores or Cry of Dolores.
Hidalgo’s Grito didn’t condemn the notion of monarchy or criticize the current social order in detail, but his opposition to the events in Spain and the current viceregal government was clearly expressed in his reference to bad government. The Grito also emphasized loyalty to the Catholic religion, a sentiment with which both Creoles and Peninsulares could sympathize. Hidalgo was met with an outpouring of support. Intellectuals, liberal priests and many poor people followed Hidalgo with enthusiasm. Hidalgo also permitted Indians and mestizos to join his war.
Hidalgo and Allende marched their little army through towns including San Miguel and Celaya, where the angry rebels killed all the Spaniards they found. Along the way they adopted the standard of the Virgin of Guadalupe as their symbol and protector. When they reached the town of Guanajuato on September 28, they found Spanish forces barricaded inside the public granary. Among them were some “forced” Royalists, Creoles who had served and sided with the Spanish. By this time, the rebels numbered 30,000 and the battle was horrific. They killed more than 500 Spanish and creoles, and marched on toward Mexico City.
The Viceroy quickly organized a defense, sending out the Spanish general Torcuato Trujillo with 1,000 men, 400 horsemen, and 2 cannons, all that could be found on such short notice. On October 30, Hidalgo’s army encountered Spanish military resistance at the Battle of Monte de las Cruces, fought them, and achieved victory. When the cannons were captured by the rebels, the surviving Royalists retreated to the City.
Despite having the advantage, Hidalgo retreated against the counsel of Allende. This retreat on the verge of apparent victory has puzzled historians and biographers ever since. They generally believe that Hidalgo wanted to spare the numerous Mexican citizens in Mexico City from the inevitable sacking and plunder that would have ensued. His retreat is considered Hidalgo’s greatest tactical error.
Rebel survivors sought refuge in nearby provinces and villages. The insurgent forces planned a defensive strategy at a bridge on the Calderón River, pursued by the Spanish army. In January 1811, Spanish forces fought the Battle of the Bridge of Calderón and defeated the insurgent army, forcing the rebels to flee towards the United States-Mexican border, where they hoped to escape.
Unfortunately, they were intercepted by the Spanish army. Hidalgo and his remaining soldiers were captured in the state of Coahuila at the Wells of Baján (Norias de Baján). All of the rebel leaders were found guilty of treason and sentenced to death, except for Mariano Abasolo. He was sent to Spain to serve a life sentence in prison. Allende, Jiménez, and Aldama were executed on June 26, 1811, shot in the back as a sign of dishonor. Hidalgo, as a priest, had to undergo a civil trial and review by the Inquisition. He was eventually stripped of his priesthood, found guilty, and executed on July 30. The heads of Hidalgo, Allende, Aldama, and Jiménez were preserved and hung from the four corners of the granary of Guanajuato as a warning to those who dared follow in their footsteps.
Following the execution of Hidalgo, José María Morelos took over leadership of the insurgency. He achieved the occupation of the cities of Oaxaca and Acapulco. In 1813, he convened the Congress of Chilpancingo to bring representatives together and, on November 6 of that year, the Congress signed the first official document of independence, known as the “Solemn Act of the Declaration of Independence of Northern America.” A long period of war followed. In 1815, Morelos was captured by Spanish colonial authorities, tried, and executed for treason.
Miguel Hidalgo y Costilla
An expressionistic painting of Miguel Hidalgo y Costilla, a priest who led a major revolt against the ruling Spaniards in Mexico.
Legacy and Analysis of the Hidalgo Revolt
Father Hidalgo is today remembered as the Father of his Country, the great hero of Mexico’s War for Independence. There are numerous hagiographic biographies about him.
The truth about Hidalgo is more complex. His was the first serious insurrection on Mexican soil against Spanish authority, and his achievements with a poorly armed mob were significant. He was a charismatic leader and worked well with Allende despite their differences. But Hidalgo’s shortcomings have made historians ask, “What if?” After decades of abuse of Creoles and poor Mestizos, Hidalgo found that there was a vast well of resentment and hatred of the Spanish government. He provided the catalyst for Mexico’s poor to vent their anger on the hated Spaniards, but his “army” was impossible to manage or control.
His leadership decisions, most importantly his retreat from Mexico City, contributed to his defeat. Historians can only speculate about the result if Hidalgo had pushed into Mexico City in November 1810. Hidalgo appeared to be too proud or stubborn to listen to the sound military advice offered by Allende and others and press his advantage.
Finally, Hidalgo’s approval of the violent sacking and looting by his forces in Guanajuato and other towns alienated the group most vital to any independence movement: middle-class and wealthy Creoles like himself. They were needed to develop a new identity and government for Mexico, one that would allow Mexicans to break from Spain.
Hidalgo achieved mythic status after his death. His martyrdom was an example to others who picked up the fallen banner of freedom and independence. He influenced later fighters such as José María Morelos, Guadalupe Victoria, and others. Today, Hidalgo’s remains are held in a Mexico City monument known as “the Angel of Independence,” along with other Revolutionary heroes.
26.3.5: Winning Independence
Agustín de Iturbide, a military captain previously helped defeat Hidalgo’s army, led a conservative group of rebels against the Spanish viceroy, achieving victory and independence on August 24, 1821, when both sides signed the Treaty of Cordoba.
Learning Objective
Discuss the state formed after Mexico achieved independence
Key Points
- After the suppression of the Hidalgo Revolt, the war for independence entered a new phase, which for the next six years was characterized by fighting by small, isolated guerrilla bands.
- In 1820, the conservative Creoles (American-born Spaniards) joined the rebellion, led by Agustín de Iturbide, a military captain who previously helped defeat Hidalgo’s army.
- The rebels formulated the “Plan of Iguala,” demanding an independent constitutional monarchy, a religious monopoly for the Catholic Church, and equality for Spaniards and Creoles.
- On September 27, 1821, Iturbide and the viceroy signed the Treaty of Cordoba whereby Spain granted the demands and withdrew.
- On the night of May 18, 1822, a mass demonstration led by the Regiment of Celaya, which Iturbide had commanded during the war, marched through the streets and demanded their commander-in-chief to accept the throne; the following day, the congress declared Iturbide emperor of Mexico.
Key Terms
- Agustín de Iturbide
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A Mexican army general and politician. During the Mexican War of Independence, he built a successful political and military coalition that took control in Mexico City on September 27, 1821, decisively gaining independence for Mexico. After the secession of Mexico was secured, he was proclaimed President of the Regency in 1821. A year later, he was announced as the Constitutional Emperor of Mexico, reigning briefly from May 19, 1822, to March 19, 1823. He is credited as the original designer of the first Mexican flag.
- Plan of Iguala
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A revolutionary proclamation promulgated on February 24, 1821, in the final stage of the Mexican War of Independence from Spain. The Plan stated that Mexico was to become a constitutional monarchy whose sole official religion would be Roman Catholicism. The Peninsulares and Creoles of Mexico would enjoy equal political and social rights.
After the suppression of Hidalgo’s revolt, from 1815 to 1821 most fighting for independence from Spain was by small and isolated guerrilla bands. From these, two leaders arose: Guadalupe Victoria (born José Miguel Fernández y Félix) in Puebla and Vicente Guerrero in Oaxaca, both of whom gained allegiance and respect from their followers. Believing the situation under control, the Spanish viceroy issued a general pardon to every rebel who would lay down his arms. After ten years of civil war and the death of two of its founders, by early 1820 the independence movement was stalemated and close to collapse. The rebels faced stiff Spanish military resistance and the apathy of many of the most influential criollos.
In what was supposed to be the final government campaign against the insurgents, in December 1820 Viceroy Juan Ruiz de Apodaca sent a force led by a royalist criollo Colonel Agustín de Iturbide to defeat Guerrero’s army in Oaxaca. Iturbide, a native of Valladolid (now Morelia), gained renown for his zeal against Hidalgo’s and Morelos’s rebels during the early independence struggle. A favorite of the Mexican church hierarchy, Iturbide symbolized conservative criollo values; he was devoutly religious and committed to the defense of property rights and social privileges. He also resented his lack of promotion and failure to gain wealth.
Iturbide’s assignment to the Oaxaca expedition coincided with a successful military coup in Spain against the monarchy of Ferdinand VII. The coup leaders, part of an expeditionary force assembled to suppress the independence movements in the Americas, had turned against the monarchy. They compelled the reluctant Ferdinand to reinstate the liberal Spanish Constitution of 1812 that created a constitutional monarchy. When news of the liberal charter reached Mexico, Iturbide perceived it both as a threat to the status quo and a catalyst to rouse the criollos to gain control of Mexico. The tides turned when conservative Royalist forces in the colonies chose to rise up against the liberal regime in Spain; it was a total turnaround compared to their previous opposition to the peasant insurgency. After an initial clash with Guerrero’s forces, Iturbide assumed command of the royal army. At Iguala, he allied his formerly royalist force with Guerrero’s radical insurgents to discuss the renewed struggle for independence.
While stationed in the town of Iguala, Iturbide proclaimed three principles, or “guarantees,” for Mexican independence from Spain. Mexico would be an independent monarchy governed by King Ferdinand, another Bourbon prince, or some other conservative European prince; criollos would be given equal rights and privileges to peninsulares (those born in Spain); and the Roman Catholic Church in Mexico would retain its privileges and position as the established religion of the land. After convincing his troops to accept the principles, which were promulgated on February 24, 1821, as the Plan of Iguala, Iturbide persuaded Guerrero to join his forces in support of this conservative independence movement. A new army, the Army of the Three Guarantees, was placed under Iturbide’s command to enforce the Plan of Iguala. The plan was so broadly based that it pleased both patriots and loyalists. The goal of independence and the protection of Roman Catholicism brought together all factions.
Iturbide’s army was joined by rebel forces from all over Mexico. When the rebels’ victory became certain, the Viceroy resigned. On August 24, 1821, representatives of the Spanish crown and Iturbide signed the Treaty of Córdoba, which recognized Mexican independence under the Plan of Iguala. On September 27, 1821, the Army of the Three Guarantees entered Mexico City, and the following day Iturbide proclaimed the independence of the Mexican Empire, as New Spain would henceforth be called.
On the night of May 18, 1822, a mass demonstration led by the Regiment of Celaya, which Iturbide had commanded during the war, marched through the streets and demanded their commander-in-chief to accept the throne. The following day, the congress declared Iturbide emperor of Mexico. On October 31, 1822, Iturbide dissolved Congress and replaced it with a sympathetic junta.
Agustín de Iturbide
Oil painting of Agustín de Iturbide, leader of independence who was declared Emperor Augustín I, in 1822 following independence.
After Independence: The Mexican Empire
After independence, Mexican politics were chaotic. The presidency changed hands 75 times in the next 55 years (1821–76).
The Spanish attempts to reconquer Mexico comprised episodes of war between Spain and the new nation. The designation mainly covers two periods: from 1821 to 1825 in Mexico’s waters, and a second period of two stages, including a Mexican plan to take the Spanish-held island of Cuba between 1826 and 1828, and the 1829 landing of Spanish General Isidro Barradas in Mexico to reconquer the territory. Although Spain never regained control of the country, it damaged the fledgling economy.
The newly independent nation was in dire straits after 11 years of the War of Independence. No plans or guidelines were established by the revolutionaries, so internal struggles for control of the government ensued. Mexico suffered a complete lack of funds to administer a country of over 4.5 million km², and faced the threats of emerging internal rebellions and of invasion by Spanish forces from their base in nearby Cuba.
Mexico now had its own government, but Iturbide quickly became a dictator. He even had himself proclaimed emperor of Mexico, copying the ceremony used by Napoleon when he proclaimed himself emperor of France. No one was allowed to speak against Iturbide. He filled his government with corrupt officials who became rich by taking bribes and making dishonest business deals.
In 1822, Mexico annexed the Federal Republic of Central America, which includes present-day Costa Rica, El Salvador, Guatemala, Honduras, Nicaragua, and part of Chiapas.
26.3.6: The Archduke Maximilian in Mexico
Maximilian I of Mexico was an Austrian-born Archduke placed on the throne of the Second Mexican Empire by Napoleon III of France, who invaded Mexico in 1861.
Learning Objective
Critique Maximilian’s efforts to establish a state in Mexico
Key Points
- In 1862, the country was invaded by France to collect debts on which that the Juárez government had defaulted, but the larger purpose was to install a ruler under French control.
- They chose a member of the Habsburg dynasty, Archduke Ferdinand Maximilian of Austria, as Emperor of Mexico, with support from the Catholic Church, conservative elements of the upper class, and some indigenous communities.
- Although the French suffered an initial defeat (the Battle of Puebla on May 5, 1862, now commemorated as the Cinco de Mayo holiday), the French eventually defeated the Mexican army and set Maximilian on the throne.
- Despite the aims of the French and the conservatives in Mexico, Maximilian I was actually quite liberal and supported many of the reforms initiated by president Juárez, including land reforms, religious freedom, and extending the right to vote beyond the landholding class.
- Maximilian, too liberal for the conservatives and an enemy of the liberals because he represented the monarchy, had few friends in Mexico, despite his best efforts at positive reform.
- The United States, who never recognized Maximilian, after the end of the American Civil War pressured Napoleon III to withdraw the French from Mexico, thereby ending the Second Mexican Empire and ousting Maximilian.
- Maximilian chose to remain in Mexico rather than return to Europe and was captured and executed along with two Mexican supporters on June 19, 1867.
Key Terms
- Napoleon III
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The only President (1848–52) of the French Second Republic and the Emperor (1852–70) of the Second French Empire. He was the nephew and heir of Napoleon I and the first president of France to be elected by a direct popular vote. He was blocked by the Constitution and Parliament from running for a second term, so he organized a coup d’état in 1851 and then took the throne as Emperor on December 2, 1852, the 48th anniversary of Napoleon I’s coronation. He remains the longest-serving French head of state since the French Revolution.
- Maximilian I
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The only monarch of the Second Mexican Empire, a younger brother of the Austrian emperor Francis Joseph I. After a distinguished career in the Austrian Navy, he accepted an offer by Napoleon III of France to rule Mexico.
- Benito Juárez
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A Mexican lawyer and politician of Zapotec origin from Oaxaca who served as the president of Mexico for five terms: 1858–1861 as interim, then 1861–1865, 1865–1867, 1867–1871, and 1871–1872 as constitutional president. He resisted the French occupation of Mexico, overthrew the Second Mexican Empire, restored the Republic, and used liberal measures to modernize the country.
French Intervention in Mexico
The War of the French Intervention was an invasion of Mexico in late 1861 by the Second French Empire, supported in the beginning by the United Kingdom and Spain. It followed Mexican President Benito Juárez’s suspension of interest payments to foreign countries on July 17, 1861, which angered these creditors of Mexico.
Emperor Napoleon III of France was the instigator, justifying military intervention by claiming a broad foreign policy of commitment to free trade. For him, a friendly government in Mexico would ensure European access to Latin American markets. Napoleon also wanted the silver that could be mined in Mexico to finance his empire. Napoleon built a coalition with Spain and Britain while the U.S. was deeply engaged in its civil war.
The three European powers signed the Treaty of London on October 31, 1861, to unite their efforts to receive payments from Mexico. On December 8, the Spanish fleet and troops arrived at Mexico’s main port, Veracruz. When the British and Spanish discovered that France planned to seize all of Mexico, they quickly withdrew from the coalition.
The subsequent French invasion resulted in the Second Mexican Empire. In Mexico, the French-imposed empire was supported by the Roman Catholic clergy, many conservative elements of the upper class, and some indigenous communities. Conservatives and many in the Mexican nobility tried to revive the monarchy by bringing to Mexico an archduke from the Royal House of Austria, Maximilian Ferdinand, or Maximilian I. France had various interests in this Mexican affair, such as seeking reconciliation with Austria, n defeated during the Franco-Austrian War of 1859; counterbalancing the growing American Protestant power by developing a powerful Catholic neighboring empire; and exploiting the rich mines in the northwest of the country.
After heavy guerrilla resistance led by Juárez, which never ceased even after the capital had fallen to the French in 1863, the French eventually withdrew from Mexico and Maximilian I was executed in 1867.
Maximilian I of Mexico
Maximilian I was the only monarch of the Second Mexican Empire, a younger brother of the Austrian emperor Francis Joseph I. After a distinguished career in the Austrian Navy, he accepted an offer by Napoleon III of France to rule Mexico. France invaded Mexico in the winter of 1861, as part of the War of the French Intervention. Seeking to legitimize French rule in the Americas, Napoleon III invited Maximilian to establish a new Mexican monarchy for him. With the support of the French army and a group of conservative Mexican monarchists hostile to the liberal administration of new Mexican President Benito Juárez, Maximilian traveled to Mexico. Once there, he declared himself Emperor of Mexico on April 10, 1864.
Maximilian’s consort was Empress Carlota of Mexico, and they chose Chapultepec Castle as their home. The Imperial couple noticed the mistreatment of Mexicans, especially Indians, and wanted to ensure their human rights. One of Maximilian’s first acts as Emperor was to restrict working hours and abolish child labor. He cancelled all debts over 10 pesos for peasants, restored communal property, and forbade all forms of corporal punishment. He also broke the monopoly of the Hacienda stores and decreed that henceforth peons could no longer be bought and sold for the price of their debt. By contrast, Napoleon III wanted to exploit the mines in the northwest of the country and grow cotton.
Maximilian was a liberal, a fact that Mexican conservatives seemingly did not know when he was chosen to head the government. He favored the establishment of a limited monarchy that would share power with a democratically elected congress. Maximilian upheld several liberal policies proposed by the Juárez administration, such as land reforms, religious freedom, and extending the right to vote beyond the landholding class. At first, Maximilian offered Juárez an amnesty if he would swear allegiance to the crown, even offering the post of Prime Minister, which Juárez refused. All these policies were too liberal for conservatives, while liberals refused to accept any monarch, considering the republican government of Benito Juárez legitimate. This left Maximilian with few enthusiastic allies within Mexico. Meanwhile, Juárez remained head of the republican government. He continued to be recognized by the United States, which was engaged in its Civil War (1861–65) and at that juncture was in no position to aid Juárez directly against the French intervention until 1865.
France never made a profit in Mexico and its Mexican expedition grew increasingly unpopular. Finally in the spring of 1865, after the US Civil War was over, the U.S. demanded the withdrawal of French troops from Mexico. Napoleon III quietly complied. In mid-1867, despite repeated Imperial losses in battle to the Republican Army and ever-decreasing support from Napoleon III, Maximilian chose to remain in Mexico rather than return to Europe. He was captured and executed along with two Mexican supporters on June 19, 1867, immortalized in a famous painting by Eduard Manet. Juárez remained in office until his death in 1872.
Maximilian has been praised by some historians for his liberal reforms, his genuine desire to help the people of Mexico, his refusal to desert his loyal followers, and his personal bravery during the siege of Querétaro. However, other researchers consider him short-sighted in political and military affairs and unwilling to restore democracy in Mexico even during the imminent collapse of the Second Mexican Empire.
Édouard Manet’s Execution of Emperor Maximilian (1868–1869)
One of five versions of Manet’s representation of the execution of the Austrian-born Emperor of Mexico, which took place on June 19, 1867. Manet borrowed heavily, thematically and technically, from Goya’s The Third of May 1808.
26.4: North America
26.4.1: The Rising Power of the United States
After decades of western expansion and industrial development, by 1890 American production and per capita income exceeded that of all other world nations. The U.S. also emerged as a major military power after the Spanish-American War, exerting its influence throughout the continent and beyond.
Learning Objective
Detail the increasing influence of the United States in the New World
Key Points
- The American Revolutionary War was the first successful colonial war of independence against a European power.
- The Second Continental Congress adopted the Declaration of Independence on July 4, 1776, which proclaimed in a long preamble that humanity is created equal in their unalienable rights and that those rights were not being protected by Great Britain. It declared, in the words of the resolution, that the Thirteen Colonies were independent states and had no allegiance to the British crown in the United States.
- Britain recognized the independence of the United States following their defeat at Yorktown in 1781.
- Americans’ eagerness to expand westward prompted a long series of American Indian Wars.
- The Louisiana Purchase of French-claimed territory in 1803 almost doubled the nation’s area.
- A series of military incursions into Florida led Spain to cede it and other Gulf Coast territory in 1819.
- After the American Civil War, new transcontinental railways made relocation easier for settlers, expanded internal trade, and increased conflict with Native Americans.
- Rapid economic development during the late 19th and early 20th centuries fostered the rise of many prominent industrialists. The American economy boomed, becoming the world’s largest, and the United States achieved great status.
Key Terms
- Gilded Age
-
A term that Mark Twain used to describe the period of the late 19th century with a dramatic expansion of American wealth and prosperity, in which the rapid expansion of industrialization led to real wage growth of 60% between 1860 and 1890, spread across the ever-increasing labor force.
- Spanish–American War
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A conflict between Spain and the United States in 1898. Hostilities began in the aftermath of the internal explosion of the USS Maine in Havana harbor in Cuba, leading to United States intervention in the Cuban War of Independence. American acquisition of Spain’s Pacific possessions led to its involvement in the Philippine Revolution and ultimately in the Philippine-American War.
- Manifest Destiny
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A widely held belief in the United States that its settlers were destined to expand across North America. There are three basic themes to manifest destiny: the special virtues of the American people and their institutions; the mission of the United States to redeem and remake the west in the image of agrarian America; and an irresistible destiny to accomplish this essential duty.
Brief History of the U.S. Through the 19th Century
In 1776, the Second Continental Congress declared the United States a new, independent nation, no longer just a collection of disparate colonies. With large-scale military and financial support from France and military leadership by General George Washington, the American Patriots won the Revolutionary War against the British, confirming the new nation.
A peace treaty of 1783 gave the U.S. the land east of the Mississippi River (except Florida and Canada). The central government established by the Articles of Confederation proved ineffectual at providing stability, as it had no authority to collect taxes and no executive officer. Congress called a convention to meet secretly in Philadelphia in 1787 and wrote a new Constitution, which was adopted in 1789. In 1791, a Bill of Rights was added to guarantee inalienable rights to all Americans. With Washington as the first president and Alexander Hamilton his chief political and financial adviser, a strong central government was created. When Thomas Jefferson became president he purchased the Louisiana Territory from France, doubling the size of the United States. A second and final war with Britain was fought in 1812.
Encouraged by the notion of Manifest Destiny, federal territory expanded all the way to the Pacific. The U.S. always was large in terms of area, but its population was small: only 4 million in 1790. Population growth was rapid, reaching 7.2 million in 1810, 32 million in 1860, 76 million in 1900, 132 million in 1940, and 321 million in 2015. Economic growth in terms of overall gross domestic product (GDP) was even faster. The expansion was driven by a quest for inexpensive land for yeoman farmers and slave owners. The expansion of slavery was increasingly controversial and fueled political and constitutional battles that were resolved by compromises. Slavery was abolished in all states north of the Mason–Dixon line by 1804, but the South continued to profit off the institution, producing high-value cotton exports to feed increasingly high demand in Europe. The 1860 presidential election of Republican Abraham Lincoln was on a platform of ending the expansion of slavery and putting it on a path to extinction.
Seven cotton-based deep South slave states seceded and founded the Confederacy months before Lincoln’s inauguration. No nation ever recognized the Confederacy, but it opened the war by attacking Fort Sumter in 1861. A surge of nationalist outrage in the North fueled a long, intense American Civil War (1861–1865). It was fought largely in the South as the overwhelming material and manpower advantages of the North proved decisive in a long war. The results were restoration of the Union, the impoverishment of the South, and the abolition of slavery. In the Reconstruction era (1863–1877), legal and voting rights were extended to the freed slave. The national government emerged much stronger, and because of the Fourteenth Amendment in 1868, it gained the explicit duty to protect individual rights. However, when white Democrats regained their power in the South during the 1870s, often by paramilitary suppression of voting, they passed Jim Crow laws to maintain white supremacy and new disfranchising constitutions that prevented most African Americans and many poor whites from voting. This situation that continued for decades until gains of the civil rights movement in the 1960s and passage of federal legislation to enforce constitutional rights.
Westward Expansion and Manifest Destiny
Through wars and treaties; establishment of law and order; building farms, ranches, and towns; marking trails and digging mines; and pulling in great migrations of foreigners, the United States expanded from coast to coast, fulfilling the dreams of Manifest Destiny.
From the early 1830s to 1869, the Oregon Trail and its many offshoots were used by over 300,000 settlers. ’49ers (in the California Gold Rush), ranchers, farmers, and entrepreneurs and their families headed to California, Oregon, and other points in the far west. Wagon trains took five or six months on foot; after 1869, the trip took sixdays by rail.
Manifest Destiny was the belief that the United States was preordained to expand from the Atlantic coast to the Pacific coast. The concept was expressed during Colonial times, but the term was coined in the 1840s by a popular magazine which editorialized, “the fulfillment of our manifest destiny…to overspread the continent allotted by Providence for the free development of our yearly multiplying millions.” As the nation grew, manifest destiny became a rallying cry for expansionists in the Democratic Party. In the 1840s the Tyler and Polk administrations (1841–49) successfully promoted this nationalistic doctrine. However, the Whig Party, which represented business and financial interests, was opposed. Whig leaders such as Henry Clay and Abraham Lincoln called for deepening society through modernization and urbanization instead of simple horizontal expansion. Starting with the annexation of Texas, the expansionists had the upper hand. John Quincy Adams, an anti-slavery Whig, felt the Texas annexation in 1845 to be “the heaviest calamity that ever befell myself and my country.”
Mexico became independent of Spain in 1821 and took over Spain’s northern possessions from Texas to California. The Spanish and Mexican governments attracted American settlers to Texas with generous terms. Tensions rose, however, after an abortive attempt to establish the independent nation of Fredonia in 1826. William Travis, leading the “war party,” advocated for independence from Mexico, while the “peace party” led by Austin attempted to get more autonomy within the current relationship. Immigration continued and 30,000 Anglos with 3,000 slaves were settled in Texas by 1835. In 1836, the Texas Revolution erupted. Following losses at the Alamo and Goliad, the Texans won the decisive Battle of San Jacinto to secure independence. The U.S. Congress declined to annex Texas, stalemated by contentious arguments over slavery and regional power. Thus, the Republic of Texas remained an independent power for nearly a decade before it was annexed as the 28th state in 1845. The government of Mexico, however, viewed Texas as a runaway province and asserted its ownership.
The latter half of the 19th century was marked by the rapid development and settlement of the far West, first by wagon trains and riverboats and then aided by the completion of the transcontinental railroad. Large numbers of European immigrants (especially from Germany and Scandinavia) took up low-cost or free farms in the Prairie States. Mining for silver and copper opened up the Mountain West. The United States Army fought frequent small-scale wars with Native Americans as settlers encroached on their traditional lands. Gradually the U.S. purchased the Native American tribal lands and extinguished their claims, forcing most tribes onto subsidized reservations.
Manifest Destiny
U.S. territorial acquisitions throughout U.S. history. The new nation grew rapidly in population and area, as pioneers pushed the frontier of settlement west.
A Rising Power: American Industrialism and Imperialism
The “Gilded Age” was a term that Mark Twain used to describe the period of the late 19th century with a dramatic expansion of American wealth and prosperity. The Gilded Age was an era of rapid economic growth, especially in the North and West. As American wages were much higher than those in Europe, especially for skilled workers, the period saw an influx of millions of European immigrants. The rapid expansion of industrialization led to real wage growth of 60% between 1860 and 1890, spread across the ever-increasing labor force. The average annual wage per industrial worker (including men, women and children) rose from $380 in 1880 to $564 in 1890, a gain of 48%. By 1890 American industrial production and per capita income exceeded those of all other world nations. However, the Gilded Age was also an era of abject poverty and inequality as millions of immigrants—many from impoverished European nations—poured into the United States, and the high concentration of wealth became more visible and contentious.
Railroads were the major growth industry, with the factory system, mining, and finance increasing in importance. Immigration from Europe and the eastern states led to the rapid growth of the West, based on farming, ranching and mining. Labor unions became important in the rapidly growing industrial cities.
The United States emerged as a world economic and military power after 1890. The main episode was the Spanish-American War, which began when Spain refused American demands to reform its oppressive policies in Cuba. The “splendid little war,” as one official called it, involved a series of quick American victories on land and at sea. At the Treaty of Paris peace conference the United States acquired the Philippines, Puerto Rico, and Guam.
Cuba became an independent country under close American tutelage. Although the war itself was widely popular, the peace terms proved controversial. William Jennings Bryan led his Democratic Party in opposition to control of the Philippines, which he denounced as imperialism unbecoming to American democracy. President William McKinley defended the acquisition and was riding high as the nation had returned to prosperity and felt triumphant in the war. McKinley easily defeated Bryan in a rematch in the 1900 presidential election.
After defeating an insurrection by Filipino nationalists, the United States engaged in a large-scale program to modernize the economy of the Philippines and dramatically upgrade the public health facilities. By 1908, however, Americans lost interest in an empire and turned their international attention to the Caribbean, especially the building of the Panama Canal. In 1912 when Arizona became the final mainland state, the American Frontier came to an end. The canal opened in 1914 and increased trade with Japan and the rest of the Far East. A key innovation was the Open Door Policy, in which the imperial powers were given equal access to Chinese business, with not one of them allowed to take control of China.
26.4.2: The Monroe Doctrine
The Monroe Doctrine, first expressed in 1823 by U.S. President James Monroe, proclaimed that European powers should no longer colonize or interfere in the Americas.
Learning Objective
Synthesize the Monroe Doctrine and its place in global affairs
Key Points
- The Monroe Doctrine, first promoted in James Monroe’s State of the Union Address in 1823, stated that Europe should no longer interfere in the affairs of the American continent, particularly opposing any new colonial efforts.
- At the same time, the doctrine noted that the United States would recognize and not interfere with existing European colonies nor meddle in the internal concerns of European countries.
- Initially, because the United States was not seen as a major military power, the doctrine was largely ignored by Europe, although Britain generally agreed with its terms for its own reasons.
- The doctrine was welcomed and applauded by most Latin Americans, many of whom were in the midst of freeing themselves from European colonialism.
- In many instances, the United States did not intervene against European actions in the Americas and thus the doctrine was often not enforced. Later in the century, the United States backed Cuba in their fight for independence from Spain in what became the Spanish-American War.
Key Terms
- Spanish–American War
-
A conflict fought between Spain and the United States in 1898. Hostilities began in the aftermath of the internal explosion of the USS Maine in Havana harbor in Cuba, leading to United States intervention in the Cuban War of Independence. American acquisition of Spain’s Pacific possessions led to its involvement in the Philippine Revolution and ultimately in the Philippine-American War.
- James Monroe
-
An American statesman who served as the fifth President of the United States from 1817 to 1825. He was the last president who was a founding father of the United States and the last president from the Virginian dynasty and the Republican Generation. In 1823, he announced the United States’ opposition to any European intervention in the recently independent countries of the Americas with the Monroe Doctrine, which became a landmark in American foreign policy.
- Pax Britannica
-
The period of relative peace in Europe (1815–1914) during which the British Empire became the global hegemonic power and adopted the role of a global police force.
The Monroe Doctrine was a U.S. policy of opposing European colonialism in the Americas beginning in 1823. It stated that further efforts by European nations to take control of any independent state in North or South America would be viewed as “the manifestation of an unfriendly disposition toward the United States.” At the same time, the doctrine noted that the United States would recognize and not interfere with existing European colonies nor meddle in the internal concerns of European countries. The Doctrine was issued in 1823 at a time when nearly all Latin American colonies of Spain and Portugal had achieved or were at the point of gaining independence from the Portuguese and Spanish Empires.
President James Monroe first stated the doctrine during his seventh annual State of the Union Address to Congress. The term “Monroe Doctrine” itself was coined in 1850. By the end of the 19th century, Monroe’s declaration was seen as a defining moment in the foreign policy of the United States and one of its longest-standing tenets. It would be invoked by many U.S. statesmen and several U.S. presidents, including Ulysses S. Grant, Theodore Roosevelt, John F. Kennedy, and Ronald Reagan.
The intent and impact of the Monroe Doctrine persisted with only minor variations for more than a century. Its stated objective was to free the newly independent colonies of Latin America from European intervention and avoid situations that could make the New World a battleground for the Old World powers, so that the United States could exert its own influence undisturbed. The doctrine asserted that the New World and the Old World were to remain distinctly separate spheres of influence, for they were composed of entirely separate and independent nations.
After 1898, Latin American lawyers and intellectuals reinterpreted the Monroe doctrine in terms of multilateralism and non-intervention. In 1933, under President Franklin Roosevelt, the United States went along with the new reinterpretation, especially in terms of the Organization of American States.
International Response
Because the United States lacked both a credible navy and army at the time, the doctrine was largely disregarded internationally. Prince Metternich of Austria was angered by the statement, and wrote privately that the doctrine was a “new act of revolt” by the United States that would grant “new strength to the apostles of sedition and reanimate the courage of every conspirator.”
The doctrine, however, met with tacit British approval. They enforced it tactically as part of the wider Pax Britannica, which included enforcement of the neutrality of the seas. This was in line with the developing British policy of laissez-faire free trade against mercantilism. Fast-growing British industry sought markets for its manufactured goods, and if the newly independent Latin American states became Spanish colonies again, British access to these markets would be cut off by Spanish mercantilist policy.
The reaction in Latin America to the Monroe Doctrine was generally favorable but in some occasions suspicious. Historian John Crow states, “Simón Bolívar himself, still in the midst of his last campaign against the Spaniards, Santander in Colombia, Rivadavia in Argentina, Victoria in Mexico—leaders of the emancipation movement everywhere—received Monroe’s words with sincerest gratitude.” Crow argues that the leaders of Latin America were realists. They knew that the President of the United States wielded very little power at the time, particularly without the backing of the British forces, and figured that the Monroe Doctrine was unenforceable if the United States stood alone against the Holy Alliance. While they appreciated and praised their support in the north, they knew that the future of their independence was in the hands of the British and their powerful navy. In 1826, Bolivar called upon his Congress of Panama to host the first “Pan-American” meeting. In the eyes of Bolivar and his men, the Monroe Doctrine was to become nothing more than a tool of national policy. According to Crow, “It was not meant to be, and was never intended to be a charter for concerted hemispheric action.”
Enforcement
In early 1843, the British reasserted their sovereignty over the Falkland Islands. No action was taken by the United States, and George C. Herring wrote that the inaction “confirmed Latin American and especially Argentine suspicions of the United States.” In 1838-50 Argentina was blockaded by the French and later by the British. No action was taken by the United States, despite protestations.
In 1842, U.S. President John Tyler applied the Monroe Doctrine to Hawaii and warned Britain not to interfere there. This began the process of annexing Hawaii to the United States.
On December 2, 1845, U.S. President James Polk announced that the principle of the Monroe Doctrine should be strictly enforced, reinterpreting it to argue that no European nation should interfere with the American western expansion (“Manifest Destiny”).
In 1862, French forces under Napoleon III invaded and conquered Mexico, giving control to the puppet monarch Emperor Maximilian. Washington denounced this as a violation of the doctrine but was unable to intervene because of the American Civil War. This marked the first time the Monroe Doctrine was widely referred to as a “doctrine.” In 1865 the United States stationed a large combat army on the border to emphasize its demand that France leave. France did pull out, and Mexican nationalists executed Maximilian.
In 1862, Belize was turned into a crown colony of the British empire and renamed British Honduras. The United States took no action against Britain, either during or after the Civil War.
In the 1870s, President Ulysses S. Grant and his Secretary of State Hamilton Fish endeavored to supplant European influence in Latin America with that of the United States. In 1870, the Monroe Doctrine was expanded under the proclamation “hereafter no territory on this continent [referring to Central and South America] shall be regarded as subject to transfer to a European power.”
In 1898, the United States intervened in support of Cuba during its war for independence from Spain. The United States won what is known in the United States as the Spanish-American War and in Cuba as the Cuban War for Independence. Under the terms of the peace treaty from which Cuba was excluded, Spain ceded Puerto Rico, the Philippines, and Guam to the United States in exchange for $20 million. Cuba came under U.S. control and remained so until it was granted formal independence in 1902.
Spanish-American War
Spanish–American War, the result of U.S. intervention in the Cuban War of Independence, which released Cuba from European influence as per the Monroe Doctrine.
26.4.3: The Canadian Confederation
In 1867, the Province of Canada was joined with two other British colonies, New Brunswick and Nova Scotia, through Confederation, forming a self-governing entity named Canada.
Learning Objective
Describe the Canadian Confederation
Key Points
- The Confederation of Canada emerged from multiple impulses. The British wanted Canada to defend itself; British-Canadian nationalism sought to unite the lands into one country, dominated by the English language and British culture; and the fear of possible U.S. expansion northward.
- On a political level, there was a desire for the expansion of responsible government and elimination of the legislative deadlock between Upper and Lower Canada, and their replacement with provincial legislatures in a federation.
- Unification had been discussed as early 1839, but it was not until the 1860s that terms of federation were officially on the table.
- In 1864, there were two important conferences to discuss federation, the Charlottetown Conference and the Quebec Conference. Those who attended are referred to as the Fathers of Confederation.
- The resolutions decided at the Quebec Conference laid out the framework for uniting British colonies in North America into a federation, officially put into effect by Queen Victoria on March 29, 1867, with a royal proclamation.
- While confederation eventually resulted in Canada having more autonomy, it was far from full independence from the United Kingdom.
Key Terms
- Fathers of Confederation
-
The 36 people who attended at least one of the Charlottetown (23 attendees) and Quebec (33) Conferences in 1864 and the London Conference of 1866 (16) in England, preceding Canadian Confederation.
- Dominion
-
A semi-independent polity under the British Crown constituting the British Empire, beginning with Canadian Confederation in 1867. They included Canada, Australia, New Zealand, Newfoundland, South Africa, and the Irish Free State, and from the late 1940s also India, Pakistan, and Ceylon (now Sri Lanka).
Background
In the 1860s, the British were concerned with the possibility of an American assault on Canada in the wake of the American Civil War. Britain also feared that American settlers might expand to the north, into land that was technically British but sparsely settled. There were also problems with raids into Canada launched by the Fenian Brotherhood, a group of Irish Americans who wanted to pressure Britain into granting independence to Ireland. Canada was already essentially a self-governing colony since the 1840s, and Britain no longer felt it was worth the expense of keeping it as a colony. Both sides would be better off politically and economically if Canada was independent. These factors led to the first serious discussions about real political union in Canada. However, there were internal political obstacles to overcome first. The Province of Canada had little success in keeping a stable government for any period of time; the Tories, led by John A. Macdonald and George-Étienne Cartier, were constantly at odds with the “Clear Grits” led by George Brown. In 1864, the two parties decided to unite in the “Great Coalition.” This was an important step towards Confederation.
Meanwhile, the colonies farther east—Nova Scotia, New Brunswick, Prince Edward Island, and Newfoundland—were also discussing a political union. Representatives from the Province of Canada joined them at the Charlottetown Conference in Charlottetown, Prince Edward Island in 1864 to discuss a union of all the colonies, and these discussions extended into the Quebec Conference of 1864.
Canadian Confederation
The Canadian Confederation was the process by which the British colonies of Canada, Nova Scotia, and New Brunswick were united into one Dominion of Canada on July 1, 1867. Upon Confederation, the old province of Canada was divided into Ontario and Quebec; along with Nova Scotia and New Brunswick, the new federal state was thus composed of four provinces. Over the years since Confederation, Canada has seen numerous territorial changes and expansions, resulting in the current configuration of ten provinces and three territories.
Technically, Canada is a federation and not a confederate association of sovereign states. It is nevertheless often considered to be among the world’s more decentralized federations.
The Seventy-Two Resolutions from the 1864 Quebec Conference and Charlottetown Conference laid out the framework for uniting British colonies in North America into a federation. They were adopted by the majority of the provinces of Canada and became the basis for the London Conference of 1866, which led to the formation of the Dominion of Canada on July 1, 1867. The term dominion was chosen to indicate Canada’s status as a self-governing colony of the British Empire, the first time it was used in reference to a country. With the passage of the British North America Act enacted by the British Parliament, the Province of Canada, New Brunswick, and Nova Scotia became a federated kingdom in its own right.
Confederation was accomplished when the Queen gave royal assent to the British North America Act (BNA Act) on March 29, 1867, followed by a royal proclamation stating: “We do ordain, declare, and command that on and after the First day of July, One Thousand Eight Hundred and Sixty-seven, the Provinces of Canada, Nova Scotia, and New Brunswick, shall form and be One Dominion, under the name of Canada.” That act, which united the Province of Canada with the colonies of New Brunswick and Nova Scotia, came into effect on July 1 that year. It replaced the Act of Union (1840) that previously unified Upper Canada and Lower Canada into the united Province of Canada. Separate provinces were re-established under their current names of Ontario and Quebec. July 1 is now celebrated as a public holiday, Canada Day, the country’s official National Day.
The form of the country’s government was influenced by the American republic to the south. Noting the flaws in the American system, the Fathers of Confederation opted to retain a monarchical form of government.
While the BNA Act eventually resulted in Canada having more autonomy than before, it was far from fully independent from the United Kingdom. Defense of British North America became a Canadian responsibility. Foreign policy remained in British hands, the Judicial Committee of the Privy Council remained Canada’s highest court of appeal, and the constitution could be amended only in Britain.
Gradually, Canada gained more autonomy, and in 1931, obtained almost full autonomy within the British Commonwealth with the Statute of Westminster. Because the provinces of Canada were unable to agree on a constitutional amending formula, this power remained with the British Parliament. In 1982, the constitution was patriated when Elizabeth II gave her royal assent to the Canada Act 1982. The Constitution of Canada is made up of a number of codified acts and uncodified traditions; one of the principal documents is the Constitution Act, 1982, which renamed the BNA Act 1867 to Constitution Act, 1867.
Fathers of Confederation
1885 photo of Robert Harris’ 1884 painting, Conference at Quebec in 1864, to settle the basics of a union of the British North American Provinces, also known as The Fathers of Confederation. The original painting was destroyed in the 1916 Parliament Buildings Centre Block fire. The scene is an amalgamation of the Charlottetown and Quebec City conference sites and attendees.
Chapter 25: The Industrial Revolution
25.1: The Agricultural Revolution
25.1.1: New Agricultural Practices
The Agricultural Revolution, the unprecedented increase in agricultural production in Britain between the mid-17th and late 19th centuries, was linked to such new agricultural practices as crop rotation, selective breeding, and a more productive use of arable land.
Learning Objective
Trace the development of new agricultural techniques
Key Points
- The Agricultural Revolution was the unprecedented increase in
agricultural production in Britain due to increases in labor and land
productivity between the mid-17th and late 19th centuries. However, historians
continue to dispute whether the developments leading to the unprecedented
agricultural growth can be seen as “a revolution,” since the growth
was, in fact, a result of a series of significant changes that took place over
a long period of time. -
One of the most important innovations of the Agricultural
Revolution was the development of the Norfolk four-course rotation, which
greatly increased crop and livestock yields by improving soil fertility and
reducing fallow. Crop rotation is the practice of growing a series of
dissimilar types of crops in the same area in sequential seasons to help
restore plant nutrients and mitigate the build-up of pathogens and pests that
often occurs when one plant species is continuously cropped. -
Following a two-field crop rotation system common in the Middle
Ages and a three-year three field crop rotation routine employed later,
the regular planting of legumes such as peas and beans in the fields that were
previously fallow became central and slowly restored the fertility of some
croplands. In the end, it was the farmers in Flanders (in parts of France and
current day Belgium) that discovered a still more effective four-field crop
rotation system, using turnips and clover (a legume) as forage crops to replace
the three-year crop rotation fallow year. -
The four-field rotation system allowed farmers to restore soil
fertility and restore some of the plant nutrients removed with the crops.
Turnips first show up in the probate records in England as early as 1638 but
were not widely used until about 1750. Fallow land was about 20% of the arable
area in England in 1700 before turnips and clover were extensively grown. Guano
and nitrates from South America were introduced in the mid-19th century and
fallow steadily declined to reach only about 4% in 1900. -
In the mid-18th century, two British agriculturalists, Robert
Bakewell and Thomas Coke, introduced selective breeding as a scientific
practice and used inbreeding to stabilize certain qualities in order to reduce
genetic diversity. Bakewell was also the first to breed cattle to be used
primarily for beef. -
Certain practices that contributed to a more productive use of
land intensified, such as converting some pasture land into arable land and
recovering fen land and pastures. Other developments came from Flanders
and the Netherlands, the region that became a pioneer in canal building,
soil restoration and maintenance, soil drainage, and land reclamation
technology. Finally, water-meadows were utilized in the late 16th to the 20th
centuries and allowed earlier pasturing of livestock after they were wintered
on hay.
Key Terms
- Industrial Revolution
-
The transition to new manufacturing processes in the period from about 1760 to sometime between 1820 and 1840. This transition included going from hand production methods to machines, new chemical manufacturing and iron production processes, improved efficiency of water power, the increasing use of steam power, the development of machine tools, and the rise of the factory system.
- crop rotation
-
The practice of growing a series of dissimilar or different types of crops in the same area in sequenced seasons so that the soil of farms is not used to only one type of nutrient. It helps in reducing soil erosion and increases soil fertility and crop yield.
- common field system
-
A system of land ownership in which land is owned collectively by a number of persons, or by one person with others having certain traditional rights, such as to allow their livestock to graze upon it, collect firewood, or cut turf for fuel.
- Agricultural Revolution
-
The unprecedented increase in agricultural production in Britain due to increases in labor and land productivity between the mid-17th and late 19th centuries. Agricultural output grew faster than the population over the century to 1770 and thereafter productivity remained among the highest in the world.
Agricultural Revolution
The Agricultural Revolution was the unprecedented increase in agricultural production in Britain due to increases in labor and land productivity between the mid-17th and late 19th centuries. Agricultural output grew faster than the population over the century to 1770 and thereafter productivity remained among the highest in the world. This increase in the food supply contributed to the rapid growth of population in England and Wales, from 5.5 million in 1700 to over 9 million by 1801, although domestic production gave way to food imports in the 19th century as population more than tripled to over 32 million. The rise in productivity accelerated the decline of the agricultural share of the labor force, adding to the urban workforce on which industrialization depended. The Agricultural Revolution has therefore been cited as a cause of the Industrial Revolution. However, historians also continue to dispute whether the developments leading to the unprecedented agricultural growth can be seen as “a revolution,” since the growth was, in fact, a result of a series of significant changes over a her long period of time. Consequently, the question of when exactly such a revolution took place and of what it consisted remains open.
Crop Rotation
One of the most important innovations of the Agricultural Revolution was the development of the Norfolk four-course rotation, which greatly increased crop and livestock yields by improving soil fertility and reducing fallow.
Crop rotation is the practice of growing a series of dissimilar types of crops in the same area in sequential seasons to help restore plant nutrients and mitigate the build-up of pathogens and pests that often occurs when one plant species is continuously cropped. Rotation can also improve soil structure and fertility by alternating deep-rooted and shallow-rooted plants. The Norfolk System, as it is now known, rotates crops so that different crops are planted with the result that different kinds and quantities of nutrients are taken from the soil as the plants grow. An important feature of the Norfolk four-field system was that it used labor at times when demand was not at peak levels. Planting cover crops such as turnips and clover was not permitted under the common field system because they interfered with access to the fields and other people’s livestock could graze the turnips.
During the Middle Ages, the open field system initially used a two-field crop rotation system where one field was left fallow or turned into pasture for a time to try to recover some of its plant nutrients. Later, a three-year three-field crop rotation routine was employed, with a different crop in each of two fields, e.g. oats, rye, wheat, and barley with the second field growing a legume like peas or beans, and the third field fallow. Usually from 10–30% of the arable land in a three-crop rotation system is fallow. Each field was rotated into a different crop nearly every year. Over the following two centuries, the regular planting of legumes such as peas and beans in the fields that were previously fallow slowly restored the fertility of some croplands. The planting of legumes helped to increase plant growth in the empty field due to the bacteria on legume roots’ ability to fix nitrogen from the air into the soil in a form that plants could use. Other crops that were occasionally grown were flax and members of the mustard family.
The practice of convertible husbandry, or
the alternation of a field between pasture and grain, introduced pasture into the rotation.
Because nitrogen builds up slowly over time in pasture, plowing pasture and planting grains resulted in high yields for a few years. A big disadvantage of convertible husbandry, however, was the hard work that had to be put into breaking up pastures and difficulty in establishing them.
It was the farmers in Flanders (in parts of France and current-day Belgium) that discovered a still more effective four-field crop rotation system, using turnips and clover (a legume) as forage crops to replace the three-year crop rotation fallow year. The four-field rotation system allowed farmers to restore soil fertility and restore some of the plant nutrients removed with the crops. Turnips first show up in the probate records in England as early as 1638 but were not widely used until about 1750. Fallow land was about 20% of the arable area in England in 1700 before turnips and clover were extensively grown. Guano and nitrates from South America were introduced in the mid-19th century and fallow steadily declined to reach only about 4% in 1900. Ideally, wheat, barley, turnips, and clover would be planted in that order in each field in successive years. The turnips helped keep the weeds down and were an excellent forage crop—ruminant animals could eat their tops and roots through a large part of the summer and winters. There was no need to let the soil lie fallow as clover would add nitrates (nitrogen-containing salts) back to the soil. The clover made excellent pasture and hay fields as well as green manure when it was plowed under after one or two years. The addition of clover and turnips allowed more animals to be kept through the winter, which in turn produced more milk, cheese, meat, and manure, which maintained soil fertility.
Charles ‘Turnip’ Townshend, agriculturalist who was a great enthusiast of four-field crop rotation and the cultivation of turnips.
Townshend is often mentioned, together with Jethro Tull, Robert Bakewell, and others, as a major figure in England’s Agricultural Revolution, contributing to adoption of agricultural practices that supported the increase in Britain’s population between 1700 and 1850.
Other Practices
In the mid-18th century, two British agriculturalists, Robert Bakewell and Thomas Coke, introduced selective breeding as a scientific practice (mating together two animals with particularly desirable characteristics) and using inbreeding (the mating of close relatives) to stabilize certain qualities in order to reduce genetic diversity. Arguably, Bakewell’s most important breeding program was with sheep. Using native stock, he was able to quickly select for large, yet fine-boned sheep with long, lustrous wool. Bakewell was also the first to breed cattle to be used primarily for beef. Previously, cattle were first and foremost kept for pulling plows as oxen or for dairy uses, with beef from surplus males as an additional bonus. As more and more farmers followed Bakewell’s lead, farm animals increased dramatically in size and quality.
Certain practices that contributed to a more productive use of land intensified, for example converting some pasture land into arable land and recovering fen land and some pastures. It is estimated that the amount of arable land in Britain grew by 10-30% through these land conversions. Other developments came from Flanders and and the Netherlands, where due to the large and dense population, farmers were forced to take maximum advantage of every bit of usable land. The region became a pioneer in canal building, soil restoration and maintenance, soil drainage, and land reclamation technology. Dutch experts like Cornelius Vermuyden brought some of this technology to Britain. Finally, water-meadows were utilized in the late 16th to the 20th centuries and allowed earlier pasturing of livestock after they were wintered on hay. This increased livestock yields, giving more hides, meat, milk, and manure as well as better hay crops.
25.1.2: New Agricultural Tools
An important factor of the Agricultural Revolution was the invention of new tools and advancement of old ones, including the plough, seed drill, and threshing machine, to improve the efficiency of agricultural operations.
Learning Objective
Identify some of the new tools developed as part of the Agricultural Revolution
Key Points
-
The
mechanization and rationalization of agriculture was a key factor of the
Agricultural Revolution. New tools were invented and old ones perfected to
improve the efficiency of various agricultural operations. -
The
Dutch plough was brought to Britain by Dutch contractors. In 1730, Joseph
Foljambe in Rotherham, England, used new shapes as the basis for the Rotherham
plough, which also covered the moldboard with iron. By 1770, it was
the cheapest and best plough available. It spread to Scotland, America, and
France. It may have been the first plough to be widely built in factories and
the first to be commercially successful. -
In
1789 Robert Ransome started casting ploughshares
in a disused malting at St. Margaret’s Ditches. As a result of a mishap in his
foundry, a broken mold caused molten metal to come into contact with cold
metal, making the metal surface extremely hard — chilled casting —
which he advertised as “self sharpening” ploughs and received patents
for his discovery. -
James Small further advanced the design. Using
mathematical methods, he experimented with various designs until he arrived at
a shape cast from a single piece of iron, an improvement on the Scots plough of
James Anderson of Hermiston. -
The seed drill was invented in China in the 2nd century BCE and introduced to Italy in the mid-16th century.
First attributed to Camillo Torello, it was patented by the Venetian
Senate in 1566. In England, it was further refined by Jethro Tull in 1701. Tull’s drill was a mechanical seeder that
sowed efficiently at the correct depth and spacing and then covered the
seed so that it could grow. However, seed drills of this and successive types
were expensive, unreliable, and fragile. -
A
threshing machine or thresher is a piece of farm equipment that threshes grain: removes the seeds from the stalks and husks. Mechanization of this process removed a substantial amount of
drudgery from farm labor. The first threshing machine was invented circa 1786
by the Scottish engineer Andrew Meikle, and the subsequent adoption of such
machines was one of the earlier examples of the mechanization of
agriculture.
Key Terms
- plough
-
A tool or farm implement for initial cultivation of soil in preparation for sowing seed or planting. It has been a basic instrument for most of recorded history, although written references do not appear in English until c. 1100, after which it is referenced frequently. Its construction was highly advanced during the Agricultural Revolution.
- seed drill
-
A device that sows the seeds for crops by metering out individual seeds, positioning them in the soil, and covering them to a certain average depth. It sows the seeds at equal distances and proper depth, ensuring they get covered with soil and are saved from being eaten by birds. Invented in China in the 2nd century BCE, it was advanced by Europeans in the 16th and 17th centuries, becoming an important development of the Agricultural Revolution.
- threshing machine
-
A piece of farm equipment that threshes grain, that is, removes the seeds from the stalks and husks. It does so by beating the plant to make the seeds fall out. The first model was invented circa 1786 by the Scottish engineer Andrew Meikle, and the subsequent adoption of such machines was one of the earlier examples of the mechanization of agriculture.
Agricultural Revolution: Mechanization
The mechanization and rationalization of agriculture was a key factor of the Agricultural Revolution. New tools were invented and old ones perfected to improve the efficiency of various agricultural operations.
The basic plough with coulter, ploughshare, and moldboard remained in use for a millennium. Major changes in design did not become common until the Age of Enlightenment, when there was rapid progress.
The Dutch acquired the iron tipped, curved moldboard, adjustable depth plough from the Chinese in the early 17th century. It had the ability to be pulled by one or two oxen compared to the six or eight needed by the heavy-wheeled northern European plough. The Dutch plough was brought to Britain by Dutch contractors hired to drain East Anglian fens and Somerset moors. The plough was extremely successful on wet, boggy soil, but soon was used on ordinary land. In 1730, Joseph Foljambe in Rotherham, England, used new shapes as the basis for the Rotherham plough, which also covered the moldboard with iron. Unlike the heavy plough, the Rotherham (or Rotherham swing) plough consisted entirely of the coulter, moldboard, and handles.
By the 1760s Foljambe was making large numbers of these ploughs in a factory outside of Rotherham, using standard patterns with interchangeable parts. The plough was easy for a blacksmith to make and by the end of the 18th century it was being made in rural foundries. By 1770, it was the cheapest and best plough available. It spread to Scotland, America, and France.
It may have been the first plough to be widely built in factories and the first to be commercially successful.
In 1789 Robert Ransome, an iron founder in Ipswich, started casting ploughshares in a disused malting at St. Margaret’s Ditches. As a result of a mishap in his foundry, a broken mold caused molten metal to come into contact with cold metal, making the metal surface extremely hard — chilled casting — which he advertised as “self sharpening” ploughs and received patents for his discovery.
In 1789, Ransomes, Sims & Jefferies was producing 86 plough models for different soils.
James Small further advanced the design. Using mathematical methods, he experimented with various designs until he arrived at a shape cast from a single piece of iron, an improvement on the Scots plough of James Anderson of Hermiston. A single-piece cast iron plough was also developed and patented by Charles Newbold in the United States. This was again improved on by Jethro Wood, a blacksmith of Scipio, New York, who made a three-part Scots Plough that allowed a broken piece to be replaced.
The seed drill was introduced from China, where it was invented in the 2nd century BCE, to Italy in the mid-16th century. First attributed to Camillo Torello, it was patented by the Venetian Senate in 1566. A seed drill was described in detail by Tadeo Cavalina of Bologna in 1602. In England, it was further refined by Jethro Tull in 1701. Before the introduction of the seed drill, the common practice was to plant seeds by broadcasting (evenly throwing) them across the ground by hand on the prepared soil and then lightly harrowing the soil to cover the seed. Seeds left on top of the ground were eaten by birds, insects, and mice. There was no control over spacing and seeds were planted too close together and too far apart. Alternately seeds could be laboriously planted one by one using a hoe and/or a shovel. Cutting down on wasted seed was important because the yield of seeds harvested to seeds planted at that time was around four or five.
Tull’s drill
was a mechanical seeder that sowed efficiently at the correct depth and spacing and then covered the seed so that it could grow. However, seed drills of this and successive types were both expensive and unreliable, as well as fragile. They would not come into widespread use in Europe until the mid-19th century. Early drills were small enough to be pulled by a single horse, and many of these remained in use into the 1930s.
Jethro Tull’s seed drill (Horse-hoeing husbandry, 4th edition, 1762.
In his 1731 publication, Tull described how the motivation for developing the seed-drill arose from conflict with his servants. He struggled to enforce his new methods upon them, in part because they resisted the threat to their position as laborers and skill with the plough. He also invented machinery for the purpose of carrying out his system of drill husbandry, about 1733. His first invention was a drill-plough to sow wheat and turnip seed in drills, three rows at a time.
A threshing machine or thresher is a piece of farm equipment that threshes grain: removes the seeds from the stalks and husks by beating the plant to make the seeds fall out. Before such machines were developed, threshing was done by hand with flails and was very laborious and time-consuming, taking about one-quarter of agricultural labor by the 18th century. Mechanization of this process removed a substantial amount of drudgery from farm labor. The first threshing machine was invented circa 1786 by the Scottish engineer Andrew Meikle and the subsequent adoption of such machines was one of the earlier examples of the mechanization of agriculture.
25.1.3: The Enclosure Act
Enclosure, or the process that ended traditional rights on common land formerly held in the open field system and restricted the use of land to the owner, is one of the causes of the Agricultural Revolution and a key factor behind the labor migration from rural areas to gradually industrializing cities.
Learning Objective
Interpret the consequences of enclosure
Key Points
- Common land is owned collectively by a
number of persons or by one person with others holding certain
traditional rights, such as to allow their livestock to graze upon it, collect
firewood, or cut turf for fuel. A person who has a right in or over common
land jointly with others is called a commoner. -
Most of the medieval common land of England was
lost due to enclosure. In English social and economic history, enclosure was the process that ended traditional rights on common land formerly held in the open
field system. Once enclosed, these land uses were restricted to the
owner, and the land ceased to be for the use of commoners. -
The process of enclosure became a
widespread feature of the English agricultural landscape during the 16th
century. By the 19th century, unenclosed commons became largely restricted
to large rough pastures in mountainous areas and relatively small
residual parcels of land in the lowlands. -
Enclosure
could be accomplished by buying the ground rights and all common rights to
accomplish exclusive rights of use, which increased the value of the land. The
other method was by passing laws causing or forcing enclosure, such as
parliamentary enclosures. The latter process was sometimes
accompanied by force, resistance, and bloodshed, and remains among the most
controversial areas of agricultural and economic history in England. -
Parliamentary
enclosures consolidated strips in the open fields into more compact
units and enclosed much of the remaining pasture commons or wastes.
They usually provided commoners with some other land in
compensation for the loss of common rights, although this was often of poor quality and
limited extent. They were also used for the division and privatization of common
“wastes” (in the original sense of uninhabited places). Voluntary enclosure was also
frequent at that time. - Enclosure faced a great deal of popular
resistance because of its effects on the household economies of smallholders
and landless laborers, who were often pushed out of the rural areas. Enclosure
is also considered one of the causes of the Agricultural Revolution.
Enclosed land was under control of the farmer, who was free to adopt better
farming practices. Following
enclosure, crop yields and livestock output increased while at the same time
productivity increased enough to create a surplus of labor. The increased labor
supply is considered one of the factors facilitating the Industrial Revolution.
Key Terms
- Industrial Revolution
-
The transition to new manufacturing
processes in the period from about 1760 to between 1820 and 1840. This
transition included going from hand production methods to machines, new
chemical manufacturing and iron production processes, improved efficiency of
water power, the increasing use of steam power, the development of machine
tools, and the rise of the factory system. - common land
-
A system of land ownership, known also as the common field system, in which land is owned collectively by a number of persons, or by one person with others holding certain traditional rights, such as to allow their livestock to graze upon it, collect firewood, or cut turf for fuel.
- Agricultural Revolution
-
The unprecedented increase in
agricultural production in Britain due to increases in labor and land
productivity between the mid-17th and late 19th centuries. Agricultural output
grew faster than the population over the century to 1770 and thereafter
productivity remained among the highest in the world. - Enclosure Acts
-
A series of United Kingdom Acts of Parliament which enclosed open fields and common land in the country, creating legal property rights to land that was previously considered common. Between 1604 and 1914, over 5,200 individual acts were put into place, enclosing 6.8 million acres.
- Enclosure
-
The legal process in England during the 18th century of enclosing a number of small landholdings to create one larger farm. Once enclosed, use of the land became restricted to the owner and it ceased to be common land for communal use. In England and Wales, the term is also used for the process that ended the ancient system of arable farming in open fields.
Background: Common Land
Common land is owned collectively by a number of persons, or by one person with others holding certain traditional rights, such as to allow their livestock to graze upon it, to collect firewood, or to cut turf for fuel. A person who has a right in or over common land jointly with others is called a commoner.
Originally in medieval England, the common was an integral part of the manor and thus part of the estate held by the lord of the manor under a feudal grant from the Crown or a superior peer, who in turn held his land from the Crown, which owned all land. This manorial system, founded on feudalism, granted rights of land use to different classes. These would be appurtenant rights, meaning the ownership of rights belonged to tenancies of particular plots of land held within a manor. A commoner would be the person who for the time being occupied a particular plot of land. Some rights of common were said to be in gross, or unconnected with tenure of land. This was more usual in regions where commons were extensive, such as in the high ground of Northern England or on the Fens, but also included many village greens across England and Wales.
Enclosure
Most of the medieval common land of England was lost due to enclosure. In English social and economic history, enclosure or inclosure was the process that ended traditional rights such as mowing meadows for hay or grazing livestock on common land formerly held in the open field system. Once enclosed, these uses of the land became restricted to the owner and the land cased to be for the use of commoners. In England and Wales, the term is also used for the process that ended the ancient system of arable farming in open fields. Under enclosure, such land was fenced (enclosed) and deeded or entitled to one or more owners. The process of enclosure became a widespread feature of the English agricultural landscape during the 16th century. By the 19th century, unenclosed commons were largely restricted to large areas of rough pasture in mountainous places and relatively small residual parcels of land in the lowlands.
Enclosure could be accomplished by buying the ground rights and all common rights to accomplish exclusive rights of use, which increased the value of the land. The other method was by passing laws causing or forcing enclosure, such as parliamentary enclosure. The latter process of enclosure was sometimes accompanied by force, resistance, and bloodshed, and remains among the most controversial areas of agricultural and economic history in England.
Implementation of the Acts
The more productive enclosed farms meant that fewer farmers were needed to work the same land, leaving many villagers without land and grazing rights. Many moved to the cities in search of work in the emerging factories of the Industrial Revolution. Others settled in the English colonies. English Poor Laws were enacted to help these newly poor. Some practices of enclosure were denounced by the Church and legislation was drawn up against it. However, the large, enclosed fields were needed for the gains in agricultural productivity from the 16th to 18th centuries. This controversy led to a series of government acts, culminating in the General Enclosure Act of 1801, which sanctioned large-scale land reform.
The Act of 1801 was one of many parliamentary enclosures that consolidated strips in the open fields into more compact units and enclosed much of the remaining pasture commons or wastes. Parliamentary enclosures usually provided commoners with some other land in compensation for the loss of common rights, although often of poor quality and limited extent. They were also used for the division and privatization of common “wastes” (in the original sense of uninhabited places), such as fens, marshes, heathland, downland, and moors. Voluntary enclosure was also frequent at that time.
Conjectural map of a medieval English manor. The part allocated to “common pasture” is shown in the north-east section, shaded green. William R. Shepherd, Historical Atlas, New York, Henry Holt and Company, 1923.
After 1529, the problem of untended farmland disappeared with the rising population. There was a desire for more arable land along with antagonism toward the tenant-graziers with their flocks and herds. Increased demand along with a scarcity of tillable land caused rents to rise dramatically in the 1520s to mid-century. There were popular efforts to remove old enclosures and much legislation of the 1530s and 1540s concerns this shift. Angry tenants impatient to reclaim pastures for tillage were illegally destroying enclosures.
Consequences
The primary benefits to large land holders came from increased value of their own land, not from expropriation. Smaller holders could sell their land to larger ones for a higher price post enclosure. Protests against parliamentary enclosures continued, sometimes also in Parliament, frequently in the villages affected, and sometimes as organized mass revolts. Enclosed land was twice as valuable, a price that could be sustained by its higher productivity.
While many villagers received plots in the newly enclosed manor, for small landholders this compensation was not always enough to offset the costs of enclosure and fencing. Many historians believe that enclosure was an important factor in the reduction of small landholders in England as compared to the Continent, although others believe that this process began earlier.
Enclosure faced a great deal of popular resistance because of its effects on the household economies of smallholders and landless laborers. Common rights had included not just the right of cattle or sheep grazing, but also the grazing of geese, foraging for pigs, gleaning, berrying, and fuel gathering. During the period of parliamentary enclosures, employment in agriculture did not fall, but failed to keep pace with the growing population. Consequently, large numbers of people left rural areas to move into the cities where they became laborers in the Industrial Revolution.
Enclosure is considered one of the causes of the British Agricultural Revolution. Enclosed land was under control of the farmer, who was free to adopt better farming practices. There was widespread agreement in contemporary accounts that profit making opportunities were better with enclosed land. Following enclosure, crop yields and livestock output increased while at the same time productivity increased enough to create a surplus of labor. The increased labor supply is considered one of the factors facilitating the Industrial Revolution.
25.1.4: Effects of the Agricultural Revolution
The increase in agricultural production and technological advancements during the Agricultural Revolution contributed to unprecedented population growth and new agricultural practices, triggering such phenomena as rural-to-urban migration, development of a coherent and loosely regulated agricultural market, and emergence of capitalist farmers.
Learning Objective
Infer some major social and economic outcomes of the Agricultural Revolution
Key Points
-
The Agricultural Revolution in Britain proved to
be a major turning point, allowing population to far exceed earlier peaks and
sustain the country’s rise to industrial preeminence. It is estimated that total agricultural output grew 2.7-fold between
1700 and 1870 and output per worker at a similar rate. The Agricultural
Revolution gave Britain the most productive agriculture in Europe,
with 19th-century yields as much as 80% higher than the Continental average. -
The increase in the food supply contributed to
the rapid growth of population in England and Wales, from 5.5 million in 1700
to over 9 million by 1801, although domestic production gave way increasingly to
food imports in the 19th century as population more than tripled to over 32
million. - The rise in productivity accelerated the decline of the
agricultural share of the labor force, adding to the urban workforce on which
industrialization depended. The Agricultural Revolution has therefore been cited
as a cause of the Industrial Revolution. As enclosure deprived many of access
to land or left farmers with plots too small and of poor quality, increasing
numbers of workers had no choice but migrate to the city. However, mass rural flight did not take place until the Industrial Revolution was already underway. - The most important
development between the 16th century and the mid-19th century was the
development of private marketing. By the 19th century, marketing was nationwide
and the vast majority of agricultural production was for market rather than for
the farmer and his family. -
The next stage of development was trading
between markets, requiring merchants, credit and forward sales, and knowledge of
markets and pricing as well as of supply and demand in different markets. Eventually
the market evolved into a national one driven by London and other growing
cities. Commerce was aided by the expansion of roads and inland
waterways. -
With the development of regional markets and
eventually a national market aided by improved transportation infrastructures,
farmers were no longer dependent on their local markets. This freed them from having to lower prices in an oversupplied local market and the inability to sell surpluses to distant localities experiencing
shortages. They also became less subject to price fixing regulations. Farming
became a business rather than solely a means of subsistence.
Key Terms
- enclosure
-
The legal process in England during
the 18th century of enclosing a number of small landholdings to create one
larger farm. Once enclosed, use of the land became restricted to the owner and
ceased to be common land for communal use. In England and Wales, the
term is also used for the process that ended the ancient system of arable
farming in open fields. - rural flight
-
The migratory pattern of peoples from rural areas into urban areas. It is urbanization seen from the rural perspective.
- Industrial Revolution
-
The transition to new manufacturing
processes in the period from about 1760 to between 1820 and 1840. This
transition included going from hand production methods to machines, new
chemical manufacturing and iron production processes, improved efficiency of
water power, the increasing use of steam power, the development of machine
tools and the rise of the factory system. - Agricultural Revolution
-
The unprecedented increase in
agricultural production in Britain due to increases in labor and land
productivity between the mid-17th and late 19th centuries. Agricultural output
grew faster than the population over the century to 1770 and thereafter
productivity remained among the highest in the world.
Significance of the Agricultural Revolution
The Agricultural Revolution in Britain proved to be a major turning point, allowing population to far exceed earlier peaks and sustain the country’s rise to industrial preeminence.
Although evidence-based advice on farming began to appear in England in the mid-17th century, the overall agricultural productivity of Britain grew significantly only later. It is estimated that total agricultural output grew 2.7-fold between 1700 and 1870 and output per worker at a similar rate.
The Agricultural Revolution gave Britain at the time the most productive agriculture in Europe, with 19th-century yields as much as 80% higher than the Continental average. Even as late as 1900, British yields were rivaled only by Denmark, the Netherlands, and Belgium. But Britain’s lead eroded as European countries experienced their own agricultural revolutions, raising grain yields on average by 60% in the century preceding World War I. Interestingly, the Agricultural Revolution in Britain did not result in overall productivity per hectare of agriculture that would rival productivity in China, where intensive cultivation (including multiple annual cropping in many areas) had been practiced for many centuries. Towards the end of the 19th century, the substantial gains in British agricultural productivity were rapidly offset by competition from cheaper imports, made possible by the exploitation of colonies and advances in transportation, refrigeration, and other technologies.
Social Impact
The increase in the food supply contributed to the rapid growth of population in England and Wales, from 5.5 million in 1700 to over 9 million by 1801, although domestic production gave way increasingly to food imports in the 19th century as population more than tripled to over 32 million. The rise in productivity accelerated the decline of the agricultural share of the labor force, adding to the urban workforce on which industrialization depended. The Agricultural Revolution has therefore been cited as a cause of the Industrial Revolution. As enclosure deprived many of access to land or left farmers with plots too small and of poor quality, increasing numbers of workers had no choice but migrate to the city.
Prior to the Industrial Revolution, however, rural flight occurred in mostly localized regions. Pre-industrial societies did not experience large rural-urban migration flows, primarily due to the inability of cities to support large populations. Lack of large employment industries, high urban mortality, and low food supplies all served as checks keeping pre-industrial cities much smaller than their modern counterparts. While the
improved agricultural productivity freed up workers to other sectors of the economy, it took decades of the Industrial Revolution and industrial development to trigger a truly mass rural-to-urban labor migration. As food supplies increased and stabilized and industrialized centers moved into place, cities began to support larger populations, sparking the beginning of rural flight on a massive scale. In England, the proportion of the population living in cities jumped from 17% in 1801 to 72% in 1891.
Drawing of a horse-powered thresher from a French dictionary (published in 1881).
The development and advancement of tools and machines decreased the demand for rural labor. That together with increasingly restricted access to land forced many rural workers to migrate to cities, eventually supplying the labor demand created by the Industrial Revolution.
New Agricultural Market Trends
Markets were widespread by 1500. These were regulated and not free. The most important development between the 16th century and the mid-19th century was the development of private marketing. By the 19th century, marketing was nationwide and the vast majority of agricultural production was for market rather than for the farmer and his family. The 16th-century market radius was about 10 miles, which could support a town of 10,000.
High wagon transportation costs made it uneconomical to ship commodities very far outside the market radius by road, generally limiting shipment to less than 20 or 30 miles to market or to a navigable waterway.
The next stage of development was trading between markets, requiring merchants, credit and forward sales, and knowledge of markets and pricing as well as of supply and demand in different markets. Eventually the market evolved into a national one driven by London and other growing cities. By 1700, there was a national market for wheat. Legislation regulating middlemen required registration, and addressed weights and measures, fixing of prices, and collection of tolls by the government. Market regulations were eased in 1663, when people were allowed some self-regulation to hold inventory, but it was forbidden to withhold commodities from the market in an effort to increase prices. In the late 18th century, the idea of “self regulation” was gaining acceptance.
The lack of internal tariffs, customs barriers, and feudal tolls made Britain “the largest coherent market in Europe.”
Commerce was aided by the expansion of roads and inland waterways. Road transport capacity grew from threefold to fourfold from 1500 to 1700.
By the early 19th century it cost as much to transport a ton of freight 32 miles by wagon over an unimproved road as it did to ship it 3,000 miles across the Atlantic.
With the development of regional markets and eventually a national market aided by improved transportation infrastructures, farmers were no longer dependent on their local markets and were less subject to having to sell at low prices into an oversupplied local market and not being able to sell their surpluses to distant localities that were experiencing shortages. They also became less subject to price fixing regulations. Farming became a business rather than solely a means of subsistence. Under free market capitalism, farmers had to remain competitive. To be successful, they had to become effective managers who incorporated the latest farming innovations in order to be low-cost producers.
25.2: Textile Manufacturing
25.2.1: The British Textile Industry
The British textile industry drove the Industrial Revolution, triggering
advancements in technology, stimulating the coal and iron industries, boosting raw material imports, and improving transportation, which made Britain the global leader of industrialization, trade, and scientific innovation.
Learning Objective
Evaluate the British textile industry and its place in the global market before and after the Industrial Revolution
Key Points
-
Before the 17th century, the manufacture of textiles was performed on a limited scale by individual workers, usually on their
own premises. Goods were transported around the country by clothiers who
visited the village with their trains of packhorses. Some of the cloth was made
into clothes for people living in the same area and a large amount of cloth was
exported. -
In the early 18th century, the British government
passed two Calico Acts to protect the domestic woolen industry from
the increasing amounts of cotton fabric imported from competitors in India.
On the eve of the Industrial Revolution, spinning and weaving were still done
in households, for domestic consumption, and as a cottage industry under the
putting-out system.
Occasionally the work was done in the workshop of a master
weaver. -
The
key British industry at the beginning of the 18th century was the production of
textiles made with wool from large sheep-farming areas. This
was a labor-intensive activity providing employment throughout Britain. The export trade in woolen goods accounted for more than a
quarter of British exports during most of the 18th century, doubling between
1701 and 1770. Exports by the cotton industry had
grown tenfold during this time, but still accounted for only a tenth of the
value of the wool trade. -
Starting
in the later part of the 18th century, mechanization of the textile
industries, the development of iron-making techniques, and the increased use of
refined coal began. Trade expansion was enabled by the introduction of canals,
improved roads, and railways. Factories pulled thousands from low-productivity
work in agriculture to high-productivity urban jobs. -
Textiles
have been identified as the catalyst of technological changes and thus their
importance during the Industrial Revolution cannot be overstated. The
application of steam power stimulated the demand for coal. The demand for
machinery and rails stimulated the iron industry. The demand for transportation
to move raw material in and finished products out stimulated the growth of the
canal system, and (after 1830) the railway system. -
From
1815 to 1870 Britain reaped the benefits of being the world’s first modern
industrialized nation. If political conditions in a
particular overseas market were stable, Britain could dominate its
economy through free trade alone without resorting to formal rule or
mercantilism. By 1820, 30% of Britain’s exports went to its Empire, rising
slowly to 35% by 1910. Apart from coal and iron, most raw materials had to be
imported. By 1900, Britain’s
global share soared to 22.8% of total imports. By 1922, its global share soared
to 14.9% of total exports and 28.8% of manufactured exports.
Key Terms
- mercantilism
-
An economic theory and practice dominant in Western Europe during the 16th to mid-19th centuries and a form of economic nationalism. Its goal was to enrich and empower the nation and state to the maximum degree by acquiring and retaining as much economic activity as possible within the nation’s borders. Manufacturing and industry, particularly of goods with military applications, was prioritized.
- cottage industry
-
A small-scale industry in which the creation of products and services is home-based rather than factory-based. It was a dominant form of production in prior to industrialization but continues to exist today. While products and services are often unique and distinctive, given that they are usually not mass-produced, producers in this sector often face numerous disadvantages when trying to compete with much larger factory-based companies.
- putting-out system
-
A means of subcontracting work, historically known as the workshop system and the domestic system, in which work is contracted by a central agent to subcontractors who complete the work in off-site facilities, either in their own homes or in workshops with multiple craftsmen.
- Calico Acts
-
Two legislative acts, one of 1700 and one of 1721, that banned the import of most cotton textiles into England, followed by the restriction of sale of most cotton textiles.
Pre-Industrial Textile Industry
Before the 17th century, the manufacture of goods was performed on a limited scale by individual workers, usually on their own premises. Goods were transported around the country by clothiers who visited the village with their trains of packhorses. Some was made into clothes for people living in the same area and a large amount was exported. In the early 18th century, artisans were inventing ways to become more productive. Silk, wool, fustian
(a cloth with flax warp and cotton weft), and linen were eclipsed by cotton, which was becoming the most important textile. This set the foundation for the changes.
In the early 18th century, the British government passed two Calico Acts to protect the domestic wool industry from the increasing amounts of cotton fabric imported from its competitors in India.
On the eve of the Industrial Revolution, spinning and weaving were still done in households, for domestic consumption, and as a cottage industry under the putting-out system. Occasionally the work was done in the workshop of a master weaver. Under the putting-out system, home-based workers produced under contract to merchant sellers, who often supplied the raw materials. In the off season the women, typically farmers’ wives, did the spinning and the men did the weaving. Using the spinning wheel, it took anywhere from four to eight spinners to supply one hand loom weaver.
The key British industry at the beginning of the 18th century was the production of textiles made with wool from the large sheep-farming areas in the Midlands and across the country (created as a result of land-clearance and enclosure). This was a labor-intensive activity providing employment throughout Britain, with major centers in the West Country, Norwich and environs, and the West Riding of Yorkshire. The export trade in woolen goods accounted for more than a quarter of British exports during most of the 18th century, doubling between 1701 and 1770. Exports by the cotton industry – centered in Lancashire – grew tenfold during this time, but still accounted for only a tenth of the value of the woolen trade.
Industrial Revolution and Textiles
Starting in the later part of the 18th century, there was a transition in parts of Great Britain’s previously manual labor and draft animal-based economy toward machine-based manufacturing. It started with the mechanization of the textile industries, the development of iron-making techniques, and the increased use of refined coal. Trade expansion was enabled by the introduction of canals, improved roads, and railways. Factories pulled thousands from low-productivity work in agriculture to high-productivity urban jobs.
Textiles have been identified as the catalyst of technological changes and thus their importance during the Industrial Revolution cannot be overstated. The application of steam power stimulated the demand for coal. The demand for machinery and rails stimulated the iron industry. The demand for transportation to move raw material in and finished products out stimulated the growth of the canal system, and (after 1830) the railway system. The introduction of steam power fueled primarily by coal, wider utilization of water wheels, and powered machinery in textile manufacturing underpinned the dramatic increases in production capacity. The development of all-metal machine tools in the first two decades of the 19th century facilitated the manufacture of more production machines for manufacturing in other industries. The effects spread throughout Western Europe and North America during the 19th century, eventually affecting most of the world.
The invention of the flying shuttle by John Kay enabled wider cloth to be woven faster, but also created a demand for yarn that could not be fulfilled. Thus, the major technological advances associated with the Industrial Revolution were concerned with spinning. James Hargreaves created the spinning jenny, a device that could perform the work of a number of spinning wheels. However, while this invention could be operated by hand, the water frame, invented by Richard Arkwright, could be powered by a water wheel. Arkwright is credited with the widespread introduction of the factory system in Britain and is the first example of the successful mill owner and industrialist in British history. The water frame was, however, soon supplanted by the spinning mule (a cross between a water frame and a jenny) invented by Samuel Crompton. Mules were later constructed in iron.
Model of the spinning jenny in a museum in Wuppertal. Invented by James Hargreaves in 1764, the spinning jenny was one of the innovations that started the revolution.
In a period loosely dated from the 1770s to the 1820s, Britain experienced an accelerated process of economic change that transformed a largely agrarian economy into the world’s first industrial economy. The changes were far-reaching and permanent throughout many areas of Britain, eventually affecting the entire world.
The steam engine was invented and became a power supply that soon surpassed waterfalls and horsepower. The first practicable steam engine was invented by Thomas Newcomen and was used for pumping water out of mines. A much more powerful steam engine was invented by James Watt. It had a reciprocating engine capable of powering machinery. The first steam-driven textile mills began to appear in the last quarter of the 18th century, greatly contributing to the appearance and rapid growth of industrial towns.
The progress of the textile trade soon outstripped the original supplies of raw materials. By the turn of the 19th century, imported American cotton had replaced wool in the North West of England, although wool remained the chief textile in Yorkshire.
Such an unprecedented degree of economic growth was not sustained by domestic demand alone. The application of technology and the factory system created the levels of mass production and cost efficiency that enabled British manufacturers to export inexpensive cloth and other items worldwide. Britain’s position as the world’s preeminent trader helped fund research and experimentation. Further, some have stressed the importance of natural or financial resources that Britain received from its many overseas colonies or that profits from the British slave trade between Africa and the Caribbean helped fuel industrial investment.
Global Leader
After 1840, Britain abandoned mercantilism and committed its economy to free trade with few barriers or tariffs. This was most evident in the repeal in 1846 of the Corn Laws, which imposed stiff tariffs on imported grain. The end of these laws opened the British market to unfettered competition, grain prices fell, and food became more plentiful.
From 1815 to 1870 Britain reaped the benefits of being the world’s first modern, industrialized nation. The British readily described their country as “the workshop of the world,” meaning that its finished goods were produced so efficiently and cheaply that they could often undersell comparable locally manufactured goods in almost any other market. If political conditions in a particular overseas market were stable enough, Britain could dominate its economy through free trade alone without resorting to formal rule or mercantilism. By 1820, 30% of Britain’s exports went to its Empire, rising slowly to 35% by 1910. Apart from coal and iron, most raw materials had to be imported so in the 1830s, the main imports were (in order): raw cotton (from the American South), sugar (from the West Indies), wool, silk, tea (from China), timber (from Canada), wine, flax, hides, and tallow. By 1900, Britain’s global share soared to 22.8% of total imports. By 1922, its global share soared to 14.9% of total exports and 28.8% of manufactured exports.
25.2.2: Technological Developments in Textiles
The British textile industry triggered tremendous scientific innovation, resulting in such key inventions as the flying shuttle, spinning jenny, water frame, and spinning mule. These greatly improved productivity and drove further technological advancements that turned textiles into a fully mechanized industry.
Learning Objective
Describe the technology that allowed the textile industry to move towards more automated processes
Key Points
-
The exemption of raw
cotton from the 1721 Calico Act saw two thousand bales of cotton imported
annually from Asia and the Americas, forming the basis of a new indigenous
industry. This triggered the development of a series of mechanized spinning and
weaving technologies to process the material. This production was
concentrated in new cotton mills, which slowly expanded. -
The textile industry drove
groundbreaking scientific innovations. The flying shuttle was patented in 1733
by John Kay. It became widely used around Lancashire after 1760 when
John’s son, Robert, designed what became known as the drop
box. Lewis Paul patented the roller spinning frame and the flyer-and-bobbin
system for drawing wool to an even thickness. The technology was developed
with the help of John Wyatt of Birmingham. Paul’s invention was advanced and improved by Richard Arkwright in his water
frame and Samuel Crompton in his spinning mule. -
In 1764, James Hargreaves invented the spinning jenny, which he
patented in 1770. It was the first practical spinning frame with multiple
spindles. The spinning frame or water
frame was developed by Richard Arkwright who along with two partners patented
it in 1769. The design was partly based on a spinning machine built for Thomas
High by clock maker John Kay, who was hired by Arkwright. -
Samuel Crompton’s spinning
mule, introduced in 1779, was a combination of the spinning jenny and the water
frame. Crompton’s mule spun thread was of suitable strength to be
used as warp and finally allowed Britain to produce good-quality calico cloth. Edmund Cartwright developed a
vertical power loom that he patented in 1785. Samuel Horrocks and Richard Roberts successively improved Crompton’s invention. - The textile industry was
also to benefit from other developments of the period. In 1765, James Watt modified Thomas Newcomen’s engine (based on Thomas Savery’s earlier invention) to design an external condenser steam engine. Watt continued
to make improvements on his design, producing a separate condenser engine in
1774 and a rotating separate condensing engine in 1781. Watt formed a
partnership with a businessman Matthew Boulton and together they manufactured
steam engines that could be used by industry. -
With Cartwright’s loom,
the spinning mule, and Boulton and Watt’s steam engine, the pieces were in
place to build a mechanized textile industry. From this point there were no new
inventions, but a continuous improvement in technology as the mill-owner strove
to reduce cost and improve quality. Steam engines were improved,
the problem of line-shafting was addressed by replacing the wooden turning shafts with wrought iron shafting. In addition, the first loom with a cast-iron frame, a
semiautomatic power loom, and, finally a self-acting mule were introduced. -
Key Terms
- flying shuttle
-
One of the key developments in the industrialization of weaving during the early Industrial Revolution. It allowed a single weaver to weave much wider fabrics and could be mechanized, allowing for automatic machine looms. It was patented by John Kay in 1733.
- spinning jenny
-
A multi-spindle spinning frame, one of the key developments in the industrialization of weaving during the early Industrial Revolution. It was invented in 1764 by James Hargreaves in Stanhill, Oswaldtwistle, Lancashire in England. The device reduced the amount of work needed to produce yarn, with a worker able to make eight or more spools at once.
- water frame
-
An machine to create cotton thread first used in 1768. It was able to spin 128 threads at a time, making it an easier and faster method than ever before. It was developed by Richard Arkwright, who patented the technology in 1767. The design was partly based on a spinning machine built for Thomas Highs by clock maker John Kay, who was hired by Arkwright.
- Calico Acts
-
Two legislative acts, one of 1700 and one of 1721, that banned the import of most cotton textiles into England, followed by the restriction of sale of most cotton textiles.
- spinning mule
-
A machine used to spin cotton and other fibers in the British mills, used extensively from the late 18th to the early 20th century.
It was invented between 1775 and 1779 by Samuel Crompton. The machines were worked in pairs by a minder, with the help of two boys: the little piecer and the big or side piecer. The carriage carried up to 1,320 spindles and could be 150 feet (46 m) long; it could move forward and back a distance of 5 feet (1.5 m) four times a minute.
Early Developments
During the second half of the 17th century, the newly established factories of the East India Company in South Asia started to produce finished cotton goods in quantity for the UK market. The imported calico and chintz garments competed with and acted as a substitute for indigenous wool and linen produce. That resulted in local weavers, spinners, dyers, shepherds, and farmers petitioning the Parliament to request a ban on the import and later the sale of woven cotton goods. They eventually achieved their goal via the 1700 and 1721 Calico Acts. The acts banned the import and later the sale of finished pure cotton produce, but did not restrict the importation of raw cotton or the sale or production of fustian
(a cloth with flax warp and cotton weft).
The exemption of raw cotton from the
1721 Calico Act saw 2,000 bales of cotton imported annually from
Asia and the Americas and forming the basis of a new indigenous industry,
initially producing fustian for the domestic market. More importantly, though, it triggered the development of a series of mechanized spinning and weaving
technologies to process the material. This mechanized production
was concentrated in new cotton mills, which slowly expanded. By the
beginning of the 1770s, 7,000 bales of cotton were imported annually.
The new mill owners put pressure on Parliament to remove the prohibition on the
production and sale of pure cotton cloth as they could now compete with imported cotton.
Since much of the imported cotton
came from New England, ports on the west coast of Britain such as Liverpool,
Bristol, and Glasgow were crucial to determining the sites of the cotton
industry. Lancashire became a center for the nascent cotton industry because
the damp climate was better for spinning the yarn. As the cotton thread was not
strong enough to use as warp, wool, linen, or fustian had to be used and
Lancashire was an existing wool center.
Key Inventions
The textile industry drove groundbreaking scientific innovations. The flying shuttle was patented in 1733 by John
Kay and saw a number of subsequent improvements including an important one in
1747 that doubled the output of a weaver It became widely used around Lancashire after 1760 when John’s
son, Robert,
designed a method for deploying multiple shuttles simultaneously, enabling the use of wefts of more than one color and making it easier for the weaver to produce cross-striped material. These shuttles were housed at the side of the loom in what became known as the drop box. Lewis Paul patented the roller spinning
frame and the flyer-and-bobbin system for drawing wool to a more even
thickness. The technology was developed with the help of John Wyatt of
Birmingham. Paul and Wyatt opened a mill in Birmingham, which used their new
rolling machine powered by a donkey. In 1743, a factory opened in Northampton
with 50 spindles on each of five of Paul and Wyatt’s machines. It operated
until about 1764. A similar mill was built by Daniel Bourn in Leominster, but
it burnt down. Both Paul and Bourn patented carding machines in 1748. Based on
two sets of rollers that traveled at different speeds, these were later used in the
first cotton spinning mill. Lewis’s invention was advanced and improved
by Richard Arkwright in his water frame and Samuel Crompton in his spinning
mule.
In 1764 in the village of Stanhill,
Lancashire, James Hargreaves invented the spinning jenny, which he patented in
1770. It was the first practical spinning frame with multiple spindles. The
jenny worked in a similar manner to the spinning wheel by first clamping down
on the fibers then drawing them out, followed by twisting. It was a simple,
wooden-framed machine that cost only about £6 for a 40-spindle model in 1792 and
was used mainly by home spinners. The jenny produced a lightly twisted yarn
only suitable for weft, not warp.
Model of spinning jenny in the Museum of Early Industrialization, Wuppertal
The device reduced the amount of work needed to produce yarn, with a worker able to work eight or more spools at once. This grew to 120 as technology advanced.
The spinning frame or water frame
was developed by Richard Arkwright who along with two partners patented it in
1769. The design was partly based on a spinning machine built for Thomas High
by clock maker John Kay, who was hired by Arkwright. For each spindle, the
water frame used a series of four pairs of rollers, each operating at a
successively higher rotating speed to draw out the fiber, which was then
twisted by the spindle. The roller spacing was slightly longer than the fiber
length. Closer spacing caused the fibers to break while further spacing caused uneven thread. The top rollers were leather-covered and loading
on them was applied by a weight that kept the twist from backing
up before the rollers. The bottom rollers were wood and metal, with fluting
along the length. The water frame was able to produce a hard, medium count
thread suitable for warp, finally allowing 100% cotton cloth to be made in
Britain. A horse powered the first factory to use the spinning frame. Arkwright
and his partners used water power at a factory in Cromford, Derbyshire in 1771,
giving the invention its name.
Model of a water frame in the Historical Museum in Wuppertal
Richard Arkwright is credited with a list of inventions, but these were actually developed by such people as Thomas Highs and John Kay. Arkwright nurtured the inventors, patented the ideas, financed the initiatives, and protected the machines. He created the cotton mill, which brought the production processes together in a factory, and he developed the use of power—first horse power and then water power—which made cotton manufacture a mechanized industry.
Samuel Crompton’s spinning mule,
introduced in 1779, was a combination of the spinning jenny and the water frame. The spindles were placed on a carriage that went through an
operational sequence during which the rollers stopped while the carriage moved
away from the drawing roller to finish drawing out the fibers as the spindles
started rotating. Crompton’s mule was able to produce finer thread than hand
spinning at a lower cost. Mule spun thread was of suitable strength to be
used as warp and finally allowed Britain to produce good-quality calico cloth.
The only surviving example of a spinning mule built by the inventor Samuel Crompton
The spinning mule spins textile fibers into yarn by an intermittent process. In the draw stroke, the roving is pulled through rollers and twisted. On the return it is wrapped onto the spindle.
Realizing that the expiration of the
Arkwright patent would greatly increase the supply of spun cotton and lead to a
shortage of weavers, Edmund Cartwright developed a vertical power loom which he
patented in 1785. Cartwright’s loom design had several flaws, including thread breakage. Samuel Horrocks patented a fairly successful loom in
1813; it was improved by Richard Roberts in 1822, and these were
produced in large numbers by Roberts, Hill & Co.
The textile industry was also to
benefit from other developments of the period. As early as 1691, Thomas Savery
made a vacuum steam engine. His design, which was unsafe, was improved by
Thomas Newcomen in 1698. In 1765, James Watt further modified Newcomen’s engine
to design an external condenser steam engine. Watt continued to make
improvements on his design, producing a separate condenser engine in 1774 and a
rotating separate condensing engine in 1781. Watt formed a partnership with a
businessman Matthew Boulton and together they manufactured steam engines
that could be used by industry.
Mechanization of the Textile Industry
With Cartwright’s loom, the spinning mule, and Boulton and Watt’s steam engine, the pieces were in place to build a mechanized textile industry. From this point there were no new inventions, but a continuous improvement in technology as the mill-owner strove to reduce cost and improve quality. Developments in the transport infrastructure such as the canals and, after 1830, the railways, facilitated the import of raw materials and export of finished cloth.
The use of water power to drive mills was supplemented by steam-driven water pumps and then superseded completely by the steam engines. For example, Samuel Greg joined his uncle’s firm of textile merchants and on taking over the company in 1782, sought out a site to establish a mill. Quarry Bank Mill was built on the River Bollin at Styal in Cheshire. It was initially powered by a water wheel, but installed steam engines in 1810. In 1830, the average power of a mill engine was 48 horsepower (hp), but Quarry Bank mill installed an new 100 hp water wheel. This would change in 1836, when Horrocks & Nuttall, Preston took delivery of 160 hp double engine. William Fairbairn addressed the problem of line-shafting and was responsible for improving the efficiency of the mill. In 1815, he replaced the wooden turning shafts that drove the machines to wrought iron shafting, which were a third of the weight and absorbed less power. The mill operated until 1959.
In 1830, using an 1822 patent, Richard Roberts manufactured the first loom with a cast-iron frame, the Roberts Loom. In 1842, James Bullough and William Kenworthy made a semiautomatic power loom known as the Lancashire Loom. Although it was self-acting, it had to be stopped to recharge empty shuttles. It was the mainstay of the Lancashire cotton industry for a century, when the Northrop Loom invented in 1894 with an automatic weft replenishment function gained ascendancy.
The 1824 Stalybridge mule spinners strike stimulated research into the problem of applying power to the winding stroke of the mule. In 1830, Richard Roberts patented the first self-acting mule. The draw while spinning had been assisted by power, but the push of the wind was done manually by the spinner. Before 1830, the spinner would operate a partially powered mule with a maximum of 400 spindles. After 1830, self-acting mules with up to 1,300 spindles could be built. The savings with this technology were considerable. A worker spinning cotton at a hand-powered spinning wheel in the 18th century would take more than 50,000 hours to spin 100 pounds of cotton. By the 1790s, the same quantity could be spun in 300 hours by mule, and with a self-acting mule it could be spun by one worker in just 135 hours.
Export Technology
While profiting from expertise arriving from overseas, Britain was very protective of home-grown technology. In particular, engineers with skills in constructing the textile mills and machinery were not permitted to emigrate — particularly to the fledgling America.
However, Samuel Slater,
an engineer who had worked as an apprentice to Arkwright’s partner Jedediah Strutt, evaded the ban. In 1789, he took his skills in designing and constructing factories to New England and was soon engaged in reproducing the textile mills that helped America with its own industrial revolution.
Local inventions followed. In 1793, Eli Whitney invented and patented the cotton gin, which sped up the processing of raw cotton by over 50 times. With a cotton gin a man could remove seed from as much upland
cotton in one day as would have previously taken a woman working two months to process
at one pound per day.
25.2.3: The First Factories
The factory system was a new way of organizing labor made necessary by the development of machines, which were too large to house in a worker’s cottage and too expensive to be owned by the worker, who now labored long hours and lived under hazardous conditions in fledgling cities.
Learning Objective
Describe the effects the advent of factories had on British society
Key Points
-
The factory system
was a new way of organizing labor made necessary by the development of
machines, which were too large to house in a worker’s cottage and much too
expensive to be owned by the worker. One
of the earliest factories was John Lombe’s water-powered silk mill at Derby,
operational by 1721. By 1746, an integrated brass mill was working at Warmley
near Bristol. However, Richard
Arkwright is credited as the brains behind the growth of
factories, specifically the Derwent Valley Mills. -
Between
the 1760s and 1850, the nature of work transitioned from a craft production
model to a factory-centric model. Textile factories organized workers’ lives
much differently than did craft production. Handloom weavers worked at their own
pace, with their own tools, within their own cottages. Factories set hours
of work and the machinery within them shaped the pace of work. Factories
brought workers together within one building to work on machinery that they did
not own. They also increased the division of labor, narrowing the number and
scope of tasks. -
The
early textile factories employed many children. In England and
Scotland in 1788, two-thirds of the workers in 143 water-powered cotton mills
were children. By 1835,
the share of the workforce under 18 years of age in cotton mills in England and
Scotland had fallen to 43%. The eventual transition of child workforce into experienced adult factory workforce helps to account for the shift away from
child labor in textile factories. While child labor was common on farms and under
the putting-out system, historians agree that the impact of the factory system
and the Industrial Revolution generally on children was damaging. -
Marriage
during the Industrial Revolution became a sociable
union between wife and husband in the laboring class. Women and men tended to
marry someone from the same job, geographical location, or social
group. The traditional work sphere was still dictated by the father, who
controlled the pace of work for his family. However, factories and mills
undermined the old patriarchal authority. Factories put husbands, wives, and
children under the same conditions and authority of the manufacturer
masters. - The
factory system was partly responsible for the rise of urban living, as large
numbers of workers migrated into the towns in search of employment in the
factories. Until the late 19th century, it was common to work at least 12 hours
a day, six days a week in most factories, but long hours were also common
outside factories. The
transition to industrialization was not without opposition from the workers who
feared that machines would end the need for skilled labor. -
One of the best known accounts of factory
worker’s tragic living conditions during the Industrial Revolution is Friedrich
Engels’ The Condition of the Working Class in England in 1844. Since then, the historical debate on the question
of living conditions of factory workers has been very controversial. While some
have pointed out that living conditions of the poor workers slowly improved thanks to industrialization, others have concluded that in many ways workers’ living
standards declined under early capitalism and improved only much later.
Key Terms
- putting-out system
-
A means of subcontracting work, historically known also as the workshop system and the domestic system. In it, work is contracted by a central agent to subcontractors who complete the work in off-site facilities, either in their own homes or in workshops with multiple craftsmen.
- spinning jenny
-
A multi-spindle spinning frame, one
of the key developments in the industrialization of weaving during
the early Industrial Revolution. It was invented in 1764 by James
Hargreaves in Stanhill, Oswaldtwistle, Lancashire in England. The
device reduced the amount of work needed to produce yarn, with a worker able to
work eight or more spools at once. - Luddites
-
A group of English textile workers and self-employed weavers in the 19th century that used the destruction of machinery as a form of protest. The group was protesting the use of machinery in a “fraudulent and deceitful manner” to get around standard labor practices. They were fearful that the years they had spent learning the craft would go to waste and unskilled machine operators would rob them of their livelihood.
- factory system
-
A method of manufacturing using machinery and division of labor, first adopted in Britain at the beginning of the Industrial Revolution in the late 18th century and later spread around the world. Use of machinery with the division of labor reduced the required skill level of workers and also increased the output per worker.
Rise of the Factory System
Prior to the Industrial Revolution, most of the workforce was employed in agriculture, either as self-employed farmers as land owners or tenants, or as landless agricultural laborers. By the time of the Industrial Revolution the putting-out system in which farmers and townspeople produced goods in their homes, often described as cottage industry, was the standard. Typical putting-out system goods included spinning and weaving. Merchant capitalists provided the raw materials, typically paid workers by the piece, and were responsible for the sale of the goods. Workers put long hours into low-productivity but labor-intensive tasks. The logistical effort in procuring and distributing raw materials and picking up finished goods were also limitations of the system.
Some early spinning and weaving machinery, such as a 40 spindle spinning jenny for about six pounds in 1792, was affordable to cottagers. Later machinery such as spinning frames, spinning mules, and power looms were expensive (especially if water-powered), giving rise to capitalist ownership of factories. Many workers, who had nothing but their labor to sell, became factory workers in the absence of any other opportunities.
The factory system was a new way of organizing labor made necessary by the development of machines, which were too large to house in a worker’s cottage and much too expensive to be owned by the worker.
One of the earliest factories was John Lombe’s water-powered silk mill at Derby, operational by 1721. By 1746, an integrated brass mill was working at Warmley near Bristol. Raw material went in at one end, then smelted into brass to become pans, pins, wire, and other goods. Housing was provided for workers on site. Josiah Wedgwood in Staffordshire and Matthew Boulton at his Soho Manufactory were other prominent early industrialists, who employed the factory system. However, Richard Arkwright is credited as the brains behind the growth of factories and, specifically, the Derwent Valley Mills. After he patented his water frame in 1769, he established Cromford Mill in Derbyshire, England.
The Soho Manufactory, J. Bissett’s Magnificent Directory, 1800.
This early factory was established by the toy manufacturer Matthew Boulton and his business partner John Fothergill. In 1761, they leased a site on Handsworth Heath, containing a cottage and a water-driven metal-rolling mill. The mill was replaced by a new factory, designed and built by the Wyatt family of Lichfield, and completed in 1766. It produced a wide range of goods from buttons, buckles, and boxes to japanned ware (collectively called “toys”) and later luxury products such as silverware and ormolu (a type of gilded bronze).
Working Practices
Between the 1760s and 1850, the nature of work transitioned from a craft production model to a factory-centric model. Textile factories organized workers’ lives much differently than did craft production. Handloom weavers worked at their own pace, with their own tools, and within their own cottages. Factories set hours of work and the machinery within them shaped the pace of work. Factories brought workers together within one building to work on machinery that they did not own. They also increased the division of labor, narrowing the number and scope of tasks.
The work-discipline was forcefully instilled upon the workforce by the factory owners.
The early textile factories employed many children.
In England and Scotland in 1788, two-thirds of the workers in 143 water-powered cotton mills were children. Sir Robert Peel, a mill owner turned reformer, promoted the 1802 Health and Morals of Apprentices Act, which was intended to prevent pauper children from working more than 12 hours a day in mills. Children started in the mills at around the age of four, working as mule scavengers under the working machinery until they were eight. They progressed to working as little piecers until they were 15. During this time they worked 14 to 16 hours a day, often physically abused. By 1835, the share of the workforce under 18 years of age in cotton mills in England and Scotland had fallen to 43%. About half of workers in Manchester and Stockport cotton factories surveyed in 1818 and 1819 bagan work at under ten years of age. Most of the adult workers in cotton factories in mid-19th-century Britain started as child laborers. The growth of this experienced adult factory workforce helps to account for the shift away from child labor in textile factories.
Societal Impact
While child labor was common on farms and under the putting-out system, historians agree that the impact of the factory system and the Industrial Revolution on children was damaging. In the industrial districts, children tended to enter the workforce at younger ages. Many of the new factory owners preferred to employ children as they viewed them as more docile and their wages were lower (10-20% of what was paid to male adult workers, while adult women made about 25% of an adult male salary). Although most families channeled their children’s earnings into providing a better diet for them, the physical toll of working in the factories was too great and led to detrimental outcomes for children. Child laborers tended to be orphans, children of widows, or from the poorest families. Cruelty and torture was enacted on children by master-manufacturers to maintain high output or keep them awake. The children’s bodies become crooked and deformed from the work in the mills and factories.
Prior to the development of the factory system, in the traditional marriage of the laboring class, women would marry men of the same social status and marriage outside this norm was unusual. Marriage during the Industrial Revolution shifted from this tradition to a more sociable union between wife and husband in the laboring class. Women and men tended to marry someone from the same job, geographical location, or social group. The traditional work sphere was still dictated by the father, who controlled the pace of work for his family. However, factories and mills undermined the old patriarchal authority. Factories put husbands, wives, and children under the same conditions and authority of the manufacturer masters.
Factory workers typically lived within walking distance to work until the introduction of bicycles and electric street railways in the 1890s. Thus the factory system was partly responsible for the rise of urban living, as large numbers of workers migrated into the towns in search of employment in the factories.
Until the late 19th century, it was common to work at least 12 hours a day, six days a week in most factories, but long hours were also common outside factories.
The transition to industrialization was not without opposition from the workers, who feared that machines would end the need for highly skilled labor. For example, a group of English workers known as Luddites formed to protest against industrialization and sometimes sabotaged factories. They continued an already established tradition of workers opposing labor-saving machinery. Numerous inventors in the textile industry, such as John Kay and Samuel Crompton, suffered harassment when developing their machines or devices. However, in other industries the transition to factory production was not so divisive.
The Leader of the Luddites, engraving of 1812, author unknown.
Although the Luddites feared above all that machines would remove the need for highly skilled labor, one misconception about the group is that they protested against the machinery itself in a vain attempt to halt progress. As a result, the term has come to mean a person opposed to industrialization, automation, computerization, or new technologies in general.
The overall impact of the factory system and the Industrial Revolution more on adults has been the subject of extensive debate among historians for over a century. Optimists have argued that industrialization brought higher wages and better living standards to most people. Pessimists have argued that these gains have been over-exaggerated, wages did not rise significantly during this period, and whatever economic gains were actually made must be offset against the worsening health and housing of the new urban sectors. Since the 1990s, many contributions to the standard of living debate has tilted towards the pessimist interpretation.
One of the best -known accounts of factory worker’s living conditions during the Industrial Revolution is Friedrich Engels’ The Condition of the Working Class in England in 1844. Engels described backstreet sections of Manchester and other mill towns, where people lived in crude shanties and shacks, some not completely enclosed, some with dirt floors. These shanty towns had narrow walkways between irregularly shaped lots and dwellings. There were no sanitary facilities. Population density was extremely high. Eight to ten unrelated mill workers often shared a room with no furniture, and slept on a pile of straw or sawdust. Disease spread through a contaminated water supply.
By the late 1880s, Engels noted that the extreme poverty and lack of sanitation he wrote about in 1844 had largely disappeared. Since then, the historical debate on the question of living conditions of factory workers has remained controversial. While some have pointed out that living conditions of the poor workers were tragic everywhere and industrialization slowly improved the living standards of a steadily increasing number of workers, others concluded that living standards for the majority of the population did not grow meaningfully until the late 19th and 20th centuries and that in many ways workers’ living standards declined under early capitalism.
25.3: Steam Power
25.3.1: Early Steam Engines
A steam engine, or a heat engine that performs mechanical work using steam, was first described in the 1st century CE. However, it was the designs of Savery’s engine in 1698 and Newcomen’s engine in 1712 that were first used commercially and inspired the further development of steam technology.
Learning Objective
List the early iterations of the steam engine
Key Points
- A steam engine is a heat engine that
performs mechanical work using steam. The
history of the steam engine stretches back as far as the 1st century CE. Greek
mathematician Hero of Alexandria described the first recorded rudimentary steam
engine, known as the aeolipile.
In the following centuries, the few early
steam-powered engines were, like the aeolipile, experimental
devices used by inventors to demonstrate the properties of steam. -
The first commercial steam-powered device was a
water pump developed in 1698 by Thomas Savery, who demonstrated it to the Royal
Society a year later. The patent has no illustrations or even description, but
in 1702 Savery described the machine in his book The Miner’s Friend,
or, An Engine to Raise Water by Fire, in which he claimed that it could
pump water out of mines. - Savery’s engine received some use in mines and pumping stations and
for supplying water wheels used to power textile machinery. An attractive
feature of the Savery engine was its low cost. Bento de Moura Portugal
introduced an ingenious improvement of Savery’s construction “to render it
capable of working itself,” as described by John Smeaton in 1751. It
continued to be manufactured until the late 18th century. -
The first commercially successful engine
that it could generate power and transmit it to a machine was the atmospheric
engine, invented by Thomas Newcomen around 1712. It was an improvement over
Savery’s steam pump, using a piston as proposed by Papin. Newcomen replaced the
receiving vessel (where the steam was condensed) with a cylinder containing a
piston based on Papin’s design. Instead of the vacuum drawing in water, it drew
down the piston. -
The
engine was relatively inefficient and in most cases was used for pumping water.
It was employed for draining mine workings at depths previously impossible and
for providing a reusable water supply for driving waterwheels at factories
sited away from a suitable “head.” Water that passed over the
wheel was pumped back up into a storage reservoir above the wheel. -
Newcomen’s
engine held its place without material change for about 75 years, spreading
gradually to more areas of the UK and mainland Europe. Experience led to better construction and minor refinements in layout. Its
mechanical details were much improved by John Smeaton, who built many large
engines of this type in the early 1770s; his improvements were rapidly adopted.
By 1775, about 600 Newcomen engines had been built.
Key Terms
- atmospheric engine
-
An engine invented by Thomas Newcomen in 1712, often referred to simply as a Newcomen engine. The engine operated by condensing steam drawn into the cylinder, thereby creating a partial vacuum and allowing the atmospheric pressure to push the piston into the cylinder. It was the first practical device to harness steam to produce mechanical work.
- Steam engine
-
A heat engine that performs mechanical work using steam as its working fluid.
- aeolipile
-
A simple bladeless radial steam turbine, also known as a Heron’s engine, that spins when the central water container is heated. Torque is produced by steam jets exiting the turbine, much like a tip jet or rocket engine. In the 1st century CE, Hero of Alexandria described the device, and many sources give him the credit for its invention.
- beam engine
-
A type of steam engine in which a pivoted overhead beam is used to apply force from a vertical piston to a vertical connecting rod. This configuration, with the engine directly driving a pump, was first used by Thomas Newcomen around 1705 to remove water from mines in Cornwall.
Introduction of the Steam Engine
A steam engine is a heat engine that performs mechanical work using steam.
The history of the steam engine stretches back as far as the 1st century CE.
Greek mathematician Hero of Alexandria described the first recorded rudimentary steam engine, known as the aeolipile. In the following centuries, the few early steam-powered engines were, like the aeolipile, experimental devices used by inventors to demonstrate the properties of steam. A rudimentary steam turbine device was described by Taqi al-Din in 1551 and by Giovanni Branca in 1629. Jerónimo de Ayanz y Beaumont received patents in 1606 for 50 steam-powered inventions, including a water pump for draining inundated mines. Denis Papin, a Huguenot refugee, advanced the construction of the steam digester in 1679 and first used a piston to raise weights in 1690.
Savery’s Engine
The first commercial steam-powered device was a water pump developed in 1698 by Thomas Savery, who demonstrated it to the Royal Society a year later. The patent has no illustrations or even description, but in 1702 Savery described the machine in his book The Miner’s Friend, or, An Engine to Raise Water by Fire, in which he claimed that it could pump water out of mines. Savery’s engine had no piston and no moving parts except the taps. It was operated by first raising steam in the boiler and then admitting it to one of the first working vessels, allowing it to blow out through a downpipe into the water to be raised. When the system was hot and therefore full of steam, the tap between the boiler and the working vessel was shut and, if necessary, the outside of the vessel was cooled. This made the steam inside it condense, creating a partial vacuum, and atmospheric pressure pushed water up the downpipe until the vessel was full. At this point, the tap below the vessel was closed and the tap between it and the up-pipe opened, and more steam was admitted from the boiler. As the steam pressure built up, it forced the water from the vessel up the up-pipe to the top of the mine.
The 1698 Savery Engine, Institute of Human Thermodynamics and IoHT Publishing Ltd.
Savery’s original patent of July 1698 gave 14 years’ protection. The next year, an Act of Parliament was passed, which extended his protection for a further 21 years. This Act became known as the Fire Engine Act. Savery’s patent covered all engines that raised water by fire and thus played an important role in shaping the early development of steam machinery in the British Isles.
Following Savery’s design, small engines were effective but larger models were problematic. They proved only to have a limited lift height and were prone to boiler explosions. The engine received some use in mines, pumping stations and for supplying water wheels used to power textile machinery. An attractive feature of the Savery engine was its low cost. Bento de Moura Portugal introduced an ingenious improvement of Savery’s construction “to render it capable of working itself,” as described by John Smeaton in 1751. It continued to be manufactured until the late 18th century. One engine was still operating in 1820.
Newcomen’s Engine
The first commercially successful engine that it could generate power and transmit it to a machine was the atmospheric engine invented by Thomas Newcomen around 1712. It was an improvement over Savery’s steam pump, using a piston as proposed by Papin.
Newcomen replaced the receiving vessel (where the steam was condensed) with a cylinder containing a piston based on Papin’s design. Instead of the vacuum drawing in water, it drew down the piston. This was used to work a beam engine, in which a large wooden beam rocked upon a central fulcrum. On the other side of the beam was a chain attached to a pump at the base of the mine. As the steam cylinder was refilled with steam, readying it for the next power stroke, water was drawn into the pump cylinder and expelled into a pipe to the surface by the weight of the machinery.
Newcomen and his partner John Calley built the first successful engine of this type at the Conygree Coalworks near Dudley in the West Midlands. The engine was relatively inefficient and in most cases was used for pumping water. It was employed for draining mine workings at depths previously impossible, and also for providing a reusable water supply for driving waterwheels at factories sited away from a suitable “head.” Water that had passed over the wheel was pumped back up into a storage reservoir above the wheel.
Diagram of the Newcomen steam engine, Henry Black Newton and Harvey Nathaniel Davis, Practical physics for secondary schools. Fundamental principles and applications to daily life, Macmillan and Company, 1913, p. 219.
The Newcomen engine operated by condensing steam drawn into the cylinder, thereby creating a partial vacuum and allowing the atmospheric pressure to push the piston into the cylinder. It was the first practical device to harness steam to produce mechanical work.
Newcomen’s engine held its place without material change for about 75 years, spreading gradually to more areas of the UK and mainland Europe. At first brass cylinders were used, but these were expensive and limited in size. New iron casting techniques pioneered by the Coalbrookdale Company in the 1720s allowed bigger cylinders to be used, up to about 6 feet (1.8 m) in diameter by the 1760s. Experience led to better construction and minor refinements in layout. Its mechanical details were much improved by John Smeaton, who built many large engines of this type in the early 1770s, and his improvements were rapidly adopted. By 1775, about 600 Newcomen engines had been built.
25.3.2: Boulton and Watt
The Boulton and Watt steam engine led to replacing the water wheel and horses as the main sources of power for British
industry, thereby freeing it from geographical constraints and becoming one of
the main drivers in the Industrial Revolution.
Learning Objective
Recognize why Boulton and Watt’s steam engine achieved widespread success
Key Points
- In 1763, James Watt, an instrument
maker at the University of Glasgow, was assigned the job of repairing a
model Newcomen engine (based on an earlier design of the Savery engine) and noted how inefficient it was. In 1765, Watt conceived
the idea of equipping the engine with a separate condensation chamber, which he
called a condenser. Because the condenser and the working cylinder were
separate, condensation occurred without significant loss of heat from the
cylinder. This invention dramatically improved the efficiency of the engine. -
Watt’s
next improvement to the Newcomen design was to seal the top of the cylinder and
surround the cylinder with a jacket. Steam was passed through the jacket before
being admitted below the piston, keeping the piston and cylinder warm to
prevent condensation within it. These improvements led to the fully developed
version of 1776 that actually went into production. -
The separate condenser showed dramatic potential
for improvements on the Newcomen engine, but Watt was still discouraged by
seemingly insurmountable problems before a marketable engine could be
perfected. It was only after entering into partnership with Matthew Boulton
that this became reality. Boulton and Watt became an engineering company that was critical to the technological advancements of the Industrial Revolution. -
As
fully developed, the Watt engine used about 75% less fuel than a similar Newcomen one. Boulton and Watt’s practice was to help mine owners and
other customers build engines, supplying men to erect them and specialized parts. However, their main profit from their patent was derived
from charging a licence fee to the engine owners based on the cost of the fuel
they saved. The greater fuel efficiency of their engines meant that they were
most attractive in areas where fuel was expensive. - Later improvements introduced by Watt included an arrangement of valves that could
alternately admit low pressure steam to the cylinder and connect with the
condenser (the double
acting piston); parallel motion; transforming the action of the beam into a
rotating motion (first by the epicyclic sun and planet gear system suggested by an employee William Murdoch and later by connecting the beam to a wheel by a crank after patent rights on the use of the crank expired), and
linking a steam regulator valve to a centrifugal
governor to keep a constant speed. -
These improvements allowed the steam engine to
replace the water wheel and horses as the main sources of power for British
industry, thereby freeing it from geographical constraints and allowing it to become one of
the main drivers in the Industrial Revolution.
Key Terms
- atmospheric engine
-
An engine invented by Thomas Newcomen in 1712, often referred to simply as a Newcomen engine. The engine operated by condensing steam drawn into the cylinder, thereby creating a partial vacuum and allowing the atmospheric pressure to push the piston into the cylinder. It was the first practical device to harness steam to produce mechanical work.
- condenser
-
A device or unit used to condense a substance from its gaseous to its liquid state by cooling it, which transfers the latent heat from the substance to the condenser coolant. These devices are typically heat exchangers, which have various designs and come in many sizes ranging from rather small (hand-held) to very large industrial-scale units used in plant processes.
- Boulton and Watt
-
An early British engineering and manufacturing firm in the business of designing and making marine and stationary steam engines. Founded in the English West Midlands around Birmingham in 1775 as a partnership between the English manufacturer Matthew Boulton and the Scottish engineer James Watt, the firm had a major role in the Industrial Revolution and grew to be a major producer of steam engines in the 19th century.
- parallel motion
-
A mechanical linkage invented by the Scottish engineer James Watt in 1784 for the double-acting Watt steam engine. It allows a rod moving straight up and down to transmit motion to a beam moving in an arc, without putting sideways strain on the rod.
- reciprocating engine
-
A heat engine also known as a piston engine that uses one or more reciprocating pistons to convert pressure into a rotating motion. The main types are the internal combustion engine, used extensively in motor vehicles; the steam engine, the mainstay of the Industrial Revolution; and the niche application Stirling engine.
James Watt: Improving the Newcomen Engine
In 1698, English mechanical designer Thomas Savery invented a pumping appliance that used steam to draw water directly from a well by means of a vacuum created by condensing steam. The appliance was also proposed for draining mines, but could only draw fluid up approximately 25 feet, meaning it had to be located within this distance of the mine floor. As mines became deeper, this was often impractical. The solution to draining deep mines was found by Thomas Newcomen, who developed an atmospheric engine that also worked on the vacuum principle. The Newcomen engine was more powerful than the Savery engine. For the first time, water could be raised from a depth of over 150 feet. However, while Newcomen engines brought practical benefits, they were inefficient in terms of energy use. The system of alternately sending jets of steam then cold water into the cylinder meant that the walls of the cylinder were alternately heated then cooled with each stroke. Each charge of steam introduced would continue condensing until the cylinder approached working temperature again, so at each stroke part of the potential of the steam was lost.
In 1763, James Watt was working as instrument maker at the University of Glasgow when he was assigned the job of repairing a model Newcomen engine and noted how inefficient it was. In 1765, Watt conceived the idea of equipping the engine with a separate condensation chamber, which he called a condenser. Because the condenser and the working cylinder were separate, condensation occurred without significant loss of heat from the cylinder. The condenser remained cold and below atmospheric pressure at all times, while the cylinder remained hot at all times. Steam was drawn from the boiler to the cylinder under the piston. When the piston reached the top of the cylinder, the steam inlet valve closed and the valve controlling the passage to the condenser opened. The lower pressure of the condenser, drew the steam into the cylinder where it cooled and condensed from water vapor to liquid water, maintaining a partial vacuum in the condenser that was communicated to the space of the cylinder by the connecting passage. External atmospheric pressure then pushed the piston down the cylinder.
The separation of the cylinder and condenser eliminated the loss of heat that occurred when steam was condensed in the working cylinder of a Newcomen engine. This gave the Watt engine greater efficiency than the Newcomen engine, reducing the amount of coal consumed while doing the same amount of work. In Watt’s design, the cold water was injected only into the condensation chamber. This type of condenser is known as a jet condenser.
Watt’s next improvement to the Newcomen design was to seal the top of the cylinder and surround it with a jacket. Steam was passed through the jacket before being admitted below the piston, keeping the piston and cylinder warm to prevent condensation within it. Watt did not use high-pressure steam because of safety concerns, although he was aware of its potential and included expansive working knowledge in his patent of 1782. These improvements led to the fully developed version of 1776 that actually went into production.
Boulton and Watt Join Forces
The separate condenser showed dramatic potential for improvements on the Newcomen engine but Watt was still discouraged by seemingly insurmountable problems before a marketable engine could be perfected. It was only after entering into partnership with Matthew Boulton that this became reality. Watt told Boulton about his ideas on improving the engine and Boulton, an avid entrepreneur, agreed to fund development of a test engine at Soho, near Birmingham. At last Watt had access to facilities and the practical experience of craftsmen who were soon able to get the first engine working. As fully developed, it used about 75% less fuel than a similar Newcomen model.
The major components of a Watt pumping engine, Robert H. Thurston, History of the Growth of the Steam Engine, D. Appleton & Co, 1878.
The Boulton and Watt steam engine (known also as the Watt engine), developed sporadically from 1763 to 1775, was an improvement on the design of the Newcomen engine and was a key point in the Industrial Revolution.
In 1775, Watt designed two large engines: one for the Bloomfield Colliery at Tipton and one for John Wilkinson’s ironworks at Willey, Shropshire, both completed in 1776. A third engine, at Stratford-le-Bow in east London, was also working that year. Boulton and Watt’s practice was to help mine owners and other customers build engines, supplying men to erect them and specialized parts. However, the main profit from their patent was derived from charging a license fee to the engine owners, based on the cost of the fuel they saved. The greater fuel efficiency of their engines meant that they were most attractive in areas where fuel was expensive, particularly Cornwall, for which three engines were ordered in 1777.
Later Improvements
The first Watt engines were atmospheric pressure engines, like the Newcomen engine but with the condensation separated from the cylinder. Driving the engines using both low pressure steam and a partial vacuum raised the possibility of reciprocating engine development. An arrangement of valves could alternately admit low-pressure steam to the cylinder and connect with the condenser. Consequently, the direction of the power stroke might be reversed, making it easier to obtain rotary motion. Additional benefits of the double-acting engine were increased efficiency, higher speed (greater power), and more regular motion.
Before the development of the double-acting piston, e to the beam and the piston rod were linked by a chain, which meant that power could only be applied in one direction, by pulling. This was effective in engines used for pumping water, but the double action of the piston meant that it could push as well as pull. Further, it was not possible to connect the piston rod of the sealed cylinder directly to the beam, because while the rod moved vertically in a straight line, the beam was pivoted at its center with each side inscribing an arc. To bridge the conflicting actions of the beam and the piston, Watt developed his parallel motion. This masterpiece of engineering uses a four-bar linkage coupled with a pantograph (a type of
current collector)
to produce the required straight-line motion much more cheaply than if he had used a slider type of linkage. He was very proud of his solution.
Watt’s parallel motion on a pumping engine
In a letter to his son in 1808, James Watt wrote, “I am more proud of the parallel motion than of any other invention I have ever made.” The sketch he included actually shows what is now known as Watt’s linkage, which was described in Watt’s 1784 patent but was immediately superseded by the parallel motion. The parallel motion differed from Watt’s linkage by having an additional pantograph linkage incorporated in the design. This did not affect the fundamental principle but it allowed the engine room to be smaller because the linkage was more compact.
Having the beam connected to the piston shaft by a means that applied force alternately in both directions also meant that the motion of the beam could be used to turn a wheel. The simplest solution to transforming the action of the beam into a rotating motion was to connect the beam to a wheel by a crank, but because another party had patent rights on the use of the crank, Watt was obliged to come up with another solution. He adopted the epicyclic sun and planet gear system suggested by employee William Murdoch, only later reverting, once the patent rights had expired, to the more familiar crank seen on most engines today. The main wheel attached to the crank was large and heavy, serving as a flywheel that once set in motion, by its momentum maintained a constant power and smoothed the action of the alternating strokes. To its rotating central shaft, belts and gears could be attached to drive a great variety of machinery. Because factory machinery needed to operate at a constant speed, Watt linked a steam regulator valve to a centrifugal governor, which he adapted from those used to automatically control the speed of windmills.
These improvements allowed the steam engine to replace the water wheel and horses as the main sources of power for British industry, thereby freeing it from geographical constraints and becoming one of the main drivers in the Industrial Revolution. Watt was also concerned with fundamental research on the functioning of the steam engine. His most notable measuring device, still in use today, is the Watt indicator, incorporating a manometer to measure steam pressure within the cylinder according to the position of the piston. This enabled a diagram to be produced representing the pressure of the steam as a function of its volume throughout the cycle.
25.3.3: The Spread of Steam Power
Steam engines found many uses in a variety of industries, most notably mining and transportation, but its popularization shaped nearly every aspect of the industrial society,
including where people could live, labor, and travel; how goods were produced, marketed, and sold; and what technological innovations followed.
Learning Objective
Give examples of the industries powered by steam
Key Points
-
The
steam engine was one of the most important technologies of the Industrial
Revolution, inspiring other innovations and initiating further technological advancements. In 1775, James Watt formed an engine-building and engineering partnership
with manufacturer Matthew Boulton. This served as
a kind of creative technical center for much of the British economy. They supported talents and other companies, creating a culture where firms often shared information that they could use to create new techniques or products. -
From
mines to mills, steam engines found many uses in a variety of industries. The
introduction of steam engines improved productivity and technology and allowed
the creation of smaller and better engines. Around the start of the 19th century, Cornish engineer
Richard Trevithick and American Oliver Evans began to construct higher-pressure
non-condensing steam engines, exhausting against the atmosphere. After
Trevithick’s development, transport applications became possible and steam
engines found their way into boats, railways, farms, and road vehicles. -
The
steam engine was originally invented and perfected to be used in mines. The
introduction of the steam pump by Savery in 1698 and the Newcomen steam engine
in 1712 greatly facilitated the removal of water and enabled shafts to be made
deeper, enabling more coal to be extracted. The adoption of John Smeaton’s
improvements to the Newcomen engine followed by James Watt’s more efficient
steam engines from the 1770s reduced the fuel costs of engines, making mines
more profitable. -
Steam
locomotives were invented after the introduction of high pressure steam
engines when the Boulton and Watt patent expired in 1800. Steam-hauled public railways began with the Stockton and Darlington
Railway in 1825. The use of steam engines on railroads proved extraordinary since large amounts of goods and
raw materials could now be delivered to cities and factories alike at a fraction of the cost traveling by wagon. -
Following the advent of
the steamboat, the United States saw an incredible growth in the transportation
of goods and people, which was key in westward expansion. The steamboat
dramatically reduced time used to transport goods and allowed for increased
specialization. The steamboat was also critical to facilitating the internal
slave trade. With the steamboat came the need for an improved
river system and infrastructure along the rivers. -
Steam engines are a particularly
illustrative example of how changes brought by industrialization led to
even more changes in other areas. While many consider the potential for an increase in power generated
the dominant benefit, others favor the
potential for agglomeration. Steam engines made it possible to easily work,
live, produce, market, specialize, and viably expand without having to worry about
the less abundant presence of waterways.
Key Terms
- Boulton and Watt
-
An early British engineering
and manufacturing firm in the business of designing and making marine and
stationary steam engines. Founded in the English West Midlands around
Birmingham in 1775 as a partnership between the English manufacturer
Matthew Boulton and the Scottish engineer James Watt, the firm had a major
role in the Industrial Revolution and grew to be a major producer of steam
engines in the 19th century. - beam engine
-
A type of steam engine where a
pivoted overhead beam is used to apply the force from a vertical
piston to a vertical connecting rod. This configuration, with the engine
directly driving a pump, was first used by Thomas Newcomen around 1705 to
remove water from mines in Cornwall. - steam engine
-
A heat engine that performs
mechanical work using steam as its working fluid.
Steam Engine Revolution
The steam engine was one of the most important technologies of the Industrial Revolution, although steam did not replace water power in importance in Britain until after the Industrial Revolution. From Englishmen Thomas Savery’s
first practical, atmospheric pressure engine (1698) and Thomas Newcomen’s atmospheric engine (1712) through major developments by Scottish inventor and mechanical engineer James Watt, the steam engine became used in many industrial settings.
In 1775, Watt formed an engine-building and engineering partnership with manufacturer Matthew Boulton that became one of the most important businesses of the Industrial Revolution and served as a creative technical center for much of the British economy. The partners solved technical problems and spread the solutions to other companies. Similar firms did the same thing in other industries and were especially important in the machine tool industry. These interactions between companies reduced the amount of research time and expense that each business had to spend working with its own resources. The technological advances of the Industrial Revolution happened more quickly because firms often shared information they could use to create new techniques or products.
Watt’s rotative engine at the Henry Ford Museum
The Henry Ford Museum in Dearborn, Michigan houses a Watt rotative engine manufactured in 1788 by Charles Summerfield. This is a full-scale working Boulton-Watt engine. The American industrialist Henry Ford moved the engine to Dearborn around 1930.
Major Applications
From mines to mills, steam engines found many uses in a variety of industries. The introduction of steam engines improved productivity and technology and allowed the creation of smaller and better engines.
Until about 1800, the most common type of steam engine was the beam engine, built as an integral part of a stone or brick engine-house, but soon various patterns of self-contained rotative engines (readily removable, but not on wheels) were developed, such as the table engine. Around the start of the 19th century, the Cornish engineer Richard Trevithick and American Oliver Evans began to construct higher-pressure non-condensing steam engines, exhausting against the atmosphere. After Trevithick’s development, transport applications became possible and steam engines found their way into boats, railways, farms, and road vehicles.
The steam engine was originally invented and perfected to be used in mines. Before the steam engine, shallow bell pits followed a seam of coal along the surface and were abandoned as the coal was extracted. In other cases, if the geology was favorable, the coal was mined by a drift mine driven into the side of a hill. Shaft mining was done in some areas, but the limiting factor was the problem of removing water. It could be done by hauling buckets of water up the shaft or to a tunnel driven into a hill t. In either case, the water had to be discharged into a stream or ditch at a level where it could flow away by gravity. The introduction of the steam pump by Savery in 1698 and the Newcomen steam engine in 1712 greatly facilitated the removal of water and enabled shafts to be made deeper, enabling more coal to be extracted. These developments began before the Industrial Revolution, but the adoption of John Smeaton’s improvements to the Newcomen engine followed by James Watt’s more efficient steam engines from the 1770s reduced the fuel costs of engines, making mines more profitable.
At the beginning of the Industrial Revolution, inland transport was by navigable rivers and roads, with coastal vessels employed to move heavy goods by sea. Wagon ways were used for conveying coal to rivers for further shipment, but canals had not yet been widely constructed. Animals supplied all of the motive power on land, with sails providing the motive power on the sea. The first horse railways were introduced toward the end of the 18th century, with steam locomotives introduced in the early decades of the 19th century.
Steam locomotives were invented after the introduction of high-pressure steam engines when the Boulton and Watt patent expired in 1800. High-pressure engines exhausted used steam to the atmosphere, doing away with the condenser and cooling water. A few of these early locomotives were used in mines. Steam-hauled public railways began with the Stockton and Darlington Railway in 1825. The use of steam engines on railroads proved extraordinary in the fact that now you could have large amounts of goods and raw materials delivered to cities and factories alike. Trains could deliver these to places far away at a fraction of the cost traveling by wagon.
Particularly in the United States, the introduction and development of the steamboat resulted in vast changes. Prior to the steamboat, rivers were generally only used in transporting goods from east to west, and from north to south as fighting the current was very difficult and often impossible. Non-powered boats and rafts were assembled upstream to carry cargo downstream, and would often be disassembled at the end of their journey and the remains used to construct homes and commercial buildings. Following the advent of the steamboat, the U.S. saw incredible growth in the transportation of goods and people, which was key in westward expansion. The steamboat dramatically reduced time used to transport goods and allowed for increased specialization. It was also critical to facilitating the internal slave trade.
With the steamboat came the need for an improved river system. The natural river system produced such obstacles as rapids, sand bars, shallow waters, and waterfalls. To overcome these natural obstacles, a network of canals, locks, and dams was constructed. This increased demand for labor along the rivers, resulting in tremendous job growth. The popularization of the steamboat also led directly to growth in the coal and insurance industries and demand for repair facilities along the rivers. Additionally, the demand for goods in general increased as the steamboat made transport to new destinations both wide-reaching and efficient.
1920 Steamboat on the Yukon River near Whitehorse, Frank G Carpenter Collection, US Library of Congress.
Prior to the steamboat, it could take between three and four months to make the passage from New Orleans to Louisville, averaging twenty miles a day. With the steamboat this time was reduced drastically with trips ranging from twenty-five to thirty-five days. This was especially beneficial to farmers as their crops could now be transported elsewhere to be sold.
Steam Engine and Societal Progress
Steam engines are a particularly illustrative example of how changes brought by industrialization led to even more changes in other area.
Water power, the world’s preceding supply of power, continued to be an essential source even during the height of steam engine popularity. The steam engine, however, provided many novel benefits. While many consider the potential for an increase in power generated o be the dominant benefit (with the average horsepower of steam powered mills producing four times the power of water powered mills), others favor the potential for agglomeration. Steam engines made it possible to easily work, live, produce, market, specialize, and viably expand without having to worry about the less abundant presence of waterways. Cities and towns were now built around factories, where steam engines served as the foundation for the livelihood of many of the citizens. By promoting the agglomeration of individuals, successful local markets were established. Cities quickly grew and the quality of living eventually increased as infrastructure was put in place. Finer goods could be produced as acquisition of materials became less difficult and expensive. Direct local competition led to higher degrees of specialization and labor and capital were in rich supply. The steam-powered towns encouraged growth both locally and on the national scale.
25.4: Iron Making
25.4.1: The Shift to Coal
The advancement of the steam engine dramatically improved the efficiency of coal mining during the Industrial Revolution, making coal a cheaper, more abundant, and easily available source of energy. This resulted in labor conditions that triggered influential unions and in pollution that sparked the environmental movement.
Learning Objective
Evaluate the effect the rising use of coal had on development and industry
Key Points
-
Coal is a combustible black or brownish-black
sedimentary rock occurring in layers or veins called
coal beds or coal seams. It is composed primarily of carbon, along with
variable quantities of other elements, chiefly hydrogen, sulfur, oxygen, and
nitrogen. A fossil fuel, coal forms from dead plant matter. -
Early coal extraction was small-scale, with coal lying
either on the surface or very close to it. The early coal mining techniques
left considerable amount of usable coal behind. Although some deep mining in
Britain took place as early as the 1500s, deep shaft mining began to develop
extensively in the late 18th century, with rapid expansion throughout the 19th
century and early 20th century when the industry peaked. Coalfields helped to make the regions where they were located prosperous. Coal was so abundant in Britain that the supply
could be stepped up to meet the rapidly rising demand. - Coal was central to the development of the steam
engine and, in turn, the steam engine dramatically increased the efficiency of
coal mining.
The
introduction of the steam pump by Thomas Savery in 1698 and the Newcomen steam
engine in 1712 greatly facilitated the removal of water from mines and enabled shafts to
be made deeper, enabling more coal to be extracted. The next major step occurred when James Watt developed
an improved version of Newcomen’s engine. Watt’s ten-horsepower engines enabled a wide range of
manufacturing machinery to be powered. -
Coal
mining remained very dangerous due to the presence of firedamp in many coal
seams. Conditions
of work were very poor, with a high casualty rate from rock falls. Coal mining
has also been historically linked to bonded labor long after slavery was
formally abolished in many parts of the world. Some of the worst abuses
of child labor continued in coal mines. The miners, less affected by imported labor or machines than were the cotton mill workers, began to form trade unions and fight their grim battle for wages against the coal owners and royalty-lessees. -
The
replacement of wood and other bio-fuels with coal was also a major change in
the metal industries during the Industrial Revolution. For a given amount of
heat, coal required much less labor than cutting wood and converting it
to charcoal. Coal was also more abundant than wood. The reverberatory furnace
technology, which keeps impurities in the coal from migrating into the metal, was highly advanced during the period.
Coal was also central to the gas lighting industry. -
The origins of the environmental movement lay in
the response to increasing levels of smoke pollution in the atmosphere during
the Industrial Revolution. The emergence of large factories and corresponding immense growth in coal consumption gave rise to an unprecedented level of air
pollution in industrial centers. The first non-governmental organizations and environment protection policies were a result of the development of coal-based industries during the Industrial Revolution.
Key Terms
- reverberatory furnace
-
A metallurgical or process furnace that isolates the material being processed from contact with the fuel, but not from contact with combustion gases. The term reverberation is used here in a generic sense of rebounding or reflecting, not in the acoustic sense of echoing.
- coke
-
A fuel with few impurities and a high carbon content, the solid carbonaceous material derived from destructive distillation of low-ash, low-sulfur bituminous coal. While it can form naturally, the common form is man-made.
- steam engine
-
A heat engine that performs
mechanical work using steam.
Coal and Coal Mining in Britain
Coal is a combustible black or brownish-black sedimentary rock occurring in layers or veins called coal beds or coal seams. Coal is composed primarily of carbon, along with variable quantities of other elements, chiefly hydrogen, sulfur, oxygen, and nitrogen. A fossil fuel, coal forms when dead plant matter is converted into peat, which in turn is converted into lignite, then sub-bituminous coal, bituminous coal, and lastly anthracite. This involves biological and geological processes that take place over time.
The history of coal mining goes back thousands of years.
Early coal extraction was small-scale, with coal lying either on the surface or very close to it. The early coal mining techniques left considerable amount of usable coal behind. Although some deep mining in Britain took place as early as the 1500s, deep shaft mining began to develop extensively in the late 18th century, with rapid expansion throughout the 19th century and early 20th century when the industry peaked. The location of the coalfields helped to make the prosperity of Lancashire, Yorkshire, and South Wales. Northumberland and Durham were the leading coal producers and the sites of the first deep pits. In much of Britain, coal was worked from drift mines or scraped off when it outcropped on the surface. Small groups of part-time miners used shovels and primitive equipment.
As a result of these limited methods, in the deep Tyneside pits (300 to 1,000 ft deep) for example, only about 40 percent of the coal could be extracted.
Coal was so abundant in Britain that the supply could be increased to meet the rapidly rising demand. In 1700, the annual output of coal was just under 3 million tons. Between 1770 and 1780, the annual output of coal was some 6.25 million long tons (or about the output of a week and a half in the 20th century). After 1790 output soared, reaching 16 million long tons by 1815.
By 1830 this rose to
over 30 million tons.
Use of Coal During the Industrial Revolution
The development of the Industrial Revolution led to the large-scale use of coal as the steam engine took over from the water wheel. In 1700, five-sixths of the world’s coal was mined in Britain.
Steam Engine and Coal Mining
Coal was central to the development of the steam engine and in turn, the steam engine dramatically increased the efficiency of coal mining.
Before the steam engine, shallow bell pits followed a seam of coal along the surface, which were abandoned as the coal was extracted. In other cases, if the geology was favorable, the coal was mined by means of an adit or drift mine driven into the side of a hill. Shaft mining was done in some areas, but the limiting factor was the problem of removing water. It could be done by hauling buckets of water up the shaft or to a sough (a tunnel driven into a hill to drain a mine). In either case, the water had to be discharged into a stream or ditch at a level where it could flow away by gravity.
The introduction of the steam pump by Thomas Savery in 1698 and the Newcomen steam engine in 1712 facilitated the removal of water and enabled shafts to be made deeper so more coal could be extracted. A number of Newcomen engines were successfully put to use in Britain for draining hitherto unworkable deep mines, with the engine on the surface. These large machines, requiring a lot of capital to build, were extremely inefficient by modern standards, but greatly increased the scope of coal miningwhen located where coal was cheap at pit heads.
Despite their disadvantages, Newcomen engines were reliable and easy to maintain, and continued to be used in the coalfields until the early decades of the 19th century. The next major step occurred when James Watt developed (1763–1775) an improved version of Newcomen’s engine. Boulton and Watt’s early engines used half as much coal as John Smeaton’s improved version of Newcomen’s.
Watt’s ten-horsepower engines could powera wide range of manufacturing machinery and be sited anywhere that water and coal or wood fuel could be obtained.
Coal mining remained very dangerous due to the presence of firedamp in many coal seams. Some degree of safety was provided by the safety lamp invented in 1816 by Sir Humphry Davy and independently by George Stephenson. However, the lamps proved a false dawn because they became unsafe very quickly and provided a weak light. Firedamp explosions continued, often setting off coal dust explosions, so casualties grew during the entire 19th century. Conditions of work were very poor, with a high casualty rate from rock falls.
Coal mining has also been historically linked to bonded labor long after slavery was formally abolished in many parts of the world. For example, Scottish miners had been bonded to their “masters” by a 1606 Act “Anent Coalyers and Salters.” A Colliers and Salters (Scotland) Act 1775, recognized this to be “a state of slavery and bondage” and formally abolished it. This decision was made effective by a further law in 1799. Some of the worst abuses of child labor continued in coal mines throughout the Industrial Revolution.
The miners, less affected by imported labor or machines than were the cotton mill workers, began to form trade unions and fight their grim battle for wages against the coal owners and royalty-lessees. In South Wales, the miners showed a high degree of solidarity. They lived in isolated villages where they comprised the great majority of workers. There was a high degree of equality in lifestyle. Combined with an evangelical religious style based on Methodism, this led to forging a “community of solidarity” under the leadership of the Miners Federation.
The 1906 Courrières mine disaster in France, anonymous author in Le Petit Journal, No. 801, 1906.
Mining has always been dangerous because of methane gas explosions, roof cave-ins, and the difficulty of mine rescue. The worst single disaster in British coal mining history was at Senghenydd in the South Wales coalfield. In 1913 an explosion and subsequent fire killed 436 men and boys. The Courrières mine disaster, Europe’s worst mining accident, caused the death of 1,099 miners in Northern France in 1906.
Wagonways for moving coal in the mining areas started in the 17th century and were often associated with canal or river systems for the further movement of coal. These were all horse-drawn or relied on gravity, with a stationary steam engine to haul the wagons back to the top of the incline. The first applications of the steam locomotive were on wagon or plate ways (as they were then often called from the cast-iron plates used). Horse-drawn public railways did not begin until the early years of the 19th century when improvements to pig and wrought iron production lowered costs.
The development of the steam locomotive by Trevithick early in the 19th century gave added impetus and coal consumption grew rapidly as the railway network expanded through the Victorian period.
Metallurgy
The replacement of wood and other bio-fuels with coal was also a major change in the metal industries during the Industrial Revolution. For a given amount of heat, coal required much less labor to mine than cutting wood and converting it to charcoal, and coal was more abundant than wood.
Use of coal in smelting started somewhat before the Industrial Revolution, based on innovations by Sir Clement Clerke and others from 1678, using coal reverberatory furnaces known as cupolas. These were operated by the flames playing on the ore and charcoal or coke mixture, reducing the oxide to metal. This means that impurities (such as sulfur ash) in the coal do not migrate into the metal. This technology was applied to lead from 1678 and to copper from 1687. It was also applied to iron foundry work in the 1690s, but in this case the reverberatory furnace was known as an air furnace. This was followed by Abraham Darby, who made great strides using coke to fuel his blast furnaces at Coalbrookdale in 1709. Coke pig iron was hardly used to produce wrought iron in forges until the mid-1750s, when Abraham’s son, Abraham Darby II, built Horsehay and Ketley furnaces (not far from Coalbrookdale). By then, coke pig iron was cheaper than charcoal pig iron.
Gas Lighting
Another major industry of the later Industrial Revolution where coal was central was gas lighting. Although others made a similar innovation elsewhere, its large-scale introduction was the work of William Murdoch, an employee of Boulton & Watt, the steam engine pioneers. The process consisted of the large-scale gasification of coal in furnaces, the purification of the gas (removal of sulfur, ammonia, and heavy hydrocarbons), and its storage and distribution. The first gas lighting utilities were established in London between 1812 and 1820. They soon became one of the major consumers of coal in Britain. Gas lighting affected social and industrial organization because it allowed factories and stores to remain open longer than with tallow candles or oil. Its introduction allowed nightlife to flourish in cities and towns as interiors, and streets could be lighted on a larger scale than before.
Industrial Revolution, Coal, and Environmental Movement
The origins of the environmental movement lay in the response to increasing levels of smoke pollution in the atmosphere during the Industrial Revolution. The emergence of great factories and the concomitant immense growth in coal consumption gave rise to an unprecedented level of air pollution in industrial centers. After 1900 the large volume of industrial chemical discharges added to the growing load of untreated human waste. The first large-scale, modern environmental laws came in the form of Britain’s Alkali Acts, passed in 1863, to regulate the deleterious air pollution given off by the Leblanc process used to produce soda ash.
St. Rollox Chemical Works in 1831, author unknown.
Levels of air pollution rose during the Industrial Revolution, sparking the first modern environmental laws to be passed in the mid-19th century.
In industrial cities, local experts and reformers, especially after 1890, took the lead in identifying environmental degradation and pollution and initiating grass-roots movements to demand and achieve reforms. Typically the highest priority was water and air pollution. The Coal Smoke Abatement Society was formed in Britain in 1898 making it one of the oldest environmental non-governmental organizations (NGOs). It was founded by artist Sir William Blake Richmond, who was frustrated with the pall cast by coal smoke. Although there were earlier pieces of legislation, the Public Health Act of 1875 required all furnaces and fireplaces to consume their own smoke. It also provided for sanctions against factories that emitted large amounts of black smoke.
25.4.2: Changes to Iron Production
Technological advancements in metallurgy, most notably smelting with coal or coke, increased the supply and decreased the price of iron, aiding a number of industries and making iron common in the rapidly growing machinery and engine sectors.
Learning Objective
Break down how iron production changed during the Industrial Revolution
Key Points
-
Early
iron smelting used charcoal as both the heat source and the reducing agent. By
the 18th century, the availability of wood for making charcoal limited the
expansion of iron production, so England became increasingly dependent on imports from Sweden and Russia. Smelting with coal
(or its derivative coke) was a long-sought objective, with some early advancements ٞachieved throughout the 17th century. Britain’s
demand for iron and steel, combined with ample capital and energetic
entrepreneurs, rapidly made it the world leader of metallurgy. -
A
major change in the metal industries during the era of the Industrial
Revolution was the replacement of wood and other bio-fuels with coal. Use of coal
in smelting started somewhat before the Industrial Revolution, based on
innovations by Sir Clement Clerke and others from 1678, using coal
reverberatory furnaces known as cupolas. With cupolas, impurities in the coal did not
migrate into the metal. -
Abraham
Darby made great strides using coke to fuel his blast furnaces at Coalbrookdale
in 1709. However, coke pig iron was hardly used to produce wrought iron in forges
until the mid-1750s, when his son Abraham Darby II built Horsehay and Ketley
furnaces. Since cast
iron was becoming cheaper and more plentiful, it became a structural
material following the building of the innovative Iron Bridge in 1778 by
Abraham Darby III. -
Wrought
iron for smiths to forge into consumer goods was still made in finery forges,
as it long had been. However, new processes were adopted in the ensuing years.
The first is referred to today as potting and stamping, but this was superseded
by Henry Cort’s puddling process. Cort developed two significant iron
manufacturing processes: rolling in 1783 and puddling in 1784. Rolling replaced
hammering for consolidating wrought iron and expelling some of the dross.
Rolling was 15 times faster than hammering with a trip hammer. -
Hot blast, patented by James Beaumont Neilson in
1828, was the most important development of the 19th century for saving energy
in making pig iron. By using waste exhaust heat to preheat combustion air, the
amount of fuel to make a unit of pig iron was reduced. -
The
supply of cheaper iron aided a number of industries. The development of
machine tools allowed better working of iron, increasing its use in the rapidly growing machinery and engine industries. Prices of many
goods decreased, making them more
available and common.
Key Terms
- reverberatory furnaces
-
A metallurgical or process
furnace that isolates the material being processed from contact with the
fuel, but not from contact with combustion gases. The term reverberation is
used here in a generic sense of rebounding or reflecting,
not in the acoustic sense of echoing. - Iron Bridge
-
A bridge that crosses the River Severn in Shropshire, England. Opened in 1781, it was the first arch bridge in the world to be made of cast iron and was greatly celebrated after construction.
- pig iron
-
An intermediate product of the iron industry. It has a very high carbon content, typically 3.5–4.5%, along with silica and other constituents of dross, which makes it very brittle and not useful as a material except in limited applications. It is made by smelting iron ore into a transportable ingot of impure high carbon-content iron as an ingredient for further processing steps. It is the molten iron from the blast furnace, a large cylinder-shaped furnace charged with iron ore, coke, and limestone.
- coke
-
A fuel with few impurities and a
high carbon content, usually made from coal. It is the solid
carbonaceous material derived from destructive distillation of
low-ash, low-sulfur bituminous coal. While it can be formed naturally, the
commonly used form is man-made.
Iron and Industrial Revolution in Britain
Early iron smelting used charcoal as both the heat source and the reducing agent. By the 18th century, the availability of wood for making charcoal had limited the expansion of iron production, so England became increasingly dependent on Sweden (from the mid-17th century) and then from about 1725 on Russia for the iron required for industry. Smelting with coal (or its derivative coke) was a long-sought objective. The production of pig iron with coke was probably achieved by Dud Dudley in the 1620s, and with a mixed fuel made from coal and wood again in the 1670s. However this was only a technological rather than a commercial success. Shadrach Fox may have smelted iron with coke at Coalbrookdale in Shropshire in the 1690s, but only to make cannonballs and other cast iron products such as shells. In the time of peace, they did not enjoy much demand.
Britain’s demand for iron and steel, combined with ample capital and energetic entrepreneurs, rapidly made it the world leader of the metallurgy. In 1875, Britain accounted for 47% of world production of pig iron and almost 40% of steel. Forty percent of British output was exported to the U.S., which was rapidly building its rail and industrial infrastructure. The growth of pig iron output was dramatic. Britain went from 1.3 million tons in 1840 to 6.7 million in 1870 and 10.4 in 1913.
Technological Advancements
A major change in the metal industries during the era of the Industrial Revolution was the replacement of wood and other bio-fuels with coal. For a given amount of heat, coal required much less labor to mine than cutting wood and converting it to charcoal, and coal was more abundant than wood. Use of coal in smelting started before the Industrial Revolution based on innovations by Sir Clement Clerke and others from 1678, using coal reverberatory furnaces known as cupolas. These were operated by the flames playing on the ore and charcoal or coke mixture, reducing the oxide to metal. This has the advantage that impurities such as sulfur ash in the coal do not migrate into the metal. This technology was applied to lead from 1678 and to copper from 1687. It was also applied to iron foundry work in the 1690s, but in this case the reverberatory furnace was known as an air furnace. The foundry cupola is a different (and later) innovation.
Reverberatory furnace
The reverberatory furnace could produce cast iron using mined coal. The burning coal remained separate from the iron ore and so did not contaminate the iron with impurities like sulfur and ash. This opened the way to increased iron production.
Abraham Darby made great strides using coke to fuel his blast furnaces at Coalbrookdale in 1709. However, the coke pig iron he made was used mostly for the production of cast iron goods, such as pots and kettles. He had the advantage over his rivals in that his pots, cast by his patented process, were thinner and cheaper than theirs. Coke pig iron was hardly used to produce wrought iron in forges until the mid-1750s, when his son Abraham Darby II built Horsehay and Ketley furnaces. By then, coke pig iron was cheaper than charcoal pig iron. Since cast iron was becoming cheaper and more plentiful, it became a structural material following the building of the innovative Iron Bridge in 1778 by Abraham Darby III.
The Iron Bridge, opened in 1781
The Iron Bridge
crosses the River Severn in Shropshire, England, and is the first bridge in the world to be made of cast iron. During the winter of 1773–74, local newspapers advertised a proposal to petition Parliament for leave to construct an iron bridge with a single 120 feet (37 m) span. In 1775, Abraham Darby III, the grandson of Abraham Darby I and an ironmaster working at Coalbrookdale, was appointed treasurer to the project.
Wrought iron for smiths to forge into consumer goods was still made in finery forges, as it long had been. However, new processes were adopted in the ensuing years. The first is referred to today as potting and stamping, but this was superseded by Henry Cort’s puddling process. Cort developed two significant iron manufacturing processes: rolling in 1783 and puddling in 1784. Rolling replaced hammering for consolidating wrought iron and expelling some of the dross. Rolling was 15 times faster than hammering with a trip hammer. Roller mills were first used for making sheets, but also rolled structural shapes such as angles and rails.
Puddling produced structural-grade iron at a relatively low cost. It was a means of decarburizing pig iron by slow oxidation, with iron ore as the oxygen source, as the iron was manually stirred using a long rod.
Puddling was done in a reverberatory furnace, allowing coal or coke to be used as fuel.
The decarburized iron, having a higher melting point than cast iron, was raked into globs by the puddler. When the glob was large enough, the puddler would remove it. Puddling was backbreaking and extremely hot work. Few puddlers lived to age 40. The process continued ntil the late 19th century when iron was displaced by steel. Because puddling required human skill in sensing the iron globs, it was never successfully mechanized.
Hot blast, patented by James Beaumont Neilson in 1828, was the most important development of the 19th century for saving energy in making pig iron. By using waste exhaust heat to preheat combustion air, the amount of fuel to make a unit of pig iron was reduced at first by between one-third using coal or two-thirds using coke. However, the efficiency gains continued as the technology improved. Hot blast also raised the operating temperature of furnaces, increasing their capacity. Using less coal or coke meant introducing fewer impurities into the pig iron. This meant that lower quality coal or anthracite could be used in areas where coking coal was unavailable or too expensive.
The supply of cheaper iron aided a number of industries, such as those making nails, hinges, wire, and other hardware items. The development of machine tools allowed better working of iron, leading to increased use in the rapidly growing machinery and engine industries. Iron was used in agricultural machines, making farm labor more effective. The new technological advancements were also critical to the development of the rail. Prices of many goods, such as iron cooking utensils, decreased, making them more available and commonly used.
25.4.3: Steel Production
Before 1860, steel was expensive and produced in small quantities, but the development of
crucible steel technique by Benjamin Huntsman in the 1740s,
the Bessemer process in the 1850s, and the Siemens-Martin process in the 1850s-1860s resulted in the mass production of steel, one of the key advancements behind the Second Industrial Revolution.
Learning Objective
Postulate the effects of improved steel production on the progression of industry.
Key Points
-
Steel
is an alloy of iron and other elements, primarily carbon, that is widely used
in construction and other applications because of its high tensile strength and
low cost. Steel’s base metal is iron. It was
first produced in antiquity, but two decades before the Industrial Revolution an
improvement was made in the production of steel, which at the time was an
expensive commodity used only where iron would not do. -
Benjamin
Huntsman developed his crucible steel technique in the 1740s. He was able to make satisfactory cast steel in clay pot
crucibles, each holding about 34 pounds of blister steel. A flux was
added, and they were covered and heated by coke for about three
hours. The molten steel was then poured into molds and the crucibles reused.
For a long
time Huntsman exported his whole output to France as local producers refused to work with steel harder than they were already using. -
Steel
is often cited as the first of several new areas for industrial
mass-production that characterize the Second Industrial
Revolution. Before
about 1860, steel was still an expensive product. The problem of mass-producing cheap steel was solved in
1855 by Henry Bessemer with the introduction of the Bessemer converter at his
steelworks in Sheffield, England.
Further experiments by Göran Fredrik Göransson and Robert Forester Mushet allowed Bessemer to perfect what would be known as the Bessemer process. - Although initially Bessemer met with
rebuffs and was forced to undertake the exploitation of his process himself, eventually licences were applied for in such numbers that Bessemer received royalties exceeding a million pounds sterling. By 1870, Bessemer steel was widely used
for ship plate. The Bessemer process also made steel railways competitive in price. Experience quickly proved steel had much greater strength
and durability and could handle the heavier and faster engines and
cars. -
After
1890, the Bessemer process was gradually supplanted by open-hearth steel making.
Carl Wilhelm Siemens developed the Siemens regenerative furnace in the
1850s. This furnace operated at a high temperature by using regenerative
preheating of fuel and air for combustion. In 1865, Pierre-Émile Martin took out a license
from Siemens and applied his regenerative furnace for making steel. The
Siemens-Martin process was slower and thus easier to control. It also permitted the melting and
refining of large amounts of scrap steel, further lowering steel production
costs and recycling an otherwise troublesome waste material. -
The
Siemens-Martin process became the leading steel-making process by the early
20th century. The availability of cheap steel allowed larger bridges,
railroads, skyscrapers, and ships. Other important steel products were steel cable, steel rod, and sheet steel, which
enabled large, high-pressure boilers and high-tensile strength steel for
machinery. Military equipment also improved significantly.
Key Terms
- Second Industrial Revolution
-
A phase of rapid industrialization in the final third of the 19th century and the beginning of the 20th, also known as the Technological Revolution. Although a number of its characteristic events can be traced to earlier innovations in manufacturing, such as the establishment of a machine tool industry, the development of methods for manufacturing interchangeable parts, and the invention of the Bessemer Process, it is generally dated between 1870 and 1914 up to the start of World War I.
- Bessemer process
-
The first inexpensive industrial process for the mass production of steel from molten pig iron before the development of the open hearth furnace. The key principle is removal of impurities from the iron by oxidation with air blown through the molten iron. The oxidation also raises the temperature of the iron mass and keeps it molten.
- crucible steel
-
A term that applies to steel made by two different methods in the modern era and produced in varying locales throughout history. It is made by melting iron and other materials. It was produced in South and Central Asia during the medieval era but techniques for production of high-quality steel were developed by Benjamin Huntsman in England in the 18th century. However, Huntsman’s process used iron and steel as raw materials rather than direct conversion from cast iron as in the later Bessemer process. The homogeneous crystal structure of this cast steel improved its strength and hardness compared to preceding forms of steel.
- cementation
-
An obsolete technology for making steel by carburization of iron. Unlike modern steel making, it increased the amount of carbon in the iron. It was apparently developed before the 17th century. Derwentcote Steel Furnace, built in 1720, is the earliest surviving example of a furnace using this technology.
- carburization
-
A heat treatment process in which iron or steel absorbs carbon while the metal is heated in the presence of a carbon-bearing material, such as charcoal or carbon monoxide. The intent is to make the metal harder. Unlike modern steel making, the process increased the amount of carbon in the iron.
Steel and the Industrial Revolution
Steel is an alloy of iron and other elements, primarily carbon, that is widely used in construction and other applications because of its high tensile strength and low cost. Steel’s base metal is iron, which is able to take on two crystalline forms, body-centered cubic (BCC) and face-centered cubic (FCC), depending on its temperature. It is the interaction of those allotropes with the alloying elements, primarily carbon, that gives steel and cast iron their range of unique properties. In the BCC arrangement, there is an iron atom in the center of each cube, and in the FCC, there is one at the center of each of the six faces of the cube. Carbon, other elements, and inclusions within iron act as hardening agents that prevent the movement of dislocations that otherwise occur in the crystal lattices of iron atoms.
Steel (with lower carbon content than pig iron but higher than wrought iron) was first produced in antiquity, but two decades before the Industrial Revolution an improvement was made in the production of steel, which at the time was an expensive commodity used only where iron would not do, such as for cutting-edge tools and for springs. Benjamin Huntsman developed his crucible steel technique in the 1740s.
After many experiments, Huntsman was able to make satisfactory cast steel in clay pot crucibles, each holding about 34 pounds of blister steel. A flux was added, and they were covered and heated by coke for about three hours. The molten steel was then poured into molds and the crucibles reused. The local cutlery manufacturers refused to buy Huntsman’s cast steel, as it was harder than the German steel they were accustomed to using. For a long time Huntsman exported his whole output to France. Blister steel used by Huntsman as raw material was made by the cementation process or by carburization of iron.
Carburization is a heat treatment process, in which iron or steel absorbs carbon while the metal is heated in the presence of a carbon-bearing material, such as charcoal or carbon monoxide. The intent is to make the metal harder. Unlike modern steel making, the process increased the amount of carbon in the iron.
Second Industrial Revolution
Steel is often cited as the first of several new areas for industrial mass-production that characterize the Second Industrial Revolution beginning around 1850, although a method for mass manufacture of steel was not invented until the 1860s and became widely available in the 1870s after the process was modified to produce more uniform quality.
Before about 1860, steel was an expensive product, made in small quantities and used mostly for swords, tools, and cutlery. All large metal structures were made of wrought or cast iron. The problem of mass-producing cheap steel was solved in 1855 by Henry Bessemer with the introduction of the Bessemer converter at his steelworks in Sheffield, England. In the Bessemer process, molten pig iron from the blast furnace was charged into a large crucible, and air was blown through the molten iron from below, igniting the dissolved carbon from the coke. As the carbon burned off, the melting point of the mixture increased, but the heat from the burning carbon provided the extra energy needed to keep the mixture molten. After the carbon content in the melt dropped to the desired level, the air draft was cut off. A typical Bessemer converter could convert a 25-ton batch of pig iron to steel in half an hour. Bessemer demonstrated the process in 1856 and had a successful operation going by 1864.
Bessemer converter, print published in 1867 in Great Britain.
Alhough the Bessemer process is no longer commercially used, at the time of its invention it was of enormous industrial importance because it lowered the cost of production steel, leading to steel being widely substituted for cast iron.Bessemer’s attention was drawn to the problem of steel manufacture in an attempt to improve the construction of guns.
Bessemer licensed the patent for his process to five ironmasters, but from the outset, the companies had great difficulty producing good quality steel. Göran Fredrik Göransson, a Swedish ironmaster, using the purer charcoal pig iron of that country, was the first to make good steel by the process, but only after many attempts. His results prompted Bessemer to try a purer iron obtained from Cumberland hematite, but had only limited success because the quantity of carbon was difficult to control. Robert Forester Mushet, after thousands of experiments at Darkhill Ironworks, had shown that the quantity of carbon could be controlled by removing almost all of it from the iron and then adding an exact amount of carbon and manganese in the form of spiegeleisen (a ferromanganese alloy). This improved the quality of the finished product and increased its malleability.
When Bessemer tried to induce makers to take up his improved system, he met with general rebuffs and was eventually driven to undertake the exploitation of the process himself. He erected steelworks in Sheffield in a business partnership with others, such as W & J Galloway & Sons, and began to manufacture steel. At first the output was insignificant, but gradually the magnitude of the operation was enlarged until the competition became effective and steel traders became aware that the firm of Henry Bessemer & Co. was underselling them to the extent of UK£10-£15 a ton. This argument to the pocket quickly had its effect, and licenses were applied for in such numbers that, in royalties for the use of his process, Bessemer received a sum considerably exceeding a million pounds sterling.
By 1870, Bessemer steel was widely used for ship plate. By the 1850s, the speed, weight, and quantity of railway traffic was limited by the strength of the wrought-iron rails in use. The solution was to turn to steel rails, which the Bessemer process made competitive in price. Experience quickly proved steel had much greater strength and durability and could handle the heavier and faster engines and cars.
However, Mushet received nothing and by 1866 was destitute and in ill health. In that year his 16-year-old daughter, Mary, traveled to London alone to confront Bessemer at his offices, arguing that his success was based on the results of her father’s work. Bessemer decided to pay Mushet an annual pension of £300, a very considerable sum, which he did for over 20 years, possibly to keep the Mushets from legal action.
After 1890, the Bessemer process was gradually supplanted by open-hearth steel making.
Sir Carl Wilhelm Siemens developed the Siemens regenerative furnace in the 1850s and claimed in 1857 to be recovering enough heat to save 70–80% of the fuel. This furnace operated at a high temperature by using regenerative preheating of fuel and air for combustion. In regenerative preheating, the exhaust gases from the furnace are pumped into a chamber containing bricks, where heat is transferred from the gases to the bricks. The flow of the furnace is then reversed so that fuel and air pass through the chamber and are heated by the bricks. Through this method, an open-hearth furnace can reach temperatures high enough to melt steel, but Siemens did not initially use it for that. In 1865, the French engineer Pierre-Émile Martin took out a license from Siemens and first applied his regenerative furnace for making steel. The most appealing characteristic of the Siemens regenerative furnace is the rapid production of large quantities of basic steel, used for example to construct high-rise buildings.
Siemens furnace from 1895
The most appealing characteristic of the Siemens regenerative furnace was the rapid production of large quantities of basic steel, used for example to construct high-rise buildings.
Through Siemens’ method, an open-hearth furnace could reach temperatures high enough to melt steel, but Siemens did not initially use it for that. It was Martin who first applied the regenerative furnace for making steel.
The Siemens-Martin process complemented rather than replaced the Bessemer process. It was slower and thus easier to control. It also permitted the melting and refining of large amounts of scrap steel, further lowering steel production costs and recycling an otherwise troublesome waste material. Its worst drawback was and remains the fact that melting and refining a charge takes several hours. Furthermore, the work environment around an open hearth furnace was and remains extremely dangerous.
The Siemens-Martin process became the leading steel making process by the early 20th century.
The availability of cheap steel allowed larger bridges, railroads, skyscrapers, and ships. Other important steel products—also made using the open hearth process—were steel cable, steel rod, and sheet steel which enabled large, high-pressure boilers and high-tensile strength steel for machinery, creating much more powerful engines, gears, and axles than were previously possible. With large amounts of steel, it also became possible to build much more powerful guns and carriages, tanks, armored fighting vehicles, and naval ships.
25.5: Innovations in Transportation
25.5.1: Canals
The modern canal network in Britain emerged because the Industrial Revolution demanded an economic and reliable way to transport goods and commodities in large quantities, simultaneously responding to the needs of the Industrial Revolution and fueling its further advancement.
Learning Objective
Demonstrate the importance of canals to commerce.
Key Points
-
The British canal system
played a vital role in the Industrial Revolution at a time when roads were only
just emerging from the medieval mud and long trains of packhorses were the only
means of more easily accessible transport.
In Britain, the modern canal
network came into being because the Industrial Revolution demanded an economic
and reliable way to transport goods and commodities in large quantities. Some important river navigation improvements took place in the 16th and 17th centuries. -
Big canals began to be built in the 18th century
to link the major manufacturing centers across the country. Known for its huge
commercial success, the Bridgewater Canal in North West England opened in 1761.
It connected Worsley with the rapidly growing town of Manchester and was a
huge financial success. This success helped inspire a period of intense canal building,
known as Canal Mania. An embryonic national canal
network came into being and a dramatic rise in the number
of schemes and money invested emerged. New canals were hastily built in the aim of
replicating the commercial success of the Bridgewater Canal. -
By the 1820s a national network – first in the
world – was in existence. The new canals proved highly successful. The boats on
the canals were horse-drawn with a towpath alongside the canal for the horse to
walk along. This horse-drawn system was highly economical and became standard
across the British canal network. - This
success proved the viability of canal transport and soon industrialists in many
other parts of the country wanted canals. As people saw the high incomes achieved from canal tolls, canal proposals came
to be put forward by investors. In a further development, there was often
out-and-out speculation, in which people would try to buy shares in a newly
floated company simply to sell them on for an immediate profit, regardless of
whether the canal was ever profitable or even built. Many rival canal companies were formed and
competition was rampant. -
On
the majority of British canals the canal-owning companies did not own or run a
fleet of boats. Instead, they charged private operators
tolls to use the canal. In
the period of the most rapid development of the canal system, crews were all
male and their families lived in cottages on the bank. Wives and
children came aboard as extra labor and to save rental costs during the latter
part of the 19th century. During this period, whole families lived aboard the
boats. They were often marginalized from land-based society and perceived as strange
outsiders living a nomadic lifestyle. -
From
about 1840, railways began to threaten canals. Although they could not only
carry more than the canals, they could transport people and goods far more
quickly than the walking pace of the canal boats. Most of the investment that
had previously gone into canal building was diverted into railway building.
Key Terms
- flyboat
-
A European light vessel,developed primarily as a mercantile cargo carrier, although many served as warships in an auxiliary role, used in the late 16th and early 17th century. The name was subsequently applied to a number of disparate vessels, which achieved high speeds or endurance, including those that worked day and night on British canals to compete with the rapidly developing railway.
- Bridgewater Canal
-
A canal that connects Runcorn, Manchester and Leigh, in North West England. It was commissioned by Francis Egerton, 3rd Duke of Bridgewater, to transport coal from his mines in Worsley to Manchester. It was opened in 1761 from Worsley to Manchester, and later extended from Manchester to Runcorn, and then from Worsley to Leigh. Its immense economic success triggered the development of a national canal system.
- Canal Mania
-
The period of intense canal building in Britain between the 1790s and 1810s and the speculative frenzy that accompanied it in the early 1790s.
Canal Mania
The British canal system of water transport played a vital role in the Industrial Revolution at a time when roads were only just emerging from the medieval mud and long trains of packhorses were the only means of more easily accessible transit of raw materials and finished products.
Building of canals dates to ancient times but in Britain, the modern canal network came into being because the Industrial Revolution demanded an economic and reliable way to transport goods and commodities in large quantities. Some 29 river navigation improvements took place in the 16th and 17th centuries, starting with the Thames locks and the River Wey Navigation. The biggest growth was in the so-called narrow canals, which extended water transport to the emerging industrial areas of the Staffordshire potteries and Birmingham as well as a network of canals joining Yorkshire and Lancashire and extending to London.
Big canals began to be built in the 18th century to link the major manufacturing centers across the country. Known for its huge commercial success, the Bridgewater Canal in North West England opened in 1761. It connected Worsley with the rapidly growing town of Manchester and its construction cost £168,000 (equivalent of over £22 million in 2013), but its advantages over land and river transport meant that within a year of its opening, the price of coal in Manchester fell by about half.
The Bridgewater Canal was a huge financial success: it repaid the cost of its construction within just a few years.
This success helped inspire a period of intense canal building, known as Canal Mania.
Within just a few years of the Bridgewater’s opening, an embryonic national canal network came into being, with the construction of canals such as the Oxford Canal and the Trent & Mersey Canal.
There was a dramatic rise in the number of schemes promoted. Only one canal was authorized by Act of Parliament in 1790, but by 1793 it was twenty. The capital authorized in 1790 was £90,000 but rose to nearly £3 million by 1793. New canals were hastily built in the aim of replicating the commercial success of the Bridgewater Canal, the most notable being the Leeds and Liverpool Canal and the Thames and Severn Canal which opened in 1774 and 1789 respectively.
Worsley Packet House, overlooking the Bridgewater Canal in Worsley, Greater Manchester, photo: Wikipedia.
The Bridgewater Canal is often considered to be the first “true” canal in England. It required the construction of an aqueduct to cross the River Irwell, one of the first of its kind. Its success helped inspire a period of intense canal building in Britain, known as Canal Mania.
By the 1820s a national network – first in the world – was in existence. The new canals proved highly successful. The boats on the canals were horse-drawn with a towpath alongside the canal for the horse to walk along. This horse-drawn system was highly economical and became standard across the British canal network. The canal boats could carry thirty tons at a time with only one horse pulling – more than ten times the amount of cargo per horse that was possible with a cart. It was this huge increase in supply that contributed to the reduction of the price of coal.
Speculative Frenzy
This success proved the viability of canal transport and soon industrialists in many other parts of the country wanted canals. After the Bridgewater Canal, the early canals were built by groups of private individuals with an interest in improving communications. In Staffordshire the famous potter Josiah Wedgwood saw an opportunity to bring bulky cargoes of clay to his factory doors and to transport his fragile finished goods to market in Manchester, Birmingham, or further afield by water, minimizing breakages. The new canal system was both cause and effect of the rapid industrialization of the Midlands and the north. The period between the 1770s and the 1830s is often referred to as the Golden Age of British canals.
For each canal, an Act of Parliament was necessary to authorize construction, and as people saw the high incomes achieved from canal tolls, canal proposals came to be put forward by investors interested in profiting from dividends, at least as much as by people whose businesses would profit from cheaper transport of raw materials and finished goods. In a further development, there was often out-and-out speculation, in which people would try to buy shares in a newly floated company simply to sell them on for an immediate profit, regardless of whether the canal was ever profitable or even built. During this period of Canal Mania, huge sums were invested in canal building and although many schemes came to nothing, the canal system rapidly expanded to nearly 4,000 miles (over 6,400 kilometers) in length.
Many rival canal companies were formed and competition was rampant. Perhaps the best example was Worcester Bar in Birmingham, a point where the Worcester and Birmingham Canal and the Birmingham Canal Navigations Main Line were only 7 feet (2.1 m) apart. For many years, a dispute about tolls meant that goods travelling through Birmingham had to be portaged from boats in one canal to boats in the other.
Operation
On the majority of British canals the canal-owning companies did not own or run a fleet of boats, since this was usually prohibited by the Acts of Parliament setting them up to prevent monopolies. Instead, they charged private operators tolls to use the canal. These tolls were also usually regulated by the Acts. From these tolls they would try, with varying degrees of success, to maintain the canal, pay back initial loans, and pay dividends to their shareholders.
In winter special icebreaker boats with reinforced hulls would be used to break the ice. Packet boats carried packages up to 112 pounds (51 kg) in weight as well as passengers at relatively high speed day and night. To compete with railways, the flyboat was introduced, cargo-carrying boats working day and night. These boats were crewed by three men, who operated a watch system whereby two men worked while the other slept. Horses were changed regularly. When steam boats were introduced in the late 19th century, crews were enlarged to four. The boats were owned and operated by individual carriers, or by carrying companies who would pay the captain a wage depending on the distance traveled and the amount of cargo.
Traditional working canal boats, photo: Wikipedia.
The canal system grew rapidly at first, and became an almost completely connected network covering the South, Midlands, and parts of the North of England and Wales. There were canals in Scotland, but they were not connected to the English canals or, generally, to each other (with some exceptions).
In the period of the most rapid development of the canal system, crews were all male and their families lived in cottages on the bank. The practice of all male crews for steamers continued until after the First World War. Wives and children came aboard as extra labor and to save rental costs during the latter part of the 19th century. During this period, whole families lived aboard the boats. They were often marginalized from land-based society and perceived as strange outsiders living a nomadic lifestyle.
Decline
The last major canal to be built in Britain was the Manchester Ship Canal, which upon opening in 1894 was the largest ship canal in the world and opened Manchester as a port. However, it never achieved the commercial success its sponsors had hoped for and signaled that canals were a dying mode of transport.
From about 1840, railways began to threaten canals. Although they could not only carry more than the canals, they could transport people and goods far more quickly than the walking pace of the canal boats. Most of the investment that had previously gone into canal building was diverted into railway building.
Canal companies were unable to compete against the speed of the new railways and in order to survive they had to slash their prices. This put an end to the huge profits that canal companies had enjoyed and also had an effect on the boatmen who faced a drop in wages. Flyboat working virtually ceased, as it could not compete with the railways on speed and the boatmen found they could only afford to keep their families by taking them with them on the boats.
By the 1850s, the railway system had become well established and the amount of cargo carried on the canals had fallen by nearly two-thirds. In many cases struggling canal companies were bought out by railway companies. Sometimes this was a tactical move by railway companies to close the canal company down and remove competition or to build a railway on the line of the canal. Larger canal companies survived independently and were able to continue to make profits. The canals survived through the 19th century largely by occupying the niches in the transport market that the railways had missed, or by supplying local markets such as the coal-hungry factories and mills of the big cities.
During the 19th century, in much of continental Europe the canal systems of many countries, including France, Germany and the Netherlands, were drastically modernized and widened to take much larger boats, often able to transport up to two thousand tonnes, compared to the thirty to one hundred tonnes that was possible on the much narrower British canals. As it is economic to transport freight by canal only if this is done in bulk, the widening ensured that in many of these countries, canal freight transport is still economically viable. This canal modernization never occurred on a large scale in Britain, mainly because of the power of the railway companies who owned most of the canals and saw no reason to invest in a competing and from their point of view obsolete form of transport. The only significant exception to this was the modernization carried out on the Grand Union Canal in the 1930s.
25.5.2: The First Locomotives
As a result of advancements in metallurgy and steam power technology during the Industrial Revolution, horse-drawn wagonways were replaced by steam locomotives, making Britain the first country in the world with modern railways.
Learning Objective
Characterize the first trains and their utilities
Key Points
-
The first recorded use of rail transport in
Great Britain is Sir Francis Willoughby’s Wollaton Wagonway in Nottinghamshire, built between 1603 and 1604 to carry coal. As early as 1671, railed roads were
in use in Durham to ease the conveyance of coal.The
primitive rails were superseded in 1793 when Benjamin Outram constructed a tramway with
L-shaped flanged cast-iron plate rails (plateways). Outram’s rails were superseded by
William Jessop’s cast iron edge rails. Cast
iron rails had a propensity to break easily, and the short lengths soon became
uneven. In 1820, John Birkenshaw introduced a method of rolling rails in
greater lengths using wrought iron, which was used from then onward. -
The
earliest railways were built and paid for by the owners of the mines they
served. As railway technology developed, longer lines became possible,
connecting mines with more distant transshipment points and promising lower
costs. These longer lines often required public subscription to build and
crossed over land not owned by the mine owners. As a result, they needed an Act
of Parliament to build. The
first line to obtain such an act, in 1758, was the Middleton Railway in Leeds. The first for public use and on cast iron rails
was the Surrey Iron Railway, incorporated in 1799. The first
passenger-carrying public railway was the Oystermouth Railway, authorized in
1807. -
The first steam railway locomotive was
introduced by Richard Trevithick in 1804. Trevithick’s designs proved that
steam traction was a viable proposition, although the use of his locomotives was
quickly abandoned as they were too heavy for the existing track. The first commercially successful steam
locomotive was the twin cylinder Salamanca, designed by in 1812 by
Matthew Murray using John Blenkinsop’s patented design for rack propulsion for
the Middleton Railway. - The
proprietors of Wylam Colliery wanted to abolish horse-drawn trains in favor of
steam. Two models, Puffing
Billy and Blücher, were among the first successful designs. In 1821 an Act
of Parliament was approved for a tramway between Stockton and Darlington.Traffic on the Stockton and Darlington Railway (S&DR) was originally
intended to be horse-drawn, but the Act was subsequently amended to allow the
usage of steam locomotives. The railway was also empowered to carry passengers
in addition to coal and general merchandise. -
The
first public steam railway in Scotland was the Monkland and Kirkintilloch
Railway. The
Liverpool and Manchester Railway (L&MR), founded as company in 1823 but
opened in 1830, was the world’s first intercity passenger railway in which all
the trains were timetabled and operated by steam locomotives. Further,
horse-drawn traffic could use the Stockton and Darlington upon payment of a
toll. -
To
determine which locomotives would be suitable, the L&MR directors organized
the Rainhill Trials. These were arranged as an open contest that would let them
see all the locomotive candidates in action, with the choice to follow. The
trials were won by Rocket, built by
George Stephenson and Robert Stephenson. The
Stephensons were accordingly given the contract to produce locomotives for the
L&MR. The line opened in 1830 with termini at
Liverpool Road, Manchester and Edge Hill, Liverpool.
Key Terms
- rack and pinion railway
-
A steep grade railway with a toothed rack rail, usually between the running rails. The trains are fitted with one or more cog wheels or pinions that mesh with this rack rail. The first railway of this kind was the Middleton Railway between Middleton and Leeds in West Yorkshire, England, UK, where the first commercially successful steam locomotive, Salamanca, ran in 1812. This used a system designed and patented in 1811 by John Blenkinsop.
- Stockton and Darlington Railway
-
A railway company that operated in northeast England from 1825 to 1863. It was the world’s first public railway to use steam locomotives. Its first line connected collieries near Shildon with Stockton-on-Tees and Darlington and was officially opened on September 27, 1825.
- Liverpool and Manchester Railway
-
A railway that opened in 1830 between the Lancashire towns of Liverpool and Manchester in the United Kingdom. It was the first railway to rely exclusively on steam power, with no horse-drawn traffic permitted at any time; the first to be entirely double-track throughout its length; the first to have a signalling system; the first to be fully timetabled; the first to be powered entirely by its own motive power; and the first to carry mail.
- Rainhill Trials
-
An important competition in the early days of steam locomotive railways, run in October 1829 for the nearly completed Liverpool and Manchester Railway. Five engines competed, running back and forth along a mile length of level track at Rainhill in Lancashire (now Merseyside). Stephenson’s Rocket was the only locomotive to complete the trials and was declared the winner. The Stephensons were accordingly given the contract to produce locomotives for the railway.
- plateway
-
An early kind of railway or tramway or wagonway with a cast iron rail. They were mainly used for about 50 years up to 1830, though some continued later. They consisted of L-shaped rails where a flange on the rail guided the wheels in contrast to edgeways, where flanges on the wheels guide it along the track. They were originally horse-drawn, but cable haulage and locomotives were sometimes used later.
- Salamanca
-
The first commercially successful steam locomotive, built in 1812 by Matthew Murray of Holbeck
using John Blenkinsop’s patented design for rack propulsion,
for the edge-railed Middleton Railway between Middleton and Leeds. It was the first to have two cylinders. It was named after the Duke of Wellington’s victory at the battle of Salamanca which was fought that same year.
Early Rails
The first recorded use of rail transport in Great Britain is Sir Francis Willoughby’s Wollaton Wagonway in Nottinghamshire, built between 1603 and 1604 to carry coal. As early as 1671 railed roads were used in Durham to ease the conveyance of coal. The first of these was the Tanfield Wagon Way. Many of these tramroads or wagon ways were built in the 17th and 18th centuries. They used straight and parallel rails of timber on which carts with simple flanged iron wheels were drawn by horses, enabling several wagons to be moved simultaneously.
These primitive rails were superseded in 1793 when the then-superintendent of the Cromford Canal, Benjamin Outram, constructed a tramway with L-shaped flanged cast-iron plate rails (plateways) from the quarry at Crich. Wagons fitted with simple flangeless wheels were kept on the track by vertical ledges or plates. Cast-iron rails were a significant improvement over wooden rails as they could support a greater weight and the friction between wheel and rail was lower, allowing longer trains to be moved by horses. Outram’s rails were superseded by William Jessop’s cast iron edge rails where flanged wheels ran on the top edge of simple bar-shaped rails without the guiding ledges of Outram’s flanged plate rails. The rails were first employed in 1789 at Nanpantan at the Loughborough Charnwood Forest Canal.
Cast iron rails had a propensity to break easily, and the short lengths soon became uneven. In 1820, John Birkenshaw introduced a method of rolling rails in greater lengths using wrought iron which was used from then onward.
Early Railways
The earliest railways were built and paid for by the owners of the mines they served. As railway technology developed, longer lines became possible, connecting mines with more distant transshipment points and promising lower costs. These longer lines often required public subscription to build and crossed over land not owned by the mine owners. As a result, they needed an Act of Parliament to build. The Acts also protected investors from unrealistic or downright fraudulent schemes. The first line to obtain such an act, in 1758, was a private coal-owner’s wagonway, the Middleton Railway in Leeds. The first for public use and on cast iron rails was the Surrey Iron Railway incorporated in 1799. It obtained an Act of Parliament in 1801 to build a tramroad between Wandsworth and Croydon in what is now south London. The engineer was William Jessop. Meanwhile, the first passenger-carrying public railway was the Oystermouth Railway, authorized in 1807. All three of these railways were initially worked by horses. The Surrey Iron Railway remained horse-drawn throughout its life. The Kilmarnock and Troon Railway,
the first line in Scotland to carry passengers, was authorized by Act of Parliament in 1808 and was also built by Jessop.
Introduction of Steam Locomotives
The first steam railway locomotive was introduced by Richard Trevithick in 1804. He was the first engineer to build a successful high-pressure stationary steam engine in 1799. He followed this with a road-going steam carriage in 1801. Although that experiment ended in failure, in 1804 he built a successful unnamed rail-going steam locomotive for the narrow-gauge Merthyr Tramroad in South Wales (sometimes incorrectly called the Penydarren Tramroad). Amid great interest from the public, in 1804 it successfully carried 10 tons of iron, 5 wagons and 70 men a distance of 9.75 miles (15.69 km) from Penydarren to Abercynon in 4 hours and 5 minutes, an average speed of nearly 5 mph (8.0 km/h). This locomotive proved that steam traction was a viable proposition, although the use of the locomotive was quickly abandoned as it was too heavy for the primitive plateway track. A second locomotive, built for the Wylam colliery, also broke the track. Trevithick built another locomotive in 1808, Catch Me Who Can, which ran on a temporary demonstration railway in Bloomsbury, London. Members of the public were able to ride behind at speeds up to 12 mph (19 km/h). However, it again broke the rails and Trevithick was forced to abandon the demonstration after just two months.
The first commercially successful steam locomotive was the twin cylinder Salamanca, designed by in 1812 by
Matthew Murray
using John Blenkinsop’s patented design for rack propulsion for the Middleton Railway. Blenkinsop believed that a locomotive light enough to move under its own power would be too light to generate sufficient adhesion, so he designed a rack-and-pinion railway for the line. This was despite the fact that Trevithick demonstrated successful adhesion locomotives a decade before. The single rack ran outside the narrow-gauge edge-rail tracks and was engaged by a cog-wheel on the left side of the locomotive. The cog-wheel was driven by two cylinders embedded into the top of the center-flue boiler. Four such locomotives were built for the railway and they worked until the early 1830s.
Blenkinsop’s rack locomotive Salamanca, Middleton to Leeds (UK) coal tramway, 1812, author unknown, riginally published in The Mechanic’s Magazine, 1829.
Salamanca was the first commercially successful steam locomotive, built in 1812.
First Successful Railways
The proprietors of Wylam Colliery wanted to abolish horse-drawn trains in favor of steam. In 1804, William Hedley, a manager at the colliery, employed Trevithick to build a steam locomotive. However, it proved too heavy for the wooden track. William Hedley and Timothy Hackworth (another colliery employee) designed a locomotive in 1813 that became known as Puffing Billy. A year later George Stephenson, another of Wylam’s employees, improved the design with Blücher, the first locomotive to use flanged wheels keeping the locomotive on the track and had cylinder rods directly connected to the wheels in the manner of Catch Me Who Can.
In 1821 an Act of Parliament was approved for a tramway between Stockton and Darlington. Stephenson’s design convinced the backers of the proposed tramway to appoint Stephenson, who had recently built the Hetton colliery railway, as engineer. Traffic on the Stockton and Darlington Railway (S&DR) was originally intended to be horse-drawn, but Stephenson carried out a fresh survey of the route to allow steam haulage and the Act was subsequently amended to allow the usage of steam locomotives. The railway was also empowered to carry passengers in addition to coal and general merchandise. The line was 25 miles (40 km) in length and had 100 passing loops along its single track and four branch lines to collieries. It opened in 1825. The first train was hauled by Stephenson’s Locomotion No 1 at speeds of 12 to 15 miles per hour (19 to 24 km/h). Four locomotives named Locomotion were constructed and were effectively beam engines on wheels with vertical cylinders.
Opening of the Stockton and Darlington Railway, a watercolor painted in the 1880s by John Dobbin,
the National Railway Museum, York.
In the painting,
crowds are watching the inaugural train cross the Skerne Bridge in Darlington.
The movement of coal to ships rapidly became a lucrative business and the line was soon extended to a new port and town at Middlesbrough. While coal wagons were hauled by steam locomotives from the start, passengers were carried in coaches drawn by horses until carriages hauled by steam locomotives were introduced in 1833.
The first public steam railway in Scotland was the Monkland and Kirkintilloch Railway. An Act of Parliament authorizing the railway was passed in 1824 and it opened in 1826.
The Liverpool and Manchester Railway (L&MR), founded as company in 1823 but opened in 1830, was the world’s first intercity passenger railway, in which all the trains were timetabled and operated by steam locomotives. Further, horse-drawn traffic could use the Stockton and Darlington upon payment of a toll. The passenger-carrying Canterbury and Whitstable Railway opened three months before the L&MR. However, it used cable haulage by stationary steam engines over much of its length, with steam locomotives restricted to the level stretch. The L&MR was primarily built to provide faster transport of raw materials and finished goods between the port of Liverpool and mills in Manchester in northwest England.
To determine which locomotives would be suitable, the L&MR directors organized the Rainhill Trials. These were arranged as an open contest that would let them see all the locomotive candidates in action, with the choice to follow. The trials were won by Rocket, built by George Stephenson and Robert Stephenson. Rocket was the first locomotive to use a multi-tubular boiler, which allowed more effective heat transfer from the exhaust gases to the water. It was also the first to use a blastpipe, where used steam from the cylinders discharges into the smokebox beneath the chimney to increase the draft of the fire. With these innovations, Rocket averaged 12 miles per hour (19 km/h) achieving a top speed of 30 miles per hour (48 km/h) hauling 13 tons, and was declared the winner of the trials. The Stephensons were accordingly given the contract to produce locomotives for the Liverpool & Manchester Railway. The line opened in 1830 with termini at Liverpool Road, Manchester and Edge Hill, Liverpool.
Later conjectural drawing of the Rainhill Trials: in the foreground is Rocket and in the background are Sans Pareil (right) and Novelty, author unknown, the Illustrated London News.
Stephenson’s Rocket was the only locomotive to complete the Rainhill Trials and was declared the winner. The Stephenson brothers were accordingly given the contract to produce locomotives for the railway.
25.5.3: Railways
The development of the railways, starting in the 1830s, transformed the economy and society by creating powerful railway companies, attracting massive investments, advancing industries, transforming human migration patterns, and even changing people’s daily diet.
Learning Objective
Describe how railways spread and became common across the globe
Key Points
-
The opening of the Liverpool and Manchester Railway (L&MR) in 1830, the first to rely exclusively on steam power, revolutionized transportation and paved the way
for the development of railways that would soon take over the world. A number of lines were approved in the Leeds area the same year. An unexpected enthusiasm for passenger travel resulted in opening the London and
Birmingham Railway (L&BR) and the Grand Junction, linking the
existing L&MR and the new L&BR in 1837. -
A new railway always needed an Act of
Parliament, which typically cost over £200,000 to obtain, but opposition could
effectively prevent its construction. The canal companies, unable or unwilling
to upgrade their facilities to compete with railways, used political power to
try to stop them. The railways responded by purchasing about a fourth of the
canal system, in part to get the right of way and in part to buy off critics.
Once an Act was obtained, there was little government regulation, as laissez
faire and private ownership had become accepted practices. - The
railways largely had exclusive territory, but given the compact size of
Britain, this meant that two or more competing lines could connect major
cities. Between the-mid 1830s and the mid-1940s, Parliament authorized 8,000 miles of lines at a projected cost of £200
million. The incredible profitability of the railways attracted many investors together with massive financial speculation known as the Railway Mania. -
The
financial success of the early railways was phenomenal, as they had no real
competition. Less than 20 years after the Liverpool line opened, it was possible
to travel from London to Scotland by train in a small fraction of the former
time by road. Towards the end of the 19th century, competition became so fierce
between companies on the east and west coast routes to Scotland that it led to
what the press called the Race to the North. -
The
railways changed British society in numerous and complex ways, including a substantial impact in many spheres of economic activity. The
building of railways and locomotives provided a significant stimulus to the coal-mining,
iron-production, engineering, and construction industries. The railways also
helped to reduce transaction costs, which in turn lowered the costs of goods, bringing positive changes to people’s diet. The
railways were also a significant force for the changing patterns of human
mobility. -
The Government began to
pay attention to safety matters with the 1840 Act for Regulating Railways,
which empowered the Board of Trade to appoint railway inspectors. The Railway
Inspectorate was established in 1840 to inquire into the causes of accidents
and recommend ways of avoiding them. In 1844, minimum standards that would require
railway companies to offer services to the poorer passengers on each
railway roue at least once a day were introduced.
Key Terms
- Liverpool and Manchester Railway
-
A railway that opened in 1830
between the Lancashire towns of Liverpool and Manchester in the
United Kingdom. It was the first railway to rely exclusively on steam
power, with no horse-drawn traffic permitted at any time; the first to be
entirely double-track throughout its length; the first to have a
signaling system; the first to be fully timetabled; the first to be
powered entirely by its own motive power; and the first to carry mail. - Parliamentary carriages
-
Passenger services required by an Act of Parliament passed in 1844 to allow inexpensive and basic railway travel for less affluent passengers. The legislation required that at least one such service per day be run on every railway route in the United Kingdom.
- Race to the North
-
Name given by the press to the phenomenon that occurred during two summers of the late 19th century, when British passenger trains belonging to different companies would literally race each other from London to Scotland over the two principal rail trunk routes connecting the English capital city to Scotland: the West Coast Main Line and the East Coast Main Line.
- Railway Mania
-
Speculative frenzy in Britain in the 1840s caused by the phenomenal profitability of the early railways.
- Railway Clearing House
-
An organization set up in 1842 to manage the allocation of revenue collected by pre-grouping railway companies of fares and charges paid for passengers and goods travelling over the lines of other companies.
Railways: The Revolution of Transportation
The Liverpool and Manchester Railway (L&MR), opened in 1830 between the Lancashire towns of Liverpool and Manchester, was not the first railway, but it was the first one to rely exclusively on steam power, with no horse-drawn traffic permitted at any time; the first to be entirely double track throughout its length; the first to have a signaling system; the first to be fully timetabled; the first to be powered entirely by its own motive power; and the first to carry mail. As such, it revolutionized transportation and paved the way for the phenomenal development of railways that would soon take over the world.
As Manchester had grown on cotton spinning, Leeds had a growing trade in weaving. The Pennines restricted canal development, so the railway provided a realistic alternative, especially with the growth in coal usage from the mines in the North East and Yorkshire. A number of lines were approved in the area, such as the Leeds and Selby Railway in 1830, which linked the former to the port of Hull via the River Ouse.
While the L&MR had not ousted the Lancashire canal system from the transport of goods, there was an unexpected enthusiasm for passenger travel. The financial success of the railway was beyond all expectations. Soon companies in London and Birmingham planned to build lines linking these cities together and with Liverpool and Manchester via the L&MR. These two lines were the London and Birmingham (L&BR), designed by Robert Stephenson, and the Grand Junction, engineered by Joseph Locke. The Grand Junction was designed to link the existing L&MR and the new L&BR. It opened in July 1837, with the L&BR following a few months later.
Although Acts of Parliament allowed railway companies compulsory purchase of wayleave, some powerful landowners objected to railways being built across their land and raised objections in Parliament to prevent bills from being passed. Some land owners charged excessive amounts, so early lines did not always follow the optimal routes. In addition, steep gradients were avoided as they would require more powerful locomotives.
Railway Mania
It was legally required that each line be authorized by a separate Act of Parliament. While there were entrepreneurs with the vision of an intercity network of lines, it was much easier to find investors to back shorter stretches that were clearly defined in purpose, where rapid returns on investment could be predicted. A new railway needed an Act of Parliament, which typically cost over £200,000 to obtain, but opposition could effectively prevent its construction. The canal companies, unable or unwilling to upgrade their facilities to compete with railways, used political power to try to stop them. The railways responded by purchasing about a fourth of the canal system, in part to get the right of way and in part to buy off critics. Once an Act was obtained, there was little government regulation, as laissez faire and private ownership had become accepted practices. The railways largely had exclusive territory, but given the compact size of Britain, this meant that two or more competing lines could connect major cities. Between the-mid 1830s and the mid-1940s, the period of the railway boom, Parliament authorized 8,000 miles of lines at a projected cost of £200 million, which was about the same value as the country’s annual gross domestic product (GDP) at that time.
George Hudson became the most important railway promoter of his time. Called the “railway king” of Britain, Hudson amalgamated numerous short lines and established the Railway Clearing House in 1842, an organization that provided uniform paperwork and standardized methods for apportioning fares while transferring passengers and freight between lines and loaning out freight cars. Hudson’s ability to design complex company and line amalgamations helped bring about the beginnings of a more modern railway network. In 1849, he exercised effective control over nearly 30% of the rail track operating in Britain, most of it owned by four railway groups: the Eastern Counties Railway, the Midland, the York, Newcastle and Berwick, and the York and North Midland. Hudson remains an important figure in railway history also because of a series of scandalous revelations that forced him out of office. The financial reporting malpractices of the Eastern Counties Railway while Hudson was its chairman eventually led to the collapse of his system.
A railway junction diagram
When coaches or wagons owned by a different company were used, that company would be entitled to a proportion of the fare or fee. If the commencement and terminus of the journey were on different railways, a more complicated situation arose. If the two companies involved did not provide through ticketing, the passenger or goods needed to be re-booked at a junction station. If through booking was provided, the receipts collected by the first company needed to be divided between them, usually on a mileage basis. The Railway Clearing House was founded as a means by which these receipts could be apportioned fairly.
All the railways were promoted by commercial interests. As those opened by the year 1836 were paying good dividends, it prompted financiers to invest and by 1845 over 1,000 projected schemes had been put forward. This led to a speculative frenzy, following a common pattern: as the price of railway shares increased, more and more money was poured in by speculators, until the inevitable collapse in price. The Railway Mania, as it was called, reached its zenith in 1846, when no fewer than 272 Acts of Parliament setting up new railway companies were passed. Unlike most stock market bubbles, there was a net tangible result from all the investment in the form of a vast expansion of the British railway system, although perhaps at an inflated cost. When the government stepped in and announced closure for depositing schemes, the Railway Mania was brought to an end.
The legacy of Railway Mania can still be seen today, with duplication of some routes and cities possessing several stations on the same or different lines, sometimes with no direct connection between them (however, a significant amount of this duplication was removed by the Beeching Axe in the 1960s). The best example of this is London, which has no fewer than twelve main line terminal stations, serving its dense and complex suburban network. It is basically the result of the many railway companies during the Mania that were competing to run their routes in the capital.
Economic and Social Impact
The railway directors often had important political and social connections and used them to their companies’ advantages. Furthermore, landed aristocrats with established connections in London were especially welcome on the corporate boards. The aristocrats saw railway directorships as a socially acceptable form of contact with the world of commerce and industry. They leveraged the business acumen and connections gained through railways to join corporate boardrooms in other industries.
The financial success of the early railways was phenomenal as they had no real competition. The roads were still very slow and in poor condition. Prices of fuel and food fell in cities connected to railways in accordance with the fall in the cost of transport. The layout of lines with gentle gradients and curves, originating from the need to help the relatively weak engines and brakes, was a boon when speeds increased, avoiding for the most part the need to re-survey the course of a line. Less than 20 years after the Liverpool line opened, it was possible to travel from London to Scotland by train in a small fraction of the former time by road. Towards the end of the 19th century, competition became so fierce between companies on the east and west coast routes to Scotland that it led to what the press called the Race to the North.
In two summers of the late 19th century, passenger trains belonging to different companies would literally race each other from London to Scotland over the two principal rail trunk routes connecting the English capital city to Scotland. The races were never official and publicly the companies denied that what happened was racing at all. Results were not announced officially and the outcomes have since been hotly debated.
The railways changed British society in numerous and complex ways. Although recent attempts to measure the economic significance of the railways have suggested that their overall contribution to the growth of GDP was more modest than an earlier generation of historians argued, it is nonetheless clear that the railways had a sizable impact in many spheres of economic activity. The building of railways and locomotives, for example, called for large quantities of heavy materials and thus provided significant stimulus to the coal-mining, iron-production, engineering, and construction industries. The railways also helped reduce transaction costs, which in turn lowered the costs of goods. The distribution and sale of perishable goods such as meat, milk, fish, and vegetables was transformed, giving rise not only to cheaper produce in the stores but also to far greater variety in people’s diets.
The railways were also a significant force for the changing patterns of human mobility. Rail transport had originally been conceived as a way of moving coal and industrial goods but the railway operators quickly realized the potential for market for railway travel, leading to an extremely rapid expansion in passenger services. The number of railway passengers tripled in just eight years between 1842 and 1850. Traffic volumes roughly doubled in the 1850s and then doubled again in the 1860s. In the words of historian Derek Aldcroft, “In terms of mobility and choice [the railways] added a new dimension to everyday life.”
Government Involvement
While it had been necessary to obtain an Act of Parliament to build a new railway, the government initially took a laissez faire approach to their construction and operation. The state began to pay attention to safety matters with the 1840 Act for Regulating Railways, which empowered the Board of Trade to appoint railway inspectors. The Railway Inspectorate was established in 1840 to inquire into the causes of accidents and recommend ways of avoiding them.
Colonel Frederic Smith conducted the first investigation into five deaths caused by a large casting falling from a moving train in 1840 (Howden rail crash). He also conducted an inquiry into the derailment on the GWR when a mixed goods and passenger train derailed on Christmas Eve, 1841. As early as 1844 a bill had been put before Parliament suggesting the state purchase the railways, but it was not adopted. It did, however, lead to the introduction of minimum standards that would require railway companies to offer services available to the poorer passengers on each railway roue at least once a day (so-called Parliamentary carriages or trains).
Great Western Railway open passenger car
In the earliest days of passenger railways in Britain, the poor were encouraged to travel to find employment in the growing industrial centers, but trains were generally unaffordable to them except in the most basic of open wagons, in many cases attached to goods trains. The Railway Regulation Act, which took effect in 1844, compelled “the provision of at least one train a day each way at a speed of not less than 12 miles an hour including stops, which were to be made at all stations, and of carriages protected from the weather and provided with seats; for all which luxuries not more than a penny a mile might be charged.”
The commercial interests of the early railway industry were often of a local nature and there was never a nationwide plan to develop a logical network of railways. Some railways, however, began to grow faster than others, often taking over smaller lines to expand their own. The L&MR success led to the idea of linking Liverpool to London, and from that the seeds of the London and North Western Railway (L&NWR), an amalgamation of four hitherto separate enterprises, including the L&MR, were sown.
25.6: Social Change
25.6.1: The Factory System
The factory system, fueled by technological progress, made production much faster, cheaper, and more uniform, but also disconnected the workers from the means of production and placed them under the control of powerful industrialists.
Learning Objective
Describe the factory system and how it functioned
Key Points
-
One
of the earliest factories was John Lombe’s water-powered silk mill at Derby,
operational by 1721. By 1746, an integrated brass mill was working at Warmley
near Bristol. Matthew Boulton at his Soho Manufactory, which started operating in
1766, was among the pioneers of mass production on the assembly
line principle, while Josiah Wedgwood in Staffordshire opened the first
true ceramics factory in 1769. -
The factory system began to grow rapidly when
cotton spinning was mechanized. Richard Arkwright, the founder of the first
successful cotton spinning factory in the world, is credited with
inventing the prototype of the modern factory. Other industrialists and industries followed, introducing novel practices that advanced the factory system, including mass production using interchangeable parts or modern materials such as cranes and rail
tracks through the buildings for handling heavy items. - The major characteristics of factory system are that is a capitalist form of production, where the labor
does not own a significant share of the enterprise; the capitalist owners
provide the means of production and are responsible for the sale; production relies on
unskilled labor; products are produced on a much larger scale
than in either the putting-out or crafts systems; the location of production is more flexible; precisely uniform components are produced thanks to machinery; workers are paid either daily wages or for piece work, either in the form of money or
a combination of money, goods, and services. -
The factory system was a new way of organizing
labor made necessary by the development of machines, which were too large to
house in a worker’s cottage. Working hours were as long as they had been for
the farmer: from dawn to dusk, six days per week. Factories also
essentially reduced skilled and unskilled workers to replaceable commodities.
Debate arose concerning the morality of the
factory system, as workers complained about unfair working conditions. -
The
transition to industrialization was not without difficulty. For example, a
group of English textile workers known as Luddites protested against
industrialization and sometimes sabotaged factories. They feared that the years workers spent learning a craft
would go to waste and unskilled machine operators would rob them of their
livelihood. However, in many industries the transition to factory production
was not so divisive. -
One of the best-known accounts of factory
worker’s living conditions during the Industrial Revolution is Friedrich
Engels’ The Condition of the Working Class in England in 1844. Since then, the historical debate on the
question of living conditions of factory workers has been very controversial.
While some have pointed out that industrialization slowly improved the living
standards of workers, others have concluded
that living standards for the majority of the population did not grow
meaningfully until much later.
Key Terms
- Luddites
-
A group of English textile
workers and self-employed weavers in the 19th century that used the destruction
of machinery as a form of protest. The group was protesting the use of
machinery in a “fraudulent and deceitful manner” to get around
standard labor practices. They were fearful that the years they spent
learning the craft would go to waste and unskilled machine operators would rob
them of their livelihoods. - putting-out system
-
A means of subcontracting work,
historically known also as the workshop system and the domestic system. Work is contracted by a central agent to subcontractors who complete the
work in off-site facilities, either in their own homes or in workshops with
multiple craftsmen. - factory system
-
A method of manufacturing using
machinery and division of labor, first adopted in Britain at the beginning of
the Industrial Revolution in the late 18th century and later spread around the
world. Use of machinery with the division of labor reduced the required skill
level of workers and increased the output per worker. - truck system
-
An arrangement in which employees are paid in commodities or some currency substitute (such as vouchers or token coins, called in some dialects scrip or chit) rather than with standard currency.
Growth of Factories
One of the earliest factories was John Lombe’s water-powered silk mill at Derby, operational by 1721. By 1746, an integrated brass mill was working at Warmley near Bristol. Raw material went in at one end, was smelted into brass, then turned into pans, pins, wire, and other goods. Housing was provided for workers on site. Matthew Boulton at his Soho Manufactory, which started operating in 1766, was among the pioneers of mass production on the assembly line principle while Josiah Wedgwood in Staffordshire opened the first true ceramics factory in 1769.
The factory system began to grow rapidly when cotton spinning was mechanized. Richard Arkwright,
the founder of the first successful cotton spinning factory in the world, is credited with inventing the prototype of the modern factory. After he patented his water frame in 1769, he established Cromford Mill in Derbyshire, England, significantly expanding the village of Cromford to accommodate the migrant workers new to the area.
Mass production using interchangeable parts was first achieved in 1803 by Marc Isambard Brunel in cooperation with Henry Maudslay and Simon Goodrich, for the British Royal Navy during the Napoleonic War. This method did not catch on in general manufacturing in Britain for many decades; when it did, it was imported from the United States, becoming known as the American system of manufacturing. The Nasmyth, Gaskell and Company’s Bridgewater Foundry, which began operation in 1836, was one of the earliest factories to use modern materials handling, such as cranes and rail tracks through the buildings for heavy items.
Between 1820 and 1850, mechanized factories supplanted traditional artisan shops as the predominant form of manufacturing institution, because the larger-scale factories enjoyed a significant technological advantage over the small artisan shops. The earliest factories under the factory system developed in the cotton and wool textiles industry. Later generations of factories included mechanized shoe production and manufacturing of machinery, including machine tools. Factories that supplied the railroad industry included rolling mills, foundries, and locomotive works. Agricultural-equipment factories produced cast-steel plows and reapers. Bicycles were mass-produced beginning in the 1880s.
The Cromford Mill (opened in 1771) today
Richard Arkwright is the person credited with inventing the prototype of the modern factory. After he patented his water frame in 1769, he established Cromford Mill, in Derbyshire, England, significantly expanding the village of Cromford to accommodate the migrant workers new to the area.
It laid the foundation of Arkwright’s fortune and was quickly copied by mills in Lancashire, Germany and the United States.
Characteristics of Factory System
The factory system, considered a capitalist form of production, differs dramatically from the earlier systems of production. First, the labor generally does not own a significant share of the enterprise. The capitalist owners provide all machinery, buildings, management and administration, and raw or semi-finished materials, and are responsible for the sale of all production as well as any resulting losses.
The cost and complexity of machinery, especially that powered by water or steam, was more than cottage industry workers could afford or had the skills to maintain. Second, production relies on unskilled labor. Before the factory system, skilled craftsmen would usually custom-made an entire article. In contrast, factories practiced division of labor, in which most workers were either lowskilled laborers who tended or operated machinery, or unskilled laborers who moved materials and semi-finished and finished goods. Third, factories produced products on a much larger scale than in either the putting-out or crafts systems.
The factory system also made the location of production much more flexible. Before the widespread use of steam engines and railroads, most factories were located at water power sites and near water transportation. When railroads became widespread, factories could be located away from water power sites but nearer railroads. Workers and machines were brought together in a central factory complex. Although the earliest factories were usually all under one roof, different operations were sometimes on different floors. Further, machinery made it possible to produce precisely uniform components.
Workers were paid either daily wages or for piece work, either in the form of money or some combination of money, housing, meals, and goods from a company store (the truck system). Piece work presented accounting difficulties, especially as volumes increased and workers did a narrower scope of work on each piece. Piece work went out of favor with the advent of the production line, which was designed on standard times for each operation in the sequence and workers had to keep up with the work flow.
Factory System and Society
The factory system was a new way of organizing labor made necessary by the development of machines, which were too large to house in a worker’s cottage. Working hours were as long as they had been for the farmer: from dawn to dusk, six days per week. Factories also essentially reduced skilled and unskilled workers to replaceable commodities. At the farm or in the cottage industry, each family member and worker was indispensable to a given operation and workers had to posses knowledge and often advanced skills that resulted from years of learning through practice. Conversely, under the factory system, workers were easily replaceable as skills required to operate machines could be acquired very quickly. Factory workers typically lived within walking distance to work until the introduction of bicycles and electric street railways in the 1890s. Thus, the factory system was partly responsible for the rise of urban living, as large numbers of workers migrated into the towns in search of employment in the factories. Many mills had to provide dormitories for workers, especially for girls and women.
Much manufacturing in the 18th century was carried out in homes under the domestic or putting-out system, especially the weaving of cloth and spinning of thread and yarn, often with just a single loom or spinning wheel. As these devices were mechanized, machine-made goods were able to underprice the cottagers, leaving them unable to earn enough to make their efforts worthwhile.
The transition to industrialization was not without difficulty. For example, a group of English textile workers known as Luddites protested against industrialization and sometimes sabotaged factories. They continued an already established tradition of workers opposing labor-saving machinery. Numerous inventors in the textile industry suffered harassment when developing their machines or devices. Despite the common stereotype of Luddites as opponent of progress, the group was in fact protesting the use of
machinery in a “fraudulent and deceitful manner” to get around
standard labor practices. They feared that the years workers had spent
learning a craft would go to waste and unskilled machine operators would rob
them of their livelihoods. However, in many industries the transition to factory production was not so divisive.
Frame-breakers, or Luddites, smashing a loom
Machine-breaking was criminalized by the Parliament of the United Kingdom as early as 1721. Parliament subsequently made “machine breaking” (i.e. industrial sabotage) a capital crime with the Frame Breaking Act of 1812 and the Malicious Damage Act of 1861. Lord Byron opposed this legislation, becoming one of the few prominent defenders of the Luddites.
Debate arose concerning the morality of the factory system, as workers complained about unfair working conditions. One of the problems concerned women’s labor. Women were always paid less than men and in many cases, as little as a quarter of what men made. Child labor was also a major part of the system. However, in the early 19th century, education was not compulsory and in working families, children’s wages were seen as a necessary contribution to the family budget. Automation in the late 19th century is credited with ending child labor and according to many historians, it was more effective than gradually changing child labor laws. Years of schooling began to increase sharply from the end of the 19th century, when elementary state-provided education for all became a viable concept (with the Prussian and Austrian empires as pioneers of obligatory education laws). Some industrialists themselves tried to improve factory and living conditions for their workers. One of the earliest such reformers was Robert Owen, known for his pioneering efforts in improving conditions for workers at the New Lanark mills and often regarded as one of the key thinkers of the early socialist movement.
One of the best-known accounts of factory
worker’s living conditions during the Industrial Revolution is Friedrich
Engels’ The Condition of the Working Class in England in 1844. In
it, Engels described backstreet sections of Manchester and other mill towns
where people lived in crude shanties and shacks, some not completely enclosed,
some with dirt floors. These shanty towns had narrow walkways between
irregularly shaped lots and dwellings. There were no sanitary facilities.
Population density was extremely high. Eight to ten unrelated mill workers
often shared a room with no furniture and slept on a pile of straw or
sawdust. Disease spread through a contaminated water supply. By the late 1880s, Engels noted that the extreme poverty and lack of sanitation he wrote about in
1844 had largely disappeared. Since then, the historical debate on the question
of living conditions of factory workers has been very controversial. While some
have pointed out that living conditions of the poor workers were tragic
everywhere and industrialization, in fact, slowly improved the living standards
of a steadily increasing number of workers, others have concluded that living
standards for the majority of the population did not grow meaningfully until
the late 19th and 20th centuries and that in many ways workers’ living
standards declined under early capitalism.
25.6.2: Urbanization
Industrialization and emergence of the factory system triggered rural-to-urban migration and thus led to a rapid growth of cities, where during the Industrial Revolution workers faced the challenge of dire conditions and developed new ways of living.
Learning Objective
Connect the development of factories to urbanization
Key Points
-
Industrialization
led to the creation of the factory, and the factory system contributed to the
growth of urban areas as large numbers of workers migrated into the cities in
search of work in the factories. In England and Wales, the proportion of the population living in
cities jumped from 17% in 1801 to 72% in 1891. -
In 1844, Friedrich Engels published The
Condition of the Working Class in England, arguably the most important
record of how workers lived during the early era of industrialization in
British cities. He described backstreet sections of Manchester and other mill towns where people
lived in crude shanties and overcrowded shacks, constantly exposed to contagious diseases. These conditions
improved over the course of the 19th century. -
Before the Industrial Revolution, advances in agriculture
or technology led to an increase in population, which again strained food and
other resources, limiting increases in per capita income. This condition is
called the Malthusian trap and according to some economists, it was overcome
by the Industrial Revolution. Transportation advancements lowered transaction and food costs, improved distribution, and made more varied foods available in cities. - The historical debate on the question of living conditions of
factory workers has been very controversial. While some have pointed out that
industrialization slowly improved the living standards of workers, others have
concluded that living standards for the majority of the population did not grow
meaningfully until much later. - Not everyone lived in poor conditions and
struggled with the challenges of rapid industrialization. The Industrial
Revolution also created a middle class of industrialists and professionals who
lived in much better conditions. In fact, one of the earlier definitions of the
middle class equated the middle class to the original meaning of capitalist:
someone with so much capital that they could rival nobles. -
During the Industrial Revolution, the family structure changed. Marriage
shifted to a more sociable union between wife and husband
in the laboring class. Women and men tended to marry someone from the same job,
geographical location, or social group. Factories and mills also undermined the old patriarchal
authority to a certain extent. Women working in factories faced many new challenges, including limited child-raising opportunities.
Key Terms
- Agricultural Revolution
-
The unprecedented increase in agricultural production in Britain due to increases in labor and land productivity between the mid-17th and late 19th centuries. Agricultural output grew faster than the population over the century to 1770, and thereafter productivity remained among the highest in the world. This increase in the food supply contributed to the rapid growth of population in England and Wales.
- Malthusian trap
-
The putative unsustainability of improvements in a society’s standard of living because of population growth. It is named for Thomas Robert Malthus, who suggested that while technological advances could increase a society’s supply of resources such as food and thereby improve the standard of living, the resource abundance would encourage population growth, which would eventually bring the per capita supply of resources back to its original level. Some economists contend that since the Industrial Revolution, mankind has broken out of the trap. Others argue that the continuation of extreme poverty indicates that the Malthusian trap continues to operate.
- Cottonopolis
-
A metropolis centered on cotton trading servicing the cotton mills in its hinterland. It was originally applied to Manchester, England, because of its status as the international center of the cotton and textile trade during the Industrial Revolution.
Factories and Urbanization
Industrialization led to the creation of the factory and the factory system contributed to the growth of urban areas as large numbers of workers migrated into the cities in search of work in the factories. Nowhere was this better illustrated than in Manchester,
the world’s first industrial city,
nicknamed Cottonopolis because of its mills and associated industries that made it the global center of the textile industry. Manchester experienced a six-times increase in its population between 1771 and 1831. It had a population of 10,000 in 1717, but by 1911 it had burgeoned to 2.3 million. Bradford grew by 50% every ten years between 1811 and 1851 and by 1851 only 50% of the population of Bradford was actually born there.
In England and Wales, the proportion of the population living in cities jumped from 17% in 1801 to 72% in 1891.
Manchester known as Cottonopolis, pictured in 1840, showing the mass of factory chimneys,
Engraving by Edward Goodall (1795-1870), original title Manchester, from Kersal Moor after a painting of W. Wylde.
Although initially inefficient, the arrival of steam power signified the beginning of the mechanization that would enhance the burgeoning textile industries in Manchester into the world’s first center of mass production. As textile manufacture switched from the home to factories, Manchester and towns in south and east Lancashire became the largest and most productive cotton spinning center in the world in 1871, with 32% of global cotton production.
Standards of Living
Friedrich Engels’ The Condition of the Working Class in England in 1844 is arguably the most important record of how workers lived during the early era of industrialization in British cities. Engels, who remains one of the most important philosophers of the 19th century but also came from a family of wealthy industrialists, described backstreet sections of Manchester and other mill towns where people lived in crude shanties and shacks, some not completely enclosed, some with dirt floors. These towns had narrow walkways between irregularly shaped lots and dwellings. There were no sanitary facilities. Population density was extremely high. Eight to ten unrelated mill workers often shared a room with no furniture and slept on a pile of straw or sawdust. Toilet facilities were shared if they existed. Disease spread through a contaminated water supply. New urbanites—especially small children—died due to diseases spreading because of the cramped living conditions. Tuberculosis, lung diseases from the mines, cholera from polluted water, and typhoid were all common.
The original title page of
The Condition of the Working Class in England in 1944, published in German in Leipzig in 1845.
Engels’ interpretation proved to be extremely influential with British historians of the Industrial Revolution. He focused on both the workers’ wages and their living conditions. He argued that the industrial workers had lower incomes than their pre-industrial peers and lived in more unhealthy environments. This proved to be a wide-ranging critique of industrialization and one that was echoed by many of the Marxist historians who studied the industrial revolution in the 20th century.
Conditions improved over the course of the 19th century due to new public health acts regulating things like sewage, hygiene, and home construction. In the introduction of his 1892 edition, Engels notes that most of the conditions he wrote about in 1844 had been greatly improved.
Chronic hunger and malnutrition were the norm for the majority of the population of the world, including Britain and France, until the late 19th century. Until about 1750, in part due to malnutrition, life expectancy in France was about 35 years, and only slightly higher in Britain. In Britain and the Netherlands, food supply had been increasing and prices falling before the Industrial Revolution due to better agricultural practices (Agricultural Revolution).
However, population grew as well. Before the Industrial Revolution, advances in agriculture or technology led to an increase in population, which again strained food and other resources, limiting increases in per capita income. This condition is called the Malthusian trap and according to some economists, it was overcome by the Industrial Revolution. Transportation improvements, such as canals and improved roads, also lowered food costs. The post-1830 rapid development of railway further reduced transaction costs, which in turn lowered the costs of goods, including food. The distribution and sale of perishable goods such as meat, milk, fish, and vegetables was transformed by the emergence of the railways, giving rise not only to cheaper produce in the shops but also to far greater variety in people’s diets.
The question of how living conditions changed in the newly industrialized urban environment has been very controversial. A series of 1950s essays by Henry Phelps Brown and Sheila V. Hopkins set the academic consensus that the bulk of the population at the bottom of the social ladder suffered severe reductions in their living standards. Conversely, economist Robert E. Lucas, Jr., argues that the real impact of the Industrial Revolution was that the standards of living of the poorest segments of the society gradually, if slowly, improved. Others, however, have noted that while growth of the economy’s overall productive powers was unprecedented during the Industrial Revolution, living standards for the majority of the population did not grow meaningfully until the late 19th and 20th centuries and that in many ways workers’ living standards declined under early capitalism. For instance, studies have shown that real wages in Britain increased only 15% between the 1780s and 1850s and that life expectancy in Britain did not begin to dramatically increase until the 1870s.
Not everyone lived in poor conditions and struggled with the challenges of rapid industrialization. The Industrial Revolution also created a middle class of industrialists and professionals who lived in much better conditions.
In fact, one of the earlier definitions of the middle class equated it to the original meaning of capitalist: someone with so much capital that they could rival nobles. To be a capital-owning millionaire was an important criterion of the middle class during the Industrial Revolution although the period witnessed also a growth of a class of professionals (e.g., lawyers, doctors, small business owners) who did not share the fate of the early industrial working class and enjoyed a comfortable standard of living in growing cities.
Changes in Family Structure
In the laboring class at the end of the 18th and beginning of the 19th centuries, women traditionally married men of the same social status (e.g., a shoemaker’s daughter would marry a shoemaker’s son). Marriage outside this norm was not common. During the Industrial Revolution, marriage shifted from this tradition to a more sociable union between wife and husband in the laboring class. Women and men tended to marry someone from the same job, geographical location, or ocial group. Miners remained an exception to this trend and a coal miner’s daughter still tended to marry a coal miner’s son.
The rural pre-industrial work sphere was usually shaped by the father, who controlled the pace of work for his family. However, factories and mills undermined the old patriarchal authority to a certain extent. Factories put husbands, wives, and children under the same conditions and authority of the manufacturer masters. In the latter half of the Industrial Revolution, women who worked in factories or mills tended not to have children or had children that were old enough to take care of themselves, as life in the city made it impossible to take a child to work (unlike in the case of farm labor or cottage industry where women were more flexible to combine domestic and work spheres) and deprived women of a traditional network of support established in rural communities.
25.6.3: Labor Conditions
During the Industrial Revolution, laborers in factories, mills, and mines worked long hours under very dangerous conditions, though historians continue to debate the extent to which those conditions worsened the fate of the worker in pre-industrial society.
Learning Objective
Review the conditions workers labored under in the early factories
Key Points
-
As a result of industrialization, ordinary
working people found increased opportunities for employment in the new mills
and factories, but these were often under strict working conditions with long
hours of labor dominated by a pace set by machines. The nature of work changed
from a craft production model to a factory-centric model. - In the
textile industry, factories set hours of work and the machinery within them shaped
the pace of work. Factories brought workers together within one building and increased the division of
labor, narrowing the number and scope of tasks and including children and women
within a common production process. Maltreatment, industrial accidents, and ill health from
overwork and contagious diseases were common in the enclosed
conditions of cotton mills. Children were particularly vulnerable. -
Work discipline was forcefully instilled
upon the workforce by the factory owners, and the working conditions were
dangerous and even deadly. Early industrial factories and mines created
numerous health risks, and injury compensation for the workers did not exist.
Machinery accidents could lead to burns, arm and leg injuries,
amputation of fingers and limbs, and death. However, diseases were the most
common health issues that had long-term effects. -
Mining
has always been especially dangerous, and at the beginning of the 19th century,
methods of coal extraction exposed men, women, and children to very risky
conditions. In 1841, about 216,000 people were employed in the mines. Women and
children worked underground for 11-12 hours a day. The public became aware of
conditions in the country’s collieries in 1838 after an accident at Huskar
Colliery in Silkstone. The disaster came
to the attention of Queen Victoria who ordered an inquiry. - Lord Ashley headed
the royal commission of inquiry, which investigated the conditions of workers,
especially children, in the coal mines in 1840. Commissioners visited
collieries and mining communities gathering information, sometimes against the
mine owners’ wishes. The report, illustrated by engraved illustrations and the
personal accounts of mine workers, was published in 1842. The investigation led to
passing one of the earlier pieces of labor legislation: the Mines and
Collieries Act of 1842. It prohibited all girls and boys under ten years old
from working underground in coal mines. -
Over time, more men than
women would find that industrial employment and industrial wages provided a
higher level of material security than agricultural employment. Consequently,
women would be
left behind in less-profitable agriculture. By the late 1860s, very low wages
in agricultural work turned women to industrial employment on assembly lines, providing
industrial laundry services, and in the textile mills. Women were never paid the same wage as a man for the same work.
Key Terms
- Mines and Collieries Act
-
An 1842 act of the Parliament of the United Kingdom, which prohibited all girls and boys under ten years old from working underground in coal mines. It was a response to the working conditions of children revealed in the Children’s Employment Commission (Mines) 1842 report.
- hurrier
-
A child or woman employed by a collier to transport the coal that they had mined. Women would normally get the children to help them because of the difficulty of carrying the coal. Common particularly in the early 19th century, they pulled a corf (basket or small wagon) full of coal along roadways as small as 16 inches in height. They would often work 12-hour shifts, making several runs down to the coal face and back to the surface again.
Industrial Working Practices
As a result of industrialization, ordinary working people found increased opportunities for employment in the new mills and factories, but these were often under strict working conditions with long hours of labor dominated by a pace set by machines.
The nature of work changed from a craft production model to a factory-centric model. Between the 1760s and 1850, factories organized workers’ lives much differently than did craft production. The textile industry, central to the Industrial Revolution, serves as an illustrative example of these changes. Prior to industrialization, handloom weavers worked at their own pace, with their own tools, within their own cottages. Now, factories set hours of work and the machinery within them shaped the pace. Factories brought workers together within one building to work on machinery that they did not own. They also increased the division of labor, narrowing the number and scope of tasks and including children and women within a common production process.
The early textile factories employed a large share of children and women.
In 1800, there were 20,000 apprentices (usually pauper children) working in cotton mills. The apprentices were particularly vulnerable to maltreatment, industrial accidents, and ill health from overwork and widespread contagious diseases such as smallpox, typhoid, and typhus. The enclosed conditions (to reduce the frequency of thread breakage, cotton mills were usually very warm and as draft-free as possible) and close contact within mills and factories allowed contagious diseases to spread rapidly. Typhoid was spread through poor sanitation in mills and the settlements around them.
In all industries, women and children made significantly lower wages than men for the same work.
A Roberts loom in a weaving shed in 1835. Illustrator T. Allom in History of the cotton manufacture in Great Britain by Sir Edward Baines.
In reference to the growing number of women in the textile industry, Friedrich Engels argued the family structure was “turned upside down” as women’s wages undercut men’s, forcing men to “sit at home” and care for children while the wife worked long hours. Historical records have shown, however, that women working the same long hours under the same dangerous conditions as men never made the same wages as men and the patriarchal model of the family was hardly undermined.
Work discipline was forcefully instilled upon the workforce by the factory owners and the working conditions were dangerous and even deadly. Early industrial factories and mines created numerous health risks, and injury compensation for the workers did not exist. Machinery accidents could lead to burns, arm and leg injuries, amputation of fingers and limbs, and death. However, diseases were the most common health issues that had long-term effects. Cotton mills, coal mines, iron-works, and brick factories all had bad air, which caused chest diseases, coughs, blood-spitting, hard breathing, pains in chest, and insomnia. Workers usually toiled extremely long hours, six days a week. However, it is important to note that historians continue to debate the question of to what extent early industrialization worsened and to what extent it improved the fate of the workers, as working practices and conditions in the pre-industrial society were similarly difficult. Child labor, dangerous working conditions, and long hours were just as prevalent before the Industrial Revolution.
Mining
has always been especially dangerous and at the beginning of the 19th century, methods of coal extraction exposed men, women, and children to very risky conditions. In 1841, about 216,000 people were employed in the mines. Women and children worked underground for 11-12 hours a day. The public became aware of conditions in the country’s collieries in 1838 after an accident at Huskar Colliery in Silkstone, near Barnsley. A stream overflowed into the ventilation drift after violent thunderstorms, causing the death of 26 children, 11 girls ages 8 to 16 and 15 boys between 9 and 12 years of age. The disaster came to the attention of Queen Victoria, who ordered an inquiry. Lord Ashley headed the royal commission of inquiry, which investigated the conditions of workers, especially children, in the coal mines in 1840. Commissioners visited collieries and mining communities gathering information, sometimes against the mine owners’ wishes. The report, illustrated by engraved illustrations and the personal accounts of mine workers, was published in 1842. The middle class and elites were shocked to learn that children as young as five or six worked as trappers, opening and shutting ventilation doors down the mine before becoming hurriers, pushing and pulling coal tubs and corfs. The investigation led to
one of the earlier pieces of labor legislation: the Mines and Collieries Act of 1842. It prohibited all girls and boys under ten years old from working underground in coal mines.
Working-Class Women
Before the Mines and Collieries Act 1842, women (and children) worked underground as hurriers who carted tubs of coal up through the narrow mine shafts. In Wolverhampton, the law did not have much of an impact on women’s mining employment because they mainly worked above-ground at the coal mines, sorting coal, loading canal boats, and other surface tasks. Over time, more men than women would find industrial employment, and industrial wages provided a higher level of material security than agricultural employment. Consequently, women, who were traditionally involved in all agricultural labor, would be left behind in less-profitable agriculture. By the late 1860s, very low wages in agricultural work turned women to industrial employment.
In industrialized areas, women could find employment on assembly lines, providing industrial laundry services, and in the textile mills that sprang up during the Industrial Revolution in such cities as Manchester, Leeds, and Birmingham. Spinning and winding wool, silk, and other types of piecework were a common way of earning income by working from home, but wages were very low and hours long. Often 14 hours per day were needed to earn enough to survive. Needlework was the single highest-paid occupation for women working from home, but the work paid little and women often had to rent sewing machines that they could not afford to buy. These home manufacturing industries became known as “sweated industries” (think of today’s sweat shops). The Select Committee of the House of Commons defined sweated industries in 1890 as “work carried on for inadequate wages and for excessive hours in unsanitary conditions.” By 1906, such workers earned about a penny an hour. Women were never paid the same wage as a man for the same work, despite the fact that they were as likely as men to be married and supporting children.
25.6.4: Child Labor
Although child labor was widespread prior to industrialization, the exploitation of child workforce intensified during the Industrial Revolution.
Learning Objective
Indicate the circumstances leading to the use of industrial child labor
Key Points
- With
the onset of the Industrial Revolution in Britain in the late 18th century,
there was a rapid increase in the industrial exploitation of labor, including
child labor. Child
labor became the labor of choice for manufacturing in the early phases of the
Industrial Revolution because children were paid much less while being as productive as adults and were more vulnerable. Their smaller size was also perceived as an
advantage. -
Children as young as four were employed in
production factories and mines working long hours in dangerous, often fatal
conditions. In coal mines, children would crawl through tunnels too
narrow and low for adults. They also worked as errand boys, crossing sweepers,
shoe blacks, or selling matches, flowers, and other cheap goods. -
Many
children were forced to work in very poor conditions for much lower pay than
their elders, usually 10–20% of an adult male’s wage. Beatings and long hours were common, with some child coal miners
and hurriers working from 4 a.m. until 5 p.m. Many children developed lung cancer and other
diseases. Death before age 25 was common for child workers. -
Workhouses would sell orphans and abandoned
children as “pauper apprentices,” working without wages for board and
lodging. In 1800, there were 20,000 apprentices working in cotton mills. The
apprentices were particularly vulnerable to maltreatment, industrial accidents, and ill health from overwork, and contagious diseases such as smallpox, typhoid, and typhus. -
The first legislation in response to the abuses
experienced by child laborers did not even attempt to ban child labor, but
merely improve working conditions for some child workers. The Health and Morals
of Apprentices Act 1802 was designed
to improve conditions for apprentices working in cotton mills. It was not until 1819 that an Act to limit the hours of work and set a minimum
age for free children working in cotton mills was piloted through Parliament. - A series of acts limiting provisions under which children could be employed followed the two largely ineffective Acts of 1802 and 1819, including
the Mines and Collieries Act 1842, the
Factories Act 1844, and the Factories
Act 1847. The last two major factory acts of the Industrial Revolution
were introduced in 1850 and 1856. Factories could no longer dictate work hours
for women and children.
Key Terms
- Cotton Mills and Factories Act of 1819
-
An 1819 Act of Parliament in the United Kingdom that stated that no children under 9 were to be employed and that children aged 9–16 years were limited to 12 hours’ work per day. It applied to the cotton industry only, but covered all children, whether apprentices or not. It was seen through Parliament by Sir Robert Peel but had its origins in a draft prepared by Robert Owen in 1815. The Act that emerged in 1819 was watered down from Owen’s draft.
- Mines and Collieries Act 1842
-
An 1842 act of the Parliament
of the United Kingdom that prohibited banned) all girls and boys younger than age 10 from working underground in coal mines. It was a response to the
working conditions of children revealed in the Children’s Employment Commission
(Mines) 1842 report. - Second Industrial Revolution
-
A phase of rapid industrialization in the final third of the 19th century and the beginning of the 20th. Although a number of its characteristic events can be traced to earlier innovations in manufacturing, such as the establishment of a machine tool industry, the development of methods for manufacturing interchangeable parts, and the invention of the Bessemer Process, it is generally dated between 1870 and 1914.
- hurrier
-
A child or woman employed by a collier to
transport the coal that they had mined. Women would normally get the
children to help them because of the difficulty of carrying the coal. Common
particularly in the early 19th century, they pulled a corf (basket or
small wagon) full of coal along roadways as small as 16 inches in height.
They would often work 12-hour shifts, making several runs down to the coal face
and back to the surface again. - Health and Morals of Apprentices Act 1802
-
An
1802 Act of the Parliament of the United Kingdom, sometimes known as the Factory Act 1802, was designed to improve conditions for apprentices working in cotton mills. The Act was introduced by Sir Robert Peel, who became concerned with the issue after an 1784 outbreak of a “malignant fever” at one of his cotton mills, which he later blamed on “gross mismanagement” by his subordinates.
The Industrial Child Workforce
With the onset of the Industrial Revolution in Britain in the late 18th century, there was a rapid increase in the industrial exploitation of labor, including child labor. The population grew and although
chances of surviving childhood did not improve, infant mortality rates decreased markedly. Education opportunities for working-class families were limited and children were expected to contribute to family budgets just like adult family members. Child labor became the labor of choice for manufacturing in the early phases of the Industrial Revolution in the 18th and 19th centuries.
In England and Scotland in 1788, two-thirds of the workers in 143 water-powered cotton mills were described as children. Employers paid a child less than an adult even though their productivity was comparable. There was no need for strength to operate an industrial machine and since the industrial system was completely new, there were no experienced adult laborers. Factory and mine owners preferred child labor also because they perceived the child workers’ smaller size as an advantage. In textile factories, children were desired because of their supposed “nimble fingers,” while low and narrow mine galleries made children particularly effective mine workers.
The Victorian era (overlapping with approximately the last decade of the Industrial Revolution and largely with what is known as the Second Industrial Revolution) in particular became notorious for the conditions, under which children were employed. Children as young as four worked long hours in production factories and mines in dangerous, often fatal conditions. In coal mines, children would crawl through tunnels too narrow and low for adults. They also worked as errand boys, crossing sweepers, shoe blacks, or selling matches, flowers, and other cheap goods. Some children undertook work as apprentices to trades considered respectable, such as building or as domestic servants (there were over 120,000 domestic servants in London in the mid-18th century). Working hours were long: builders worked 64 hours a week in summer and 52 in winter, while domestic servants worked 80-hour weeks.
A young drawer pulling a coal tub along a mine gallery, source unknown.
Agile boys were employed by the chimney sweeps. Small children were employed to scramble under machinery to retrieve cotton bobbins and in coal mines, crawling through tunnels too narrow and low for adults. Many young people worked as prostitutes (the majority of prostitutes in London were between 15 and 22 years of age).
Labor Conditions
Child labor existed long before the Industrial Revolution, but with the increase in population and education, it became more visible. Furthermore, unlike in agriculture and cottage industries where children often contributed to the family operation, children in the industrial employment were independent workers with no protective mechanisms in place. Many children were forced to work in very poor conditions for much lower pay than their elders, usually 10–20% of an adult male’s wage. Children as young as four were employed. Beatings and long hours were common, with some child coal miners and hurriers working from 4 a.m. until 5 p.m. Conditions were dangerous, with some children killed when they dozed off and fell into the path of the carts, while others died from gas explosions. Many children developed lung cancer and other diseases. Death before the age of 25 was common for child workers.
Those child laborers who ran away would be whipped and returned to their masters, with some masters shackling them to prevent escape. Children employed as mule scavengers by cotton mills would crawl under machinery to pick up cotton, working 14 hours a day, six days a week. Some lost hands or limbs, others were crushed under the machines, and some were decapitated. Young girls worked at match factories, where phosphorus fumes would cause many to develop phossy jaw, an extremely painful condition that disfigured the patient and eventually caused brain damage, with dying bone tissue accompanied by a foul-smelling discharge. Children employed at glassworks were regularly burned and blinded, and those working at potteries were vulnerable to poisonous clay dust.
Workhouses would sell orphans and abandoned children as “pauper apprentices,” working without wages for board and lodging.
In 1800, there were 20,000 apprentices working in cotton mills. The apprentices were particularly vulnerable to maltreatment, industrial accidents, and ill health from overwork and contagious diseases such as smallpox, typhoid, and typhus. The enclosed conditions (to reduce the frequency of thread breakage, cotton mills were usually very warm and as draft-free as possible) and close contact within mills and factories allowed contagious diseases such as typhus and smallpox to spread rapidly, especially because sanitation in mills and the settlements around them was often poor. Around 1780, a water-powered cotton mill was built for Robert Peel on the River Irwell near Radcliffe. The mill employed children bought from workhouses in Birmingham and London. They were unpaid and bound apprentices until they were 21, which in practice made them enslaved labor. They boarded on an upper floor of the building and were locked inside. Shifts were typically 10–10.5 hours in length (i.e. 12 hours after allowing for meal breaks) and the apprentices “hot bunked,” meaning a child who had just finished his shift would sleep in a bed just vacated by a child now starting his shift.
Children at work in a cotton mill (Mule spinning, England 1835). Illustrations from Edward Baines, The History of the Cotton Manufacture in Great Britain, H. Fisher, R. Fisher, and P. Jackson, 1835.
Children as young as 4 were put to work. In coal mines, children began work at the age of 5 and generally died before the age of 25. Many children (and adults) worked 16-hour days.
Early Attempts to Ban Child Labor
The first legislation in response to the abuses experienced by child laborers did not even attempt to ban child labor but merely to improve working conditions for some child workers. The Health and Morals of Apprentices Act 1802, sometimes known as the Factory Act 1802, was designed to improve conditions for apprentices working in cotton mills. The Act was introduced by Sir Robert Peel, who became concerned after a 1784 outbreak of a “malignant fever” at one of his cotton mills, which he later blamed on “gross mismanagement” by his subordinates. The Act required that cotton mills and factories be properly ventilated and basic requirements on cleanliness be met. Apprentices in these premises were to be given a basic education and attend a religious service at least once a month. They were to be provided with clothing and their working hours were limited to no more than twelve hours a day (excluding meal breaks). They were not to work at night.
Despite its modest provisions, the 1802 Act was not effectively enforced and did not address the working conditions of free children, who were not apprentices and who rapidly came to heavily outnumber the apprentices in mills. Regulating the way masters treated their apprentices was a recognized responsibility of Parliament and hence the Act itself was non-contentious, but coming between employer and employee to specify on what terms a person might sell their labor (or that of their children) was highly contentious. Hence it was not until 1819 that an Act to limit the hours of work (and set a minimum age) for free children working in cotton mills was piloted through Parliament by Peel and his son Robert (the future Prime Minister). Strictly speaking, Peel’s Cotton Mills and Factories Act of 1819 paved the way for subsequent Factory Acts and set up effective means of industry regulation.
These 1802 and 1819 Acts were largely ineffective and after radical agitation by child labor opponents, a Royal Commission recommended in 1833 that children aged 11–18 should work a maximum of 12 hours per day, children aged 9–11 a maximum of eight hours, and children under the age of nine were no longer permitted to work. This act, however, only applied to the textile industry, and further agitation led to another act in 1847 limiting both adults and children to 10-hour working days.
In 1841, about 216,000 people were employed in the mines. Women and children worked underground for 11 or 12 hours a day for smaller wages than men. The public became aware of conditions in the country’s collieries in 1838 after an accident at Huskar Colliery in Silkstone, near Barnsley. A stream overflowed into the ventilation drift after violent thunderstorms causing the death of 26 children, 11 girls ages 8 to 16 and 15 boys between 9 and 12 years of age. The disaster came to the attention of Queen Victoria, who ordered an inquiry. Lord Ashley headed the royal commission of inquiry that investigated the conditions of workers, especially children, in the coal mines in 1840. Commissioners visited collieries and mining communities gathering information, sometimes against the mine owners’ wishes. The report, illustrated by engraved illustrations and the personal accounts of mine workers, was published in 1842. Victorian society was shocked to discover that children as young as five or six worked as trappers, opening and shutting ventilation doors down the mine before becoming hurriers, pushing and pulling coal tubs and corfs.
As a result, the Mines and Collieries Act 1842, commonly known as the Mines Act of 1842, was passed. It prohibited all girls and boys under ten years old from working underground in coal mines.
The Factories Act 1844 banned women and young adults from working more than 12-hour days and children from the ages 9 to 13 from working 9-hour days. The Factories Act 1847, also known as the Ten Hours Act, made it illegal for women and young people (13-18) to work more than 10 hours and maximum 63 hours a week in textile mills. The last two major factory acts of the Industrial Revolution were introduced in 1850 and 1856. Factories could no longer dictate work hours for women and children, who were to work from 6 a.m. to 6 p.m. in the summer and 7 a.m. to 7 p.m. in the winter. These acts deprived the manufacturers of a significant amount of power and authority.
25.6.5: Organized Labor
The concentration of workers in factories, mines, and mills facilitated the development of trade unions during the Industrial Revolution. After the initial decades of political hostility towards organized labor, skilled male workers emerged as the early beneficiaries of the labor movement.
Learning Objective
Describe the grievances that gave rise to organized labor
Key Points
-
The rapid expansion of industrial society during
the Industrial Revolution drew women, children, rural workers, and immigrants
into the industrial work force in large numbers and in new roles. This pool of
unskilled and semi-skilled labor spontaneously organized in fits and starts
throughout the early phases of industrialization and would later be an
important arena for the development of trade unions. -
As collective bargaining and early worker unions
grew with the onset of the Industrial Revolution, the government began to clamp
down on what it saw as the danger of popular unrest at the time of the
Napoleonic Wars. In 1799, the Combination Act was passed, which banned trade
unions and collective bargaining by British workers. Although the unions were
subject to often severe repression until 1824, they were already widespread in
some cities and workplace militancy manifested itself in many different ways. -
By
the 1810s, the first labor organizations to bring together workers of divergent
occupations were formed. Possibly the first such union was the General Union of
Trades, also known as the Philanthropic Society, founded in 1818 in Manchester. Under
the pressure of both workers and the middle and upper-class activists
sympathetic of the workers’ repeal, the law banning unions was repealed in
1824. However, the Combinations of Workmen Act 1825 severely restricted
their activity. -
The first attempts at a national
general union were made in the 1820s and 1830s. The National Association for
the Protection of Labor was established in 1830 by John Doherty. The Association quickly enrolled
approximately 150 unions, consisting mostly of textile workers but also
mechanics, blacksmiths, and various others.
In 1834, Welsh socialist Robert Owen established
the Grand National Consolidated Trades Union. The organization attracted a
range of socialists from Owenites to revolutionaries and played a part in the
protests after the Tolpuddle Martyrs’ case. -
In the later 1830s and 1840s, trade unionism was
overshadowed by political activity. Of particular importance was Chartism, a
working-class movement for political reform in Britain that existed from 1838
to 1858. The strategy employed the large-scale support to put pressure on
politicians to concede manhood suffrage. Chartism thus relied on constitutional
methods to secure its aims. -
More
permanent trade unions followed from the 1850s. They were usually better
resourced but often less radical. In
some trades, unions were led and controlled by skilled workers, which
essentially excluded the interests of the unskilled labor. Women
were largely excluded from trade union formation, membership, and hierarchies
until the late 20th century. Unions were eventually legalized in 1871 with the adoption of the Trade Union
Act 1871.
Key Terms
- Tolpuddle Martyrs
-
A group of 19th century Dorset agricultural laborers who were convicted of swearing a secret oath as members of the Friendly Society of Agricultural Laborers. At the time, friendly societies had strong elements of what are now considered to be the predominant role of trade unions. The group were subsequently sentenced to penal transportation to Australia.
- Chartism
-
A working-class movement for political reform in Britain that existed from 1838 to 1857. It took its name from the People’s Charter of 1838 and was a national protest movement. The strategy employed was to use the large scale of support for numerous petitions and the accompanying mass meetings to put pressure on politicians to concede manhood suffrage.
- Radical War
-
A week of strikes and unrest, also known as the Scottish Insurrection of 1820, that was a culmination of Radical demands for reform in the United Kingdom of Great Britain and Ireland which became prominent in the early years of the French Revolution, but were then repressed during the long Napoleonic Wars.
- Luddites
-
A group of English textile
workers and self-employed weavers in the 19th century who used the destruction
of machinery as a form of protest. The group was protesting the use of
machinery in a “fraudulent and deceitful manner” to get around
standard labor practices. They were fearful that the years they had spent
learning the craft would go to waste and unskilled machine operators would rob
them of their livelihood. - Combination Act
-
A 1799 Act of Parliament that prohibited trade unions and collective bargaining by British workers.
- Combinations of Workmen Act 1825
-
An 1825 Act of Parliament of the United Kingdom, which prohibited trade unions from attempting to collectively bargain for better terms and conditions at work and suppressed the right to strike.
Industrialization and Labor Organization
The
rapid expansion of industrial society during the Industrial Revolution drew women, children, rural workers, and immigrants into the industrial work force in large numbers and in new roles. This pool of unskilled and semi-skilled labor spontaneously organized in fits and starts throughout the early phases of industrialization and would later be an important arena for the development of trade unions. Trade unions have sometimes been seen as successors to the guilds of medieval Europe, although the relationship between the two is disputed as the masters of the guilds employed workers (apprentices and journeymen) who were not allowed to organize.
The concentration of labor in mills, factories, and mines facilitated the organization of workers to help advance the interests of working people. A union could demand better terms by withdrawing all labor and causing a consequent cessation of production. Employers had to decide between giving in to the union demands at a cost to themselves or suffering the cost of the lost production. Skilled workers were hard to replace and these were the first groups to successfully advance their conditions through this kind of bargaining.
Trade unions and collective bargaining were outlawed from no later than the middle of the 14th century when the Ordinance of Laborers was enacted in the Kingdom of England. As collective bargaining and early worker unions grew with the onset of the Industrial Revolution, the government began to clamp down on what it saw as the danger of popular unrest at the time of the Napoleonic Wars. In 1799, the Combination Act was passed, which banned trade unions and collective bargaining by British workers. Although the unions were subject to often severe repression until 1824, they were already widespread in some cities.
Workplace militancy manifested itself in many different ways. For example, Luddites
were a group of English textile workers and self-employed weavers who in the 19th century destroyed weaving machinery as a form of protest. The group was protesting the use of machinery to get around standard labor practices, fearing that the years they had spent learning the craft would go to waste and unskilled machine operators would rob them of their livelihoods. One of the first mass work strikes emerged in 1820 in Scotland, an event known today as the Radical War. 60,000 workers went on a general strike. Their demands went far beyond labor regulations and included a general call for reforms. The strike was quickly crushed.
Early Trade Unions
By the 1810s, the first labor organizations to bring together workers of divergent occupations were formed. Possibly the first such union was the General Union of Trades, also known as the Philanthropic Society, founded in 1818 in Manchester. The latter name was to hide the organization’s real purpose in a time when trade unions were still illegal.
Under the pressure of both workers and the middle and upper class activists sympathetic of the workers’ repeal, the law banning unions was repealed in 1824. However, the Combinations of Workmen Act 1825 severely restricted their activity. It prohibited trade unions from attempting to collectively bargain for better terms and conditions at work and suppressed the right to strike. That did not stop the fledgling labor movements and unions began forming rapidly.
The first attempts at setting up a national general union were made in the 1820s and 1830s. The National Association for the Protection of Labor was established in 1830 by John Doherty, after an apparently unsuccessful attempt to create a similar national presence with the National Union of Cotton Spinners. The Association quickly enrolled approximately 150 unions, consisting mostly of textile workers, but also including mechanics, blacksmiths, and various others. Membership rose to between 10,000 and 20,000 individuals spread across the five counties of Lancashire, Cheshire, Derbyshire, Nottinghamshire, and Leicestershire within a year. To establish awareness and legitimacy, the union started the weekly Voice of the People publication, with the declared intention “to unite the productive classes of the community in one common bond of union.”
Meeting of the trade unionists in Copenhagen Fields in 1834, for the purpose of carrying a petition to the King for a remission of the sentence passed on the Dorchester (Dorset county) laborers
In England, the members of the Friendly Society of Agricultural laborers became popular heroes and 800,000 signatures were collected for their release. Their supporters organized a political march, one of the first successful marches in the UK, and all were pardoned on condition of good conduct in 1836.
In 1834, Welsh socialist Robert Owen established the Grand National Consolidated Trades Union. The organization attracted a range of socialists from Owenites to revolutionaries and played a part in the protests after the Tolpuddle Martyrs’ case.
In 1833, six men from Tolpuddle in Dorset founded the Friendly Society of Agricultural Laborers to protest against the gradual lowering of agricultural wages. The Tolpuddle laborers refused to work for less than 10 shillings a week, although by this time wages had been reduced to seven shillings and would be further reduced to six.
In 1834, James Frampton, a local landowner and magistrate, wrote to Home Secretary Lord Melbourne to complain about the union.
As a result of obscure law that prohibited the swearing of secret oaths, six men were arrested, tried, found guilty, and transported to Australia. Owen’s union collapsed shortly afterwards.
Chartism
In the later 1830s and 1840s, trade unionism was overshadowed by political activity. Of particular importance was Chartism, a working-class movement for political reform in Britain that existed from 1838 to 1858. It took its name from the People’s Charter of 1838 and was a national protest movement, with particular strongholds of support in Northern England, the East Midlands, the Staffordshire Potteries, the Black Country, and the South Wales Valleys. Support for the movement was at its highest in 1839, 1842, and 1848, when petitions signed by millions of working people were presented to Parliament. The strategy used the scale of support demonstrated these petitions and the accompanying mass meetings to put pressure on politicians to concede manhood suffrage. Chartism thus relied on constitutional methods to secure its aims, although there were some who became involved in radical activities, notably in south Wales and Yorkshire. The government did not yield to any of the demands and suffrage had to wait another two decades. Chartism was popular among some trade unions, especially London’s tailors, shoemakers, carpenters, and masons. One reason was the fear of the influx of unskilled labor, especially in tailoring and shoe making. In Manchester and Glasgow, engineers were deeply involved in Chartist activities. Many trade unions were active in the general strike of 1842, which spread to 15 counties in England and Wales and eight in Scotland. Chartism taught techniques and political skills that inspired trade union leadership.
Photograph of the Great Chartist Meeting on Kennington Common, London in 1848, by William Edward Kilburn.
Chartists saw themselves fighting against political corruption and for democracy in an industrial society, but attracted support beyond the radical political groups for economic reasons, such as opposing wage cuts and unemployment.
Full Legalization
After the Chartist movement of 1848 fragmented, efforts were made to form a labor coalition. The Miners’ and Seamen’s United Association in the North-East operated 1851–1854 before it too collapsed because of outside hostility and internal disputes over goals. The leaders sought working-class solidarity as a long-term aim. More permanent trade unions followed from the 1850s. They were usually better resourced but often less radical. The London Trades Council was founded in 1860 and the Sheffield Outrages spurred the establishment of the Trades Union Congress in 1868. By this time, the existence and the demands of the trade unions were becoming accepted by liberal middle-class opinion. Further, in some trades, unions were led and controlled by skilled workers, which essentially excluded the interests of the unskilled labor. For example, in textiles and engineering, union activity from the 1850s to as late as the mid-20th century was largely in the hands of the skilled workers. They supported differentials in pay and status as opposed to the unskilled. They focused on control over machine production and were aided by competition among firms in the local labor market.
The legal status of trade unions in the United Kingdom was eventually established by a Royal Commission on Trade Unions in 1867, which agreed that the establishment of the organizations was to the advantage of both employers and employees. Unions were legalized with the adoption of the Trade Union Act 1871.
Exclusion of Women
Women were largely excluded from trade union formation, membership, and hierarchies until the late 20th century. When women did succeed in challenging male hegemony and made inroads into the representation of labor and combination, it was originally not working-class women but middle-class reformers such as the Women’s Protective and Provident League (WPPL), which sought to amiably discuss conditions with employers in the 1870s. It became the Women’s Trade Union League, members of which were largely upper-middle-class men and women interested in social reform, who wanted to educate women in trade unionism and fund the establishment of trade unions. Militant socialists broke away from the WPPL and formed the Women’s Trade Union Association, but they had little impact. However, there were a few cases in the 19th century where women trade union members took initiative. For example, women played a central role in the 1875 West Yorkshire weavers’ strike.
Chapter 24: Post-Napoleonic Europe
24.1: The Congress of Vienna
24.1.1: The Balance of Power
The Concert of Europe was a system of dispute resolution adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power.
Learning Objective
Define the Balance of Power
Key Points
- As the Napoleonic Wars came to close in the second decade of the 19th century, the Great Powers of Europe (Britain, Prussia, Russia and Austria) started planning for the postwar world.
- To bring about a balance of power in Europe and prevent further conflict, they developed what became known as the Concert of Europe, beginning with the Congress of Vienna.
- The Congress of Vienna dissolved the Napoleonic world and attempted to restore the monarchies Napoleon had overthrown.
- The Congress was the first occasion in history where on a continental scale, national representatives came together to formulate treaties instead of relying mostly on messages between the several capitals.
- The Concert of Europe, despite later changes and diplomatic breakdowns a few decades later, formed the basic framework for European international politics until the outbreak of the First World War in 1914.
Key Terms
- Concert of Europe
-
Also known as the Congress System or the Vienna System after the Congress of Vienna, a system of dispute resolution adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power.
- Great Powers
-
A sovereign state recognized as having the ability and expertise to exert its influence on a global scale. They characteristically possess military and economic strength, as well as diplomatic and soft power influence, which may cause middle or small powers to consider the Great Powers’ opinions before taking actions of their own.
- balance of power
-
A theory in international relations that suggests that national security is enhanced when military capability is distributed so that no one state is strong enough to dominate all others. If one state becomes much stronger than others, the theory predicts it will take advantage of its strength and attack weaker neighbors, thereby providing an incentive for those threatened to unite in a defensive coalition.
Congress of Vienna
As the four major European powers (Britain, Prussia, Russia, and Austria) opposing the French Empire in the Napoleonic Wars saw Napoleon’s power collapsing in 1814, they started planning for the postwar world. The Treaty of Chaumont of March 1814 reaffirmed decisions that would be ratified by the more important Congress of Vienna of 1814–15. The Congress of Vienna was the first of a series of international meetings that came to be known as the Concert of Europe, an attempt to forge a peaceful balance of power in Europe. It served as a model for later organizations such as the League of Nations in 1919 and the United Nations in 1945. They included the establishment of a confederated Germany, the division of French protectorates and annexations into independent states, the restoration of the Bourbon kings of Spain, the enlargement of the Netherlands to include what in 1830 became modern Belgium, and the continuation of British subsidies to its allies. The Treaty of Chaumont united the powers to defeat Napoleon and became the cornerstone of the Concert of Europe, which formed the balance of power for the next two decades. The basic tenet of the European balance of power is that no single European power should be allowed to achieve hegemony over a substantial part of the continent and that this is best curtailed by having a small number of ever-changing alliances contend for power.
The Congress of Vienna dissolved the Napoleonic world and attempted to restore the monarchies Napoleon had overthrown, ushering in an era of reaction. Under the leadership of Metternich, the prime minister of Austria (1809–48) and Lord Castlereagh, the foreign minister of Great Britain (1812–22), the Congress set up a system to preserve the peace. Under the Concert of Europe, the major European powers—Britain, Russia, Prussia, Austria, and (after 1818) France—pledged to meet regularly to resolve differences. The goal was not simply to restore old boundaries but to resize the main powers so they could balance each other and remain at peace. The leaders were conservatives with little use for republicanism or revolution, both of which threatened to upset the status quo in Europe. This plan was the first of its kind in European history and seemed to promise a way to collectively manage European affairs and promote peace.
The Congress resolved the Polish–Saxon crisis at Vienna and the question of Greek independence at Laibach. Three major European congresses took place. The Congress of Aix-la-Chapelle (1818) ended the occupation of France. The others were meaningless as each nation realized the Congresses were not to their advantage, as disputes were resolved with a diminishing degree of effectiveness.
The Congress was the first occasion in history where, on a continental scale, national representatives came together to formulate treaties instead of relying mostly on messages between the several capitals. The Congress of Vienna settlement, despite later changes, formed the framework for European international politics until the outbreak of the First World War in 1914.
Conservative Order
The Conservative Order is a term applied to European political history after the defeat of Napoleon in 1815. From 1815 to 1830 a conscious program by conservative statesmen, including Metternich and Castlereagh, was put in place to contain revolution and revolutionary forces by restoring old orders, particularly previous ruling aristocracies.
Britain, Prussia, Russia, and Austria renewed their commitment to prevent any restoration of Bonapartist power and agreed to meet regularly in conferences to discuss their common interests. This period contains the time of the Holy Alliance, a military agreement. The Concert of Europe was the political framework that grew out of the Quadruple Alliance in November 1815.
The goal of the conservatives at the Congress, led by Prince Klemens von Metternich of Austria, was to reestablish peace and stability in Europe. To accomplish this, a new balance of power had to be established. Metternich and the other four represented states sought to do this by restoring old ruling families and creating buffer zones between major powers. To contain the still powerful French, the House of Orange-Nassau was put on the throne in the Netherlands, which formerly comprised the Dutch Republic and the Austrian Netherlands (Belgium). To the southeast of France, Piedmont (officially part of the kingdom of Sardinia) was enlarged. The Bourbon dynasty was restored to France and Spain as well as a return of other legitimate rulers to the Italian states. And to contain the Russian empire, Poland was divided up between Austria, Prussia, and Russia.
Concert of Europe
The Concert of Europe, also known as the Congress System or the Vienna System after the Congress of Vienna, was a System of dispute resolution adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power. It grew out of Congress of Vienna. It operated in Europe from the end of the Napoleonic Wars (1815) to the early 1820s.
The Concert of Europe was founded by the powers of Austria, Prussia, the Russian Empire, and the United Kingdom, who were the members of the Quadruple Alliance that defeated Napoleon and his First French Empire. In time, France was established as a fifth member of the Concert. At first, the leading personalities of the system were British foreign secretary Lord Castlereagh, Austrian Chancellor Klemens von Metternich, and Tsar Alexander I of Russia. Charles Maurice de Talleyrand-Périgord of France was largely responsible for quickly returning that country to its place alongside the other major powers in international diplomacy.
The Concert of Europe had no written rules or permanent institutions, but at times of crisis any of the member countries could propose a conference. Meetings of the Great Powers during this period included: Aix-la-Chapelle (1818), Carlsbad (1819), Troppau (1820), Laibach (1821), Verona (1822), London (1832), and Berlin (1878).
Honore Daumier, L’Equilibre Europea (1866)
The basic tenet of the European balance of power that reigned from 1814 to WWI is that no single European power should be allowed to achieve hegemony over a substantial part of the continent and that this is best curtailed by having a small number of ever-changing alliances contend for power.
24.1.2: Participants of the Congress
The leading participants of the Congress of Vienna were British foreign secretary Lord Castlereagh, Austrian Chancellor Klemens von Metternich, and Tsar Alexander I of Russia, all of whom had a reactionary, conservative vision for Europe after the Napoleonic Wars, favoring stability and the status quo over liberal progress.
Learning Objective
Identify the participants in the Congress of Vienna and their representatives
Key Points
- The objective of the Congress of Vienna was to provide a long-term peace plan for Europe by settling critical issues arising from the French Revolutionary Wars and the Napoleonic Wars.
- The leading personalities of the Congress were British foreign secretary Lord Castlereagh, Austrian Chancellor Klemens von Metternich, and Tsar Alexander I of Russia.
- These three leaders in the Congress are known for their conservatism, aimed at creating lasting peace and maintaining the status quo and opposed to liberal progress and nationalism.
- This conservative agenda has been heavily criticized by many historians who argue that it stood in the way of progress and created the conditions for World War I.
- Charles Maurice de Talleyrand-Périgord of France was largely responsible for quickly returning France to its place alongside the other major powers in international diplomacy after their defeat in the Napoleonic Wars.
- Virtually every state in Europe had a delegation in Vienna – more than 200 states and princely houses were represented at the Congress.
Key Terms
- Napoleonic Wars
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A series of major conflicts pitting the French Empire and its allies, led by Napoleon I, against a fluctuating array of European powers formed into various coalitions, primarily led and financed by the United Kingdom. War broke out as a continuation of the French Revolution, which had plunged the European continent into war since 1792.
- reactionary
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A person who holds political views that favor a return to the status quo ante, the previous political state of society, which they believe possessed characteristics (discipline, respect for authority, etc.) that are negatively absent from the contemporary status quo of a society.
- Klemens von Metternich
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A politician and statesman of Rhenish extraction and one of the most important diplomats of his era, serving as the Austrian Empire’s Foreign Minister from 1809 and Chancellor from 1821 until the liberal revolutions of 1848 forced his resignation. He led the Austrian delegation at the Congress of Vienna that divided post-Napoleonic Europe amongst the major powers.
The Congress of Vienna was a conference of ambassadors of European states chaired by Austrian statesman Klemens Wenzel von Metternich and held in Vienna from November 1814 to June 1815, though the delegates had arrived and were already negotiating by late September 1814. The objective of the Congress was to provide a long-term peace plan for Europe by settling critical issues arising from the French Revolutionary Wars and the Napoleonic Wars. In a technical sense, the “Congress of Vienna” was not properly a Congress: it never met in plenary session, and most of the discussions occurred in informal, face-to-face sessions among the Great Powers of Austria, Britain, France, Russia, and sometimes Prussia, with limited or no participation by other delegates.
Major Participants of the Congress
The Congress functioned through formal meetings such as working groups and official diplomatic functions; however, a large portion was conducted informally at salons, banquets, and balls.
Austria was represented by Prince Klemens von Metternich, the Foreign Minister, and by his deputy, Baron Johann von Wessenberg. As the Congress’s sessions were in Vienna, Emperor Francis was kept closely informed. Metternich was one of main architects of the balance of power in Europe and approached the matter from a perspective of conservatism. He was a staunch opponent of liberalism and nationalism, favoring instead the preservation of the status quo in the face of the revolutionary challenge. He was also wary of Russian dominance. Critics of his diplomatic agenda paint him as the man who prevented Austria and the rest of central Europe from “developing along normal liberal and constitutional lines.” Had Metternich not stood in the way of “progress,” some argue, Austria might have reformed and dealt better with its problems of nationality, and the First World War might never have happened.
Great Britain was represented first by its Foreign Secretary, Viscount Castlereagh, then by the Duke of Wellington, after Castlereagh’s return to England in February 1815. In the last weeks it was headed by the Earl of Clancarty after Wellington left to face Napoleon during the Hundred Days. Castlereagh, a conservative like Metternich, had a vision of long-term peace in Europe that united efforts of the great powers. At the same time he was watchful of Britain’s mercantile and imperial interests. He saw that a harsh treaty based on vengeance and retaliation against France would fail, and anyway the conservative Bourbons were back in power. He employed his diplomatic skills to block harsh terms. Bringing France back into diplomatic balance was important to his vision of peace.
Tsar Alexander I controlled the Russian delegation formally led by the foreign minister, Count Karl Robert Nesselrode. The tsar had three main goals: to gain control of Poland, to form a league that could intervene and stop revolutions against monarchies and traditionalism, and to promote the peaceful coexistence of European nations. He succeeded in forming the Holy Alliance (1815), based on monarchism and anti-secularism, and formed to combat any threat of revolution or republicanism.
Prussia was represented by Prince Karl August von Hardenberg, the Chancellor, and the diplomat and scholar Wilhelm von Humboldt. King Frederick William III of Prussia was also in Vienna, playing his role behind the scenes. Hardenberg was more liberal than the other main participants, and earlier in his career implemented a variety of liberal reforms. To him and Baron von Stein, Prussia was indebted for improvements in its army system, the abolition of serfdom and feudal burdens, the opening of civil service to all classes, and the complete reform of the educational system. However, by the time of the Congress of Vienna, the zenith of his influence, if not of his fame, was passed. In diplomacy he was no match for Metternich, whose influence soon overshadowed his own. During his late career he acquiesced to reactionary policies along the lines of the rest of the Congress.
France, the “fifth” power, was represented by its foreign minister, Talleyrand, as well as the Minister Plenipotentiary the Duke of Dalberg. Talleyrand had already negotiated the Treaty of Paris (1814) for Louis XVIII of France; the king, however, distrusted him and was also secretly negotiating with Metternich by mail. Talleyrand played a major role at the Congress, where he negotiated a favorable settlement for France while undoing Napoleon’s conquests. He sought a negotiated secure peace so as to perpetuate the gains of the French revolution.
Initially, the representatives of the four victorious powers hoped to exclude the French from serious participation in the negotiations, but Talleyrand skillfully managed to insert himself into “her inner councils” in the first weeks of negotiations. He allied himself to a Committee of Eight lesser powers (including Spain, Sweden, and Portugal) to control the negotiations. Once Talleyrand was able to use this committee to make himself a part of the inner negotiations, he then left it, once again abandoning his allies.
Congress Secretary Friedrich von Gentz reported, “The intervention of Talleyrand and Labrador has hopelessly upset all our plans. Talleyrand protested against the procedure we have adopted and soundly [be]rated us for two hours. It was a scene I shall never forget.”
Other Participants
- Spain – Marquis Pedro Gómez de Labrador
- Kingdom of Portugal and the Algarves – Plenipotentiaries: Pedro de Sousa Holstein, Count of Palmela; António de Saldanha da Gama, Count of Porto Santo; Joaquim Lobo da Silveira.
- Sweden – Count Carl Löwenhielm
- Denmark – Count Niels Rosenkrantz, foreign minister. King Frederick VI was also present in Vienna.
- The Netherlands – Earl of Clancarty, the British Ambassador at the Dutch court, and Baron Hans von Gagern
- Switzerland – Every canton had its own delegation. Charles Pictet de Rochemont from Geneva played a prominent role.
- The Papal States – Cardinal Ercole Consalvi
- Republic of Genoa – Marquise Agostino Pareto, Senator of the Republic
- Bavaria – Maximilian Graf von Montgelas
- Württemberg – Georg Ernst Levin von Wintzingerode
- Hanover, then in a personal union with the British crown – Georg Graf zu Münster.
- Mecklenburg-Schwerin – Leopold von Plessen
Virtually every state in Europe had a delegation in Vienna – more than 200 states and princely houses were represented at the Congress. In addition, there were representatives of cities, corporations, religious organizations (for instance, abbeys), and special interest groups (e.g. a delegation representing German publishers, demanding a copyright law and freedom of the press). The Congress was noted for its lavish entertainment: according to a famous joke it did not move, but danced.
Participants of the Congress of Vienna
1. Arthur Wellesley, 1st Duke of Wellington 2. Joaquim Lobo Silveira, 7th Count of Oriola 3. António de Saldanha da Gama, Count of Porto Santo 4. Count Carl Löwenhielm 5. Jean-Louis-Paul-François, 5th Duke of Noailles 6. Klemens Wenzel, Prince von Metternich 7. André Dupin 8. Count Karl Robert Nesselrode 9. Pedro de Sousa Holstein, 1st Count of Palmela 10. Robert Stewart, Viscount Castlereagh 11. Emmerich Joseph, Duke of Dalberg 12. Baron Johann von Wessenberg 13. Prince Andrey Kirillovich Razumovsky 14. Charles Stewart, 1st Baron Stewart 15. Pedro Gómez Labrador, Marquis of Labrador 16. Richard Le Poer Trench, 2nd Earl of Clancarty 17. Wacken (Recorder) 18. Friedrich von Gentz (Congress Secretary) 19. Baron Wilhelm von Humboldt 20. William Cathcart, 1st Earl Cathcart 21. Prince Karl August von Hardenberg 22. Charles Maurice de Talleyrand-Périgord 23. Count Gustav Ernst von Stackelberg
24.1.3: Territorial Changes in Europe
The goal of the Congress of Vienna was not simply to restore old boundaries but to resize the main powers so they could balance each other and remain at peace.
Learning Objective
Outline the borders that changed in Europe after the Congress of Vienna
Key Points
- The Final Act, embodying all the separate treaties created at and around the Congress of Vienna, was signed on June 9, 1815, ushering in major territorial changes to Europe to create a balance of power between nations.
- France lost all of its territorial conquests from the Napoleonic Wars.
- Russia gained much of Poland, while Prussia added smaller German states in the west, Swedish Pomerania, and 40% of the Kingdom of Saxony.
- The Congress created a Confederated Germany, a consolidation of the nearly 300 states of the Holy Roman Empire (dissolved in 1806) into a much less complex system of 39 states.
- The Italian peninsula became a mere “geographical expression” divided into seven parts: Lombardy-Venetia, Modena, Naples-Sicily, Parma, Piedmont-Sardinia, Tuscany, and the Papal States under the control of different powers.
Key Terms
- Holy Roman Empire
-
A multi-ethnic complex of territories in central Europe that developed during the Early Middle Ages and continued until its dissolution in 1806. The largest territory of the empire after 962 was the Kingdom of Germany, though it also came to include the Kingdom of Bohemia, the Kingdom of Burgundy, the Kingdom of Italy, and numerous other territories.
- Hundred Days
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The period between Napoleon’s return from exile on the island of Elba to Paris on March 20, 1815, and the second restoration of King Louis XVIII on July 8, 1815, (a period of 111 days). Napoleon returned during the Congress of Vienna. On March 13, seven days before Napoleon reached Paris, the powers at the Congress of Vienna declared him an outlaw. On March 25, Austria, Prussia, Russia, and the United Kingdom, members of the Seventh Coalition, bound themselves to put 150,000 men each into the field to end his rule. This set the stage for the last conflict in the Napoleonic Wars, the defeat of Napoleon at the Battle of Waterloo, the restoration of the French monarchy for the second time, and the permanent exile of Napoleon to the distant island of Saint Helena, where he died in May 1821.
- Duchy
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A country, territory, fief, or domain ruled by a duke or duchess. The term is used almost exclusively in Europe, where in the present day there is no sovereign duchy (i.e. with the status of a nation state) left.
The Congress of Vienna (1814–1815) dissolved the Napoleonic world and attempted to restore the monarchies Napoleon had overthrown, ushering in an era of conservatism. Under the leadership of Metternich, the prime minister of Austria (1809–48) and Lord Castlereagh, the foreign minister of Great Britain (1812–22), the Congress set up a system to preserve the peace. The goal was not simply to restore old boundaries but to resize the main powers so they could balance each other.
France lost all its recent conquests, while Prussia, Austria, and Russia made major territorial gains. Prussia added smaller German states in the west, Swedish Pomerania, and 40% of the Kingdom of Saxony; Austria gained Venice and much of northern Italy. Russia gained parts of Poland. The new Kingdom of the Netherlands had been created just months before and included formerly Austrian territory that in 1830 became Belgium.
Territorial Changes
The Final Act, embodying all the separate treaties, was signed on June 9, 1815, (a few days before the Battle of Waterloo).
The Congress’s principal results were the enlargements of Russia, which gained most of the Duchy of Warsaw (Poland), and Prussia, which acquired the district of Poznań, Swedish Pomerania, Westphalia, and the northern Rhineland. The consolidation of Germany from the nearly 300 states of the Holy Roman Empire (dissolved in 1806) into a much less complex system of 39 states (four of which were free cities) was confirmed. These states formed a loose German Confederation under the leadership of Austria and Prussia.
The Congress also confirmed France’s loss of the territories annexed between 1795–1810, which had already been settled by the Treaty of Paris.
Representatives at the Congress agreed to numerous other territorial changes. By the Treaty of Kiel, Norway was ceded by the king of Denmark-Norway to the king of Sweden. This sparked the nationalist movement which led to the establishment of the Kingdom of Norway on May 17, 1814, and the subsequent personal union with Sweden. Austria gained Lombardy-Venetia in Northern Italy, while much of the rest of North-Central Italy went to Habsburg dynasties (the Grand Duchy of Tuscany, the Duchy of Modena, and the Duchy of Parma).
The Papal States were restored to the Pope. The Kingdom of Piedmont-Sardinia was restored to its mainland possessions and gained control of the Republic of Genoa. In Southern Italy, Napoleon’s brother-in-law, Joachim Murat, was originally allowed to retain his Kingdom of Naples, but his support of Napoleon in the Hundred Days led to the restoration of the Bourbon Ferdinand IV to the throne.
A large United Kingdom of the Netherlands was formed for the Prince of Orange, including both the old United Provinces and the formerly Austrian-ruled territories in the Southern Netherlands. Other, less important territorial adjustments included significant gains for the German Kingdoms of Hanover (which gained East Frisia from Prussia and various other territories in Northwest Germany) and Bavaria (which gained the Rhenish Palatinate and territories in Franconia). The Duchy of Lauenburg was transferred from Hanover to Denmark, and Prussia annexed Swedish Pomerania. Switzerland was enlarged and Swiss neutrality was established. Swiss mercenaries had played a significant role in European wars for several hundred years; the Congress intended to put a stop to these activities permanently.
During the wars, Portugal lost its town of Olivença to Spain and moved to have it restored. Portugal is historically Britain’s oldest ally and with British support succeeded in having the reincorporation of Olivença decreed in Article 105 of the Final Act, which stated that the Congress “understood the occupation of Olivença to be illegal and recognized Portugal’s rights.” Portugal ratified the Final Act in 1815 but Spain would not sign, and this became the most important hold-out against the Congress of Vienna. Deciding in the end that it was better to become part of Europe than to stand alone, Spain finally accepted the Treaty on May 7, 1817; however, Olivença and its surroundings were never returned to Portuguese control and this question remains unresolved.
Great Britain received parts of the West Indies at the expense of the Netherlands and Spain and kept the former Dutch colonies of Ceylon and the Cape Colony as well as Malta and Heligoland. Under the Treaty of Paris, Britain obtained a protectorate over the United States of the Ionian Islands and the Seychelles.
Congress of Vienna
The national boundaries within Europe set by the Congress of Vienna, 1815
24.1.4: Diplomatic Consequences of the Congress of Vienna
Despite the efforts of the Great Powers of Europe to prevent conflict and war with the Congress of Vienna, in many ways the Congress system failed by 1823. The rest of the 19th century was marked by more revolutionary fervor, more war, and the rise of nationalism.
Learning Objective
Describe the diplomatic consequences of the Congress of Vienna
Key Points
- The Congress of Vienna and the resulting Concert of Europe, aimed at creating a stable and peaceful Europe after the Napoleonic Wars, succeeded in creating a balance of power and peaceful diplomacy for almost a decade.
- The Great Powers, the main participants of the Congress, also formed the Holy Alliance and the Quadruple Alliance, treaties to further the conservative vision of the Congress.
- However, by 1823 the diplomatic system developed by the Congress by which the main powers could propose a conference to solve a crisis had failed.
- In 1818, the British decided not to become involved in continental issues that did not directly affect them and did not support the Tsar in his vision to prevent revolution.
- No Congress was called to restore the old system during the great revolutionary upheavals of 1848; thus, nationalism and liberalism began to triumph over the conservatism of the Congress system.
- The diplomatic alliances that formed out of the Congress were shattered during the Crimean War, in which Russia was defeated by the other Powers.
Key Terms
- Quadruple Alliance
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A treaty signed in Paris on November 20, 1815, by the great powers of United Kingdom, Austria, Prussia, and Russia. It renewed the use of the Congress System, which advanced European international relations.
- Holy Alliance
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A coalition created by the monarchist great powers of Russia, Austria, and Prussia. It was created with the intention to restrain republicanism and secularism in Europe in the wake of the devastating French Revolutionary Wars.
- Crimean War
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A military conflict fought from October 1853 to March 1856 in which the Russian Empire lost to an alliance of France, Britain, the Ottoman Empire, and Sardinia. The immediate cause involved the rights of Christian minorities in the Holy Land, part of the Ottoman Empire.
International Relations and Diplomacy
With the Concert of Europe, the territorial boundaries laid down at the Congress of Vienna were maintained, and even more importantly there was an acceptance of the theme of balance with no major aggression. Otherwise, the Congress system failed by 1823. In 1818 the British decided not to become involved in continental issues that did not directly affect them. They rejected the plan of Tsar Alexander I to suppress future revolutions. The Concert system fell apart as the common goals of the Great Powers were replaced by growing political and economic rivalries. Artz says the Congress of Verona in 1822 “marked the end.” There was no Congress called to restore the old system during the great revolutionary upheavals of 1848, which called for revision of the Congress of Vienna’s frontiers along national lines.
The Revolutions of 1848, known in some countries as the Spring of Nations, People’s Spring, Springtime of the Peoples, or the Year of Revolution, were a series of political upheavals throughout Europe in 1848. It remains the most widespread revolutionary wave in European history. These diverse revolutionary movements were in opposition to the conservative agenda of the Congress of Vienna and marked a major challenge to its vision for a stable Europe.
The revolutions were essentially democratic in nature, with the aim of removing the old feudal structures and creating independent national states. The revolutionary wave began in France in February and immediately spread to most of Europe and parts of Latin America. Over 50 countries were affected, but with no coordination or cooperation between their respective revolutionaries. According to Evans and von Strandmann (2000), some of the major contributing factors were widespread dissatisfaction with political leadership, demands for more participation in government and democracy, demands for freedom of press, demands made by the working class, the upsurge of nationalism, and the regrouping of established governmental forces.
The uprisings were led by shaky ad hoc coalitions of reformers, the middle classes, and workers, which did not hold together for long. Tens of thousands of people were killed and many more forced into exile. Significant lasting reforms included the abolition of serfdom in Austria and Hungary, the end of absolute monarchy in Denmark, and the introduction of parliamentary democracy in the Netherlands. The revolutions were most important in France, the Netherlands, the states that would make up the German Empire in the late 19th and early 20th century, Italy, and the Austrian Empire.
Before 1850 Britain and France dominated Europe, but by the 1850s they had become deeply concerned by the growing power of Russia and Prussia. The Crimean War of 1854–55 and the Italian War of 1859 shattered the relations among the Great Powers in Europe. Victory over Napoleonic France left the British without any serious international rival, other than perhaps Russia in central Asia.
The Crimean War (1853–56) was fought between Russia, who tried expanding its influence in the Balkans, against an alliance of Great Britain, France, Sardinia, and the Ottoman Empire. Russia was defeated.
In 1851, France under Napoleon III compelled the Ottoman government to recognize it as the protector of Christian sites in the Holy Land. Russia denounced this claim, since it claimed to be the protector of all Eastern Orthodox Christians in the Ottoman Empire. France sent its fleet to the Black Sea; Russia responded with its own show of force. In 1851, Russia sent troops into the Ottoman provinces of Moldavia and Wallachia. Britain, now fearing for the security of the Ottoman Empire, sent a fleet to join with the French, expecting the Russians would back down.
Diplomatic efforts failed. The Sultan declared war against Russia in October 1851. Following an Ottoman naval disaster in November, Britain and France declared war against Russia. Most of the battles took place in the Crimean peninsula, which the Allies finally seized. London, shocked to discover that France was secretly negotiating with Russia to form a postwar alliance to dominate Europe, dropped its plans to attack St. Petersburg and instead signed a one-sided armistice with Russia that achieved almost none of its war aims.
The Treaty of Paris, signed March 30, 1856, ended the war. It admitted the Ottoman Empire to the Concert of Europe, and the Powers promised to respect its independence and territorial integrity. Russia gave up a little land and relinquished its claim to a protectorate over the Christians in the Ottoman domains. The Black Sea was demilitarized and an international commission was set up to guarantee freedom of commerce and navigation on the Danube River.
After 1870 the creation and rise of the German Empire as a dominant nation restructured the European balance of power. For the next twenty years, Otto von Bismarck managed to maintain this balance by proposing treaties and creating many complex alliances between the European nations, such as the Triple Alliance.
Congress of Paris
Diplomats at the Congress of Paris, 1856, settling the Crimean War; painting by Edouard Louis Dubufe.
The Holy Alliance and the Quadruple Alliance
As an extension of the vision of the Congress of Vienna, the Kingdom of Prussia and the Austrian and Russian Empires formed the Holy Alliance (September 26, 1815) to preserve Christian social values and traditional monarchism. The intention of the alliance was to restrain republicanism and secularism in Europe in the wake of the devastating French Revolutionary Wars, and the alliance nominally succeeded in this until the Crimean War (1853–1856). Every member of the coalition promptly joined the Alliance, except for the United Kingdom, a constitutional monarchy with a more liberal political philosophy.
Britain did however ratify the Quadruple Alliance, signed on the same day as the Second Peace Treaty of Paris (November 20, 1815) by the same three powers that signed the Holy Alliance on September 26, 1815. It renewed the use of the Congress System, which advanced European international relations. The alliance first formed in 1813 to counter France and promised aid to each other. It became the Quintuple Alliance when France joined in 1818.
Much debate has occurred among historians as to which treaty was more influential in the development of international relations in Europe in the two decades following the end of the Napoleonic Wars. In the opinion of historian Tim Chapman, the differences are somewhat academic as the powers were not bound by the terms of the treaties and many of them intentionally broke the terms if it suited them.
The Holy Alliance was the brainchild of Tsar Alexander I. It gained support because most European monarchs did not wish to offend the Tsar by refusing to sign it, and as it bound monarchs personally rather than their governments, it was easy to ignore once signed. Although it did not fit comfortably within the complex, sophisticated, and cynical web of power politics that epitomized diplomacy of the post Napoleonic era, its influence was more lasting than contemporary critics expected and was revived in the 1820s as a tool of repression when the terms of the Quintuple Alliance were not seen to fit the purposes of some of the Great Powers of Europe.
The Quadruple Alliance, by contrast, was a standard treaty and the four Great Powers did not invite any of their allies to sign it. The primary objective was to bind the signatures to support the terms of the Second Treaty of Paris for 20 years. It included a provision for the High Contracting Parties to “renew their meeting at fixed periods…for the purpose of consulting on their common interests” which were the “prosperity of the Nations, and the maintenance of peace in Europe.” A problem with the wording of Article VI of the treaty is that it did not specify what these “fixed periods” would be, and there were no provisions in the treaty for a permanent commission to arrange and organize the conferences. This meant that the first conference in 1818 dealt with remaining issues of the French wars, but after that, meetings were arranged on an ad hoc basis to address specific threats such as those posed by revolutions.
24.2: France after 1815
24.2.1: Louis XVIII and the Bourbon Restoration
The Bourbon Restoration, which restored the pre-Napoleonic monarchy to the throne, was marked by conflicts between reactionary Ultra-royalists, who wanted to restore the pre-1789 system of absolute monarchy, and liberals, who wanted to strengthen constitutional monarchy.
Learning Objective
Define the Bourbon Restoration and its goals
Key Points
- The Bourbon Restoration was the period of French history following the fall of Napoleon in 1814 until the July Revolution of 1830.
- After Napoleon abdicated as emperor in March 1814, Louis XVIII, the brother of Louis XVI, was installed as king and France was granted a quite generous peace settlement, restored to its 1792 boundaries and not required to pay war indemnity.
- On becoming king, Louis issued a constitution known as the Charter which preserved many of the liberties won during the French Revolution and provided for a parliament composed of an elected Chamber of Deputies and a Chamber of Peers that was nominated by the king.
- A constitution, the Charter of 1814, was drafted; it presented all Frenchmen as equal before the law, but retained substantial prerogative for the king and nobility and limited voting to those paying at least 300 francs a year in direct taxes.
- After the Hundred Days, when Napoleon briefly returned to power, Louis XVIII was restored a second time by the allies in 1815, ending more than two decades of war.
- At this time, a more harsh peace treaty was imposed on France, returning it to its 1789 boundaries and requiring a war indemnity.
- There were large-scale purges of Bonapartists from the government and military, and a brief “White Terror” in the south of France claimed 300 victims.
- Despite the return of the House of Bourbon to power, France was much changed; the egalitarianism and liberalism of the revolutionaries remained an important force and the autocracy and hierarchy of the earlier era could not be fully restored.
Key Terms
- Napoleonic Code
-
The French civil code established under Napoléon I in 1804. It marked the end of feudalism and the liberation of serfs where it took effect. It recognized the principles of civil liberty, equality before the law, and the secular character of the state. It discarded the old right of primogeniture (where only the eldest son inherited) and required that inheritances be divided equally among all children. The court system was standardized; all judges were appointed by the national government in Paris.
- White Terror
-
Following the return of Louis XVIII to power in 1815, people suspected of having ties with the governments of the French Revolution or of Napoleon suffered arrest and execution.
- House of Bourbon
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A European royal house of French origin, a branch of the Capetian dynasty, who first ruled France and Navarre in the 16th century and by the 18th century, also held thrones in Spain, Naples, Sicily, and Parma.
- biens nationaux
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Properties confiscated during the French Revolution from the Catholic Church, the monarchy, émigrés, and suspected counter-revolutionaries for “the good of the nation.”
The Bourbon Restoration was the period of French history following the fall of Napoleon in 1814 until the July Revolution of 1830. The brothers of executed Louis XVI of France reigned in highly conservative fashion, and the exiles returned. They were nonetheless unable to reverse most of the changes made by the French Revolution and Napoleon. At the Congress of Vienna they were treated respectfully, but had to give up all the territorial gains made since 1789.
King Louis XVI of the House of Bourbon had been overthrown and executed during the French Revolution (1789–1799), which in turn was followed by Napoleon as ruler of France. A coalition of European powers defeated Napoleon in the War of the Sixth Coalition, ended the First Empire in 1814, and restored the monarchy to the brothers of Louis XVI. The Bourbon Restoration lasted from (about) April 6, 1814, until the popular uprisings of the July Revolution of 1830. There was an interlude in spring 1815—the “Hundred Days”—when the return of Napoleon forced the Bourbons to flee France. When Napoleon was again defeated they returned to power in July.
During the Restoration, the new Bourbon regime was a constitutional monarchy, unlike the absolutist Ancien Régime, so it had limits on its power. The period was characterized by a sharp conservative reaction and consequent minor but consistent civil unrest and disturbances. It also saw the reestablishment of the Catholic Church as a major power in French politics.
First Restoration
Louis XVIII’s restoration to the throne in 1814 was effected largely through the support of Napoleon’s former foreign minister, Talleyrand, who convinced the victorious Allied Powers of the desirability of a Bourbon Restoration. The Allies had initially split on the best candidate for the throne: Britain favored the Bourbons, the Austrians considered a regency for Napoleon’s son, François Bonaparte, and the Russians were open to either the duc d’Orléans, Louis Philippe, or Jean-Baptiste Bernadotte, Napoleon’s former Marshal, who was in line for the Swedish throne. Napoleon was offered to keep the throne in February 1814 on the condition that France return to its 1792 frontiers, but he refused.
The Great Powers occupying Paris demanded that Louis XVIII implement a constitution. Louis responded with the Charter of 1814, which included many progressive provisions: freedom of religion, a legislature composed of the Chamber of Deputies, and the Chamber of Peers, a press that would enjoy a degree of freedom, and a provision that the Biens nationaux would remain in the hands of their current owners. The two Chambers’ role was consultative (except on taxation), as only the King had the power to propose or sanction laws and appoint or recall ministers. Voting was limited to men with considerable property holdings, and just 1% of people could vote.
Louis XVIII signed the Treaty of Paris on May 30, 1814. The treaty gave France its 1792 borders, which extended east of the Rhine. The country had to pay no war indemnity, and the occupying armies of the Sixth Coalition withdrew instantly from French soil.
Despite the return of the House of Bourbon to power, France was much changed from the era of the Ancien Régime. The egalitarianism and liberalism of the revolutionaries remained an important force and the autocracy and hierarchy of the earlier era could not be fully restored. The economic changes, which were underway long before the revolution, had been further enhanced during the years of turmoil and were firmly entrenched by 1815. These changes saw power shift from the noble landowners to the urban merchants.
Many of the legal, administrative, and economic reforms of the revolutionary period were left intact; the Napoleonic Code, which guaranteed legal equality and civil liberties, the peasants’ biens nationaux, and the new system of dividing the country into départments were not undone by the new king. Relations between church and state remained regulated by the Concordat of 1801. However, in spite of the fact that the Charter was a condition of the Restoration, the preamble declared it to be a “concession and grant,” given “by the free exercise of our royal authority.”
After a first sentimental flush of popularity, Louis’ gestures towards reversing the results of the French Revolution quickly lost him support among the disenfranchised majority. Symbolic acts such as the replacement of the tricolore flag with the white flag, the titling of Louis as the “XVIII” (as successor to Louis XVII, who never ruled) and as “King of France” rather than “King of the French”, and the monarchy’s recognition of the anniversaries of the deaths of Louis XVI and Marie Antoinette were significant. A more tangible source of antagonism was the pressure applied to possessors of biens nationaux by the Catholic Church and returning émigrés attempting to repossess their former lands.
Hundred Days
On February 26, 1815, Napoleon Bonaparte escaped his island prison of Elba and embarked for France. He arrived with about 1,000 troops near Cannes on March 1. Louis XVIII was not particularly worried by Bonaparte’s excursion, as such a small number of troops could be easily overcome. There was, however, a major underlying problem for the Bourbons: Louis XVIII failed to purge the military of its Bonapartist troops. This led to mass desertions from the Bourbon armies to Bonaparte’s. Furthermore, Louis XVIII could not join the campaign against Napoleon in the south of France because he was suffering from gout.
Louis XVIII’s underestimation of Bonaparte proved disastrous. On March 19, the army stationed outside Paris defected to Bonaparte, leaving the city vulnerable to attack. That same day, Louis XVIII quit the capital with a small escort at midnight. Louis decided to go first to Lille, then crossed the border into the United Kingdom of the Netherlands, staying in Ghent.
However, Napoleon did not rule France again for very long, suffering a decisive defeat at the hands of the armies of the Duke of Wellington and Field Marshal Blücher at the Battle of Waterloo on June 18. The Allies came to the consensus that Louis XVIII should be restored to the throne of France.
Second Restoration
Talleyrand was again influential in seeing that the Bourbons reigned, as was Fouché, Napoleon’s minister of police during the Hundred Days. After the Hundred Days, a harsher peace treaty was imposed on France, returning it to its 1789 boundaries and requiring a war indemnity. Allied troops were to remain in the country until it was paid.
Louis XVIII’s role in politics from the Hundred Days onward was voluntarily diminished; he resigned most of his duties to his council. He and his ministry embarked on a series of reforms through the summer of 1815. The king’s council, an informal group of ministers that advised Louis XVIII, was dissolved and replaced by a tighter knit privy council, the “Ministère de Roi.” Talleyrand was appointed as the first Président du Conseil, i.e. Prime Minister of France. On July 14, the ministry dissolved the units of the army deemed “rebellious.” Hereditary peerage was reestablished to Louis’s behest by the ministry.
In August, elections for the Chamber of Deputies returned unfavorable results for Talleyrand. The ministry wished for moderate deputies, but the electorate voted almost exclusively for ultra-royalists. Talleyrand tendered his resignation on September 20. Louis XVIII chose the Duke of Richelieu to be his new Prime Minister. Richelieu was chosen because he was accepted by Louis’s family and the reactionary Chamber of Deputies.
Anti-Napoleonic sentiment was high in Southern France, and this was prominently displayed in the White Terror, the purge of all important Napoleonic officials from government and the execution of others. The people of France committed barbarous acts against some of these officials. Guillaume Marie Anne Brune (a Napoleonic marshal) was savagely assassinated and his remains thrown into the Rhône River. Louis XVIII deplored such illegal acts, but vehemently supported the prosecution of marshals that helped Napoleon in the Hundred Days. The White Terror claimed 300 victims.
The king was reluctant to shed blood, which greatly irritated the ultra-reactionary Chamber of Deputies, who felt that Louis XVIII was not executing enough people. The government issued a proclamation of amnesty to the “traitors” in January 1816, but the trials in progress were finished in due course. That same declaration banned any member of the House of Bonaparte from owning property in or entering France.
In 1823, France intervened in Spain where a civil war had deposed King Ferdinand VII. The British objected as this brought back memories of the still recent Peninsular War. However, the French troops marched into Spain, retook Madrid from the rebels, and left almost as quickly as they came. Despite worries to the contrary, France showed no sign of returning to an aggressive foreign policy and was admitted to the Concert of Europe in 1818.
Louis XVIII died on September 16, 1824, and was succeeded by his brother, the comte d’Artois, who took the title of Charles X.
Allegory of the Return of the Bourbons on 24 April 1814 : Louis XVIII Lifting France from Its Ruins
A painting by Louis-Philippe symbolizing the Bourbon Restoration as “lifting France from its ruins.” It shows the newly appointed king, Louis XVIII, lifting up a falling women, who symbolized France after the Napoleonic Wars.
24.2.2: Charles X and the July Revolution
In 1830 the discontent caused by Charles X’s conservative policies and his nomination of the Ultra prince de Polignac as minister culminated in an uprising in the streets of Paris, known as the July Revolution, which brought about an end to the Bourbon Restoration.
Learning Objective
Evaluate why the July Revolution occurred
Key Points
- Charles X of France took a far more conservative line than his brother Louis XVIII.
- He attempted to rule as an absolute monarch in the style of Ancien Régime and reassert the power of the Catholic Church in France.
- His coronation in 1824 also coincided with the height of the power of the Ultra-royalist party, who also wanted a return of the aristocracy and absolutist politics.
- A few years into his rule, unrest among the people of France began to develop, caused by an economic downturn, resistance to the return to conservative politics, and the rise of a liberal press.
- In 1830 the discontent caused by these changes and Charles X’s authoritarian nomination of the Ultra prince de Polignac as minister culminated in an uprising in the streets of Paris known as the 1830 July Revolution.
- Charles was forced to flee and Louis-Philippe d’Orléans, a member of the Orléans branch of the family and son of Philippe Égalité who had voted the death of his cousin Louis XVI, ascended the throne, beginning the more liberal July Monarchy.
Key Terms
- ultra-royalist
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A political part in 19th century France who wished for a return to the Ancien Régime of before 1789, with a view toward absolutism: domination by the nobility and “other devoted Christians.” They were anti-republican, anti-democratic, and preached Government on High by a marked noble elite. They tolerated vote censitaire, a form of democracy limited to those paying taxes above a high threshold.
- Ancien Régime
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The monarchic, aristocratic, social, and political system established in the Kingdom of France from approximately the 15th century until the latter part of the 18th century (“early modern France”) under the late Valois and Bourbon dynasties.
- July Revolution
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This uprising of 1830 saw the overthrow of King Charles X, the French Bourbon monarch, and the ascent of his cousin Louis Philippe, Duke of Orléans, who after 18 precarious years on the throne would be overthrown in 1848. It marked the shift from one constitutional monarchy, the Bourbon Restoration, to another, the July Monarchy.
Compared to his brother Louis XVIII, who ruled from 1814-1824, Charles X of France took a far more conservative line. He attempted to rule as an absolute monarch and reassert the power of the Catholic Church in France. Acts of sacrilege in churches became punishable by death, and freedom of the press was severely restricted. Finally, he tried to compensate the families of the nobles who had had their property destroyed during the Revolution.
In 1830 the discontent caused by these changes and Charles X’s authoritarian nomination of the Ultra prince de Polignac as minister culminated in an uprising in the streets of Paris, known as the 1830 July Revolution (or, in French, “Les trois Glorieuses,” the three glorious days of July 27-29). Charles was forced to flee and Louis-Philippe d’Orléans, a member of the Orléans branch of the family and son of Philippe Égalité who had voted the death of his cousin Louis XVI, ascended the throne. Louis-Philippe ruled not as “King of France” but as “King of the French” (an evocative difference for contemporaries). It was made clear that his right to rule came from the people and was not divinely granted. He also revived the tricolore as the flag of France in place of the white Bourbon flag that had been used since 1815, an important distinction because the tricolore was the symbol of the revolution.
Charles X (1824–1830)
The ascension to the throne of Charles X, the leader of the Ultra-royalist faction, coincided with the Ultras’ control of power in the Chamber of Deputies; thus, the ministry of the comte de Villèle was able to continue, and the last “restraint” (i.e., Louis) on the Ultra-royalists was removed. As the country underwent a Christian revival in the post-Revolutionary years, the Ultras saw fit to raise the status of the Roman Catholic Church once more.
On May 29, 1825, Charles was crowned in Reims in an opulent and spectacular ceremony that was reminiscent of the royal pomp of the coronations of the Ancien Régime. Some innovations were included upon request by Villèle; although Charles was hostile towards the 1814 Charter, commitment to the “constitutional charter” was affirmed with four of Napoleon’s generals in attendance.
While his brother had been sober enough to realize that France would never accept an attempt to resurrect the Ancien Régime, Charles had never been willing to accept the changes of the past four decades. He gave his Prime Minister, Jean-Baptiste de Villèle, lists of laws that he wanted ratified every time he opened parliament. In April 1825, the government approved legislation proposed by Louis XVIII but implemented only after his death, that paid an indemnity to nobles whose estates had been confiscated during the Revolution (the biens nationaux).
The law gave government bonds to those who had lost their lands in exchange for their renunciation of their ownership. This cost the state approximately 988 million francs. In the same month, the Anti-Sacrilege Act was passed. Charles’s government attempted to re-establish male-only primogeniture for families paying over 300 francs in tax, but the measure was voted down in the Chamber of Deputies.
On May 29, 1825, King Charles was anointed at the cathedral of Reims, the traditional site of consecration of French kings; it had been unused since 1775, as Louis XVIII had forgone the ceremony to avoid controversy. It was in the venerable cathedral of Notre-Dame at Paris that Napoleon consecrated his revolutionary empire, but in ascending the throne of his ancestors, Charles reverted to the old place of coronation used by the kings of France from the early ages of the monarchy.
That Charles was not a popular ruler became apparent in April 1827, when chaos ensued during the king’s review of the National Guard in Paris. In retaliation, the National Guard was disbanded but as its members were not disarmed, it remained a potential threat.
Downfall of the Bourbons
There is still considerable debate among historians as to the actual cause of the downfall of Charles X. What is generally conceded, though, is that between 1820 and 1830, a series of economic downturns combined with the rise of a liberal opposition within the Chamber of Deputies ultimately felled the conservative Bourbons.
Between 1827 and 1830, France faced an economic downturn, industrial and agricultural, that was possibly worse than the one that sparked the Revolution of 1789. A series of progressively worsening grain harvests in the late 1820s pushed up the prices on various staple foods and cash crops. In response, the rural peasantry throughout France lobbied for the relaxation of protective tariffs on grain to lower prices and ease their economic situation. However, Charles X, bowing to pressure from wealthier landowners, kept the tariffs in place.
While the French economy faltered, a series of elections brought a relatively powerful liberal bloc into the Chamber of Deputies. The 17-strong liberal bloc of 1824 grew to 180 in 1827 and 274 in 1830. This liberal majority grew increasingly dissatisfied with the policies of the centrist Martignac and the Ultra-royalist Polignac, seeking to protect the limited protections of the Charter of 1814.
Also, the growth of the liberal bloc within the Chamber of Deputies corresponded roughly with the rise of a liberal press within France. Generally centered around Paris, this press provided a counterpoint to the government’s journalistic services and to the newspapers of the right. It grew increasingly important in conveying political opinions and the political situation to the Parisian public and can thus be seen as a crucial link between the rise of the liberals and the increasingly agitated and economically suffering French masses.
July Revolution
Protest against the absolute monarchy was in the air. The elections of deputies on May 16, 1830, had gone very badly for King Charles X. In response, he tried repression but that only aggravated the crisis as suppressed deputies, gagged journalists, students from the University, and many working men of Paris poured into the streets and erected barricades during the “three glorious days” (French Les Trois Glorieuses) of July 26-29 1830. Charles X was deposed and replaced by King Louis-Philippe in the July Revolution. It is traditionally regarded as a rising of the bourgeoisie against the absolute monarchy of the Bourbons. Participants in the July Revolution included Marie Joseph Paul Ives Roch Gilbert du Motier, marquis de Lafayette. Working behind the scenes on behalf of the bourgeois-propertied interests was Louis Adolphe Thiers.
The July Revolution marked the shift from one constitutional monarchy, the Bourbon Restoration, to another, the July Monarchy; the transition of power from the House of Bourbon to its cadet branch, the House of Orléans; and the replacement of the principle of hereditary right by popular sovereignty. Supporters of the Bourbon were called Legitimists, and supporters of Louis Philippe Orléanists.
The Revolution broke out on July 27, 1830. Throughout the day, Paris grew quiet as the milling crowds grew larger. At 4:30 pm, commanders of the troops of the First Military division of Paris and the Garde Royale were ordered to concentrate their troops, and guns, on the Place du Carrousel facing the Tuileries, the Place Vendôme, and the Place de la Bastille. To maintain order and protect gun shops from looters, military patrols throughout the city were established, strengthened, and expanded. However, no special measures were taken to protect either the arm depots or gunpowder factories. For a time, those precautions seemed premature, but with the coming of twilight, the fighting began. According to historian Phil Mansel, “Parisians, rather than soldiers, were the aggressor. Paving stones, roof tiles, and flowerpots from the upper windows… began to rain down on the soldiers in the streets.” At first, soldiers fired warning shots into the air. But before the night was over, 21 civilians were killed. Fighting in Paris continued throughout the night.
On day two, Charles X ordered Maréchal Auguste Marmont, Duke of Ragusa, the on-duty Major-General of the Garde Royale, to repress the disturbances. Marmont’s plan was to have the Garde Royale and available line units of the city garrison guard the vital thoroughfares and bridges of the city and protect important buildings such as the Palais Royal, Palais de Justice, and the Hôtel de Ville. This plan was both ill-considered and wildly ambitious; not only were there not enough troops, but there were also nowhere near enough provisions. At 4 p.m., Charles X received Colonel Komierowski, one of Marmont’s chief aides. The colonel was carrying a note from Marmont to his Majesty:
Sire, it is no longer a riot, it is a revolution. It is urgent for Your Majesty to take measures for pacification. The honour of the crown can still be saved. Tomorrow, perhaps, there will be no more time… I await with impatience Your Majesty’s orders.
On day three, the revolutionaries were well-organized and very well-armed. In only a day and a night, over 4,000 barricades had been thrown up throughout the city. The tricolore flag of the revolutionaries – the “people’s flag” – flew over buildings, an increasing number of them important buildings. By 1:30 pm, the Tuileries Palace had been sacked. By mid-afternoon the greatest prize, the Hôtel de Ville, had been captured. A few hours later, politicians entered the battered complex and set about establishing a provisional government. Though there would be spots of fighting throughout the city for the next few days, the revolution, for all intents and purposes, was over.
The revolution of July 1830 created a constitutional monarchy. On August 2, Charles X and his son the Dauphin abdicated their rights to the throne and departed for Great Britain. Although Charles had intended that his grandson, the Duke of Bordeaux, would take the throne as Henry V, the politicians who composed the provisional government instead placed on the throne a distant cousin, Louis Philippe of the House of Orléans, who agreed to rule as a constitutional monarch. This period became known as the July Monarchy.
Liberty Leading the People
A painting by Eugène Delacroix commemorating the July Revolution of 1830, which toppled King Charles X of France. A woman personifying the concept and the Goddess of Liberty leads the people forward over the bodies of the fallen, holding the flag of the French Revolution – the tricolore flag, which remains France’s national flag – in one hand and brandishing a bayonetted musket with the other. The figure of Liberty is also viewed as a symbol of France and the French Republic known as Marianne.
24.2.3: The July Monarchy
The July Monarchy (1830–1848) is generally seen as a period during which the upper-middle class (haute bourgeoisie) was dominant. It marked the shift from the counter-revolutionary Legitimists to the Orleanists, who were willing to make some compromises with the changes of the 1789 Revolution, but maintained a conservative regime marked by constant civil unrest.
Learning Objective
Contrast the July monarchy with the reign of Charles X
Key Points
- In 1830, the discontent caused by Charles X’s authoritarian policies culminated in an uprising in the streets of Paris known as the 1830 July Revolution.
- Charles was forced to flee and Louis-Philippe d’Orléans, a member of the Orléans branch of the family and son of Philippe Égalité who had voted the death of his cousin Louis XVI, ascended the throne, marking the beginning of the July Monarchy, so named for the Revolution.
- Louis-Philippe ruled not as “King of France” but as “King of the French,” which made clear that his right to rule came from the people and was not divinely granted.
- Despite this and other such gestures (for example, reviving the tricolore as the flag of France in place of the white Bourbon flag that had been used since 1815), Louis-Philippe remained conservative, and reforms mainly benefited the upper-class citizens.
- Because of the conservative character of Louis-Philippe’s regime, civil unrest remained a permanent feature of the July Monarchy, with riots and uprising continuing throughout his rule.
- In February 1848, the French government banned the holding of the Campagne des banquets, fundraising dinners by activists where critics of the regime would meet (as public demonstrations and strikes were forbidden).
- As a result, protests and riots broke out in the streets of Paris. An angry mob converged on the royal palace, after which the hapless king abdicated and fled to England; the Second Republic was then proclaimed, ending the July Monarchy.
Key Terms
- campagne des banquets
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Political meetings during the July Monarchy in France that destabilized the King of the French Louis-Philippe. The campaign officially took place from July 9, 1847, to December, 25 1847, but in fact continued until the February 1848 Revolution during which the Second Republic was proclaimed.
- Louis Philippe I
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King of the French from 1830 to 1848 as the leader of the Orléanist party. His government, known as the July Monarchy, was dominated by members of a wealthy French elite and numerous former Napoleonic officials. He followed conservative policies, especially under the influence of the French statesman François Guizot from 1840–48.
- haute bourgeoisie
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A social rank in the bourgeoisie that can only be acquired through time. In France, it is composed of bourgeois families that have existed since the French Revolution. They hold only honorable professions and have experienced many illustrious marriages in their family’s history. They have rich cultural and historical heritages, and their financial means are more than secure. These families exude an aura of nobility that prevents them from certain marriages or occupations. They only differ from nobility in that due to circumstances, lack of opportunity, and/or political regime, they have not been ennobled.
The French Kingdom, commonly known as the July Monarchy, was a liberal constitutional monarchy in France under Louis Philippe I, starting with the July Revolution of 1830 (also known as the Three Glorious Days) and ending with the Revolution of 1848. It began with the overthrow of the conservative government of Charles X and the House of Bourbon. Louis Philippe, a member of the traditionally more liberal Orléans branch of the House of Bourbon, proclaimed himself Roi des Français (“King of the French”) rather than “King of France,” emphasizing the popular origins of his reign. The king promised to follow the “juste milieu”, or the middle-of-the-road, avoiding the extremes of the conservative supporters of Charles X and radicals on the left. The July Monarchy was dominated by wealthy bourgeoisie and numerous former Napoleonic officials. It followed conservative policies, especially under the influence (1840–48) of François Guizot. The king promoted friendship with Great Britain and sponsored colonial expansion, notably the conquest of Algeria. By 1848, a year in which many European states had a revolution, the king’s popularity had collapsed, and he was overthrown.
Louis Philippe I
The July Monarchy (1830–1848) is generally seen as a period during which the haute bourgeoisie was dominant. It marked the shift from the counter-revolutionary Legitimists to the Orleanists, who were willing to make compromises with the changes brought by the 1789 Revolution. Louis-Philippe’s taking of the title “King of the French” marked his acceptance of popular sovereignty, which replaced the Ancien Régime’s divine right. Louis-Philippe clearly understood his base of power: the wealthy bourgeoisie carried him aloft during the July Revolution through their work in the Parliament, and throughout his reign, he kept their interests in mind.
During the first several years of his regime, Louis-Philippe appeared to move his government toward legitimate, broad-based reform. The government found its source of legitimacy within the Charter of 1830, written by reform-minded members of Chamber of Deputies upon a platform of religious equality, the empowerment of the citizenry through the reestablishment of the National Guard, electoral reform, the reformation of the peerage system, and the lessening of royal authority. Indeed, Louis-Phillippe and his ministers adhered to policies that seemed to promote the central tenets of the constitution. However, the majority of these were veiled attempts to shore up the power and influence of the government and the bourgeoisie, rather than legitimate attempts to promote equality and empowerment for a broad constituency of the French population. Thus, though the July Monarchy seemed to move toward reform, this movement was largely illusory.
During the years of the July Monarchy, enfranchisement roughly doubled, from 94,000 under Charles X to more than 200,000 by 1848. However, this represented less than one percent of population, and as the requirements for voting were tax-based, only the wealthiest gained the privilege. By implication, the enlarged enfranchisement tended to favor the wealthy merchant bourgeoisie more than any other group.
The reformed Charter of 1830 limited the power of the King – stripping him of his ability to propose and decree legislation, as well as limiting his executive authority. However, the King of the French still believed in a version of monarchy that held the king as much more than a figurehead for an elected Parliament, and as such, he was quite active in politics. One of the first acts of Louis-Philippe in constructing his cabinet was to appoint the rather conservative Casimir Perier as the premier. Perier, a banker, was instrumental in shutting down many of the Republican secret societies and labor unions that had formed during the early years of the regime. In addition, he oversaw the dismemberment of the National Guard after it proved too supportive of radical ideologies.
The regime acknowledged early on that radicalism and republicanism threatened it by undermining its laissez-faire policies. Thus, the Monarchy declared the very term republican illegal in 1834. Guizot shut down republican clubs and disbanded republican publications. Republicans within the cabinet, like the banker Dupont, were all but excluded by Perier and his conservative clique. Distrusting the sole National Guard, Louis-Philippe increased the size of the army and reformed it in order to ensure its loyalty to the government.
Louis-Philippe, 1842
King Louis-Philippe I, the liberal and constitutional King of the French, brought to power by the July Revolution.
Unrest in the July Monarchy: Revolution of 1848
Louis-Philippe, who had flirted with liberalism in his youth, rejected much of the pomp and circumstance of the Bourbons and surrounded himself with merchants and bankers. The July Monarchy, however, remained a time of turmoil. A large group of Legitimists on the right demanded the restoration of the Bourbons to the throne. On the left, Republicanism and later Socialism, remained a powerful force.
Civil unrest continued after the July Revolution, supported by the left-wing press. Louis-Philippe’s government was not able to end it, mostly because the National Guard was headed by one of the Republican leaders, the marquis de La Fayette, who requested a “popular throne surrounded by Republican institutions.” The Republicans then gathered themselves in popular clubs in the tradition established by the 1789 Revolution. Some of those were fronts for secret societies, which requested political and social reforms or the execution of Charles X’s ministers. Strikes and demonstrations were permanent.
Despite the reforms made by Louis-Philippe’s regime, which targeted the bourgeoisie rather than the people, Paris was once again rocked by riots on February 14-15, 1831. Riots and protests continued throughout his reign, including the Canuts Revolt, started on November 21, 1831, during which parts of the National Guard took the demonstrators’ side.
Late in his reign, Louis-Philippe became increasingly rigid and dogmatic. For example, his President of the Council, François Guizot, had become deeply unpopular, but Louis-Philippe refused to remove him.
Around this same time, there was another economic downturn, which especially affected the lower classes. There was an increase in workers’ demonstrations, with riots in the Buzançais in 1847. In Roubaix, a city in the industrial north, 60% of the workers were unemployed. At the same time, the regime was marred by several political scandals (Teste–Cubières corruption scandal, revealed in May 1847, and Charles de Choiseul-Praslin’s suicide after murdering his wife, daughter of Horace Sébastiani).
Since the right of association was strictly restricted and public meetings prohibited after 1835, the opposition was paralyzed. To sidestep this law, political dissidents used civil funerals of their comrades as occasions for public demonstrations. Family celebrations and banquets also served as pretexts for gatherings. This campaign of banquets (Campagne des banquets), was intended to circumvent the governmental restriction on political meetings and provide a legal outlet for popular criticism of the regime. The campaign began in July 1847. Friedrich Engels was in Paris from October 1847 and was able to observe and attend some of these banquets.
The banquet campaign lasted until all political banquets were outlawed by the French government in February 1848. As a result, the people revolted, helping to unite the efforts of the popular Republicans and the liberal Orleanists, who turned their backs on Louis-Philippe.
Anger over the outlawing of the political banquets brought crowds of Parisians flooding into the streets at noon on February 22, 1848. The crowds directed their anger against the Citizen King Louis Philippe and his chief minister for foreign and domestic policy, François Pierre Guillaume Guizot. At 2 p.m. the next day, Prime Minister Guizot resigned. Upon hearing the news of Guizot’s resignation, a large crowd gathered outside the Ministry of Foreign Affairs. An officer ordered the crowd not to pass, but people in the front of the crowd were being pushed by the rear. The officer ordered his men to fix bayonets, probably wishing to avoid shooting. However, in what is widely regarded as an accident, a soldier discharged his musket, which resulted in the rest of the soldiers firing into the crowd. Fifty-two people were killed.
Paris was soon a barricaded city. Omnibuses were turned into barricades, and thousands of trees were felled. Fires were set, and angry citizens began converging to the royal palace. King Louis Philippe abdicated and fled to the UK.
24.2.4: The Second French Republic
On February 26, 1848, the liberal opposition from the 1848 Revolution came together to organize a provisional government, called the Second Republic, which was marked by disorganization and political ambiguity.
Learning Objective
Break down some of the challenges faced by the Second French Republic
Key Points
- The 1848 Revolution in France ended the Orleans monarchy (1830–48) and led to the creation of the French Second Republic.
- Following the overthrow of King Louis Philippe in February, a provisional government (Constituent Assembly) was created, which was disorganized as it attempted to deal with France’s economic problems created by the political upheaval.
- Frustration among the laboring classes arose when the Constituent Assembly did not address the concerns of the workers, leading to strikes and worker demonstrations.
- Louis Napoleon Bonaparte was elected president on December 10, 1848, by a landslide; his support came from a wide section of the French public.
- Because of the ambiguity surrounding Louis Napoleon’s political positions, his agenda as president was very much in doubt.
- The 1850 elections resulted in a conservative body, which renewed the power of the Church, especially in education.
- As 1851 opened, Louis-Napoleon was not allowed by the Constitution of 1848 to seek re-election as President of France; instead he proclaimed himself President for Life following a coup in December that was confirmed and accepted in a dubious referendum.
Key Terms
- National Workshops
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Areas of work provided for the unemployed by the French Second Republic after the Revolution of 1848. The political issues that resulted in the abdication of Louis Philippe caused an acute industrial crisis adding to the general agricultural and commercial distress which had prevailed throughout 1847. It greatly exacerbated the problem of unemployment in Paris. The provisional government under the influence of one of its members, Louis Blanc, passed a decree (February 25, 1848) guaranteeing government-funded jobs.
- French Second Republic
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The republican government of France between the 1848 Revolution and the 1851 coup by Louis-Napoléon Bonaparte that initiated the Second Empire.
- French Revolution of 1848
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Sometimes known as the February Revolution, one of a wave of revolutions in 1848 in Europe. In France the revolutionary events ended the Orleans monarchy (1830–48) and led to the creation of the French Second Republic.
The French Revolution of 1848 had major consequences for all of Europe; popular democratic revolts against authoritarian regimes broke out in Austria and Hungary, in the German Confederation and Prussia, and in the Italian States of Milan, Venice, Turin and Rome. Economic downturns and bad harvests during the 1840s contributed to growing discontent.
In February 1848, the French government banned the holding of the Campagne des banquets, fundraising dinners by activists where critics of the regime would meet (as public demonstrations and strikes were forbidden). As a result, protests and riots broke out in the streets of Paris. An angry mob converged on the royal palace, after which the hapless king abdicated and fled to England. The Second Republic was then proclaimed.
The revolution in France brought together classes of wildly different interests. The bourgeoisie desired electoral reforms (a democratic republic); socialist leaders (like Louis Blanc, Pierre Joseph Proudhon, and the radical Auguste Blanqui) asked for a “right to work” and the creation of national workshops (a social welfare republic) and for France to liberate the oppressed peoples of Europe (Poles and Italians). Moderates (like the aristocrat Alphonse de Lamartine) sought a middle ground. Tensions between groups escalated, and in June 1848, a working class insurrection in Paris cost the lives of 1,500 workers and eliminated once and for all the dream of a social welfare constitution.
The constitution of the Second Republic, ratified in September 1848, was extremely flawed and permitted no effective resolution between the President and the Assembly in case of dispute. In December 1848, a nephew of Napoléon Bonaparte, Charles Louis Napoléon Bonaparte, was elected as President of the Republic, and pretexting legislative gridlock, in 1851 he staged a coup d’état. Finally, in 1852 he had himself declared Emperor Napoléon III of the Second Empire of France.
Founding of the Second Republic
The French Second Republic was the republican government of France between the 1848 Revolution and the 1851 coup by Louis-Napoléon Bonaparte that initiated the Second Empire. It officially adopted the motto Liberté, Égalité, Fraternité. The Second Republic witnessed the tension between the “Social and Democratic Republic” and a liberal form of Republic, which exploded during the June Days Uprising of 1848.
On February 26, 1848, the liberal opposition came together to organize a provisional government. The poet Alphonse de Lamartine was appointed president. Lamartine served as a virtual dictator of France for the next three months. Elections for a Constituent Assembly were scheduled for April 23, 1848. The Constituent Assembly was to establish a new republican government for France. In preparation for these elections, two major goals of the provisional government were universal suffrage and unemployment relief. Universal male suffrage was enacted on March 2, 1848, giving France nine million new voters. As in all other European nations, women did not have the right to vote. However, during this time a proliferation of political clubs emerged, including women’s organizations.
Naturally, the provisional government was disorganized as it attempted to deal with France’s economic problems. The conservative elements of French society were wasting no time in organizing against the provisional government. After roughly a month, conservatives began to openly oppose the new government, using the rallying cry “order,” which the new republic lacked.
Frustration among the laboring classes arose when the Constituent Assembly did not address the concerns of the workers. Strikes and worker demonstrations became more common as the workers gave vent to these frustrations. These demonstrations reached a climax when on May 15, 1848, workers from the secret societies broke out in armed uprising against the anti-labor and anti-democratic policies being pursued by the Constituent Assembly and the Provisional Government. Fearful of a total breakdown of law and order, the Provisional Government invited General Louis Eugene Cavaignac back from Algeria in June 1848 to put down the worker’s armed revolt. From June 1848 until December 1848 General Cavaignac became head of the executive of the Provisional Government.
Additionally, there was a major split between the citizens of Paris and citizens of the more rural areas of France. The provisional government set out to establish deeper government control of the economy and guarantee a more equal distribution of resources. To deal with the unemployment problem, the provisional government established National Workshops. The unemployed were given jobs building roads and planting trees without regard for the demand for these tasks. The population of Paris ballooned as job seekers from all over France came to Paris to work in the newly formed National Workshops. To pay for these and other social programs, the provisional government placed new taxes on land. These taxes alienated the “landed classes”—especially the small farmers and the peasantry of the rural areas of France—from the provisional government. Hardworking rural farmers were resistant to paying for the unemployed city people and their new “Right to Work” National Workshops. The taxes were widely disobeyed in the rural areas and the government remained strapped for cash. Popular uncertainty about the liberal foundations of the provisional government became apparent in the April 23, 1848 elections. Despite agitation from the left, voters elected a constituent assembly which was primarily moderate and conservative.
Election of Napoleon III and a Short-Lived Republic
The election was keenly contested; the democratic republicans adopted as their candidate Ledru-Rollin, the “pure republicans” Cavaignac, and the recently reorganized Imperialist party Prince Louis-Napoléon Bonaparte. Unknown in 1835 and forgotten or despised since 1840, Louis Napoleon had in the last eight years advanced sufficiently in the public estimation to be elected to the Constituent Assembly in 1848 by five departments. He owed this rapid increase of popularity partly to blunders of the government of July, which had unwisely aroused the memory of the country with recollections of the Empire, and partly to Louis-Napoléon’s campaign carried on from his prison at Ham by means of pamphlets of socialistic tendencies. Moreover, the monarchists, led by Thiers and the committee of the Rue de Poitiers, were no longer content even with the safe dictatorship of the upright Cavaignac, and joined forces with the Bonapartists. On December 10 the peasants gave over 5 million votes to Napoléon, who stood for order at all costs, against 1.4 million for Cavaignac.
Louis Napoleon’s support came from a wide section of the French public. Various classes of French society voted for him for very different and often contradictory reasons; he encouraged this contradiction by “being all things to all people.” One of his major promises to the peasantry and other groups was that there would be no new taxes.
The new National Constituent Assembly was heavily composed of royalist sympathizers of both the Legitimist (Bourbon) wing and the Orleanist (Citizen King Louis Philippe) wing. Because of the ambiguity surrounding Louis Napoleon’s political positions, his agenda as president was very much in doubt. For prime minister, he selected Odilon Barrot, an unobjectionable middle-road parliamentarian, who had led the “loyal opposition” under Louis Philippe. Other appointees represented various royalist factions.
In June 1849, demonstrations against the government broke out and were suppressed. Leaders were arrested, including prominent politicians. The government banned several democratic and socialist newspapers in France; the editors were arrested. Karl Marx, who was living in Paris at the time, was at risk so he moved to London in August.
The government sought ways to balance its budget and reduce its debts. Toward this end, Hippolyte Passy was appointed Finance Minister. When the Legislative Assembly met at the beginning of October 1849, Passy proposed an income tax to help balance the finances of France. The bourgeoisie, who would pay most of the tax, protested. The furor over the income tax caused the resignation of Barrot as prime minister, but a new wine tax also caused protests.
The 1850 elections resulted in a conservative body. As 1851 opened, Louis-Napoleon was not allowed by the Constitution of 1848 to seek re-election as President of France. Instead he proclaimed himself President for Life following a coup in December that was confirmed and accepted in a dubious referendum.
Prince Louis Napoleon
“Messieurs Victor Hugo and Emile de Girardin try to raise Prince Louis upon a shield [in the heroic Roman fashion]: not too steady!” Honoré Daumier’s satirical lithograph published in Charivari, December 11, 1848.
24.2.5: Napoleon III
The Second French Empire was the Imperial Bonapartist regime of Napoleon III from 1852 to 1870, between the Second Republic and the Third Republic, an era of great industrialization, urbanization (including the massive rebuilding of Paris by Baron Haussmann), and economic growth, as well as major disasters in foreign affairs.
Learning Objective
Summarize the reign of Napoleon III and his efforts to recreate his uncle’s empire
Key Points
- In 1851, Louis Napoleon was not allowed by the Constitution of 1848 to seek re-election as President of the Second Republic of France; instead, he proclaimed himself President for Life following a coup in December and in 1852 declared himself the Emperor of France, Napoleon III.
- The structure of the French government during the Second Empire was little changed from the First under Napoleon Bonaparte.
- Despite his promises in 1852 of a peaceful reign, the Emperor could not resist the temptations of glory in foreign affairs.
- Napoleon did have some successes; he strengthened French control over Algeria, established bases in Africa, began the takeover of Indochina, and opened trade with China.
- In Europe, however, Napoleon failed again and again; the Crimean war of 1854-56 produced no gains, in the 1860s Napoleon nearly blundered into war with the United States in 1862, and his takeover of Mexico in 1861-67 was a total disaster.
- In July 1870, Napoleon entered the Franco-Prussian War without allies and with inferior military forces; the French army was rapidly defeated and Napoleon III was captured at the Battle of Sedan.
- The French Third Republic was proclaimed in Paris, and Napoleon went into exile in England, where he died in 1873.
Key Terms
- Franco-Prussian War
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A conflict between the Second French Empire of Napoleon III and the German states of the North German Confederation led by the Kingdom of Prussia. The conflict was caused by Prussian ambitions to extend German unification and French fears of the shift in the European balance of power that would result if the Prussians succeeded. A series of swift Prussian and German victories in eastern France, culminating in the Siege of Metz and the Battle of Sedan, saw Napoleon III captured and the army of the Second Empire decisively defeated.
- Napoleon III
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The only President (1848–52) of the French Second Republic and, as Napoleon III, the Emperor (1852–70) of the Second French Empire. He was the nephew and heir of Napoleon I. He was the first President of France to be elected by a direct popular vote. He was blocked by the Constitution and Parliament from running for a second term, so he organized a coup d’état in 1851 and then took the throne as Napoleon III on December 2, 1852, the 48th anniversary of Napoleon I’s coronation. He remains the longest-serving French head of state since the French Revolution.
- reconstruction of Paris
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A vast public works program commissioned by Emperor Napoléon III and directed by his prefect of the Seine, Georges-Eugène Haussmann, between 1853 and 1870. It included the demolition of crowded and unhealthy medieval neighborhoods; the building of wide avenues, parks, and squares; the annexation of the suburbs surrounding Paris; and the construction of new sewers, fountains, and aqueducts. Haussmann’s work met with fierce opposition and was finally dismissed by Napoleon III in 1870, but work on his projects continued until 1927. The street plan and distinctive appearance of the center of Paris today is largely the result of Haussmann’s renovation.
The constitution of the Second Republic, ratified in September 1848, was extremely flawed and permitted no effective resolution between the President and the Assembly in case of dispute. In 1848, a nephew of Napoléon Bonaparte, Louis-Napoleon Bonaparte, was elected President of France through universal male suffrage, taking 74% of the vote. He did this with the support of the Parti de l’Ordre after running against Louis Eugène Cavaignac. Subsequently, he was in constant conflict with the members of the National Assembly.
Ascension to Power
Contrary to the Party’s expectations that Louis-Napoleon would be easy to manipulate (Adolphe Thiers had called him a “cretin whom we will lead [by the nose]”), he proved himself an agile and cunning politician. He succeeded in imposing his choices and decisions on the Assembly, which had once again become conservative in the aftermath of the June Days Uprising in 1848.
The provisions of the constitution that prohibited an incumbent president from seeking re-election appeared to force the end of Louis-Napoleon’s rule in December 1852. Not one to admit defeat, Louis-Napoleon spent the first half of 1851 trying to change the constitution through Parliament so he could be re-elected. Bonaparte traveled through the provinces and organized petitions to rally popular support but in January 1851, the Parliament voted no.
Louis-Napoleon believed that he was supported by the people, and he decided to retain power by other means. His half-brother Morny and a few close advisers began to quietly organize a coup d’état. They brought Major General Jacques Leroy de Saint Arnaud, a former captain from the French Foreign Legion and a commander of French forces in Algeria, and other officers from the French army in North Africa to provide military backing for the coup.
On the morning of December 2, troops led by Saint-Arnaud occupied strategic points in Paris from the Champs-Élysées to the Tuileries. Top opposition leaders were arrested and six edicts promulgated to establish the rule of Louis-Napoleon. The Assemblée Nationale was dissolved and universal male suffrage restored. Louis-Napoleon declared that a new constitution was being framed and said he intended to restore a “system established by the First Consul.” He thus declared himself President for Life, and in 1852, Emperor of France, Napoleon III.
France was ruled by Emperor Napoleon III from 1852 to 1870. During the first years of the Empire, Napoleon’s government imposed censorship and harsh repressive measures against his opponents. Some six thousand were imprisoned or sent to penal colonies until 1859. Thousands more went into voluntary exile abroad, including Victor Hugo. From 1862 onward, he relaxed government censorship, and his regime came to be known as the “Liberal Empire.” Many of his opponents returned to France and became members of the National Assembly.
Legacy
Napoleon III is best known today for his grand reconstruction of Paris, carried out by his prefect of the Seine, Baron Haussmann. He launched similar public works projects in Marseille, Lyon, and other French cities. Napoleon III modernized the French banking system, greatly expanded and consolidated the French railway system, and made the French merchant marine the second largest in the world. He promoted the building of the Suez Canal and established modern agriculture, which ended famines in France and made France an agricultural exporter. Napoleon III negotiated the 1860 Cobden–Chevalier free trade agreement with Britain and similar agreements with France’s other European trading partners. Social reforms included giving French workers the right to strike and the right to organize. Women’s education greatly expanded, as did the list of required subjects in public schools.
The Reconstruction of Paris
One of the Haussmann’s Great Boulevards painted by the artist Camille Pissarro (1893)
Foreign Policy
In foreign policy, Napoleon III aimed to reassert French influence in Europe and around the world. He was a supporter of popular sovereignty and nationalism. Despite his promises in 1852 of a peaceful reign, the Emperor could not resist the temptations of glory in foreign affairs. He was visionary, mysterious, and secretive; had a poor staff; and kept running afoul of his domestic supporters. In the end he was incompetent as a diplomat. Napoleon did have some successes: he strengthened French control over Algeria, established bases in Africa, began the takeover of Indochina, and opened trade with China. He facilitated a French company building the Suez Canal, which Britain could not stop. In Europe, however, Napoleon failed again and again. The Crimean war of 1854–56 produced no gains, although his alliance with Britain did defeat Russia. His regime assisted Italian unification and in doing so, annexed Savoy and the County of Nice to France; at the same time, his forces defended the Papal States against annexation by Italy. On the other hand, his army’s intervention in Mexico to create a Second Mexican Empire under French protection ended in failure.
The Prussian chancellor Otto von Bismarck provoked Napoleon into declaring war on Prussia in July 1870, beginning the Franco-Prussian War. The French troops were swiftly defeated in the following weeks, and on September 1, the main army, which the emperor himself was with, was trapped at Sedan and forced to surrender. A republic was quickly proclaimed in Paris, but the war was far from over. As it was clear that Prussia would expect territorial concessions, the provisional government vowed to continue resistance. The Prussians laid siege to Paris, and new armies mustered by France failed to alter this situation. The French capital began experiencing severe food shortages, to the extent that even the animals in the zoo were eaten. As the city was bombarded by Prussian siege guns in January 1871, King William of Prussia was proclaimed Emperor of Germany in the Hall of Mirrors at Versailles. Shortly afterwards, Paris surrendered. The subsequent peace treaty was harsh. France ceded Alsace and Lorraine to Germany and had to pay an indemnity of 5 billion francs. German troops were to remain in the country until it was paid off. Meanwhile, the fallen Napoleon III went into exile in England where he died in 1873.
Painting depicting the Franco-Prussian War
French soldiers assaulted by German infantry during the Franco-Prussian War, 1870, which led to the defeat of Napoleon III and the end of the Second French Empire.
Structure of Second French Empire
The structure of the French government during the Second Empire was little changed from the First. But Emperor Napoleon III stressed his own imperial role as the foundation of the government. If government was to guide the people toward domestic justice and external peace, it was his role as emperor, holding his power by universal male suffrage and representing all of the people, to function as supreme leader and safeguard the achievements of the revolution. He had so often, while in prison or in exile, chastised previous oligarchical governments for neglecting social questions that it was imperative France now prioritize their solutions. His answer was to organize a system of government based on the principles of the “Napoleonic Idea.” This meant that the emperor, the elect of the people as the representative of the democracy, ruled supreme. He himself drew power and legitimacy from his role as representative of the great Napoleon I of France, “who had sprung armed from the French Revolution like Minerva from the head of Jove.”
The anti-parliamentary French Constitution of 1852, instituted by Napoleon III on January 14, 1852, was largely a repetition of that of 1848. All executive power was entrusted to the emperor who as head of state was solely responsible to the people. The people of the Empire, lacking democratic rights, were to rely on the benevolence of the emperor rather than on the benevolence of politicians. He was to nominate the members of the council of state, whose duty it was to prepare the laws, and of the senate, a body permanently established as a constituent part of the empire.
One innovation was made, namely that the Legislative Body was elected by universal suffrage, but it had no right of initiative as all laws were proposed by the executive power. This new political change was rapidly followed by the same consequence as of Brumaire. On December 2, 1852, France, still under the effect of Napoleon’s legacy and the fear of anarchy, conferred almost unanimously by a plebiscite the supreme power and the title of emperor upon Napoleon III.
The Legislative Body was not allowed to elect its own president, regulate its own procedure, propose a law or an amendment, vote on the budget in detail, or make its deliberations public. Similarly, universal suffrage was supervised and controlled by means of official candidature by forbidding free speech and action in electoral matters to the Opposition and gerrymandering in such a way as to overwhelm the Liberal vote in the mass of the rural population.
For seven years France had no democratic life. The Empire governed by a series of plebiscites. Up to 1857 the Opposition did not exist. From then till 1860 it was reduced to five members: Darimon, Émile Ollivier, Hénon, Jules Favre, and Ernest Picard. The royalists waited inactively after the new and unsuccessful attempt made at Frohsdorf in 1853 by a combination of the legitimists and Orléanists to recreate a living monarchy out of the ruin of two royal families.
24.3: Russia after Napoleon
24.3.1: Alexander I’s Domestic Reforms
Tsar Alexander I wanted to reform the serf system but was stymied. With his news law, only 7,300 male peasants with families were freed (about 0.5%), but all classes except the serfs could own land, a privilege previously confined to the nobility.
Learning Objective
Determine the significance of Alexander I’s efforts to reform the serf system in Russia
Key Points
- Alexander I, who ruled as Tsar of Russia from 1801-1825, was raised on the ideals of the Enlightenment by his grandmother, Catherine II, leading him to adopt liberal rhetoric and a spirit of reform.
- In the first years of his reign, he initiated some minor social reforms and in 1803–04 major liberal education reforms, such as building more universities.
- One of his main goals was to reform the inefficient, highly centralized systems of government that Russia relied upon.
- He promised to reform serfdom in Russia but made no concrete proposals; his new laws only freed 0.5% of the serf population.
- However, he did extend land ownership to all classes except serfs, a privilege previously confined to the nobility.
- After 1815, military settlements (farms worked by soldiers and their families under military control) were introduced, with the idea of making the army or part of it self-supporting economically and for providing it with recruits.
Key Terms
- serf
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The status of many peasants under feudalism, specifically relating to manorialism. It was a condition of bondage, which developed primarily during the High Middle Ages in Europe and lasted in some countries until the mid-19th century. Those who occupied a plot of land were required to work for the lord of the manor who owned that land, and in return were entitled to protection, justice, and the right to exploit certain fields within the manor for their own subsistence. They were often required not only to work on the lord’s fields, but also his mines, forests, and roads.
- Age of Enlightenment
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An intellectual movement that dominated the world of ideas in Europe in the 18th century. It centered on reason as the primary source of authority and legitimacy and advanced ideals like liberty, progress, tolerance, fraternity, constitutional government, and separation of church and state. It was marked by an emphasis on the scientific method and reductionism along with increased questioning of religious orthodoxy.
- state-owned peasants
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A special class in 18th-19th century Russia that during some periods comprised half of the agricultural population. In contrast to private Russian serfs, these were considered personally free although attached to the land.
Alexander I reigned as Emperor of Russia from March 23, 1801, to December 1, 1825. He was born in Saint Petersburg to Grand Duke Paul Petrovich, later Emperor Paul I, and succeeded to the throne after his father was murdered. He ruled Russia during the chaotic period of the Napoleonic Wars. As prince and emperor, Alexander often used liberal rhetoric, but continued Russia’s absolutist policies in practice. In the first years of his reign, he initiated some minor social reforms and in 1803–04 major, liberal educational reforms, such as building more universities. He promised constitutional reforms and a desperately needed reform of serfdom in Russia but made no concrete proposals. Alexander appointed Mikhail Speransky, the son of a village priest, as one of his closest advisers. The Collegia was abolished and replaced by the The State Council, created to improve legislation. Plans were also made to set up a parliament and sign a constitution.
In the second half of his reign he was increasingly arbitrary, reactionary, and fearful of plots against him; he ended many earlier reforms. He purged schools of foreign teachers as education became more religiously oriented and politically conservative. Speransky was replaced as adviser with the strict artillery inspector Aleksey Arakcheyev, who oversaw the creation of military settlements. Alexander died of typhus in December 1825 while on a trip to southern Russia. He left no children as heirs and both of his brothers wanted the other to become emperor. After a period of great confusion that included the failed Decembrist revolt of liberal army officers, he was succeeded by his younger brother, Nicholas I.
Early Reign
At first, the Orthodox Church exercised little influence on Alexander’s reign. The young tsar was determined to reform the inefficient, highly centralized systems of government upon which Russian relied. While he retained the old ministers for a time, one of the first acts of his reign was to appoint the Private Committee, comprising young and enthusiastic friends of his own—Victor Kochubey, Nikolay Novosiltsev, Pavel Stroganov, and Adam Jerzy Czartoryski—to draw up a plan of domestic reform, which was supposed to result in the establishment of a constitutional monarchy in accordance with the teachings of the Age of Enlightenment.
In a few years the liberal Mikhail Speransky became one of the Tsar’s closest advisors, and drew up many plans for elaborate reforms. By the Government reform of Alexander I the old Collegia were abolished and new Ministries created in their place, headed by ministers responsible to the Crown. A Council of Ministers under the chairmanship of the Sovereign dealt with all interdepartmental matters. The State Council was created in order to improve technique of legislation. It was intended to become the Second Chamber of representative legislature. The Governing Senate was reorganized as the Supreme Court of the Empire. The codification of the laws initiated in 1801 was never carried out during his reign.
Domestic Improvements
When Alexander’s reign began, there were three universities in Russia, at Moscow, Vilna (Vilnius), and Dorpat (Tartu). These were strengthened, and three others were founded at St. Petersburg, Kharkov, and Kazan. Literary and scientific bodies were established or encouraged, and the reign became noted for the aid lent to the sciences and arts by the Emperor and the wealthy nobility. Alexander later expelled foreign scholars.
After 1815, military settlements (farms worked by soldiers and their families under military control) were introduced, with the idea of making the army, or part of it, self-supporting economically and providing it with recruits.
The Status of Serfs
Alexander wanted to resolve another crucial issue in Russia—the status of the serfs, although this was not achieved until 1861 during the reign of his nephew Alexander II. His advisers quietly discussed the options at length. Cautiously, he extended the right to own land to most classes of subjects, including state-owned peasants, in 1801 and created a new social category of “free agriculturalist” for peasants voluntarily emancipated by their masters in 1803. The new laws allowed all classes except the serfs to own land, a privilege previously confined to the nobility. As the title of the 1803 decree, informally known as “Decree on Free Ploughmen” says, the serfs were freed and endowed with land by the will on the serf owner under payment or work obligations. During the reign of Alexander I only about 7,300 male peasants (with families) or about 0.5% of serfs were freed.
The Russian state also continued to support serfdom due to military conscription. The conscripted serfs dramatically increased the size of the Russian military, leading to victory in the Napoleonic Wars and Russo-Persian Wars; this did not change the disparity between Russia and the rest of Western Europe, who were experiencing agricultural and industrial revolutions. Compared to Western Europe it was clear that Russia was at an economic disadvantage. European philosophers during the Age of Enlightenment criticized serfdom and compared it to medieval labor practices which were almost non-existent in the rest of continent. Most Russian Nobles were not interested in change toward western labor practices that Catherine the Great proposed. Instead they preferred to mortgage serfs for profit. In 1820, 20% of all serfs were mortgaged to state credit institutions by their owners. This was increased to 66% in 1859.
A Peasant Leaving His Landlord on Yuriev Day
A painting by Sergei V. Ivanov from 1908, depicting a family of serfs leaving their landlord on Yuriev Day, a two-week period that was the only time of the year when the Russian peasants were free to move from one landowner to another before the abolition of serfdom in 1861.
24.3.2: Territorial Gains Under Alexander I
Tsar Alexander I, one of the most brilliant diplomats of his time, focused his foreign affairs on the Napoleonic Wars and the expansion of Russian territory.
Learning Objective
List some of the territorial gains made by Tsar Alexander I
Key Points
- Tsar Alexander I, who ruled the Russian Empire from 1801-1825, had a complicated relationship with Napoleon during the lengthy Napoleonic Wars.
- He changed Russia’s position relative to France four times between 1804 and 1812 among neutrality, opposition, and alliance.
- In 1805 he joined Britain in the War of the Third Coalition against Napoleon, but after the massive defeat at the Battle of Austerlitz he switched and formed an alliance with Napoleon by the Treaty of Tilsit (1807) and joined Napoleon’s Continental System.
- The tsar’s greatest triumph came in 1812 as Napoleon’s invasion of Russia proved a total disaster for the French.
- As part of the winning coalition against Napoleon, Russia gained Finland and Poland at the Congress of Vienna.
- He formed the Holy Alliance to suppress revolutionary movements in Europe that he saw as immoral threats to legitimate Christian monarchs.
- Under Alexander, Russia also fought a successful war with Persia, gaining disputed territory in the Caucasus region, which provides vital access to the Black Sea and Caspian Sea.
Key Terms
- Napoleonic Wars
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A series of major conflicts pitting the French Empire and its allies, led by Napoleon I, against a fluctuating array of European powers formed into various coalitions, primarily led and financed by the United Kingdom. The wars resulted from the unresolved disputes associated with the French Revolution and the Revolutionary Wars, which had raged for years before concluding with the Treaty of Amiens in 1802. The resumption of hostilities the following year paved the way for more than a decade of constant warfare. The wars had profound consequences for global and European history, leading to the spread of nationalism and liberalism, the rise of the British Empire as the world’s premier power, the independence movements in Latin America and subsequent collapse of the Spanish Empire, the fundamental reorganization of German and Italian territories into larger states, and the establishment of radically new methods in warfare.
- Russo-Persian War (1804–13)
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One of the many wars between the Persian Empire and Imperial Russia that like many of their wars began as a territorial dispute. The new Persian king, Fath Ali Shah Qajar, wanted to consolidate the northernmost reaches of his kingdom—modern day Georgia—which had been annexed by Tsar Paul I several years after the Russo-Persian War of 1796. Like his Persian counterpart, the Tsar Alexander I was also new to the throne and equally determined to control the disputed territories. The war ended in 1813 with the Treaty of Gulistan, which irrevocably ceded the previously disputed territory of Georgia to Imperial Russia, but added the Iranian territories of Dagestan, most of what is nowadays Azerbaijan, and minor parts of Armenia.
- Caucasus region
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A strategically valuable region at the border of Europe and Asia, situated between the Black and the Caspian seas. It is home to the Caucasus Mountains, which contain Europe’s highest mountain, Mount Elbrus (18,510 feet).
Alexander I’s Foreign Affairs: Persia and France
Tsar Alexander I was perhaps the most brilliant diplomat of his time. His primary focus was not on domestic policy but foreign affairs, particularly Napoleon. Fearing Napoleon’s expansionist ambitions and the growth of French power, Alexander joined Britain and Austria against Napoleon. Napoleon defeated the Russians and Austrians at Austerlitz in 1805 and the Russians at Friedland in 1807. The Battle of Austerlitz in 1805 was one of the most important and decisive engagements of the Napoleonic Wars. In what is widely regarded as the greatest victory achieved by Napoleon, the Grande Armée of France defeated a larger Russian and Austrian army. Austerlitz brought the War of the Third Coalition to a rapid end, with the Treaty of Pressburg signed by the Austrians later in the month. The battle is often cited as a tactical masterpiece, in the same league as other historic engagements like Cannae or Arbela.
After these defeats, Alexander was forced to sue for peace with France, and with the Treaty of Tilsit, signed in 1807, he became Napoleon’s ally. Russia lost little territory under the treaty, and Alexander made use of his alliance with Napoleon for further expansion. By the Finnish War he wrested the Grand Duchy of Finland from Sweden in 1809, and acquired Bessarabia from Turkey as a result of the Russo-Turkish War, 1806-1812.
Alexander was determined to acquire disputed territories in the Caucasus region and beyond, mainly held by Persia. His predecessors had already waged small wars against Persia, but they had not been able to consolidate Russian authority over the regions, so these were either ceded or conquered back by Persia.
After the Russian armies officially liberated allied Georgia from centuries-long Persian occupation in 1801, , Alexander fought the Russo-Persian War (1804–13), the first full-scale war against the neighboring Persia, over the control and consolidation of Georgia and eventually Azerbaijan, Dagestan, and the entire Caucasus.
After nine long years of battle, Russia managed to end the war on highly favorable terms, completing Russian consolidation and suzerainty over major parts of the Caucasus including the gains of Dagestan, Georgia, most of Azerbaijan, and other regions and territories in the Caucasus over Persia. By now, Russia had full, comfortable access to the Black Sea and Caspian Sea and would use these newly gained grounds for further wars against Persia and Turkey.
The Russo-French alliance gradually became strained. Napoleon was concerned about Russia’s intentions in the strategically vital Bosporus and Dardanelles straits. At the same time, Alexander viewed the Duchy of Warsaw, the French-controlled reconstituted Polish state, with suspicion. The requirement of joining France’s Continental Blockade against Britain was a serious disruption of Russian commerce, and in 1810 Alexander repudiated the obligation. In June 1812, Napoleon invaded Russia with 600,000 troops—a force twice as large as the Russian regular army. Napoleon hoped to inflict a major defeat on the Russians and force Alexander to sue for peace. As Napoleon pushed the Russian forces back, however, he became seriously overextended. Obstinate Russian forces, members of which declared the Patriotic War, brought Napoleon a disastrous defeat: Less than 30,000 of his troops returned to their homeland. Victory came at a high cost as the areas of the country the French army had marched through lay in ruins. The campaign was a turning point in the Napoleonic Wars. The reputation of Napoleon was severely shaken and French hegemony in Europe was dramatically weakened. The Grande Armée, made up of French and allied invasion forces, was reduced to a fraction of its initial strength. These events triggered a major shift in European politics. France’s ally Prussia, soon followed by Austria, broke its imposed alliance with France and switched sides. This triggered the War of the Sixth Coalition.
Russo-Persian War
The Battle of Ganja (1804) during the Russo-Persian War (1804–1813). From this war, the Russian Empire gained major parts of the Caucasus including Dagestan, Georgia, most of Azerbaijan, and other regions and territories in the Caucasus from Persia.
Congress of Vienna and Beyond
As the French retreated, the Russians pursued them into Central and Western Europe and to the gates of Paris. After the allies defeated Napoleon, Alexander became known as the savior of Europe and played a prominent role in the redrawing of the map of Europe at the Congress of Vienna in 1815. In the same year, Alexander initiated the creation of the Holy Alliance, a loose agreement pledging the rulers of the nations involved—including most of Europe—to act according to Christian principles. More pragmatically, in 1814 Russia, Britain, Austria, and Prussia formed the Quadruple Alliance. When Napoleon suddenly reappeared, Russia was part of the alliance that chased him down. The conservative Bourbons were back in power in Paris and on good terms with Russia. The allies created an international system to maintain the territorial status quo and prevent the resurgence of an expansionist France. The Quadruple Alliance, confirmed by a number of international conferences, ensured Russia’s influence in Europe.
At the same time, Russia continued its expansion. The Congress of Vienna, held in Vienna from November 1814 to June 1815, aimed to provide a long-term peace plan for Europe by settling critical issues arising from the French Revolutionary Wars and the Napoleonic Wars. The tsar had two main goals: to gain control of Poland and promote the peaceful coexistence of European nations. The Congress created the Congress Poland (formerly the Duchy of Warsaw), to which Alexander granted a constitution. Though officially the Kingdom of Poland was a state with considerable political autonomy guaranteed by a liberal constitution, its rulers, the Russian Emperors, generally disregarded any restrictions on their power. Effectively it was little more than a puppet state of the Russian Empire. Thus, Alexander I became the constitutional monarch of Poland while remaining the autocratic tsar of Russia. He was also the monarch of Finland, which had been annexed in 1809 and awarded autonomous status. The Congress finalized Russia control of Finland.
Despite the liberal, romantic inclinations of his youth, later in his rule Alexander I grew steadily more conservative, isolated from the day-to-day affairs of the state, and inclined to religious mysticism. Once a supporter of limited liberalism, as seen in his approval of the Constitution of the Kingdom of Poland in 1815, at the end of 1818 Alexander’s views began to change. A revolutionary conspiracy among the officers of the guard and a foolish plot to kidnap him on his way to the Congress of Aix-la-Chapelle are said to have shaken the foundations of his liberalism. At Aix he came for the first time into intimate contact with Metternich, initiating the ascendancy of conservatism over the mind of the Russian emperor and in the councils of Europe. It was the apparent triumph of disorder in the revolutions of Naples and Piedmont, combined with increasingly disquieting symptoms of discontent in France, Germany, and among his own people, that completed Alexander’s conversion.
Alexander had upheld the ideal of a free confederation of the European states, symbolized by the Holy Alliance, against the policy of a dictatorship of the great powers, symbolized by the Quadruple Treaty; he had protested against the claims of collective Europe to interfere in the internal concerns of the sovereign states. But on November 19, 1820, he signed the Troppau Protocol, which consecrated the principle of intervention against revolution and wrecked the harmony of the concert created at the Congress of Vienna.
The lofty hopes that the tsar had once held for his country were frustrated by its immense size and backwardness. While vacationing on the Black Sea in 1825, Alexander fell ill with typhus and died at only 47, although there were unfounded stories that he faked his own death, became a monk, and wandered the Siberian wilderness for many years afterwards.
24.3.3: The Decembrist Revolt
On December 26, 1825, Russian army officers led about 3,000 soldiers in a protest against Nicholas I’s assumption of the throne after the death of Tsar Alexander I.
Learning Objective
Identify the impetuses for the Decembrist Revolt
Key Points
- A revolutionary movement was born during the reign of Alexander I.
- The background of the Decembrist Revolt lay in the Napoleonic Wars, when a number of well-educated Russian officers in Western Europe during the course of military campaigns were exposed to its liberalism and encouraged to seek change on their return to autocratic Russia.
- Army officers created the Union of Salvation, aimed at the abolishment of serfdom and introduction of constitutional monarchy by means of armed revolt at the next emperor’s succession to the throne.
- The revolt occurred on December 1825, when about 3,000 officers and soldiers refused to swear allegiance to the new tsar, Alexander’s brother Nicholas, proclaiming instead their loyalty to the idea of a Russian constitution and a constitutional monarchy.
- The revolt was easily crushed, and the surviving rebels exiled to Siberia, leading Nicholas to turn away from the modernization program begun by Peter the Great.
Key Terms
- Peter the Great
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He ruled the Tsardom of Russia and later the Russian Empire from May 7, 1682, until his death, jointly ruling before 1696 with his elder half-brother, Ivan V. Through a number of successful wars, he expanded the Tsardom into a much larger empire that became a major European power. He led a cultural revolution that replaced some of the traditionalist and medieval social and political systems with ones that were modern, scientific, westernized, and based on The Enlightenment. His reforms made a lasting impact on Russia, and many institutions of Russian government trace their origins to his reign.
- Union of Salvation
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The first secret political society of the Decembrists. Founded in 1816 at the initiative of Alexander Nikolayevich Muravyov by a group of young officers of the Russian army who had taken part in the Patriotic War of 1812 and foreign campaigns of 1813–1814. They aimed at the abolishment of serfdom and introduction of constitutional monarchy by means of armed revolt at the time of next emperor’s succession to the throne.
The Decembrist revolt took place in Imperial Russia on December 26, 1825. Russian army officers led about 3,000 soldiers in a protest against Nicholas I’s assumption of the throne after his elder brother Constantine removed himself from the line of succession.
The Decembrist revolt was an aristocratic movement whose chief actors were army officers and members of the nobility. The reasons for Decembrist Uprising were manifold: opposition on part of the nobility to the regime that successfully limited its privileges through its peasant policy spread among a section of young officers with liberal and even radical ideas, along with fears among the nationalist section of society inspired by some of Alexander’s policies. Officers were particularly angry that Alexander granted Poland a constitution while Russia remained without one.
Several clandestine organizations were preparing for an uprising after Alexander’s death. There was confusion about who would succeed him because the next in line, his brother Constantine Pavlovich, relinquished his right to the throne. A group of officers commanding about 3,000 men refused to swear allegiance to the new tsar, Alexander’s brother Nicholas, proclaiming instead their loyalty to the idea of a Russian constitution. Because these events occurred in December 1825, the rebels were called Decembrists. Nicholas easily overcame the revolt, and the surviving rebels were exiled to Siberia.
Background: Union of Salvation
In 1816, several officers of the Imperial Russian Guard founded a society known as the Union of Salvation, or of the Faithful and True Sons of the Fatherland. The society acquired a more liberal cast after it was joined by the idealistic Pavel Pestel. After a mutiny in the Semenovsky Regiment in 1820, the society decided to suspend activity in 1821. Two groups, however, continued to function secretly: a Southern Society, based at Tulchin, a small garrison town in Ukraine, in which Pestel was the outstanding figure, and a Northern Society, based at St Petersburg, led by Guard officers Nikita Muraviev, Prince S. P. Trubetskoy and Prince Eugene Obolensky. The political aims of the more moderate Northern Society were a British-style constitutional monarchy with a limited franchise, the abolition of serfdom, and equality before the law. The Southern Society, under Pestel’s influence, was more radical and wanted to abolish the monarchy, establish a republic, and redistribute land, taking half into state ownership and dividing the rest among the peasants.
At first, many officers were encouraged by Tsar Alexander’s early liberal reformation of Russian society and politics. In 1819 Count Mikhail Mikhailovich Speransky was appointed as the Governor of Siberia, with the task of reforming local government. Equally, in 1818 the Tsar asked Count Nikolay Nikolayevich Novosiltsev to draw up a constitution. However, internal and external unrest, which the Tsar believed stemmed from political liberalization, led to a series of repressions and a return to a former government of restriction and conservatism.
Meanwhile, spurred by their experiences of the Napoleonic Wars and realizing many of the harsh indignities through which the peasant soldiers were forced, Decembrist officers and sympathizers displayed their contempt for the regime by rejecting court lifestyle, wearing their cavalry swords at balls (indicating their unwillingness to dance), and committing themselves to academic study. This new lifestyle captured the spirit of the times, as a willingness to embrace both the peasant (i.e. the “Russian way of life”) and ongoing reformative movements abroad.
The Events of the Revolt
When Tsar Alexander I died on December 1, 1825, the royal guards swore allegiance to the presumed heir, Alexander’s brother Constantine. When Constantine made his renunciation public and Nicholas stepped forward to assume the throne, the Northern Society acted. With the capital in temporary confusion and one oath to Constantine having already been sworn, the society scrambled in secret meetings to convince regimental leaders not to swear allegiance to Nicholas. These efforts would culminate in the Decembrist Revolt. The leaders of the society (many of whom belonged to the high aristocracy) elected Prince Sergei Trubetskoy as interim dictator.
On the morning of December 26, a group of officers commanding about 3,000 men assembled in Senate Square, where they refused to swear allegiance to the new tsar, Nicholas I, proclaiming instead their loyalty to Constantine and their Decembrist Constitution. They expected to be joined by the rest of the troops stationed in Saint Petersburg, but were disappointed. The revolt was further hampered when it was deserted by its supposed leader Prince Trubetskoy, who had a last minute change of heart and failed to turn up at the Square. His second in command, Colonel Bulatov, also vanished from the scene. After a hurried consultation the rebels appointed Prince Eugene Obolensky as a replacement leader.
For long hours there was a stand-off between the 3,000 rebels and the 9,000 loyal troops stationed outside the Senate building, with some desultory shooting from the rebel side. A vast crowd of civilian on-lookers began fraternizing with the rebels, but did not join the action. Eventually Nicholas, the new Tsar, appeared in person at the square and sent Count Mikhail Miloradovich, a military hero who was greatly respected by ordinary soldiers, to parley with the rebels. Miloradovich was fatally shot by Pyotr Kakhovsky while delivering a public address to defuse the situation. At the same time, a rebelling grenadier squad, led by lieutenant Nikolay Panov, entered the Winter Palace but failed to seize it and retreated.
After spending most of the day in fruitless attempts to parley with the rebel force, Nicholas ordered a cavalry charge which slipped on the icy cobbles and retired in disorder. Eventually, at the end of the day, Nicholas ordered three artillery pieces to open fire, with devastating effect. To avoid the slaughter the rebels broke and ran. Some attempted to regroup on the frozen surface of the river Neva to the north but were targeted there by the artillery and suffered many casualties. As the ice was broken by the cannon fire, many of the dead and dying were cast into the river. After a nighttime mopping-up operation by loyal army and police units, the revolt in the north came to an end. The surviving rebels were tried and sentenced to exile in Siberia.
For the most part, the rebellion led Nicholas to turn away from the modernization program begun by Peter the Great and champion the doctrine of Orthodoxy, Autocracy, and Nationality.
Though defeated, the Decembrists did effect some change on the regime. Their dissatisfaction forced Nicholas to turn his attention inward to address the issues of the empire. To some extent, the Decembrists were in the tradition of a long line of palace revolutionaries who wanted to place their candidate on the throne, but because the Decembrists also wanted to implement classical liberalism, their revolt has been considered the beginning of a revolutionary movement. The uprising was the first open breach between the government and reformist elements of the Russian nobility, which would subsequently widen.
Decembrist Revolt
Decembrists at the Senate Square. On December 26, 1825, Russian army officers led about 3,000 soldiers in a protest against Nicholas I’s assumption of the throne after his elder brother Constantine removed himself from the line of succession.
24.3.4: The Wars of Nicholas I
In war, Tsar Nicholas I was successful against Russia’s neighboring southern rivals, Persia and the Ottoman Empire, seizing the last territories in the Caucasus held by Persia. Later in his rule, however, he led Russia into the Crimean War (1853–56) with disastrous results.
Learning Objective
Recall some of the wars fought by Nicholas I
Key Points
- Nicholas I became Tsar of Russia in 1925 after crushing the Decembrist revolt against him and went on to become the most reactionary of all Russian leaders.
- His reign had an ideology called “Official Nationality,” proclaimed officially in 1833, that was a reactionary policy based on orthodoxy in religion, autocracy in government, and Russian nationalism.
- His aggressive foreign policy involved many expensive wars that had a disastrous effect on the empire’s finances.
- The late 1820s were successful military years. Despite losing almost all recently consolidated territories in the first year of the Russo-Persian War of 1826-28, Russia managed to end the war with highly favorable terms. This included the official gains of Armenia, Azerbaijan, and Iğdır Province, earning the clear geopolitical and territorial upper hand in the Caucasus region.
- In the 1828-29 Russo-Turkish War, Russia invaded northeastern Anatolia and occupied strategic Ottoman holdings, posing as protector and savior of the Greek Orthodox population and thus receiving extensive support from the region’s Greek population.
- In 1854-55, Russia lost to Britain, France, and Turkey in the Crimean War.
- Since playing a major role in the defeat of Napoleon, Russia was regarded as militarily invincible, but once opposed against a coalition of the great powers of Europe, the defeats it suffered in the Crimean War revealed the weakness and backwardness of Tsar Nicholas’ regime.
Key Terms
- Eastern Question
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Refers to the strategic competition and political considerations of the European Great Powers in light of the political and economic instability in the Ottoman Empire from the late 18th to early 20th centuries. Characterized as the “sick man of Europe,” the relative weakening of the empire’s military strength in the second half of the 18th century threatened to undermine the fragile balance of power system largely shaped by the Concert of Europe.
- Crimean War
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A military conflict fought from October 1853 to March 1856 in which the Russian Empire lost to an alliance of France, Britain, the Ottoman Empire, and Sardinia. The immediate cause involved the rights of Christian minorities in the Holy Land, part of the Ottoman Empire. The French promoted the rights of Roman Catholics while Russia promoted those of the Eastern Orthodox Church. The longer-term causes involved the decline of the Ottoman Empire and the unwillingness of Britain and France to allow Russia to gain territory and power at Ottoman expense.
- “Official Nationality”
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The dominant ideological doctrine of Russian emperor Nicholas I. It was “the Russian version of a general European ideology of restoration and reaction” that followed the Napoleonic Wars. It was a reactionary policy based on orthodoxy in religion, autocracy in government, and Russian nationalism.
Tsar Nicholas I
Nicholas I was the Emperor of Russia from 1825 until 1855 as well as King of Poland and Grand Duke of Finland. He is best-known as a political conservative whose reign was marked by geographical expansion, repression of dissent, economic stagnation, poor administrative policies, a corrupt bureaucracy, and frequent wars that culminated in Russia’s disastrous defeat in the Crimean War of 1853-56. His biographer Nicholas V. Riasanovsky says that Nicholas displayed determination, singleness of purpose, and an iron will, along with a powerful sense of duty and a dedication to hard work. He saw himself as a soldier – a junior officer totally consumed by spit and polish. Trained as an engineer, he was a stickler for minute detail. In his public persona, says Riasanovsky, “Nicholas I came to represent autocracy personified: infinitely majestic, determined and powerful, hard as stone, and relentless as fate.”
His reign had an ideology called “Official Nationality” that was proclaimed officially in 1833. It was a reactionary policy based on orthodoxy in religion, autocracy in government, and Russian nationalism. He was the younger brother of his predecessor, Alexander I. Nicholas inherited his brother’s throne despite the failed Decembrist revolt against him and went on to become the most reactionary of all Russian leaders. His aggressive foreign policy involved many expensive wars, with a disastrous effect on the empire’s finances.
He was successful against Russia’s neighboring southern rivals as he seized the last territories in the Caucasus held by Persia (comprising modern day Armenia and Azerbaijan) by successfully ending the Russo-Persian War (1826-28). Russia had gained what is now Dagestan, Georgia, Azerbaijan, and Armenia from Persia, and therefore had the clear geopolitical and territorial upper hand in the Caucasus. He ended the Russo-Turkish War (1828–29) successfully as well. Later, however, he led Russia into the Crimean War (1853–56) with disastrous results. Historians emphasize that his micromanagement of the armies hindered his generals, as did his misguided strategy. Fuller notes that historians have frequently concluded that “the reign of Nicholas I was a catastrophic failure in both domestic and foreign policy.” On the eve of his death, the Russian Empire reached its geographical zenith, spanning over 7.7 million square miles but in desperate need of reform.
Military and Foreign Policy
For much of Nicholas’s reign, Russia was seen as a major military power with considerable strength. At last the Crimean war at the end of his reign demonstrated to the world what no one had previously realized: Russia was militarily weak, technologically backward, and administratively incompetent. Despite his grand ambitions toward the south and Turkey, Russia had not built its railroad network in that direction, and communications were bad. The bureaucracy was riddled with graft, corruption, and inefficiency and was unprepared for war. The Navy was weak and technologically backward; the Army, although very large, was good only for parades, suffering from colonels who pocketed their men’s pay, poor morale, and disconnection with the latest technology developed by Britain and France. By war’s end, the Russian leadership was determined to reform the Army and the society.
In foreign policy, Nicholas I acted as the protector of ruling legitimism and guardian against revolution. In 1830, after a popular uprising occurred in France, the Poles in Russian Poland revolted. They resented limitation of the privileges of the Polish minority in the lands annexed by Russia in the 18th century, and sought to reestablish the 1772 borders of Poland. Nicholas crushed the rebellion, abrogated the Polish constitution, and reduced Congress Poland to the status of a Russian province, Privislinsky Krai.
In 1848, when a series of revolutions convulsed Europe, Nicholas was in the forefront of reaction. In 1849, he helped the Habsburgs suppress the uprising in Hungary and urged Prussia not to adopt a liberal constitution.
While Nicholas was attempting to maintain the status quo in Europe, he followed a somewhat more aggressive policy toward the neighboring empires to the south, namely the Ottoman Empire and Persia. Nicholas was widely believed to be following the traditional Russian policy of resolving the so-called Eastern Question by seeking to partition the Ottoman Empire and establish a protectorate over the Orthodox population of the Balkans, still largely under Ottoman control in the 1820s. In fact, in line with his commitment to upholding the status quo in Europe, he feared any attempt to devour the decaying Ottoman Empire would both upset its ally Austria, which also had interests in the Balkans, and bring about an Anglo-French coalition in defense of the Ottomans.
Further, during the war of 1828-29, the Russians had defeated the Ottomans in every battle fought in the field and advanced deep into the Balkans, but the discovered that they lacked the necessary logistical strength to take Constantinople. Nicholas’s policy towards the Ottoman Empire was to use the Treaty of Küçük Kaynarca, which gave Russia a vague right to be the protector of the Orthodox peoples in the Balkans, to place the Ottoman Empire into the Russian sphere of influence. This was seen as a more achievable goal than conquering the entire Ottoman Empire. Nicholas actually wanted to preserve the Ottoman Empire as a stable but weak state that would be unable to stand up to Russia, as he viewed the country first and foremost as a European power and regarded Europe as more important than the Middle East.
In 1826-1828, Nicholas fought the Russo-Persian War (1826–28), which ended with Persia being forced to cede its last remaining territories in the Caucasus, comprising modern-day Armenia, Azerbaijan, and Iğdır. By now, Russia had conquered all Caucasian territories of Iran in both the North and South Caucasus, comprising modern-day Georgia, Dagestan, Armenia, and Azerbaijan, through the course of the 19th century.
Fearing the results of an Ottoman defeat by Russia, in 1854 Britain, France, the Kingdom of Sardinia, and the Ottoman Empire joined forces in the conflict known as the Crimean War to the Ottomans and Western Europeans and in Russia as the “Eastern War.” In April 1854, Austria signed a defensive pact with Prussia. Thus, Russia found itself in a war with the whole of Europe .
Austria offered the Ottomans diplomatic support and Prussia remained neutral, thus leaving Russia without any allies on the continent. The European allies landed in Crimea and laid siege to the well-fortified Russian base at Sebastopol. The Russians lost battles at Alma in September 1854 followed by lost battles at Balaklava and Inkerman. After the prolonged Siege of Sevastopol (1854–55) the base fell, exposing Russia’s inability to defend a major fortification on its own soil. On the death of Nicholas I, Alexander II became Tsar. On January 15, 1856, the new tsar took Russia out of the war on very unfavorable terms which included the loss of a naval fleet on the Black Sea. Since playing a major role in the defeat of Napoleon, Russia was regarded as militarily invincible, but once opposed against a coalition of the great powers of Europe, the reverses it suffered on land and sea exposed the decay and weakness of Tsar Nicholas’ regime. Russia now faced the choice of initiating major reforms or losing its status as a major European power.
Siege of Sevastopol
After the prolonged Siege of Sevastopol (1854–55) the base fell, exposing Russia’s inability to defend a major fortification on its own soil and leading to defeat in Crimean War.
24.3.5: The Westerners and the Slavophiles
During the second half of the 19th century, a group of “Slavophiles” emerged in intellectual circles. They opposed the modernization and westernization begun by Peter the Great and Catherine the Great and advocated for a return to a simple peasant-based society centered on the Orthodox faith.
Learning Objective
Compare and contrast the opinions and goals of the Westerners and the Slavophiles
Key Points
- Peter the Great, the Tsar of Russia from 1672-1725, started a trend in Russia of modernization and westernization of Russian culture and economics.
- Peter implemented absolute social modernization by introducing French and western dress to his court and requiring courtiers, state officials, and the military to shave their beards and adopt modern clothing styles.
- Catherine the Great, who ruled from 1762 until her death in 1796, continued Peter’s project and helped herald the Russian Enlightenment, transforming education and culture to mirror the European Enlightenment.
- This trend of westernization and modernization continued into the 19th century, but was eventually opposed by the “Slavophiles,” a group of intellectuals opposing the influences of Western Europe in Russia.
- The Slavophiles aimed at returning Russia to a simple peasant-based society centered on the Orthodox faith.
Key Terms
- Pochvennichestvo
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A late 19th-century Russian movement tied closely with its contemporary ideology, the Slavophile movement, whose primary focus was to change Russian society by the humbling of the self and social reform through the Russian Orthodox Church rather than the radical implementations of the intelligentsia.
- enlightened despot
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A form of absolute monarchy or despotism inspired by the Enlightenment, that embraced rationality, fostered education, and allowed religious tolerance, freedom of speech, and the right to hold private property.
- Slavophiles
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An intellectual movement originating in the 19th century that wanted the Russian Empire to be developed upon values and institutions derived from its early history, opposing the influences of Western Europe in Russia.
During the second half of the 19th century, a faction of so-called “Slavophiles” emerged in intellectual circles. They were convinced that Peter the Great made a mistake in trying to modernize and Westernize the country and that Russia’s salvation lay in the rejection of Western ideas. Slavophiles believed that while the West polluted itself with science, atheism, materialism, and wealth, they should return to a simple peasant-based society centered on the Orthodox faith. The government rejected these ideas in favor of rapid modernization.
The Westernization of Russia
Peter the Great, the Tsar of Russia from 1672-1725, started a cultural revolution in Russia that replaced some of the traditionalist and medieval social and political systems with those that were modern, scientific, westernized, and based on the Enlightenment. Peter’s reforms made a lasting impact on Russia and many institutions of Russian government trace their origins to his reign.
Peter implemented sweeping reforms aimed at modernization. Heavily influenced by his advisers from Western Europe, Peter reorganized the Russian army along modern lines and dreamed of making the country a maritime power. He faced much opposition to these policies at home, but brutally suppressed any and all rebellions against his authority: Streltsy, Bashkirs, Astrakhan, and the greatest civil uprising of his reign, the Bulavin Rebellion.
Peter implemented absolute social modernization by introducing French and western dress to his court and requiring courtiers, state officials, and the military to shave their beards and adopt modern clothing styles. One means of achieving this end was the introduction of taxes for long beards and robes in September 1698. Peter also taxed many Russian cultural customs such as traditional bathing, fishing, and beekeeping.
Catherine the Great, the most renowned and the longest-ruling female leader of Russia from 1762 until her death in 1796, revitalized Russia under her reign, allowing it to grow larger and stronger than ever and become recognized as one of the great powers of Europe. An admirer of Peter the Great, Catherine continued to modernize Russia along Western European lines. She enthusiastically supported the ideals of The Enlightenment, thus earning the status of an enlightened despot. Catherine held western European philosophies and culture, especially from the French Enlightenment, close to her heart, and she wanted to surround herself with like-minded people within Russia. She believed a “new kind of person” could be created by inculcating Russian children with European education. This meant developing individuals both intellectually and morally, providing them knowledge and skills, and fostering a sense of civic responsibility.
“Westernization” carries different meanings in different countries at different times. In reference to 18th century Russia, it meant legislative changes to economics, politics, and culture. It also entailed the Russian gentry’s adherence to a set standard and its imitation of the Western values. Westernization in Russia included the modernization of machinery, the refinement of a more efficient bureaucracy, and the acceptance of Western European tastes.
Peter and Catherine’s reforms set the tone for Russian domestic policies for centuries to come. His legacy could be seen into the 19th century and beyond. Westernizers were a group of 19th century intellectuals who believed that Russia’s development depended upon the adoption of Western European technology and liberal government. In their view, western ideas such as industrialization needed to be implemented throughout Russia to make it a more successful country.
Catherine the Great
Marble statue of Catherine II in the guise of Minerva (1789–1790), by Fedot Shubin. The style exemplifies Catherine’s love for Western philosophy and culture, Minerva being the Roman goddess of wisdom.
Slavophilia
Slavophilia was an intellectual movement originating in the 19th century that wanted the Russian Empire to be developed upon values and institutions derived from its early history. Slavophiles opposed the influences of Western Europe in Russia. There were similar movements in Poland, Hungary, and Greece. Depending on the historical context, its opposite could be termed Slavophobia, a fear of Slavic culture, or even what some Russian intellectuals called Westernism, begun by Peter the Great’s efforts in the late 17th and early 18th centuries.
Slavophonism developed into many branches of the same movement. Some were leftist and noted that progressive ideas such as democracy were intrinsic to the Russian experience, as proved by what they considered to be the rough democracy of medieval Novgorod. Some were rightist and pointed to the centuries-old tradition of the autocratic tsar as the essence of the Russian nature.
The Slavophiles were determined to protect what they believed were unique Russian traditions and culture. In doing so, they rejected individualism. The role of the Orthodox Church was seen as more significant than the role of the state. Socialism was opposed by Slavophiles as an alien thought, and Russian mysticism was preferred over “Western rationalism.” Rural life was praised by the movement, which opposed industrialization and urban development, and protection of the “mir” (peasant village communities) was an important measure to prevent the growth of the working class.
The movement originated in Moscow in the 1830s. Drawing on the works of Greek Church Fathers, the poet Aleksey Khomyakov (1804–60) and his devoutly Orthodox colleagues elaborated a traditionalistic doctrine that claimed Russia has its own distinct way that should avoid imitating “Western” institutions. The Russian Slavophiles criticized the modernization of Peter the Great and Catherine the Great, and some of even adopted traditional pre-Petrine dress.
Pochvennichestvo (roughly “return to the soil”) was a late 19th-century Russian movement tied closely with its contemporary ideology, the Slavophile movement. Both were for the complete emancipation of serfdom, stressed a strong desire to return to the idealized past of Russia’s history, and opposed Europeanization. The movement also chose a complete rejection of the nihilist, classical liberal, and Marxist movements of the time. Their primary focus was to change Russian society by the humbling of the self and social reform through the Russian Orthodox Church rather than the radical implementations of the intelligentsia.
The major differences between the Slavophiles and the movement were that the former detested the Westernization policies of Peter the Great, but the latter praised what were seen as the benefits of the notorious ruler but maintained a strong patriotic mentality for the Orthodoxy, Autocracy, and Nationality. Another major difference was that many of the movement’s leaders and supporters adopted a militantly anti-Protestant, anti-Catholic, and anti-Semitic stance.
The concept had its roots in the works of the German philosopher Johann Gottfried Herder, who focused primarily on emphasizing the differences among people and regional cultures. In addition, it rejected the universalism of the Enlightenment period. The most prominent Russian intellectuals who founded the ideology were Nikolay Strakhov, Nikolay Danilevsky, and Konstantin Leontyev.
24.3.6: The 1861 Emancipation of the Serfs
In 1861 Alexander II freed all serfs (over 23 million people) in a major agrarian reform, stimulated in part by his view that “it is better to liberate the peasants from above” than to wait until they won their freedom by uprisings “from below.”
Learning Objective
Determine the effectiveness of the 1861 emancipation of the serfs
Key Points
- The emancipation reform of 1861 that freed the serfs was the single most important event in 19th-century Russian history; it was the beginning of the end for the landed aristocracy’s monopoly of power.
- Serfdom was abolished in 1861, but its abolition was achieved on terms not always favorable to the peasants and increased revolutionary pressures.
- The 1861 Emancipation Manifesto proclaimed the emancipation of the serfs on private estates and by this edict more than 23 million people received their liberty.
- Through emancipation, serfs gained the full rights of free citizens, including rights to marry without having to gain consent, to own property, and to own a business.
- The serfs from private estates were given less land than they needed to survive, which led to civil unrest.
Key Terms
- 1848 revolutions
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A series of political upheavals throughout Europe in 1848 that remains the most widespread revolutionary wave in European history. The revolutions were essentially democratic in nature, with the aim of removing the old feudal structures and creating independent national states. The revolutionary wave began in France in February and immediately spread to most of Europe and parts of Latin America. Over 50 countries were affected, but with no coordination or cooperation between their respective revolutionaries.
- mir
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Peasant village communities, as opposed to individual farmsteads or khutors, in Imperial Russia. The vast majority of Russian peasants held their land in communal ownership within a community, which acted as a village government and a cooperative. Arable land was divided in sections based on soil quality and distance from the village. Each household had the right to claim one or more strips from each section depending on the number of adults in the household.
- Alexander II
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The Tsar of Russia from March 2, 1855, until his assassination in 1881. He was also the King of Poland and the Grand Duke of Finland. His most significant reform as emperor was emancipation of Russia’s serfs in 1861, for which he is known as Alexander the Liberator.
The Emancipation Reform of 1861 in Russia was the first and most important of liberal reforms effected during the reign (1855-1881) of Tsar Alexander II of Russia. The reform effectively abolished serfdom throughout the Russian Empire.
The 1861 Emancipation Manifesto proclaimed the emancipation of the serfs on private estates and of the domestic (household) serfs. By this edict more than 23 million people received their liberty. Serfs gained the full rights of free citizens, including rights to marry without having to gain consent, to own property, and to own a business. The Manifesto prescribed that peasants would be able to buy the land from the landlords. Household serfs were the least affected, gaining only their freedom and no land.
In Georgia the emancipation took place later, in 1864, and on much better terms for the nobles than in Russia. The serfs were emancipated in 1861, following a speech given by Tsar Alexander II on March 30, 1856. State-owned serfs, those living on Imperial lands, were emancipated in 1866.
Background
The liberal politicians who stood behind the 1861 manifesto recognized that their country was one of a few remaining feudal states in Europe. The pitiful display by Russian forces in the Crimean War left the government acutely aware of the empire’s backwardness. Eager to grow and develop industrial and therefore military and political strength, they introduced a number of economic reforms, including the end of serfdom. It was optimistically hoped that after the abolition the mir (peasant village communities) would dissolve into individual peasant land owners and the beginnings of a market economy.
The main issue was whether the serfs should remain dependent on the landlords or be transformed into a class of independent communal proprietors. The land owners initially pushed for granting the peasants freedom but not land. The tsar and his advisers, mindful of 1848 revolutions in Western Europe, were opposed to creating a proletariat and the instability this could bring. But giving the peasants freedom and land left existing land owners without the large and cheap labor force they needed to maintain their estates and lifestyles. By 1859, however, a third of their estates and two -thirds of their serfs were mortgaged to the state or noble banks, so they had no choice but to accept the emancipation.
To balance this, the legislation contained three measures to reduce the potential economic self-sufficiency of the peasants. First, a transition period of two years was introduced, during which the peasant was obligated as before to the land owner. Second, large parts of common land were passed to the major land owners as otrezki (“cut off lands”), making many forests, roads, and rivers accessible only for a fee. The serfs also had to pay the land owner for their allocation of land in a series of redemption payments, which in turn were used to compensate the land owners with bonds. Three-quarters of the total sum would be advanced by the government to the land owner and then the peasants would repay the money plus interest to the government over 49 years. These redemption payments were finally canceled in 1907.
Emancipation Reform of 1861
A 1907 painting by Boris Kustodiev depicting Russian serfs listening to the proclamation of the Emancipation Manifesto in 1861.
Effects of Emancipation
Although the emancipation reform was commemorated by the construction of the enormous Alexander Nevsky Cathedral in Moscow and history books give Alexander II the name of “Alexander the Liberator,” its results were far from ideal. Household serfs were the worst affected as they gained only their freedom and no land. Many of the more enlightened bureaucrats had an understanding that the freeing of the serfs would bring about drastic changes in both Russian society and government. However, their idea that these changes would affect only the “lower stories” of society and strengthen the autocracy, rather than weaken it was wrong. In reality, the reforms created a new system in which the monarch had to coexist with an independent court, free press, and local governments that operated differently and more freely than in the past.
More specifically, in regards to new localized government, the reforms put in place a system where the land owners had more of a say within their newly formed “provinces.” While this was not the direct intent of the reforms, it was evident that it significantly weakened the idea of the autocracy. Now, the “well-to-do” serfs, along with previously free peoples, were able to purchase land as private property. While early in the reforms the creation of local government changed few things about Russian society, the rise in capitalism drastically affected not only the social structure of Russia, but the behaviors and activities of the self-government institutions.
The serfs from private estates were given less land than they needed to survive, which led to civil unrest. The redemption tax was so high that the serfs had to sell all the grain they produced to pay the tax, which left nothing for their survival. Land owners also suffered because many of them were deeply in debt, and the forced selling of their land left them struggling to maintain their lavish lifestyles. In many cases, the newly freed serfs were forced to “rent” their land from wealthy landowners. Furthermore, when the peasants had to work for the same landowners to pay their “labor payments,” their own fields were often neglected. Over the next few years, the yields from the peasants’ crops remained low, and soon famine struck a large portion of Russia. With little food and in a similar condition as when they were serfs, many peasants started to voice their disdain for the social system.
Lastly, the reforms transformed the Russian economy. The individuals who led the reform were in favor of an economic system similar to that of other European countries, which promoted the ideas of capitalism and free trade. The idea of the reformers was to promote development and encourage private property ownership, free competition, entrepreneurship, and hired labor. They hoped this would bring about an a more laissez-faire economic system with minimal regulations and tariffs. Soon after the reforms, there was a substantial rise in the amount of grain production for sale.
24.4: German Unification
24.4.1: The German Confederation
The German Confederation was the loose association of 39 states created in 1815 to coordinate the economies of separate German-speaking countries, which most historians have judged to be weak and ineffective as well as an obstacle to German nationalist aspirations.
Learning Objective
Diagram the political relations and structure of the German Confederation
Key Points
- One of the major outcomes of the Congress of Vienna was the creation of German Confederation, a loose association of 39 states designed to coordinate the economies of separate German-speaking countries.
- It acted as a buffer between the powerful states of Austria and Prussia to preserve the Concert of Europe.
- Most historians have judged the Confederation as weak and ineffective, as well as an obstacle to German nationalist aspirations.
- Further efforts to improve the Confederation began in 1834 with the establishment of a customs union, the Zollverein, to manage tariffs and economic policies.
- It collapsed due to the rivalry between Prussia and Austria, warfare, the 1848 revolution, and the inability of the multiple members to compromise.
- It was replaced by the North German Confederation in 1866.
Key Terms
- Zollverein
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A coalition of German states formed to manage tariffs and economic policies within their territories, formed during the German Confederation.
- Rights of Man
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A book by Thomas Paine, including 31 articles, that posits that popular political revolution is permissible when a government does not safeguard the natural rights of its people. Using these points as a basis, it defends the French Revolution.
- German dualism
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A long-standing conflict and rivalry for supremacy between Prussia and Austria in Central Europe during the 18th and 19th centuries. While wars were a part of the rivalry, it was also a race for prestige to be seen as the legitimate political force of the German-speaking peoples. The conflict first culminated in the Seven Years’ War.
- Holy Roman Empire
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A multi-ethnic complex of territories in central Europe that developed during the Early Middle Ages and continued until its dissolution in 1806. The largest territory of the empire after 962 was the Kingdom of Germany, though it also came to include the Kingdom of Bohemia, the Kingdom of Burgundy, the Kingdom of Italy, and numerous other territories.
The German Confederation (German: Deutscher Bund) was an association of 39 German states in Central Europe, created by the Congress of Vienna in 1815 to coordinate the economies of separate German-speaking countries and to replace the former Holy Roman Empire. It acted as a buffer between the powerful states of Austria and Prussia. Britain approved of the confederation because London felt there was need for a stable, peaceful power in central Europe that could discourage aggressive moves by France or Russia. Most historians have judged the Confederation as weak and ineffective, as well as an obstacle to the creation of a German nation-state. It collapsed because of the rivalry between Prussia and Austria (known as German dualism), warfare, the 1848 revolution, and the inability of members to compromise. It was replaced by the North German Confederation in 1866.
In 1848, revolutions by liberals and nationalists were failed attempts to establish a unified German state. Talks between the German states failed in 1848, and the Confederation briefly dissolved but was reestablished in 1850. It decidedly fell apart only after the Prussian victory in the Seven Weeks’ War of 1866.
The dispute between the two dominant member states of the Confederation, Austria and Prussia, over which had the inherent right to rule German lands ended in favor of Prussia after the Seven Weeks’ War of 1866. This led to the creation of the North German Confederation under Prussian leadership in 1867. A number of South German states remained independent until they joined the North German Confederation, which was renamed the German Empire.
History and Structure of the Confederation
Between 1806 and 1815, Napoleon organized the German states into the Confederation of the Rhine, but this collapsed after his defeats in 1812 to 1815. The German Confederation had roughly the same boundaries as the Empire at the time of the French Revolution (less what is now Belgium). It also kept intact most of Confederation’s reconstituted member states and their boundaries. The member states, drastically reduced to 39 from more than 300 under the Holy Roman Empire, were recognized as fully sovereign. The members pledged themselves to mutual defense, and joint maintenance of the fortresses at Mainz, the city of Luxembourg, Rastatt, Ulm, and Landau.
The only organ of the Confederation was the Federal Assembly, consisting of the delegates of the states’ governments. There was no head of state; the Austrian delegate presided the Assembly but was not granted extra power. The Assembly met in Frankfurt.
The Confederation was enabled to accept and deploy ambassadors. It allowed ambassadors of the European powers to the Assembly, but rarely deployed ambassadors itself.
During the revolution of 1848-49, the Federal Assembly was inactive and transferred its powers to the revolutionary German Central Government of the Frankfurt National Assembly. After crushing the revolution and illegally disbanding the National Assembly, the Prussian King failed to create a German nation state by himself. The Federal Assembly was revived in 1850 on Austrian initiative, but only fully reinstalled only in the Summer of 1851.
Rivalry between Prussia and Austria grew substantially beginning in 1859. The Confederation was dissolved in 1866 after the Austro-Prussian War, and was succeeded in 1866 by the Prussian-dominated North German Confederation. Unlike the German Confederation, the North German Confederation was in fact a true state. Its territory comprised the parts of the German Confederation north of the river Main, plus Prussia’s eastern territories and the Duchy of Schleswig, but excluded Austria and the other southern German states.
Prussia’s influence was widened by the Franco-Prussian War resulting in the proclamation of the German Empire at Versailles on January 18, 1871, which united the North German Federation with the southern German states. Constituent states of the former German Confederation became part of the German Empire in 1871, except Austria, Luxembourg, the Duchy of Limburg, and Liechtenstein.
Politics and Economy of the Confederation
Although the forces unleashed by the French Revolution were seemingly under control after the Vienna Congress, the conflict between conservative forces and liberal nationalists was only deferred. The era until the failed 1848 revolution when these tensions escalated is commonly referred to as Vormärz (“pre-March”), in reference to the outbreak of riots in March 1848.
This conflict pitted the forces of the old order against those inspired by the French Revolution and the Rights of Man. The sociological breakdown of the competition was roughly one side engaged mostly in commerce, trade, and industry, and the other side associated with landowning aristocracy or military aristocracy (the Junker) in Prussia, the Habsburg monarchy in Austria, and the conservative notables of the small princely states and city-states in Germany.
Meanwhile, demands for change from below had been stirring since the influence of the French Revolution. Throughout the German Confederation, Austrian influence was paramount, drawing the ire of the nationalist movements. Metternich considered nationalism, especially the nationalist youth movement, the most pressing danger: German nationalism might not only reject Austrian dominance of the Confederation, but also stimulate nationalist sentiment within the Austrian Empire itself. In a multinational multilingual state in which Slavs and Magyars outnumbered the Germans, the prospects of Czech, Slovak, Hungarian, Polish, Serb, or Croatian sentiment along with middle-class liberalism was certainly horrifying.
Further efforts to improve the Confederation began in 1834 with the establishment of a customs union, the Zollverein. In 1834, the Prussian regime sought to stimulate wider trade advantages and industrialism by decree—a logical continuation of the program of Stein and Hardenberg less than two decades earlier. Historians have seen three Prussian goals: as a political tool to eliminate Austrian influence in Germany; as a way to improve the economies; and to strengthen Germany against potential French aggression while reducing the economic independence of smaller states.
Inadvertently, these reforms sparked the unification movement and augmented a middle class demanding further political rights, but at the time backwardness and Prussia’s fears of its stronger neighbors were greater concerns. The customs union opened up a common market, ended tariffs between states, and standardized weights, measures, and currencies within member states (excluding Austria), forming the basis of a proto-national economy.
German Confederation
Map of the German Confederation, circa 1815, following the Congress of Vienna. The territory of the Austrian Empire and Kingdom of Prussia not within the confederation is shown in light green.
24.4.2: Toward a German Identity
The surge of German nationalism, stimulated by the experience of Germans in the Napoleonic period, the development of a German cultural and artistic identity, and improved transportation through the region, moved Germany toward unification in the 19th century.
Learning Objective
Break down the cultural aspects that lent themselves to a common German identity in the 19th century
Key Points
- The transition of German-speaking people throughout central Europe into a unified nation-state had been developing for some time through alliances formal and informal between princely rulers, as well as the gradual emergence of a German cultural identity.
- The German identity is largely centered around the common German language, but at the turn of the 19th century, German intellectuals began to develop a sense of artistic and philosophical identity freed from the leadership of France during the Enlightenment.
- Under the dominance of the Napoleonic French Empire (1804–1814), various justifications emerged to identify “Germany” as a single state.
- The Burschenschaft student organizations and popular demonstrations, such as those held at Wartburg Castle in October 1817, contributed to a growing sense of unity among German speakers of Central Europe.
- Historians regard the development of the German railway as the first indicator of a unified state.
- As travel became easier, faster, and less expensive, Germans started to see unity in factors other than their language.
Key Terms
- Johann Wolfgang von Goethe
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A German writer and statesman. His body of work includes epic and lyric poetry written in a variety of meters and styles; prose and verse dramas; memoirs; an autobiography; literary and aesthetic criticism; treatises on botany, anatomy, and color; and four novels. In addition, numerous literary and scientific fragments, more than 10,000 letters, and nearly 3,000 drawings by him exist.
- Burschenschaften
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One of the traditional student fraternities of Germany. They were founded in the 19th century as associations of university students inspired by liberal and nationalistic ideas. They were significantly involved in the March Revolution and the unification of Germany.
- Carlsbad Decrees
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A set of reactionary restrictions introduced in the states of the German Confederation on September 20, 1819, after a conference held in the spa town of Carlsbad, Bohemia. They banned nationalist fraternities (“Burschenschaften”), removed liberal university professors, and expanded the censorship of the press. They were aimed to quell a growing sentiment for German unification.
Unification of Germany
The unification of Germany into a politically and administratively integrated nation state officially occurred on January 18, 1871, in the Hall of Mirrors at the Palace of Versailles in France. Princes of the German states gathered there to proclaim Wilhelm I of Prussia as German Emperor after the French capitulation in the Franco-Prussian War. Unofficially, the de facto transition of most of the German-speaking populations into a federated organization of states had been developing in fits and starts for some time through alliances formal and informal between princely rulers. Self-interests of the various parties hampered the process over nearly a century of autocratic experimentation beginning in the era of the Napoleonic Wars, which saw the dissolution of the Holy Roman Empire (1806) and subsequent rise of German nationalism.
Unification exposed tensions caused by religious, linguistic, social, and cultural differences among the inhabitants of the new nation, suggesting that 1871 only represented one moment in the larger unification process. Given the mountainous terrains of much of the territory, it was inevitable that isolated peoples would develop cultural, educational, linguistic, and religious differences over such a long period. Germany of the 19th century enjoyed transportation and communications improvements that began uniting people and culture.
The Holy Roman Empire of the German Nation, which included more than 500 independent states, was effectively dissolved when Emperor Francis II abdicated during the War of the Third Coalition in August 1806. Despite the legal, administrative, and political disruption associated with the end of the Empire, the people of the German-speaking areas of the old Empire had a common linguistic, cultural, and legal tradition further enhanced by their shared experience in the French Revolutionary Wars and Napoleonic Wars.
European liberalism offered an intellectual basis for unification by challenging dynastic and absolutist models of social and political organization; its German manifestation emphasized the importance of tradition, education, and linguistic unity of people in a geographic region. Economically, the creation of the Prussian Zollverein (customs union) in 1818 and its subsequent expansion to include other states of the German Confederation reduced competition between and within states. Emerging modes of transportation facilitated business and recreational travel, leading to contact and sometimes conflict among German speakers from throughout Central Europe.
German Cultural Identity
In the late 18th century, the sense of a German cultural identity began to emerge. Before 1750, the German upper classes looked to France for intellectual, cultural, and architectural leadership; French was the language of high society. By the mid-18th century the “Aufklärung” (The Enlightenment) had transformed German high culture in music, philosophy, science, and literature. Christian Wolff (1679–1754) was the pioneer as a writer who expounded the Enlightenment to German readers; he legitimized German as a philosophic language.
Johann Gottfried von Herder (1744–1803) broke new ground in philosophy and poetry as a leader of the Sturm und Drang movement of proto-Romanticism. Weimar Classicism was a cultural and literary movement based in Weimar that sought to establish a new humanism by synthesizing Romantic, Classical, and Enlightenment ideas. The movement, from 1772 until 1805, involved Herder as well as polymath Johann Wolfgang von Goethe (1749–1832) and Friedrich Schiller (1759–1805), a poet and historian. Herder argued that every folk had its own particular identity expressed in its language and culture. This legitimized the promotion of German language and culture and helped shape the development of German nationalism. Schiller’s plays expressed the restless spirit of his generation, depicting the hero’s struggle against social pressures and the force of destiny.
Rise of German Nationalism
Under the hegemony of the Napoleonic French Empire (1804–1814), popular German nationalism thrived in the reorganized German states. Due in part to the shared experience under French dominance, various justifications emerged to identify “Germany” as a single state. For the German philosopher Johann Gottlieb Fichte,
The first, original, and truly natural boundaries of states are beyond doubt their internal boundaries. Those who speak the same language are joined to each other by a multitude of invisible bonds by nature herself, long before any human art begins; they understand each other and have the power of continuing to make themselves understood more and more clearly; they belong together and are by nature one and an inseparable whole.
A common language may have been seen to serve as the basis of a nation, but as contemporary historians of 19th-century Germany noted, it took more than linguistic similarity to unify these several hundred polities. The experience of German-speaking Central Europe during the years of French hegemony contributed to a sense of common cause to remove the French invaders and reassert control over their own lands. The exigencies of Napoleon’s campaigns in Poland (1806–07), the Iberian Peninsula, western Germany, and his disastrous invasion of Russia in 1812 disillusioned many Germans, princes and peasants alike. Napoleon’s Continental System nearly ruined the Central European economy. The invasion of Russia included nearly 125,000 troops from German lands, and the loss of that army encouraged many Germans, both high- and low-born, to envision a Central Europe free of Napoleon’s influence.
The surge of German nationalism, stimulated by the experience of Germans in the Napoleonic period and initially allied with liberalism, shifted political, social, and cultural relationships within the German states during the beginning of the German Confederation. Figures like August Heinrich Hoffmann von Fallersleben, Ludwig Uhland, Georg Herwegh, Heinrich Heine, Georg Büchner, Ludwig Börne, and Bettina von Arnim rose in the Vormärz era. Father Friedrich Jahn’s gymnastic associations exposed middle-class German youth to nationalist and democratic ideas, which took the form of the nationalistic and liberal democratic college fraternities known as the Burschenschaften.
The Wartburg Festival in 1817 celebrated Martin Luther as a proto-German nationalist, linking Lutheranism to German nationalism, and helping arouse religious sentiments for the cause of German nationhood. The festival culminated in the burning of several books and other items that symbolized reactionary attitudes. One item was a book by August von Kotzebue, who was accused of spying for Russia in 1819 and then murdered by a theological student, Karl Ludwig Sand, who was executed for the crime. Sand belonged to a militant nationalist faction of the Burschenschaften. Metternich used the murder as a pretext to issue the Carlsbad Decrees of 1819, which dissolved the Burschenschaften, cracked down on the liberal press, and seriously restricted academic freedom.
Metternich was able to harness conservative outrage at the assassination to consolidate legislation that would further limit the press and constrain the rising liberal and nationalist movements. Consequently, these decrees drove the Burschenschaften underground, restricted the publication of nationalist materials, expanded censorship of the press and private correspondence, and limited academic speech by prohibiting university professors from encouraging nationalist discussion.
Other Factors for Unification
By the early 19th century, German roads had deteriorated to an appalling extent. Travelers both foreign and local complained bitterly about the state of the Heerstraßen, the military roads previously maintained for the ease of moving troops. As German states ceased to be a military crossroads, however, the roads improved; the length of hard-surfaced roads in Prussia increased from 3,800 kilometers (2,400 mi) in 1816 to 16,600 kilometers (10,300 mi) in 1852. By 1835, Heinrich von Gagern wrote that roads were the “veins and arteries of the body politic…” and predicted that they would promote freedom, independence, and prosperity. As people moved around, they came into contact with others on trains, at hotels, in restaurants, and for some, at fashionable resorts such as the spa in Baden-Baden. Water transportation also improved.
As important as these improvements were, they could not compete with the impact of the railway. Historians of the Second Empire later regarded the railways as the first indicator of a unified state; the patriotic novelist, Wilhelm Raabe, wrote: “The German empire was founded with the construction of the first railway…” Rail travel changed how cities looked and how people traveled. Its impact reached throughout the social order, affecting everyone from the highest-born to the lowest. Although some of the outlying German provinces were not serviced by rail until the 1890s, the majority of the population, manufacturing centers, and production centers were linked to the rail network by 1865.
As travel became easier, faster, and less expensive, Germans started to see unity in factors other than language. The Brothers Grimm, who compiled a massive dictionary known as The Grimm, also assembled a compendium of folk tales and fables that highlighted the storytelling parallels between different regions. Karl Baedeker wrote guidebooks to different cities and regions of Central Europe, indicating places to stay, sites to visit, and giving a short history of castles, battlefields, famous buildings, and famous people. His guides also included distances, roads to avoid, and hiking paths to follow.
The words of August Heinrich Hoffmann von Fallersleben expressed not only the linguistic unity of the German people but also their geographic unity. Patriotic songs as “Die Wacht am Rhein” (“The Watch on the Rhine”) by Max Schneckenburger began to focus attention on geographic space, not limiting “German-ness” to a common language. Schneckenburger wrote “The Watch on the Rhine” in a specific patriotic response to French assertions that the Rhine was France’s “natural” eastern boundary.
Germania
Germania, a personification of the German nation, appears in Philipp Veit’s fresco (1834–36). She is holding a shield with the coat of arms of the German Confederation. The shields on which she stands are the arms of the seven traditional Electors of the Holy Roman Empire. She holds the “Reichsschwert” (imperial sword) and the Imperial Crown of the Holy Roman Empire sits at her side.
24.4.3: The German Revolutions of 1848
Growing discontent with the political and social order imposed by the Congress of Vienna led to the outbreak in 1848 of the March Revolution in the German states.
Learning Objective
Connect the German Revolutions of 1848 to other revolutions happening throughout Europe
Key Points
- News of the 1848 Revolution in Paris quickly reached discontented bourgeois liberals, republicans, and more radical working-men.
- The first revolutionary uprisings in Germany began in the state of Baden in March 1848 and within a few days, there were revolutionary uprisings in other states including Austria and Prussia.
- On March 15, 1848, the subjects of Friedrich Wilhelm IV of Prussia vented their long-repressed political aspirations in violent rioting in Berlin, while barricades were erected in the streets of Paris.
- Friedrich Wilhelm gave in to the popular fury and promised a constitution, a parliament, and support for German unification, safeguarding his own rule and regime.
- On May 18, the Frankfurt Assembly opened its first session with delegates from various German states, and after long and controversial debates, the assembly produced the so-called Frankfurt Constitution, which proclaimed a German Empire based on the principles of parliamentary democracy.
- In the end, the 1848 revolutions turned out to be unsuccessful: King Frederick William IV of Prussia refused the imperial crown, the Frankfurt parliament was dissolved, the ruling princes repressed the risings by military force, and the German Confederation was re-established by 1850.
- Many leaders went into exile, including a number who went to the United States and became a political force there.
Key Terms
- Frankfurt Assembly
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The first freely elected parliament for all of Germany, elected on May 1, 1848. The session was held from May 18, 1848, to May 31, 1849, in the Paulskirche at Frankfurt am Main. Its existence was both part of and the result of the “March Revolution” in the states of the German Confederation. After long and controversial debates, the assembly produced the so-called Frankfurt Constitution.
- Forty-Eighters
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Europeans who participated in or supported the revolutions of 1848 that swept Europe. Disappointed at the failure of the revolution to bring about the reform of the system of government in Germany or the Austrian Empire and sometimes on the government’s wanted list because of their involvement in the revolution, they gave up their old lives to try again abroad. Many emigrated to the United States, England, and Australia after the revolutions failed.
- Zollverein
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A coalition of German states formed to manage tariffs and economic policies within their territories. It was the first instance in history in which independent states had consummated a full economic union without the simultaneous creation of a political federation or union.
The revolutions of 1848 in the German states, the opening phase of which was also called the March Revolution, were initially part of the Revolutions of 1848 that broke out in many European countries. They were a series of loosely coordinated protests and rebellions in the states of the German Confederation, including the Austrian Empire. The revolutions, which stressed pan-Germanism, demonstrated popular discontent with the traditional, largely autocratic political structure of the 39 independent states of the Confederation that inherited the German territory of the former Holy Roman Empire. They demonstrated the popular desire for the Zollverein movement.
The middle-class elements were committed to liberal principles while the working class sought radical improvements to their working and living conditions. As the middle class and working class components of the Revolution split, the conservative aristocracy defeated it. Liberals were forced into exile to escape political persecution, where they became known as Forty-Eighters. Many immigrated to the United States, settling from Wisconsin to Texas.
Unrest Spreads
The groundwork of the 1848 uprising in Germany was laid long beforehand. The Hambacher Fest of 1832, for instance, reflected growing unrest in the face of heavy taxation and political censorship. The Hambacher Fest is noteworthy for the republicans adopting the black-red-gold colors (used on today’s national flag of Germany) as a symbol of the republican movement and of unity among the German-speaking people.
Activism for liberal reform spread through many of the German states, each of which had distinct revolutions. They were also inspired by street demonstrations of workers and artisans in Paris, France, from February 22-24, 1848, which resulted in the abdication by King Louis Philippe of France and his exile in Britain. In France the revolution of 1848 became known as the February Revolution.
The revolutions spread across Europe; they erupted in Austria and Germany, beginning with the large demonstrations on March 13, 1848, in Vienna. This resulted in the resignation of Prince von Metternich as chief minister to Emperor Ferdinand I of Austria, and his exile in Britain. Because of the date of the Vienna demonstrations, the revolutions in Germany are usually called the March Revolution.
Fearing the fate of Louis-Philippe of France, some monarchs in Germany accepted some of the demands of the revolutionaries, at least temporarily. In the south and west, large popular assemblies and mass demonstrations took place. They demanded freedom of the press, freedom of assembly, written constitutions, arming of the people, and a parliament.
Uprisings: Austria and Prussia
In 1848, Austria was the predominant German state. It was considered the successor to the Holy Roman Empire, which had been dissolved by Napoleon in 1806, and was not resurrected by the Congress of Vienna in 1815. German Austrian chancellor Metternich had dominated Austrian politics from 1815 until 1848.
On March 13, 1848, university students mounted a large street demonstration in Vienna, and it was covered by the press across the German-speaking states. Following the important but relatively minor demonstrations against Lola Montez in Bavaria on February 9, 1848, the first major revolt of 1848 in German lands occurred in Vienna on March 13, 1848. The student demonstrators demanded a constitution and a constituent assembly elected by universal male suffrage.
Emperor Ferdinand and his chief adviser Metternich directed troops to crush the demonstration. When demonstrators moved to the streets near the palace, the troops fired on the students, killing several. The new working class of Vienna joined the student demonstrations, developing an armed insurrection. The Diet of Lower Austria demanded Metternich’s resignation. With no forces rallying to Metternich’s defense, Ferdinand reluctantly complied and dismissed him. The former chancellor went into exile in London.
In Prussia, in March 1848, crowds of people gathered in Berlin to present their demands in an “address to the king.” King Frederick William IV, taken by surprise, yielded verbally to all the demonstrators’ demands, including parliamentary elections, a constitution, and freedom of the press. He promised that “Prussia was to be merged forthwith into Germany.”
On March 13, the army charged people returning from a meeting in the Tiergarten; they left one person dead and many injured. On March 18, a large demonstration occurred; when two shots were fired, the people feared that some of the 20,000 soldiers would be used against them. They erected barricades, fighting started, and a battle took place until troops were ordered 13 hours later to retreat, leaving hundreds dead. Afterwards, Frederick William attempted to reassure the public that he would proceed with reorganizing his government. The king also approved arming the citizens.
Starting on May 18, 1848, the Frankfurt Assembly worked to find ways to unite the various German states and write a constitution. The Assembly was unable to pass resolutions and dissolved into endless debate. After long and controversial discussions, the assembly produced the so-called Frankfurt Constitution, which proclaimed a German Empire based on the principles of parliamentary democracy. This constitution fulfilled the main demands of the liberal and nationalist movements of the Vormärz and provided a foundation of basic rights, both of which stood in opposition to Metternich’s system of Restoration. The parliament also proposed a constitutional monarchy headed by a hereditary emperor (Kaiser).
King Frederick William IV of Prussia unilaterally imposed a monarchist constitution to undercut the democratic forces. This constitution took effect on December 5, 1848. On December 5, 1848, the revolutionary Assembly was dissolved and replaced with the bicameral legislature allowed under the monarchist Constitution. Otto von Bismarck was elected to the first congress elected under the new monarchical constitution.
Other uprising occurred in Baden, the Palatinate, Saxony, the Rhineland, and Bavaria.
Revolutions of 1848
Origin of the Flag of Germany: Cheering revolutionaries in Berlin, on March 19, 1848.
Failures of the Revolutions
By late 1848, the Prussian aristocrats including Otto von Bismarck and generals had regained power in Berlin. They were not defeated permanently during the incidents of March, but had only retreated temporarily. General von Wrangel led the troops who recaptured Berlin for the old powers, and King Frederick William IV of Prussia immediately rejoined the old forces. In November, the king dissolved the new Prussian parliament and put forth a constitution of his own based upon the work of the assembly, yet maintaining the ultimate authority of the king.
The achievements of the revolutionaries of March 1848 were reversed in all of the German states and by 1851, the Basic Rights from the Frankfurt Assembly had also been abolished nearly everywhere. In the end, the revolution fizzled because of the divisions between the various factions in Frankfurt, the calculating caution of the liberals, the failure of the left to marshal popular support and the overwhelming superiority of the monarchist forces.
The Revolution of 1848 failed in its attempt to unify the German-speaking states because the Frankfurt Assembly reflected the many different interests of the German ruling classes. Its members were unable to form coalitions and push for specific goals. The first conflict arose over the goals of the assembly. The moderate liberals wanted to draft a constitution to present to the monarchs, whereas the smaller group of radical members wanted the assembly to declare itself as a law-giving parliament. They were unable to overcome this fundamental division, and did not take any definitive action toward unification or the introduction of democratic rules. The assembly declined into debate. While the French revolution drew on an existing nation state, the democratic and liberal forces in Germany of 1848 were confronted with the need to build a nation state and a constitutional at the same time, which overtaxed them.
24.4.4: Otto von Bismarck and the Franco-Prussian War
In the 1860s, Otto von Bismarck, then Minister President of Prussia, provoked three short, decisive wars against Denmark, Austria, and France, aligning the smaller German states behind Prussia in its defeat of France. In 1871 he unified Germany into a nation-state, forming the German Empire.
Learning Objective
Clarify Bismarck’s intentions with respect to the defeat of France in the Franco-Prussian War
Key Points
- King William I appointed Otto von Bismarck as the new Minister President of Prussia in 1862.
- The Prussian victory in the Austro-Prussian War of 1866 enabled him to create the North German Confederation which excluded Austria from the federation’s affairs and ended the previous German Confederation.
- After the French defeat in the Franco-Prussian War, the German princes proclaimed the founding of the German Empire in 1871 at Versailles, uniting all scattered parts of Germany except Austria.
- Victory in the Franco-Prussian War proved the capstone of the nationalist issue, rallying the other German states into unity.
- Some historians argue that Bismarck deliberately provoked a French attack to draw the southern German states—Baden, Württemberg, Bavaria, and Hesse-Darmstadt—into an alliance with the North German Confederation dominated by Prussia, while others contend that Bismarck did not plan anything and merely exploited the circumstances as they unfolded.
- Juggling a very complex interlocking series of conferences, negotiations, and alliances, Bismarck used his diplomatic skills to maintain Germany’s position and used the balance of power to keep Europe at peace in the 1870s and 1880s.
Key Terms
- Kulturkampf
-
Refers to power struggles between emerging constitutional and democratic nation states and the Roman Catholic Church over the place and role of religion in modern polity, usually in connection with secularization campaigns.
- Junker
-
A noble honorific, meaning “young nobleman.” The term became popularly used as a reference for the landed nobility (particularly of the east) that controlled almost all of the land and government, or by extension the Prussian estate owners regardless of noble status. With the formation of the German Empire in 1871, this dominated the central German government and the Prussian military. The term is often contrasted with the elites of the western and southern states in Germany, such as the city-republic of Hamburg, which had no nobility.
- North German Confederation
-
A confederation of 22 previously independent states of northern Germany with nearly 30 million inhabitants, formed after Prussia left the German Confederation with allies. It was the first modern German nation state and the basis for the later German Empire (1871–1918) when several south German states such as Bavaria joined.
- realpolitik
-
Politics or diplomacy based primarily on considerations of given circumstances and factors, rather than explicit ideological notions or moral and ethical premises. In this respect, it shares aspects of its philosophical approach with those of realism and pragmatism. The term is sometimes used pejoratively to imply politics that are coercive, amoral, or Machiavellian.
Otto von Bismarck
Otto von Bismarck was a conservative Prussian statesman who dominated German and European affairs from the 1860s until 1890. In the 1860s he engineered a series of wars that unified the German states, significantly and deliberately excluding Austria, into a powerful German Empire under Prussian leadership. With that accomplished by 1871, he skillfully used balance of power diplomacy to maintain Germany’s position in a Europe which, despite many disputes and war scares, remained at peace.
In 1862, King Wilhelm I appointed Bismarck as Minister President of Prussia, a position he would hold until 1890 (except for a short break in 1873). He provoked three short, decisive wars against Denmark, Austria, and France, aligning the smaller German states behind Prussia in its defeat of France. In 1871 he formed the German Empire with himself as Chancellor while retaining control of Prussia. His diplomacy of realpolitik and powerful rule at home gained him the nickname the “Iron Chancellor.” German unification and its rapid economic growth was the foundation to his foreign policy. He disliked colonialism but reluctantly built an overseas empire when it was demanded by both elite and mass opinion. Juggling a very complex interlocking series of conferences, negotiations, and alliances, he used his diplomatic skills to maintain Germany’s position and used the balance of power to keep Europe at peace in the 1870s and 1880s.
A master of complex politics at home, Bismarck created the first welfare state in the modern world, with the goal of gaining working-class support that might otherwise have gone to his Socialist enemies. In the 1870s he allied himself with the Liberals (who were low-tariff and anti-Catholic) and fought the Catholic Church in what was called the Kulturkampf (“culture struggle”). He lost that battle as the Catholics responded by forming a powerful Centre party and using universal male suffrage to gain a bloc of seats. Bismarck then reversed himself, ended the Kulturkampf, broke with the Liberals, imposed protective tariffs, and formed a political alliance with the Centre Party to fight the Socialists.
Bismarck—a Junker himself—was strong-willed, outspoken, and sometimes judged overbearing, but he could also be polite, charming, and witty. Occasionally he displayed a violent temper, and he kept his power by melodramatically threatening resignation time and again, which cowed Wilhelm I. He possessed not only a long-term national and international vision but also the short-term ability to juggle complex developments. As the leader of what historians call “revolutionary conservatism,” Bismarck became a hero to German nationalists; they built many monuments honoring the founder of the new Reich. Many historians praise him as a visionary who was instrumental in uniting Germany and, once that had been accomplished, kept the peace in Europe through adroit diplomacy.
Franco-Prussian War and Creation of the German Empire
Prussia’s victory over Austria in 1866, a war that ended the German Confederation and resulted in the creation of the North German Confederation, increased already existing tensions with France. The Emperor of France, Napoleon III, tried to gain territory for France (in Belgium and on the left bank of the Rhine) as compensation for not joining the war against Prussia and was disappointed by the surprisingly quick outcome of the war. The conflict was caused by Prussian ambitions to extend German unification and French fears of the shift in the European balance of power that would result if the Prussians succeeded. Some historians argue that Bismarck deliberately provoked a French attack to draw the southern German states—Baden, Württemberg, Bavaria and Hesse-Darmstadt—into an alliance with the North German Confederation dominated by Prussia, while others contend that Bismarck did not plan anything and merely exploited the circumstances as they unfolded.
A suitable pretext for war arose in 1870 when the German Prince Leopold of Hohenzollern-Sigmaringen was offered the Spanish throne, vacant since a revolution in 1868. France pressured Leopold into withdrawing his candidacy. Not content with this, Paris demanded that Wilhelm, as head of the House of Hohenzollern, assure that no Hohenzollern would ever seek the Spanish crown again. To provoke France into declaring war with Prussia, Bismarck published the Ems Dispatch, a carefully edited version of a conversation between King Wilhelm and the French ambassador to Prussia, Count Benedetti. This conversation had been edited so that each nation felt its ambassador had been slighted and ridiculed, thus inflaming popular sentiment on both sides in favor of war.
France mobilized and declared war on July 19. The German states saw France as the aggressor, and—swept up by nationalism and patriotic zeal—they rallied to Prussia’s side and provided troops. A series of swift Prussian and German victories in eastern France, culminating in the Siege of Metz and the Battle of Sedan, saw Napoleon III captured and the army of the Second Empire decisively defeated. A Government of National Defense declared the Third Republic in Paris on September 4 and continued the war for another five months; the German forces fought and defeated new French armies in northern France. Following the Siege of Paris, the capital fell on January 28, 1871, and then a revolutionary uprising called the Paris Commune seized power in the capital and held it for two months until it was bloodily suppressed by the regular French army at the end of May 1871.
Bismarck acted immediately to secure the unification of Germany. He negotiated with representatives of the southern German states, offering special concessions if they agreed to unification. The negotiations succeeded; patriotic sentiment overwhelmed what opposition remained. While the war was in its final phase, Wilhelm I of Prussia was proclaimed German Emperor on January 18, 1871 in the Hall of Mirrors in the Château de Versailles. The new German Empire was a federation; each of its 25 constituent states (kingdoms, grand duchies, duchies, principalities, and free cities) retained some autonomy. The King of Prussia, as German Emperor, was not sovereign over the entirety of Germany; he was only primus inter pares, or first among equals.
Victory in the Franco-Prussian War proved the capstone of the nationalist issue. In the first half of the 1860s, Austria and Prussia both contended to speak for the German states; both maintained they could support German interests abroad and protect German interests at home. After the victory over Austria in 1866, Prussia began internally asserting its authority to speak for the German states and defend German interests, while Austria began directing more of its attention to possessions in the Balkans. The victory over France in 1871 expanded Prussian hegemony in the German states to the international level. With the proclamation of Wilhelm as Kaiser, Prussia assumed the leadership of the new empire. The southern states became officially incorporated into a unified Germany at the Treaty of Versailles of 1871 (signed February 26, 1871; later ratified in the Treaty of Frankfurt of May 10, 1871), which formally ended the war.
Under the Treaty of Frankfurt, France relinquished most of its traditionally German regions (Alsace and the German-speaking part of Lorraine); paid an indemnity, calculated (on the basis of population) as the precise equivalent of the indemnity that Napoleon Bonaparte imposed on Prussia in 1807; and accepted German administration of Paris and most of northern France, with “German troops to be withdrawn stage by stage with each installment of the indemnity payment.”
The Unification of Germany: The German Empire
18 January 1871: The proclamation of the German Empire in the Hall of Mirrors at the Palace of Versailles. Otto von Bismarck appears in white in the center. The Grand Duke of Baden stands beside Wilhelm I, proclaimed here as German Emperor, leading the cheers. Crown Prince Friedrich, later Friedrich III, stands on his father’s right. Painting by Anton von Werner.
24.4.5: The German Empire
After the French defeat in the Franco-Prussian War, the German princes proclaimed the founding of the German Empire in 1871 at Versailles, uniting all scattered parts of Germany except Austria.
Learning Objective
Examine the structure of the newly formed German Empire and the role of the Kaiser
Key Points
- On December 10, 1870, the North German Confederation Reichstag renamed the Confederation as the German Empire and gave the title of German Emperor to William I, the King of Prussia.
- Following the unification of Germany, Bismarck’s foreign policy as Chancellor of Germany under Emperor William I secured Germany’s position as a great nation by forging alliances, isolating France by diplomatic means, and avoiding war.
- On the domestic front Bismarck tried to stem the rise of socialism by anti-socialist laws, combined with an introduction of health care and social security.
- In 1888, the young and ambitious Kaiser Wilhelm II became emperor and dismissed Bismarck as Chancellor, moving Germany on a different course.
- Under Wilhelm II, Germany, like other European powers, took an imperialistic course, leading to friction with neighboring countries.
- Wilhelm II promoted active colonization of Africa and Asia for those areas that were not already colonies of other European powers; his administration of the colonies was notoriously brutal.
- The Kaiser’s approach in Europe eventually led to the assassination of the Austrian-Hungarian crown prince, sparking World War I.
Key Terms
- Reichstag
-
The Parliament of Germany from 1871 to 1918. It shared legislative powers with the Bundesrat, the Imperial Council of the reigning princes of the German States. It had no formal right to appoint or dismiss governments, but by contemporary standards it was considered a highly modern and progressive parliament. All German men over 25 years of age were eligible to vote, and members of were elected by general, universal, and secret suffrage.
- Kaiser Wilhelm II
-
The last German Emperor (Kaiser) and King of Prussia, ruling the German Empire and the Kingdom of Prussia from June 1888 to November 1918. He dismissed the Chancellor Otto von Bismarck, in 1890 and launched Germany on a bellicose “New Course” in foreign affairs that culminated in his support for Austria-Hungary in the crisis of July 1914 that led in a matter of days to the First World War.
- Otto von Bismarck
-
A conservative Prussian statesman who dominated German and European affairs from the 1860s until 1890. In the 1860s he engineered a series of wars that unified the German states, significantly and deliberately excluding Austria, into a powerful German Empire under Prussian leadership. With that accomplished by 1871, he skillfully used balance of power diplomacy to maintain Germany’s position in a Europe which, despite many disputes and war scares, remained at peace.
The German Empire (officially Deutsches Reich) was the historical German nation state that existed from the unification of Germany in 1871 to the abdication of Kaiser Wilhelm II in November 1918, when Germany became a federal republic (the Weimar Republic).
The German Empire consisted of 26 constituent territories, most ruled by royal families. This included four kingdoms, six grand duchies, five duchies (six before 1876), seven principalities, three free Hanseatic cities, and one imperial territory. Although the Kingdom of Prussia contained most of the Empire’s population and territory, it eventually played a relatively lesser role in politics. As Dwyer (2005) points out, Prussia’s “political and cultural influence had diminished considerably” by the 1890s, after the era of Bismarck’s leadership.
After Germany was united by Otto von Bismarck into the “German Reich,” he dominated German politics until 1890 as Chancellor. Bismarck tried to foster alliances in Europe to contain France and consolidate Germany’s influence in Europe. Bismarck’s post-1871 foreign policy was conservative and sought to preserve the balance of power in Europe. British historian Eric Hobsbawm concludes that he “remained undisputed world champion at the game of multilateral diplomatic chess for almost twenty years after 1871, [devoting] himself exclusively, and successfully, to maintaining peace between the powers.” His chief concern was that France would plot revenge after its defeat in the Franco-Prussian War. As the French lacked the strength to defeat Germany by themselves, they sought an alliance with Russia that would trap Germany between the two in a war (as would ultimately happen in 1914). Bismarck wanted to prevent this at all costs and maintain friendly relations with the Russians, and thereby formed an alliance with them and Austria-Hungary. The League of Three Emperors was signed in 1872 by Russia, Austria, and Germany. It stated that republicanism and socialism were common enemies and that the three powers would discuss any matters concerning foreign policy.
Bismarck’s domestic policies played an important role in forging the authoritarian political culture of the new Empire. Less preoccupied by continental power politics following unification in 1871, Germany’s semi-parliamentary government carried out a relatively smooth economic and political revolution from above that pushed them along the way to becoming the world’s leading industrial power of the time.
Bismarck’s “revolutionary conservatism” was a conservative state-building strategy designed to make ordinary Germans—not just the Junker elite—more loyal to state and emperor. His strategy was to grant social rights to enhance the integration of a hierarchical society, forge a bond between workers and the state to strengthen the latter, maintain traditional relations of authority between social and status groups, and provide a countervailing power against the modernist forces of liberalism and socialism. He created the modern welfare state in Germany in the 1880s, with an introduction of health care and social security, and enacted universal male suffrage in the new German Empire in 1871. He became a great hero to German conservatives, who erected many monuments to his memory and tried to emulate his policies.
At the same time Bismarck tried to reduce the political influence of the emancipated Catholic minority in the Kulturkampf, literally “culture struggle.” The Catholics only grew stronger, forming the Center (Zentrum) Party. Germany grew rapidly in industrial and economic power, matching Britain by 1900. Its highly professional army was the best in the world, but the navy could never catch up with Britain’s Royal Navy.
In 1888, the young and ambitious Kaiser Wilhelm II became emperor. He could not abide advice, least of all from the most experienced politician and diplomat in Europe, so he fired Bismarck. The Kaiser opposed Bismarck’s careful foreign policy and wanted Germany to pursue colonialist policies as Britain and France had been doing for decades, as well as build a navy that could match the British. The Kaiser promoted active colonization of Africa and Asia for those areas that were not already colonies of other European powers; his record was notoriously brutal and set the stage for genocide. In what became known as the “First Genocide of the Twentieth-Century,” between 1904 and 1907, the German colonial government in South-West Africa (present-day Namibia) ordered the annihilation of the local Herero and Namaqua peoples as a punitive measure for an uprising against German colonial rule, killing over 100,000 people. The Kaiser took a mostly unilateral approach in Europe with the Austro-Hungarian Empire as its main ally, and an arms race with Britain eventually led to the assassination of the Austrian-Hungarian crown prince sparked World War I.
After four years of warfare in which approximately two million German soldiers were killed, a general armistice ended the fighting on November 11, and German troops returned home. In the German Revolution (November 1918), Emperor Wilhelm II and all German ruling princes abdicated their positions and responsibilities, marking the beginning of the Weimar Republic. Germany’s new political leadership signed the Treaty of Versailles in 1919.
The Kulturkampf
Tensions between Germany and the Catholic Church hierarchy are depicted in a chess game between Bismarck and Pope Pius IX. Cartoon from 1875.
Political Structure
On December 10, 1870, the North German Confederation Reichstag renamed the Confederation as the German Empire and gave the title of German Emperor to William I, the King of Prussia. The new constitution (Constitution of the German Confederation) and the title Emperor came into effect on January 1, 1871. During the Siege of Paris on January 18, 1871, William accepted to be proclaimed Emperor in the Hall of Mirrors at the Palace of Versailles.
The second German Constitution was adopted by the Reichstag on April 14, 1871, and proclaimed by the Emperor on April 16. It was substantially based upon Bismarck’s North German Constitution. The political system remained the same. The empire had a parliament called the Reichstag, which was elected by universal male suffrage. However, the original constituencies drawn in 1871 were never redrawn to reflect the growth of urban areas. As a result, by the time of the great expansion of German cities in the 1890s and first decade of the 20th century, rural areas were grossly over-represented.
Legislation also required the consent of the Bundesrat, the federal council of deputies from the 27 states. Executive power was vested in the emperor, or Kaiser, who was assisted by a chancellor responsible only to him. The emperor was given extensive powers by the constitution. He alone appointed and dismissed the chancellor (which in practice was used by the emperor to rule the empire through him), was supreme commander-in-chief of the armed forces, final arbiter of all foreign affairs, and could disband the Reichstag to call for new elections. Officially, the chancellor was a one-man cabinet and was responsible for the conduct of all state affairs; in practice, the State Secretaries (bureaucratic top officials in charge of such fields as finance, war, foreign affairs, etc.) acted as unofficial portfolio ministers. The Reichstag had the power to pass, amend, or reject bills and initiate legislation. However, as mentioned above, in practice the real power was vested in the emperor, who exercised it through his chancellor.
Although nominally a federal empire and league of equals, in practice the empire was dominated by the largest and most powerful state, Prussia. It stretched across the northern two-thirds of the new Reich, and contained three-fifths of its population. The imperial crown was hereditary in the House of Hohenzollern, the ruling house of Prussia. With the exception of the years 1872–1873 and 1892–1894, the chancellor was always simultaneously the prime minister of Prussia. With 17 out of 58 votes in the Bundesrat, Berlin needed only a few votes from the small states to exercise effective control.
The other states retained their own governments, but had only limited aspects of sovereignty. For example, both postage stamps and currency were issued for the empire as a whole.
Chapter 23: Napoleon
23.1: The Transition to Dictatorship
23.1.1: Napoleon’s Upbringing
Napoleon came from a noble and moderately affluent Corsican family, which afforded him opportunities to gain quality education and marked his youth with commitment to Corsican nationalism.
Learning Objective
Summarize Napoleon’s childhood and the effects it had on him
Key Points
-
Napoleon
was born in 1769 to Carlo Maria di Buonaparte and Maria Letizia Ramolino, in
his family’s ancestral home Casa Buonaparte in Ajaccio, the capital of the
island of Corsica. This was a year
after the island was transferred to France by the Republic of Genoa. The
Corsican origins and Corsica’s history would play a very important role in
Napoleon’s upbringing and shape his first political fascinations and
activism.
His first language was Corsican and he always spoke French with a marked
Corsican accent. -
Napoleon’s father Nobile Carlo Buonaparte, an
attorney, was named Corsica’s representative to the court of Louis XVI in
1777. The dominant influence of Napoleon’s childhood was his mother, Letizia
Ramolino, whose firm discipline restrained a rambunctious child. Napoleon was
piously raised as a Catholic but never developed much faith. -
Napoleon’s noble, moderately affluent background
afforded him greater opportunities to study than available to a typical
Corsican of the time. In 1779, he was enrolled at a religious school in Autun
but the same year, he was admitted to a military academy at Brienne-le-Château.On completion of his studies at Brienne in 1784,
Napoleon was admitted to the elite École Militaire in Paris. -
Upon graduating in 1785, Bonaparte was
commissioned a second lieutenant in La Fère artillery regiment. He served
in Valence and Auxonne until after the outbreak of the Revolution in 1789, and
took nearly two years’ leave in Corsica and Paris during this period. At this
time, he was a fervent Corsican nationalist. -
He
returned to Corsica and came into conflict with Paoli, who had decided to split
with France and sabotage the French assault on the Sardinian island of La
Maddalena. Bonaparte and his family fled to the French mainland in 1793 because
of the split with Paoli. -
Historians emphasize the strength of the
ambition that took Napoleon from an obscure village in Corsica to command of
most of Europe. He was famously not very tall and thus not a physically
imposing man, but his personality was described as “hypnotic.”
Napoleon maintained strict, efficient work habits, prioritizing what needed to
be done.
Key Terms
- deist
-
An advocate of a theological/philosophical position that combines the rejection of revelation and authority as a source of religious knowledge with the conclusion that reason and observation of the natural world are sufficient to determine the existence of a single creator of the universe.
- Corsica
-
An island in the Mediterranean Sea and one of the 18 regions of France. It is located west of the Italian Peninsula, southeast of the French mainland, and north of the Italian island of Sardinia. After being ruled by the Republic of Genoa since 1284, it was briefly independent from 1755 until it was conquered by France in 1769. Due to its historical ties with the Italian peninsula, the island retains many elements of Italian culture.
Napoleon’s Family and Corsican Roots
Napoleon Bonaparte (1769 – 1821) was a French military and political leader who rose to prominence during the French Revolution and led several successful campaigns during the Revolutionary Wars. As Napoleon I, he was Emperor of the French from 1804 until 1814, and again in 1815.
Napoleon was born in 1769 to Carlo Maria di Buonaparte and Maria Letizia Ramolino, in his family’s ancestral home Casa Buonaparte in Ajaccio, the capital of the island of Corsica. He was their fourth child and third son. This was a year after the island was transferred to France by the Republic of Genoa. The Corsican origins and Corsica’s history would play a very important role in Napoleon’s upbringing and shape his first political fascinations and activism.
His first language was Corsican and he always spoke French with a marked Corsican accent.
Portrait of Carlo Maria Buonaparte, father of Napoleon Bonaparte, by an unknown artist. This is one of few portraits of Napoleon’s father. In this half–length posthumous portrait, Carlo Maria (1746-1785) is dressed as a gentleman of the Ancien Régime with powdered wig and a coat laced with gold.
Carlo was a Corsican lawyer and politician who briefly served as a personal assistant of the revolutionary leader Pasquale Paoli and eventually rose to become Corsica’s representative to the court of Louis XVI. After his death, while Napoleon became Emperor of the French, several of his other children received royal titles from their brother.
The Corsican Buonapartes descended from minor Italian nobility of Tuscan origin who had come to Corsica from Liguria in the 16th century. Napoleon’s father Nobile Carlo Buonaparte was an attorney and was named Corsica’s representative to the court of Louis XVI in 1777. The dominant influence of Napoleon’s childhood was his mother, Letizia Ramolino, whose firm discipline restrained a rambunctious child. He had an elder brother, Joseph, and six younger siblings; two other siblings who died in infancy were born before Joseph. Napoleon was baptized as a Catholic.
He was christened Napoleone di Buonaparte and adopted the more French-sounding Napoléon Bonaparte in his 20s.
He was piously raised as a Catholic but never developed much faith. As an adult, Napoleon was a deist and his deity was an absent and distant God. However, he had a keen appreciation of the power of organized religion in social and political affairs and paid a great deal of attention to bending it to his purposes. He later noted the influence of Catholicism’s rituals and splendors in his life.
Letizia Ramolino by Robert Lefèvre, 1813.
Letizia was reportedly a harsh mother and down-to-earth woman. When most European mothers bathed children perhaps once a month, she had her children bathed every other day. Letizia spoke Italian and Corsican and never learned French. When she was 35, her husband died of cancer. She was decreed “Madam, the Mother of His Imperial Majesty The Emperor” (Madame Mère de l’Empereur), Imperial Highness in 1804 or 1805.
Childhood and Early Years
Napoleon’s noble, moderately affluent background afforded him greater opportunities to study than available to a typical Corsican of the time. In 1779, he was enrolled at a religious school in Autun but the same year, he was admitted to a military academy at Brienne-le-Château. Because of his Corsican origin, he was teased by other students for his accent, which inspired him to apply himself to reading. An examiner observed that Napoleon “has always been distinguished for his application in mathematics. He is fairly well acquainted with history and geography… This boy would make an excellent sailor.”
On completion of his studies at Brienne in 1784, Napoleon was admitted to the elite École Militaire in Paris. He trained to become an artillery officer and completed the two-year course in one year when his father’s death reduced his income. He was the first Corsican to graduate from the École Militaire.
Upon graduating in 1785, Bonaparte was commissioned a second lieutenant in La Fère artillery regiment. He served in Valence and Auxonne until after the outbreak of the Revolution in 1789, and took nearly two years’ leave in Corsica and Paris during this period. At this time, he was a fervent Corsican nationalist and wrote to Corsican leader Pasquale Paoli in 1789, “As the nation was perishing I was born. Thirty thousand Frenchmen were vomited on to our shores, drowning the throne of liberty in waves of blood. Such was the odious sight which was the first to strike me.” He spent the early years of the Revolution in Corsica, fighting in a complex three-way struggle among royalists, revolutionaries, and Corsican nationalists. He was a supporter of the republican Jacobin movement, organizing clubs in Corsica, and was given command over a battalion of volunteers. He was promoted to captain in the regular army in July 1792, despite exceeding his leave of absence and leading a riot against a French army in Corsica.
He returned to Corsica and came into conflict with Paoli, who decided to split with France and sabotage the French assault on the Sardinian island of La Maddalena. Bonaparte and his family fled to the French mainland in 1793 because of the split with Paoli.
Personality
Historians emphasize the strength of the ambition that took Napoleon from an obscure village in Corsica to command of most of Europe. He was famously not very tall and thus not a physically imposing man, but his personality was described as “hypnotic.”
Napoleon maintained strict, efficient work habits, prioritizing what needed to be done. He had to win at everything he attempted. He kept relays of staff and secretaries at work. Unlike many generals, Napoleon did not examine history to see what great leaders might have done in a similar situation. Historians also note that while he
understood military technology, he was not an innovator in that regard and some of his victories heightened his sense of self-grandiosity and left him certain of his destiny and invincibility. In terms of influence on events, it was more than Napoleon’s personality that took effect. He reorganized France to supply the men and money needed for wars and was reportedly an incredibly inspiring leader on the battlefield.
23.1.2: Napoleon’s Military Record
Napoleon rose to prominence as a military leader during the French Revolutionary Wars. His 20-year military career earned him remembrance as one of the finest commanders in world history and a military genius.
Learning Objective
Criticize Napoleon’s military record and examine the extent to which he was a hero of the Republic.
Key Points
-
Upon
graduating from the prestigious École Militaire in Paris in
1785, Bonaparte was commissioned a second lieutenant in an artillery regiment.
He served in Valence and Auxonne until after the outbreak of the Revolution in
1789. He spent the early years of the Revolution in
Corsica, fighting in a complex three-way struggle among royalists,
revolutionaries, and Corsican nationalists. He was promoted to captain in the regular army
in 1792. -
Napoleon
would witness the effects of Parisian mob violence against trained troops
and became an exemplary officer in defense of revolutionary ideals. His firm
beliefs would lead him to fight his own people, initially at the Siege of
Toulon, where he would play a major role in crushing the royalist rebellion. - Promoted to general in 1795, Napoleon was
sent to fight the Austro-Piedmontese armies in Northern Italy the
following year.
In less than a year, French armies under Napoleon decimated the
Habsburg forces and evicted them from the Italian peninsula. With French forces marching
towards Vienna, the Austrians agreed to the Treaty of Campo
Formio, ending the First Coalition against the Republic. -
The
War of the Second Coalition began with the French invasion of Egypt, headed by
Napoleon in 1798. His forces annihilated a series of Egyptian and Ottoman
armies at the battles of the Pyramids, Mount Tabor, and Abukir. These victories
and the conquest of Egypt further enhanced Napoleon’s popularity back in
France. He returned in the fall of 1799 to cheering throngs in the streets
despite the Royal Navy’s critical triumph at the Battle of the Nile in 1798. -
Napoleon’s
arrival from Egypt led to the fall of the Directory in the Coup of 18 Brumaire,
with Napoleon installing himself as Consul. He then reorganized the
French army and launched a new assault against the European Coalition In 1802, with Austria and Russia out of the war, the United
Kingdom found itself increasingly isolated and agreed to the Treaty of Amiens, concluding the Revolutionary Wars. The
lingering tensions proved too difficult to contain, however, and the Napoleonic
Wars began a few years later with the formation of the Third Coalition. - The
military career of Napoleon Bonaparte lasted more than 20 years. He is widely
regarded as a military genius and one of the finest commanders in world
history. He fought 60 battles and lost just seven, most at the end of his career.
Key Terms
- Coup of 18 Brumaire
-
A bloodless coup d’état
under the leadership of Napoleon Bonaparte that overthrew the Directory, replacing
it with the French Consulate. It took place on November 9, 1799, 18
Brumaire, Year VIII under the French Republican Calendar. - Directory
-
A five-member
committee that governed France from November 1795, when it replaced
the Committee of Public Safety, until it was overthrown by Napoleon
Bonaparte in the Coup of 18 Brumaire (November 8-9, 1799) and
replaced by the Consulate. It gave its name to the final four years of the
French Revolution. - French Revolutionary Wars
-
A series of sweeping
military conflicts lasting from 1792 until 1802, resulting from the French
Revolution. They pitted the French First Republic against Britain, Austria, and several other monarchies. They are divided in two periods: the War of the
First Coalition (1792–1797) and the War of the Second
Coalition (1798–1802). Initially confined to Europe, the fighting
gradually assumed a global dimension as the political ambitions of the
Revolution expanded. - Siege of Toulon
-
A military siege of republican forces over a royalist rebellion in the southern French city of Toulon that took place between September 8 and December 19, 1793. The royalists were
supported by British, Spanish, Neapolitan, and Piedmontese troops.
Early Military Career: The Revolution
Napoleon’s noble, moderately affluent background afforded him greater opportunities to study than available to a typical Corsican of the time.
Upon
graduating from the prestigious École Militaire (military academy) in Paris in
1785, Bonaparte was commissioned as a second lieutenant in an artillery
regiment. He served in Valence and Auxonne until after the outbreak of the
Revolution in 1789 and took nearly two years’ leave in Corsica (where he was
born and spent his early years) and Paris during this period. At this
time, he was a fervent Corsican nationalist. He spent the early years of the
Revolution in Corsica, fighting in a complex three-way struggle among
royalists, revolutionaries, and Corsican nationalists. He was a supporter of
the republican Jacobin movement, organizing clubs in Corsica, and was given
command over a battalion of volunteers. He was promoted to captain in the
regular army in 1792, despite exceeding his leave of absence and leading a riot
against a French army in Corsica.
Napoleon would witness the effects of Parisian mob violence against trained troops and became an exemplary officer in defense of revolutionary ideals. His firm beliefs would lead him to fight his own people, initially at the Siege of Toulon where he played a major role in crushing the royalist rebellion by expelling an English fleet and securing the valuable French harbor. Almost two years later, he faced an uprising in the heart of Paris, again utilizing his skills as a gunner. Promoted to general in 1795, Napoleon was sent to fight the Austro-Piedmontese armies in Northern Italy the following year. After defeating both armies, he became France’s most distinguished field commander.
French Revolutionary Wars
The French Revolutionary Wars began from increasing political pressure on King Louis XVI of France to prove his loyalty to the country’s new direction. In the spring of 1792, France declared war on Prussia and Austria, who responded with a coordinated invasion of the country. By 1795, the French monarchy had failed and the French army had recorded both triumphs and failures, but the French had captured the Austrian Netherlands and knocked Spain and Prussia out of the war with the Peace of Basel. Hitherto unknown general Napoleon Bonaparte began his first campaign in Italy in April 1796. In less than a year, French armies under Napoleon decimated the Habsburg forces and evicted them from the Italian peninsula, winning almost every battle and capturing 150,000 prisoners. With French forces marching towards Vienna, the Austrians sued for peace and agreed to the Treaty of Campo Formio, ending the First Coalition against the Republic.
The War of the Second Coalition began with the French invasion of Egypt, headed by Napoleon in 1798. The Allies took the opportunity presented by the French strategic effort in the Middle East to regain territories lost from the First Coalition. Napoleon’s forces annihilated a series of Egyptian and Ottoman armies at the battles of the Pyramids, Mount Tabor, and Abukir. These victories and the conquest of Egypt further enhanced Napoleon’s popularity back in France. He returned in the fall of 1799 to cheering throngs in the streets despite the Royal Navy’s critical triumph at the Battle of the Nile in 1798. This humiliating defeat further strengthened British control of the Mediterranean.
Battle of the Pyramids on July 21, 1798 by Louis-François, Baron Lejeune, 1808.
The Egyptian campaign ended in what some in France believed was a failure, with 15,000 French troops killed in action and 15,000 by disease. However, Napoleon’s reputation as a brilliant military commander remained intact and even rose higher despite his failures during the campaign. This was due to his expert propaganda designed to bolster the expeditionary force and improve its morale. That propaganda even spread back to France, where news of defeats such as at sea in Aboukir Bay and on land in Syria were suppressed.
Napoleon’s arrival from Egypt led to the fall of the Directory in the Coup of 18 Brumaire, with Napoleon installing himself as Consul. Napoleon then reorganized the French army and launched a new assault against the Austrians in Italy during the spring of 1800. This latest effort culminated in a decisive French victory at the Battle of Marengo in June 1800, after which the Austrians withdrew from the peninsula once again. Another crushing French triumph at Hohenlinden in Bavaria forced the Austrians to seek peace for a second time, leading to the Treaty of Lunéville in 1801. With Austria and Russia out of the war, the United Kingdom found itself increasingly isolated and agreed to the Treaty of Amiens with Napoleon’s government in 1802, concluding the Revolutionary Wars. The lingering tensions proved too difficult to contain, however, and the Napoleonic Wars began a few years later with the formation of the Third Coalition, continuing the series of Coalition Wars.
Napoleon as a Leader
The military career of Napoleon Bonaparte lasted more than 20 years.
He is widely regarded as a military genius and one of the finest commanders in world history.
He fought 60 battles and lost only seven, most of these at the end of his career.
In the field of military organization, Napoleon borrowed from previous theorists and reforms of preceding French governments, developing much of what was already in place. He continued the policy that emerged from the Revolution of promotion based primarily on merit. Corps replaced divisions as the largest army units, mobile artillery was integrated into reserve batteries, the staff system became more fluid, and cavalry returned as an important formation in French military doctrine. These methods are now referred to as essential features of Napoleonic warfare.
Napoleon’s biggest influence was in the conduct of warfare. Antoine-Henri Jomini explained Napoleon’s methods in a widely used textbook that influenced all European and American armies. Influential military theorist Carl von Clausewitz regarded Napoleon as a genius in the operational art of war and historians rank him as a great military commander. Under Napoleon, a new emphasis towards the destruction, not just outmaneuvering, of enemy armies emerged. Invasions of enemy territory occurred over broader fronts, which made wars costlier and more decisive. The political effect of war increased. Defeat for a European power meant more than the loss of isolated enclaves, intensifying the Revolutionary phenomenon of total war.
23.1.3: Napoleon’s Marriage to Josephine
Napoleon’s marriage to Josephine was based on love and passion rather than political gain. However, it was ended for political reasons when it became clear that Josephine was unable to bear an heir.
Learning Objective
Explain the reasons behind Napoleon’s marriage to Josephine
Key Points
-
Marie
Josèphe Rose Tascher de La Pagerie was born in 1763 in Martinique to a
wealthy white Creole family that owned a sugarcane plantation. In 1779, she married Alexandre de Beauharnais, with whom she had two children. The marriage was not a happy one, leading to
a court-ordered separation. In 1794, during the Reign of Terror, Alexandre was
executed but Josephine was freed
thanks to the fall and execution of
Robespierre. -
Josephine
met Napoleon, six years her junior, in 1795. Napoleon was enamored with Josephine, with whom he had a passionate
affair. In January 1796, Bonaparte proposed to Josephine
and they married in March. Until meeting Bonaparte, Josephine was known as
Rose, but Bonaparte preferred to call her Josephine, the name she adopted from
then on. - The marriage was not well received by Napoleon’s
family, who were shocked that he had married an older widow with two children. Two days after the wedding,
Bonaparte left to lead the French army in Italy. During their separation he
sent her many love letters, but both spouses also had lovers. Despite his own affairs, their relationship was never the same after he learnt about hers. -
The coronation ceremony, officiated by Pope Pius
VII, took place at Notre Dame de Paris in December 1804. Following prearranged protocol, Napoleon first crowned himself, then put the crown on
Josephine’s head, proclaiming her empress. -
When after a few years it became clear Josephine
could not have a child, Napoleon, though he still loved his wife, began to think
seriously about the possibility of divorce and created lists of
eligible princesses. In November 1809, he let Josephine know that in the
interest of France he must find a wife who could produce an heir. Despite her
anger, Josephine agreed to the divorce so the Emperor could remarry in the hope
of having an heir. -
Despite
his divorce from Josephine, he showed his dedication to her for the rest of his
life. When he heard the news of her death while on exile in Elba, he locked
himself in his room and would not come out for two days. Her name would also
be his final word on his deathbed in 1821.
Key Term
- Reign of Terror
-
A period of violence during
the French Revolution incited by conflict between two rival political factions,
the Girondins and the Jacobins, and marked by mass executions of “the
enemies of the revolution.” The death toll ranged in the tens of
thousands, with 16,594 executed by guillotine and another 25,000 in summary
executions across France.
Josephine de Beauharnais
Marie Josephe Rose Tascher de La Pagerie was born in 1763 in Martinique to a wealthy white Creole family that owned a sugarcane plantation. The family struggled financially after hurricanes destroyed their estate in 1766. Josephine’s aunt arranged the advantageous marriage of Josephine’s younger sister,
Catherine-Désirée, to
Alexandre de Beauharnais, a member of an influential and wealthy family. However, when Catherine died in 1777, she was replaced by her older sister, Josephine, who married Alexandre in 1779 in France. The couple had two children. The marriage was an unhappy one, leading to a court-ordered separation. In 1794, during the Reign of Terror, Alexandre was arrested and jailed and Josephine, considered too close to the counter-revolutionary financial circles, was also imprisoned. She was freed five days after Alexandre’s execution thanks to the fall and execution of Robespierre, which ended the Reign of Terror.
Marriage of Napoleon and Josephine
Josephine met Napoleon, six years her junior, in 1795.
Prior to that, she had had affairs with several leading political figures, including Paul François Jean Nicolas Barras. Napoleon was enamored with Josephine, with whom he had a passionate affair. In a letter to her from December 1795, he wrote, “I awake full of you. Your image and the memory of last night’s intoxicating pleasures has left no rest to my senses.” In January 1796 Bonaparte proposed to Josephine, and they married in March. Until meeting Bonaparte, Josephine was known as Rose, but Bonaparte preferred to call her Josephine, the name she adopted from then on.
The marriage was not well received by Napoleon’s family, who were shocked that he had married an older widow with two children. His mother and sisters were especially resentful of Josephine as they felt clumsy and unsophisticated in her presence. Two days after the wedding, Bonaparte left to lead the French army in Italy. During their separation, he sent her many love letters. In February 1797, he wrote: “You to whom nature has given spirit, sweetness, and beauty, you who alone can move and rule my heart, you who know all too well the absolute empire you exercise over it!”
During Napoleon’s absence, Josephine had lovers, including lieutenant Hippolyte Charles. A letter Charles wrote about the affair was intercepted by the British and published widely in order to embarrass Napoleon.
The relationship between Josephine and Napoleon was never the same after this. His letters became less loving. No subsequent lovers of Josephine are recorded, but Napoleon had sexual affairs with several other women.
Miniature portrait of the Empress by Jean Baptiste Isabey on a gold snuff box crafted by the Imperial goldsmith Adrien-Jean-Maximilien Vachette, circa 1810.
Josephine was a renowned spendthrift and Barras may have encouraged the relationship with Napoleon to get her off his hands.
Napoleon reportedly said that the only thing to come between them was her debts. Despite the affairs of both spouses and the eventual divorce, evidence suggests that Napoleon and Josephine loved each other deeply throughout their lives.
Emperor and Empress of the French
The coronation ceremony, officiated by Pope Pius VII, took place at Notre Dame de Paris in December 1804. Following prearranged protocol, Napoleon first crowned himself, then put the crown on Josephine’s head proclaiming her empress. Shortly before their coronation, Josephine caught Napoleon in the bedroom of her lady-in-waiting, Elisabeth de Vaudey, and Napoleon threatened to divorce her as she had not produced an heir. Eventually, through the efforts of Josephine’s daughter Hortense, the two reconciled.
Divorce
When it became clear Josephine could not have a child, Napoleon began to think seriously about the possibility of divorce. The final die was cast when Josephine’s grandson Napoleon Charles Bonaparte, who had been declared Napoleon’s heir, died of croup in 1807. Napoleon began to create lists of eligible princesses. In November 1809, he let Josephine know that—in the interest of France—he must find a wife who could produce an heir. Despite her anger, Josephine agreed to the divorce so the Emperor could remarry in the hope of having an heir. The divorce ceremony took place in January 1810 and was a grand but solemn social occasion. Both Josephine and Napoleon read a statement of devotion to the other.
In March 1810, Napoleon married Marie-Louise of Austria by proxy and the formal ceremony took place at the Louvre in April. Napoleon once remarked after marrying Marie-Louise that despite her quick infatuation with him “he had married a womb.” Even after their separation, Napoleon insisted Josephine retain the title of empress.
Despite his divorce from Josephine, he showed his dedication to her for the rest of his life. When he heard the news of her death while on exile in Elba, he locked himself in his room and would not come out for two days. Her name would also be his final word on his deathbed in 1821.
23.1.4: The First Consul
Napoleon’s consolidation of power was initiated by a coup and continued in a series of political maneuvers, but his rise as the sole ruler of France was linked with the power and popularity he gained as the foremost military leader.
Learning Objective
Describe how Napoleon became First Consul and consolidated power
Key Points
-
After
Habsburg-controlled Austria declared war in 1799, France returned to a war
footing. With Napoleon and the republic’s best army engaged
in the Egypt and Syria campaign, France suffered a series of reverses in
Europe. The Coup of 30 Prairial VII (June 18) ousted the Jacobins and left
Emmanuel Joseph Sieyès as the dominant
figure in the government. As France’s military situation improved, the Jacobins
feared a revival of the pro-peace Royalist faction. When Napoleon returned to
France in October, both factions hailed him as the country’s savior. -
Despite the failures in Egypt, Napoleon returned
to a hero’s welcome, which convinced Sieyès he had found the general
indispensable to his planned coup. However, from the moment of his return,
Napoleon plotted a coup within the coup, ultimately gaining power for himself
rather than Sieyès. -
On
the 18 of Brumaire,
three of the five Directors resigned, which prevented a quorum and thus
practically abolished the Directory. The two remaining Directors protested, but
were arrested and forced to give up their resistance. Both
Councils resisted but eventually succumbed to the
demands of the plotters. - The plotters convened two commissions that they intimidated into declaring a provisional government, the first
form of the Consulate with Napoleon, Sieyès, and Ducos as Consuls. The
commissions then drew up the Constitution of the Year VIII (1799).
Originally devised by Sieyès to give Napoleon a minor role but rewritten by
Napoleon and accepted by direct popular vote, the Constitution preserved the
appearance of a republic but in reality established a dictatorship. -
Bonaparte
completed his coup within a coup by the adoption of a constitution under
which the First Consul, a position he was sure to hold, had greater power than
the other two consuls. Under the new constitution, The Sénat conservateur verified the draft bills and directly advised the First Consul; Conseil d’État drafted bills; Tribunat
debated bills but could not vote on them; and Corps législatif voted on laws deliberated before the Tribunat. -
Military victories, elimination of political opponents, and internal reforms continued to strengthen Napoleon’s position and popularity. Finally, the 1802 Peace of Amiens gave the peacemaker a pretext for endowing himself with a Consulate, not for
ten years but for life, as a recompense from the nation. The decision was approved in a referendum.
Key Terms
- the Consulate
-
The government of France from the fall of the Directory in the Coup of 18 Brumaire (1799) until the start of the Napoleonic Empire in 1804. By extension, the term also refers to this period of French history. During this period, Napoleon Bonaparte, as First Consul, established himself as the head of a more liberal, authoritarian, autocratic, and centralized republican government in France while not declaring himself head of state.
- Tribunat
-
One of the four assemblies set up in France by the Constitution of Year VIII (the other three were the Council of State, the Corps législatif and the Sénat conservateur). It was set up officially in 1800 at the same time as the Corps législatif. It assumed some of the functions of the Council of Five Hundred, but its role consisted only of deliberating projected laws before their adoption by the Corps législatif, with the legislative initiative remaining with the Council of State.
- Sénat conservateur
-
An advisory body established in France during the Consulate following the French Revolution. It was established in 1799 under the Constitution of the Year VIII following the Napoleon Bonaparte-led Coup of 18 Brumaire. It lasted until 1814 when Napoleon Bonaparte was overthrown and the Bourbon monarchy was restored, and was a key element in Napoleon’s regime.
- Coup of 30 Prairial
-
A bloodless coup, also known as the Revenge of the Councils, that occurred in France on June 18, 1799—30 Prairial Year VII by the French Republican Calendar. It left Emmanuel-Joseph Sieyès as the dominant figure of the French government and prefigured the Coup of 18 Brumaire that brought Napoleon Bonaparte to power.
- Corps législatif
-
A part of the French legislature during the French Revolution and beyond. During the period of the French Directory beginning in 1795, the Corps législatif referred to the bicameral legislature of the Council of Five Hundred and the Council of Ancients. Under Napoleon’s Consulate, this was the law-making body of the three-part government apparatus (alongside the Tribunat and the Sénat Conservateur). At the time, its role consisted solely of voting on laws deliberated before the Tribunat.
- Conseil d’État
-
(French: Council of State): A body of the French national government that acts both as legal adviser of the executive branch and as the supreme court for administrative justice. Originally established in 1799 by Napoleon Bonaparte as a successor to the King’s Council and a judicial body mandated to adjudicate claims against the State and assist in the drafting of important laws.
- Directory
-
A five-member
committee that governed France from November 1795 when it replaced
the Committee of Public Safety until it was overthrown by Napoleon
Bonaparte in the Coup of 18 Brumaire (November 8-9, 1799) and
replaced by the Consulate. It gave its name to the final four years of the
French Revolution. - Coup of 18 Brumaire
-
A bloodless coup d’état
under the leadership of Napoleon Bonaparte that overthrew the Directory, replacing
it with the French Consulate. It took place on November 9, 1799, which was 18
Brumaire, Year VIII under the French Republican Calendar.
Coup of 18 Brumaire
After Habsburg-controlled Austria declared war in 1799, France returned to a war footing. Emergency measures were adopted and the pro-war Jacobin faction triumphed in the election. With Napoleon and the republic’s best army engaged in the Egypt and Syria campaign, France suffered a series of reverses in Europe. The Coup of 30 Prairial VII (June 18) ousted the Jacobins and left Emmanuel Joseph Sieyès, a member of the five-man ruling Directory, the dominant figure in the government. As France’s military situation improved, the Jacobins feared a revival of the pro-peace Royalist faction. When Napoleon returned to France in October, both factions hailed him as the country’s savior.
Despite the failures in Egypt, Napoleon returned to a hero’s welcome, which convinced Sieyès he had found the general indispensable to his planned coup. However, from the moment of his return, Napoleon plotted a coup within the coup, ultimately gaining power for himself rather than Sieyès. Prior to the coup, troops were conveniently deployed around Paris. The plan was first to persuade the Directors to resign, then to get the Council of Ancients and the Council of Five Hundred (the upper and lower houses of the legislature) to appoint a pliant commission that would draw up a new constitution to the plotters’ specifications.
The plan succeeded.
On the morning of 18 Brumaire, Lucien Bonaparte falsely persuaded the Councils that a Jacobin coup was at hand in Paris and induced them to depart for the safety in the suburbs, while Napoleon was charged with the safety of the two Councils and given command of all available local troops. On the same day, three of the five Directors resigned, which prevented a quorum and thus practically abolished the Directory. The two remaining Directors protested but were arrested and forced to give up their resistance.
By the following day, the deputies of the Councils realized that they were facing an attempted coup rather than being protected from a Jacobin rebellion. Faced with their recalcitrance, Napoleon stormed into the chambers, which proved to be the coup within the coup: from this point, it was a military affair. Both chambers resisted but under the pressure of the events, they succumbed to the demands of the plotters.
Consolidation of Power: The Consulate
The Directory was crushed, but the coup within the coup was not yet complete. The use of military force had certainly strengthened Napoleon’s hand vis à vis Sieyès and the other plotters. With the Council routed, the plotters convened two commissions, each consisting of 25 deputies from the two Councils. The plotters essentially intimidated the commissions into declaring a provisional government, the first form of the Consulate with Napoleon, Sieyès, and Roger Ducos as Consuls. The lack of reaction from the streets proved that the revolution was indeed over. Resistance by Jacobin officeholders in the provinces was quickly crushed. The commissions then drew up the Constitution of the Year VIII (1799), the first of the constitutions since the Revolution without a Declaration of Rights.
Originally devised by Sieyès to give Napoleon a minor role but rewritten by Napoleon and accepted by direct popular vote, the Constitution preserved the appearance of a republic but in reality established a dictatorship.
A portrait of the three Consuls, Jean Jacques Régis de Cambacérès, Napoleon Bonaparteand Charles-François Lebrun (left to right) by
Henri-Nicolas Van Gorp.
Sieyès and Ducos
survived only two months as members of the Consulate. In December 1799, two new members (in the portrait above) joined Napoleon. As the years would progress, he would move to consolidate his own power as First Consul and leave the two other consuls, Jean Jacques Régis de Cambacérès and Charles-François Lebrun, duc de Plaisance, as well as the Assemblies, weak and subservient. By consolidating power, Bonaparte was able to transform the aristocratic constitution of Sieyès into a dictatorship.
Bonaparte thus completed his coup within a coup by the adoption of a constitution under which the First Consul, a position he was sure to hold, had greater power than the other two. In particular, he appointed the Senate and the Senate interpreted the constitution. The Sénat conservateur (Conservative Senate, which verified the draft bills and directly advised the First Consul on the implications of such bills) allowed him to rule by decree, so the more independent Conseil d’État (Council of State, which drafted bills) and Tribunat (debated bills but could not vote on them) were relegated to unimportant roles. The legislature known as Corps législatif also partly replaced the Council of Five Hundred under the new constitution, but its role consisted solely of voting on laws deliberated before the Tribunat.
Napoleon, at least in theory, still shared the executive power with the two other Consuls. He now aspired to get rid of Sieyès and those republicans who had no desire to hand over the republic to one man. Military victories in the ongoing war increased his popularity and royalist plots served as an excuse to eliminate political opponents, usually by deportation, even if they were innocent. The 1801 Treaty of Lunéville with Austria restored peace in Europe, gave nearly the whole of Italy to France, and permitted Bonaparte to eliminate from the assemblies all the leaders of the opposition. The Concordat of 1801, drawn up not in the Church’s interest but in that of Napoleon’s own policy, allowed him to put down the constitutional democratic Church, rally round him the consciences of the peasants, and above all, deprive the royalists of their best weapon. The 1802 Peace of Amiens with the United Kingdom, of which France’s allies, Spain and the Batavian Republic, paid all the costs, gave the peacemaker a pretext for endowing himself with a Consulate, not for ten years but for life, as a recompense from the nation. The same year, a second national referendum was held, this time to confirm Napoleon as “First Consul for Life.”
23.1.5: Early Wars with Austria and Britain
Napoleon’s early wars with Austria and Britain confirmed the French dominance over Austria, failed to stop British dominance in the Mediterranean, and ended with a precarious peace broken only a year after signing the final treaty of the French Revolutionary Wars.
Learning Objective
Discuss Napoleon’s early military successes against Austria and Britain
Key Points
-
The War of the First Coalition (1792–1797) was the first attempt by the
European monarchies to defeat the French First Republic. France declared war on
the Habsburg Monarchy of Austria in April 1792 and the Kingdom of Prussia
joined the Austrian side a few weeks later. A number of other European states, including Britain, joined the First Coalition over the course of the war. -
Napoleon did not enter the war as the leader of
the French army until 1796, although he faced the British forces at the 1793
Siege of Toulon, where he played a major role in crushing the royalist
rebellion by expelling an English fleet and securing the valuable French
harbor. Promoted to general in 1795, he was sent to the battlefields
of the French Revolutionary Wars to fight the Austro-Piedmontese armies in
Northern Italy the following year. -
Napoleon was successful in a daring invasion of Italy, a victory that contributed to Austria’s decision to sign the Treaty of Campo Formio, ceding Belgium to
France and recognizing French control of the Rhineland and much of
Italy. The ancient Republic of Venice was partitioned between Austria
and France. This ended the War of the First Coalition, although Great Britain
and France remained at war. -
The Mediterranean campaign of 1798 was a
series of major naval operations surrounding a French expeditionary force sent
to Egypt under Napoleon Bonaparte that serves as a bridge between the War
of the First Coalition and the War of the Second Coalition. The French
Republic sought to capture Egypt as the first stage in an effort to
threaten British India and thus force Great Britain to make peace. The campaign was initially Napoleon’s success but he failed to stop the British dominance once it moved to Egypt. -
The
War of the Second Coalition (1798–1802) was the second war on
revolutionary France by the European monarchies, led by Britain, Austria
and Russia, and including the Ottoman Empire, Portugal, and Naples. Their goal
was to contain the spread of chaos from France. - In the end, the
Austrians negotiated the Treaty of Lunéville, basically accepting the terms of
the previous Treaty of Campo Formio. In Egypt, the Ottomans and British invaded
and finally compelled the French to surrender after the fall of Cairo and
Alexandria.In
1802, the British and French signed the Treaty of Amiens but the peace did not last
long.
Key Terms
- Siege of Toulon
-
A military siege of
republican forces over a royalist rebellion in the southern French
city of Toulon that took place between September 8 and December 19, 1793. The
royalists were supported by British, Spanish, Neapolitan, and
Piedmontese troops. - Mediterranean campaign of 1798
-
A series of major naval operations surrounding a French expeditionary force sent to Egypt under Napoleon Bonaparte during the French Revolutionary Wars. The French Republic sought to capture Egypt as the first stage in an effort to threaten British India and thus force Great Britain to make peace.
- French Revolutionary Wars
-
A series of sweeping
military conflicts lasting from 1792 until 1802, resulting from the French
Revolution. They pitted the French First Republic against Britain, Austria, and several other monarchies. They are divided in two periods: the War of the
First Coalition (1792–1797) and the War of the Second
Coalition (1798–1802). Initially confined to Europe, the fighting
gradually assumed a global dimension as the political ambitions of the
Revolution expanded. - War of the First Coalition
-
The 1792–1797 conflict of the French Revolutionary Wars that was the first attempt by the European monarchies to defeat the French First Republic. France declared war on the Habsburg Monarchy of Austria in April 1792 and the Kingdom of Prussia joined the Austrian side a few weeks later. A number of smaller states, including Spain, Portugal, and the Dutch Republic, also joined the anti-French coalition.
- War of the Second Coalition
-
The 1798–1802 conflict that was the second war on revolutionary France by the European monarchies, led by Britain, Austria, and Russia and including the Ottoman Empire, Portugal, and Naples. Their goal was to contain the spread of chaos from France.
Napoleon vs. the First Coalition
The War of the First Coalition (1792–1797), one of the conflicts of the French Revolutionary Wars, was the first attempt by the European monarchies to defeat the French First Republic. France declared war on the Habsburg Monarchy of Austria in April 1792 and the Kingdom of Prussia joined the Austrian side a few weeks later. These powers made several invasions of France by land and sea, with Prussia and Austria attacking from the Austrian Netherlands and the Rhine and the Kingdom of Great Britain supporting revolts in provincial France and laying siege to Toulon. A number of smaller states, including Spain, Portugal, and the Dutch Republic, were also part of the First Coalition over the course of the war.
Napoleon did not enter the war as the leader of the French army until 1796, although he faced the British forces
at the 1793 Siege of Toulon, where he played a major role
in crushing the royalist rebellion by expelling an English fleet and securing
the valuable French harbor. Promoted to general in 1795, Napoleon was
sent to the battlefields of the French Revolutionary Wars to fight the Austro-Piedmontese armies in Northern Italy the
following year. Napoleon’s was one of three French armies sent with the aim to eventually reach Vienna (two other engaged in the campaign on the Rhine). He was
successful in a daring invasion of Italy. In the Montenotte Campaign, he separated the armies of Sardinia and Austria, defeating each one in turn, and then forced a peace on Sardinia. His army then captured Milan and started the Siege of Mantua. Bonaparte defeated successive Austrian armies sent against him while continuing the siege.
In February, Napoleon finally captured Mantua, with the Austrians surrendering 18,000 men. Archduke Charles of Austria was unable to stop Napoleon from invading the Tyrol and the Austrian government sued for peace in April. At the same time there was a new French invasion of Germany under Moreau and Hoche.
Austria signed the Treaty of Campo Formio in October, ceding Belgium to France and recognizing French control of the Rhineland and much of Italy. The ancient Republic of Venice was partitioned between Austria and France. This ended the War of the First Coalition, although Great Britain and France remained at war.
The Mediterranean Campaign of 1798
The Mediterranean campaign of 1798 was a series of major naval operations surrounding a French expeditionary force sent to Egypt under Napoleon Bonaparte that serves as a bridge between the War of the First Coalition and the War of the Second Coalition.
The French Republic sought to capture Egypt as the first stage in an effort to threaten British India and thus force Great Britain to make peace. Departing Toulon in May 1798 with over 40,000 troops and hundreds of ships, Bonaparte’s fleet sailed southeast across the Mediterranean Sea. They were followed by a small British squadron under Rear-Admiral Horatio Nelson, later reinforced to 13 ships of the line. Bonaparte’s first target was the island of Malta, which was under the government of the Knights of St. John and theoretically granted its owner control of the Central Mediterranean. Bonaparte’s forces landed on the island and rapidly overwhelmed the defenders, securing the port city of Valletta before continuing to Egypt. When Nelson learned of the French capture of the island, he guessed the French target to be Egypt and sailed for Alexandria.
Napoleon’s arrival in Malta (unknown artist).
Despite Napoleon’s initial successes, including the temporary capture of the port city Valletta in Malta,
the defeats of French Navy in the Mediterranean encouraged a number of states to join the Second Coalition and go to war with France.
Unable to find Bonaparte, Nelson turned back across the Mediterranean, eventually reaching Sicily. While Nelson was returning westwards, Bonaparte reached Alexandria and stormed the city, capturing the coast and marching his army inland. Nelson returned to the Egyptian coast and ordered an immediate attack on the French. Fighting continued for the next two days until all of the French ships had been captured, destroyed, or fled. At the Battle of the Nile, 11 French ships of the line and two frigates were eliminated, trapping Bonaparte in Egypt and changing the balance of power in the Mediterranean.
With the French Navy in the Mediterranean defeated, other nations were encouraged to join the Second Coalition and go to war with France. Portugal, the Kingdom of Naples, the Russian Empire, and the Ottoman Empire all subsequently deployed forces to the Mediterranean. The Russians and Turks participated in the blockade of Egypt and operations in the Adriatic Sea while the Portuguese joined the Siege of Malta, distantly conducted by Nelson from his lodgings in Naples.
Napoleon vs. the Second Coalition
The War of the Second Coalition (1798–1802) was the second war on revolutionary France by the European monarchies, led by Britain, Austria, and Russia and including the Ottoman Empire, Portugal and Naples. Their goal was to contain the spread of chaos from France.
Alerted to the political and military crisis in France, Napoleon returned from Egypt, leaving his army behind, and used his popularity and army support to mount a coup that made him First Consul, the head of the French government.
Napoleon sent General Moreau to campaign in Germany and went to raise a new army at Dijon and march through Switzerland to attack the Austrian armies in Italy from behind. Narrowly avoiding defeat, he defeated the Austrians at the Battle of Marengo and reoccupied northern Italy. Moreau meanwhile invaded Bavaria and won a great battle against Austria at Hohenlinden. He continued toward Vienna and the Austrians sued for peace.
Napoleon Crossing the Alps by Jacques-Louis David (1800)
In one of the famous paintings of Napoleon, the Consul and his army are depicted crossing the Swiss Alps on their way to Italy. The daring maneuver surprised the Austrians and forced a decisive engagement at Marengo in 1800. Victory there allowed Napoleon to strengthen his political position back in France.
The Austrians negotiated the Treaty of Lunéville, basically accepting the terms of the previous Treaty of Campo Formio. In Egypt, the Ottomans and British invaded and finally compelled the French to surrender after the fall of Cairo and Alexandria. Britain continued the war at sea. A coalition of non-combatants including Prussia, Russia, Denmark, and Sweden joined to protect neutral shipping from Britain’s blockade, resulting in Nelson’s surprise attack on the Danish fleet in harbor at the Battle of Copenhagen. In December 1801, an expedition was sent to Saint-Domingue to quell the revolution that had started there in 1791 once and for all, but the blockade of the Caribbean island by the British fleet made the sending of reinforcements impossible.
In 1802, the British and French signed the Treaty of Amiens, ending the war. The treaty is generally considered to mark the transition between the French Revolutionary Wars and the Napoleonic Wars. The peace, however, did not last long. Great Britain had broken the Treaty of Amiens by declaring war on France in May 1803. In December 1804, an Anglo-Swedish agreement became the first step towards the creation of the Third Coalition. By April 1805, Britain had also signed an alliance with Russia. Austria had been defeated by France twice in recent memory and wanted revenge, so it joined the coalition a few months later.
23.1.6: Napoleon’s Constitution
The Constitution of the Year VIII, adopted in 1799 and accepted by the popular vote in 1800, established the form of government known as the Consulate that presumed virtually dictatorial powers of the First Consul, Napoleon Bonaparte.
Learning Objective
Assess Napoleon’s Constitution and whether it upheld the ideals of the French Revolution
Key Points
-
Napoleon and his allies overthrew the Directory by a coup
d’état on November 9, 1799 (the Coup of 18 Brumaire), closing down the
Council of Five Hundred. Napoleon became
the First Consul for ten years, appointing two consuls who had
consultative voices only. His power was confirmed by the new Constitution of
the Year VIII, which preserved the appearance of a republic but established a
dictatorship. -
The Constitution of the Year VIII was adopted on
December 24, 1799, and established the form of government known as the Consulate.
The new government was composed of three
parliamentary assemblies: the Council of State, which drafted
bills; the Tribunate, which debated
them but could not vote; and the Legislative Assembly, which could not discuss
the bills, but whose members voted on them after reviewing the Tribunate’s debate
record. The Conservative Senate (Sénat conservateur) was a governmental body
equal to the three aforementioned legislative assemblies. -
The
executive power was vested in three Consuls, but all actual power was held by
the First Consul, Bonaparte, who never intended to be part of an equal triumvirate. As the years progressed, he moved to consolidate his own power as First Consul and leave
the two other consuls and the Assemblies weak and subservient. -
On February 7, 1800, a public referendum
confirmed the new constitution. It vested all of the real power in the hands of
the First Consul, leaving only a nominal role for the other two consuls. Over
99% of voters approved the motion, according to the released results. While
this near-unanimity is certainly doubtful, Napoleon was genuinely popular among
many voters. -
The Constitution was amended twice and in each
case, the amendments strengthened Napoleon’s already concentrated power. The
Constitution of the Year X (1802) made Napoleon First Consul for Life. In 1804,
the Constitution of the Year XII established the First French Empire with
Napoleon Bonaparte as Napoleon I, Emperor of the French. The Constitution
established the House of Bonaparte as France’s imperial dynasty, making
the throne hereditary in Napoleon’s family. -
The Constitution of the Year XII was later
extensively amended by the Additional Act (1815) after Napoleon
returned from exile on Elba. The document virtually replaced the previous
Napoleonic Constitutions.
Key Terms
- Consulate
-
The government of France
from the fall of the Directory in the Coup of 18 Brumaire (1799) until the
start of the Napoleonic Empire in 1804. By extension, the term also refers to
this period of French history. During this period, Napoleon Bonaparte, as First
Consul, established himself as the head of a more liberal, authoritarian,
autocratic, and centralized republican government in France while not declaring
himself head of state. - Additional Act
-
A document known also as the Charter of 1815, signed on April 22, 1815, which was the French constitution prepared by Benjamin Constant at the request of Napoleon I after he returned from exile on Elba. It extensively amended (in fact virtually replacing) the previous Napoleonic Constitutions (Constitution of the Year VIII, Constitution of the Year X, and Constitution of the Year XII). It was very liberal in spirit and gave the French people rights which were previously unknown to them, such as the right to elect a mayor in communes with populations of fewer than 5,000.
- Constitution of the Year VIII
-
The French constitution adopted
on December 24, 1799 (during the Year VIII of the French Revolutionary
Calendar), that established the form of government known as the Consulate. The
constitution tailor-made the position of First Consul to give Napoleon most of
the powers of a dictator. It was the first constitution since the Revolution
that did not include a Declaration of Rights. - Coup of 18 Brumaire
-
A bloodless coup d’état
under the leadership of Napoleon Bonaparte that overthrew the Directory,
replacing it with the French Consulate. It took place on November 9, 1799,
which was 18 Brumaire, Year VIII under the French Republican Calendar.
The Constitution of the Year VIII
Despite the failures in Egypt (1798-99), Napoleon arrived in France to a hero’s welcome. He drew together an alliance with director Emmanuel Joseph Sieyès, his brother Lucien, speaker of the Council of Five Hundred Roger Ducos, director Joseph Fouché, and Talleyrand, and they overthrew the Directory by a coup d’état on November 9, 1799 (the Coup of 18 Brumaire), closing down the Council of Five Hundred (the lower house of the legislature). Napoleon became the First Consul for ten years, appointing two consuls with consultative voices only. His power was confirmed by the new Constitution of the Year VIII, originally devised by Sieyès to give Napoleon a minor role, but rewritten by Napoleon and accepted by direct popular vote. The constitution preserved the appearance of a republic but in reality established a dictatorship.
The Constitution of the Year VIII was adopted on December 24, 1799 (during the Year VIII of the French Revolutionary Calendar), and established the form of government known as the Consulate. The constitution tailor-made the position of First Consul to give Napoleon most of the powers of a dictator. It was the first constitution since the Revolution that did not include a Declaration of Rights.
Page 3 of the Constitution of the Year VIII, Archives Nationales.
Napoleon established a political system that historian Martyn Lyons called “dictatorship by plebiscite.” Worried by the democratic forces unleashed by the Revolution, but unwilling to ignore them entirely, Napoleon resorted to regular electoral consultations with the French people on his road to imperial power. He drafted the Constitution of the Year VIII and secured his own election as First Consul, taking up residence at the Tuileries. The constitution was approved in a plebiscite held the following January, with 99.94 percent officially listed as voting “yes.”
Separation of Powers
The new government was composed of three parliamentary assemblies: the Council of State
(Conseil d’État),
which drafted bills; the Tribunate, which debated bills but could not vote; and the Legislative Assembly (Corps législatif), which could not discuss the bills, but whose members voted on them after reviewing the Tribunate’s debate record. The Conservative Senate (Sénat conservateur) was a governmental body equal to the three aforementioned legislative assemblies. However, the Senate was more of an executive body as it verified the draft bills and directly advised the First Consul on their implications. Popular suffrage was retained but mutilated by the lists of notables.
The term notables, commonly used under the monarchy, referred to prominent and more affluent men — landholders, merchants, scholars, professionals, clergymen, and officials. The people in each district chose a slate of notables by popular vote. The First Consul, Tribunate, and Corps législatif each nominated one Senatorial candidate to the rest of the Senate, which chose one candidate from among the three.
The executive power was vested in three Consuls, but all actual power was held by the First Consul, Bonaparte.
Napoleon vetoed Sieyès’ original idea of having a single Grand Elector as supreme executive and Head of State. Sieyès had intended to reserve this important position for himself but by vetoing the proposal, Napoleon helped reinforce the authority of the consuls. However, Napoleon never intended to be part of an equal triumvirate. As the years progressed, he moved to consolidate his own power as First Consul and leave the two other consuls, Jean Jacques Régis de Cambacérès and Charles-François Lebrun, duc de Plaisance, as well as the Assemblies, weak and subservient. By consolidating power, Bonaparte was able to transform the aristocratic constitution of Sieyès into a dictatorship.
Amendments: Further Consolidation of Power
On February 7, 1800, a public referendum confirmed the new constitution. It vested all the real power in the hands of the First Consul, leaving only a nominal role for the other two consuls. More than 99% of voters approved the motion according to the released results. While this near-unanimity is certainly doubtful, Napoleon was genuinely popular among many voters and after a period of strife, many in France were reassured by his accomplishments in the War of the Second Coalition and his talk of stability of government, order, justice, and moderation. He created the impression that France was governed once more by a real statesman and that a competent government was finally in charge.
The Constitution was amended twice and in each case, the amendments strengthened Napoleon’s already concentrated power. The Constitution of the Year X (1802) made Napoleon First Consul for Life. In 1804,
the Constitution of the Year XII established the First French Empire with Napoleon Bonaparte — previously First Consul for Life, with wide-ranging powers — as Napoleon I, Emperor of the French. The Constitution established the House of Bonaparte as France’s imperial dynasty, making the throne hereditary in Napoleon’s family. The Constitution of the Year XII was later extensively amended by the Additional Act (1815) after Napoleon returned from exile on Elba. The document virtually replaced the previous Napoleonic Constitutions and reframed the Napoleonic constitution into something more along the lines of the Bourbon Restoration Charter of 1814 of Louis XVIII while otherwise ignoring the Bourbon charter’s existence. It was very liberal in spirit and gave the French people rights which were previously unknown to them, such as the right to elect the mayor in communes with populations fewer than 5,000. Napoleon treated it as a mere continuation of the previous constitutions, and it thus took the form of an ordinary legislative act “additional to the constitutions of the Empire.”
23.1.7: Napoleon’s Government
Napoleon’s government quickly became an authoritarian one-man system, but he surrounded himself with talented and skilled collaborators and experts and supported a merit-based system in the military.
Learning Objective
Assess Napoleon’s governmental structure and merit system
Key Points
- Napoleon’s new government, the Consulate, was composed of three
parliamentary assemblies: the Council of State, which drafted
bills; the Tribunate which debated bills but could not vote; and the Legislative Assembly, which could not discuss
the bills, but whose members voted on them after reviewing the Tribunate’s
debate record. The Conservative Senate was a governmental
body equal to the three aforementioned legislative assemblies. -
The executive power was vested in three Consuls,
but all actual power was held by the First Consul, Bonaparte.
In
1802, Napoleon became the First Consul for Life and two years later he was
elected as Emperor of the French. -
As
Napoleon increased his power, he borrowed many techniques of the Ancien Régime
in his new form of one-man government. Like the old monarchy, he re-introduced
plenipotentiaries, an over-centralized, strictly utilitarian administration that constructed or consolidated the funds
necessary for national institutions, local governments, a judiciary system, organs
of finance, banking, codes, an a conscientious well-disciplined labor
force. - Napoleon was largely able to quell dissent
within government by expelling his more vocal critics. However, he was also able to look beyond partisan
and ideological divisions if he recognized exceptional skills and
talents that could support his vision of France. The most illustrative example of this phenomenon is his collaboration with
Charles Maurice de Talleyrand and
Joseph Fouché. -
In strengthening the machinery of state,
Napoleon created the elite order of the Légion d’honneur (The Legion of Honor –
a substitute for the old royalist decorations and orders of chivalry, to
encourage civilian and military achievements), signed the Concordat, and
restored indirect taxes. -
Of permanent importance was the Napoleonic Code
created by eminent jurists under Napoleon’s supervision. Praised for its Gallic
clarity, it spread rapidly throughout Europe and the world, marking the end of
feudalism where it took effect. The Code recognized the principles of civil
liberty, equality before the law, and the secular character of the state.
Key Terms
- The Consulate
-
The government of France
from the fall of the Directory in the Coup of 18 Brumaire (1799) until the
start of the Napoleonic Empire in 1804. By extension, the term also refers to
this period of French history. During this period, Napoleon Bonaparte, as First
Consul, established himself as the head of a more liberal, authoritarian,
autocratic, and centralized republican government in France while not declaring
himself head of state. - Napoleonic Code
-
The French civil code established under Napoleon I in 1804. It was drafted by a commission of four eminent jurists. With its stress on clearly written and accessible law, it was a major step in replacing the previous patchwork of feudal laws. Historian Robert Holtman regards it as one of the few documents that have influenced the whole world.
- Concordat
-
Convention between the Holy See (the Vatican) and a sovereign state that defines the relationship between the Catholic Church and the state in matters that concern both, i.e. the recognition and privileges of the Catholic Church in a particular country and with secular matters that impact on church interests.
- Legion of Honor
-
The highest French order for military and civil merits, established in 1802 by Napoléon Bonaparte. It was originally established
as a substitute for the old royalist decorations and orders of chivalry to encourage civilian and military achievements.
The Consulate
Napoleon’s new government was composed of three
parliamentary assemblies: the Council of State (Conseil d’État), which drafted
bills; the Tribunate, which could not vote on the bills but debated
them; and the Legislative Assembly (Corps législatif), which could not discuss
the bills, but whose members voted on them after reviewing the Tribunate’s
debate record. The Conservative Senate (Sénat conservateur) was a governmental
body equal to the three aforementioned legislative assemblies. However, the
Senate was more of an executive body as it verified the draft bills and
directly advised the First Consul on their implications. Popular
suffrage was retained but mutilated by the lists of the so-called notables. This term referred to prominent and more affluent men: landholders, merchants, scholars,
professionals, clergymen, and officials. The people in each district chose a
slate of notables by popular vote. The First Consul, Tribunate, and Corps
législatif each nominated one Senatorial candidate to the rest of the Senate,
which chose one candidate from among the three.
The
executive power was vested in three Consuls, but all actual power was held by
the First Consul, Bonaparte. Napoleon vetoed Sieyès’ original idea of having a
single Grand Elector as supreme executive and Head of State. Sieyès had
intended to reserve this important position for himself but by vetoing the
proposal, Napoleon helped reinforce the authority of the consuls. However,
Napoleon never intended to be part of an equal triumvirate. As the years progressed, he moved to consolidate his own power as First Consul, and leave
the two other consuls, Jean Jacques Régis de Cambacérès and Charles-François
Lebrun, duc de Plaisance, as well as the Assemblies, weak and subservient.
Further Centralization of Power
In 1802, Napoleon became the First Consul for Life and two years later he was elected as Emperor of the French. His coronation took place in December 1804. Two separate crowns were brought for the ceremony: a golden laurel wreath recalling the Roman Empire and a replica of Charlemagne’s crown. Napoleon entered the ceremony wearing the laurel wreath and kept it on his head throughout the proceedings. For the official coronation, he raised the Charlemagne crown over his own head in a symbolic gesture, but never placed it on top because he was already wearing the golden wreath. Instead he placed the crown on Josephine’s head. Napoleon was also crowned King of Italy with the Iron Crown of Lombardy at the Cathedral of Milan in 1805. He created 18 Marshals of the Empire from among his top generals to secure the allegiance of the army.
As Napoleon increased his power, he borrowed many techniques of the Ancien Régime in his new form of one-man government. Like the old monarchy, he re-introduced plenipotentiaries, over-centralized, strictly utilitarian administrative and bureaucratic methods, and a policy of subservient pedantic scholasticism towards the nation’s universities. He constructed or consolidated the funds necessary for national institutions, local governments, a judiciary system, organs of finance, banking, codes, and traditions of a conscientious, well-disciplined labor force.
Napoleon was largely able to quell dissent within government by expelling his more vocal critics, such as Benjamin Constant and Madame de Staël. However, he was also able to look beyond partisan and ideological divisions if he recognized exceptional skills and talents that could support his vision of France. The most illustrative example of this approach is his relationship with
Charles Maurice de Talleyrand, a laicized bishop, politician, and diplomat whose career spanned the regimes of Louis XVI, the years of the French Revolution, Napoleon, Louis XVIII, and Louis-Philippe. Napoleon found him extremely useful and appointed Talleyrand to be his chief diplomat during the years when French military victories brought one European state after another under French hegemony. Most of the time, Talleyrand worked for peace so as to consolidate France’s gains. He succeeded in obtaining peace with Austria through the 1801 Treaty of Luneville and with Britain in the 1802 Treaty of Amiens. He could not prevent the renewal of war in 1803, but by 1805 opposed his emperor’s renewed wars against Austria, Prussia, and Russia. He resigned as foreign minister in 1807, but retained the trust of Napoleon and conspired to undermine the emperor’s plans through secret dealings with Tsar Alexander of Russia and Austrian minister Metternich. Talleyrand sought a negotiated secure peace so as to perpetuate the gains of the French revolution. Napoleon rejected peace and when he fell in 1814, Talleyrand took charge of the Bourbon restoration based on the principle of legitimacy.
Portrait of Talleyrand, by Pierre-Paul Prud’hon (1809).
The name Talleyrand has become a byword for crafty, cynical diplomacy. Talleyrand polarizes scholarly opinion. Some regard him as one of the most versatile, skilled, and influential diplomats in European history, and some believe that he was a traitor, betraying the Ancien Régime, the French Revolution, Napoleon, and the Restoration.
The services of talented politicians were so important to Napoleon that he was able to force his collaborators to work above their own political differences and personal animosities. Arguably the second most important person in his government, Joseph Fouché, was Talleyrand’s opponent, yet the two served together under Napoleon. Fouché was careful to temper Napoleon’s more arbitrary actions, which at times won him the gratitude even of the royalists. Fouché was thought to have saved the Jacobins from the vengeance of the Consulate and Bonaparte decided to rid himself of a man who had too much power to be desirable as a subordinate. On the proclamation of Bonaparte as First Consul for life (1802), Fouché was deprived of his office of minister of police.
After the proclamation of the First French Empire, Fouché again became head of the re-constituted ministry of police (1804) and later of Internal Affairs, with activities as important as those carried out under the Consulate. His police agents were ubiquitous and the terror that Napoleon and Fouché inspired partly accounts for the absence of conspiracies after 1804. The two remained distrustful of each other and by the end of Napoleon’s rule, Fouché, seeing the fall of the emperor to be imminent, took measures to expedite it and secure his own interests.
Portrait of Joseph Fouché by an unknown artist.
Fouché, once a revolutionary using extreme terror against the Bourbon supporters, later initiated a campaign of White Terror against real and imaginary enemies of the Royalist restoration (officially directed against those who had plotted and supported Napoleon’s return to power). Even Prime Minister Talleyrand disapproved of such practices.
Napoleon’s France
In strengthening the machinery of state, Napoleon created the elite order of the Légion d’honneur (The Legion of Honor – a substitute for the old royalist decorations and orders of chivalry, to encourage civilian and military achievements), signed the Concordat, and restored indirect taxes, an act seen as a betrayal of the Revolution. He centralized power in Paris, with all the provinces governed by all-powerful prefects he selected. They were more powerful than royal intendants of the Ancien Régime and had a long-term impact on minimizing regional differences and shifting all decisions to Paris. The French taxation system had collapsed in the 1780s, one of the key factors leading to the Revolution. Napoleon instituted a modern, efficient tax system that guaranteed a steady flow of revenues and made long-term financing possible. He also reformed the army, most notably the system of conscription created in the 1790s, which enabled every young man, regardless of his economic or social background, to serve in the army. Consequently, the army expanded rapidly. Before the Revolution, the aristocracy formed the officer corps. Now promotion was by merit and achievement— it was assumed that every private could reach the ranks of the officer.
Of permanent importance was the Napoleonic Code created by eminent jurists under Napoleon’s supervision. Praised for its Gallic clarity, it spread rapidly throughout Europe and the world, marking the end of feudalism where it took effect. The Code recognized the principles of civil liberty, equality before the law, and the secular character of the state. It discarded the old right of primogeniture (where only the eldest son inherited) and required that inheritances be divided equally among all the children. The court system was standardized and all judges were appointed by the national government in Paris
Napoleon also resolved most of the outstanding problems resulting from the complex history of religious tensions and conflicts in France. He moved the clergy and large numbers of devout Catholics from hostility to the government to support for him after the Catholic system was reestablished by the Concordat of 1801 (signed with Pope Pius VII) that allowed the Church return to normal operations. The church lands were not restored, but the Jesuits were allowed to return and the bitter fights between the government and the Church ended. Protestant, Jews, and atheists were tolerated.
23.1.8: Napoleon and the New World
Napoleon’s decisions to reinstate slavery in French colonies and sell the Louisiana territory to the United States, together with the triumph of the Haitian Revolution, made his colonial policies some of the greatest failures of his rule.
Learning Objective
Evaluate Napoleon’s relationship to the New World, specifically Haiti
Key Points
-
In the middle of the 18th century, a series of
colonial conflicts began between France and Britain, ultimately resulting in the destruction of most of the existing French colonial empire and the near
complete expulsion of France from the Americas. -
Modest
recovery of the French colonial empire was made during the French intervention
in the American Revolution, with Saint Lucia returned to France by the
Treaty of Paris in 1783. The end of France’s first colonial
empire began in 1791 when Saint Domingue was
torn apart by a massive slave revolt (Haitian Revolution). -
The French attempt to establish a colony in
Egypt in 1798–1801 under the military leadership of Napoleon failed. During the following years Napoleon, already the ruler of France, did
not manage to turn the country into an important colonial power. -
A brief peace in Europe allowed Napoleon to
focus on the French colonies. Saint-Domingue managed to acquire a high
level of political autonomy during the Revolutionary Wars, with Toussaint
Louverture installing himself as de facto dictator by 1801. Napoleon saw his
chance to recuperate the wealthy colony when he signed the Treaty of Amiens. - During the Revolution, the National Convention voted to abolish slavery in
1794. Under the terms of Amiens, however, Napoleon agreed to appease British
demands by not abolishing slavery in any colonies where the 1794 decree had
never been implemented. The resulting Law of May 20 thus technically reestablished slavery in some French colonies. -
Although the French managed to capture Toussaint
Louverture, the expedition failed when high rates of disease crippled the
French army. In May 1803, the last 8000 French troops left the island and the
slaves proclaimed an independent republic that they called Haïti in 1804.
Seeing the failure of his colonial efforts, Napoleon decided in 1803 to sell
the Louisiana Territory to the United States. At the close of the Napoleonic Wars, most (although not all) of
France’s colonies were restored to it by Britain.
Key Terms
- Haitian Revolution
-
A successful anti-slavery and anti-colonial insurrection that took place in the former French colony of Saint Domingue from 1791 until 1804. It impacted the institution of slavery throughout the Americas. Self-liberated slaves destroyed slavery at home, fought to preserve their freedom, and collaborated with mulattoes to found the sovereign state of Haiti.
- Law of May 20
-
A law passed in 1802 that revoked the Law of February 4, 1794, which had abolished slavery in all the French colonies.
It explicitly concerned the territories, where the 1794 law had not been applied, and was linked to the 1802 Treaty of Amiens which restored Martinique to France. The 1802 law thus did not apply to Guadeloupe and Guyane and had little effect in Saint-Domingue except to re-inflame rebellion and accelerate its march towards independence in 1804. - French Revolutionary Wars
-
A series of sweeping
military conflicts lasting from 1792 until 1802, resulting from the French
Revolution. They pitted the French First Republic against Britain, Austria, and several other monarchies. They are divided in two periods: the War of the
First Coalition (1792–1797) and the War of the Second
Coalition (1798–1802). Initially confined to Europe, the fighting
gradually assumed a global dimension as the political ambitions of the
Revolution expanded. - Louisiana Purchase
-
The acquisition of the Louisiana territory (828,000 square miles) by the United States from France in 1803. The U.S. paid 50 million francs ($11.25 million USD) and a cancellation of debts worth 18 million francs ($3.750 million USD) for a total of 68 million francs ($15 million USD). The Louisiana territory included land from 15 present U.S. states and two Canadian provinces.
- Napoleonic Wars
-
A series of major global conflicts pitting the French Empire, led by Napoleon I, against an array of European powers formed into various coalitions between 1803 and 1815. They revolutionized European armies and played out on an unprecedented scale, mainly owing to the application of modern mass conscription. The wars were a continuation of the Revolutionary Wars, which broke out in 1792 during the French Revolution.
The French Colonial Empire: Background
In the middle of the 18th century, a series of colonial conflicts began between France and Britain that ultimately resulted in the destruction of most of the existing French colonial empire and the near complete expulsion of France from the Americas. The Seven Years’ War (1756-63) was a particularly bad defeat for the French, with the numerically superior British conquering not only New France (excluding the small islands of Saint Pierre and Miquelon), but also most of France’s West Indian (Caribbean) colonies and all of the French Indian outposts. While the following peace treaty saw France’s Indian outposts and the Caribbean islands of Martinique and Guadeloupe restored to France, the competition for influence in India was won by the British and North America was entirely lost. Most of New France was taken by Britain (except Louisiana, which France ceded to Spain as payment for Spain’s late entrance into the war and as compensation for Britain’s annexation of Spanish Florida). Also ceded to the British were Grenada and Saint Lucia in the West Indies. Although the loss of Canada would cause regret in future generations, it did not seem like a French failure at the time. Colonialism was widely regarded as largely unimportant to France.
Modest recovery of the French colonial empire was made during the French intervention in the American Revolution, with Saint Lucia returned to France by the Treaty of Paris in 1783. The end of what remained of France’s first colonial empire began in 1791 when Saint Domingue (the Western third of the Caribbean island of Hispaniola), France’s richest and most important colony, was torn apart by a massive slave revolt (Haitian Revolution).
Saint-Domingue slave revolt in 1791 (Haitian Revolution), German copper engraving, author unknown.
Napoleon’s role in the Haitian Revolution and decision to reinstate slavery in France’s oversea colonies remain controversial and affect his reputation as one of the most brilliant rulers in global history.
Napoleon and the Colonies
The French attempt to establish a colony in Egypt in 1798–1801 under the military leadership of Napoleon failed. During the years to come Napoleon, already the ruler of France, did not manage to turn the country into an important colonial power. After a decade of constant warfare, France and Britain signed the 1802 Treaty of Amiens, bringing the French Revolutionary Wars to an end. Amiens called for the withdrawal of British troops from recently conquered colonial territories as well as for assurances to curtail the expansionary goals of the French Republic. With Europe at peace and the economy recovering, Napoleon’s popularity soared to its highest levels under the Consulate, both domestically and abroad.
This brief peace in Europe allowed Napoleon to focus on the French colonies. Saint-Domingue managed to acquire a high level of political autonomy during the Revolutionary Wars, with Toussaint Louverture installing himself as de facto dictator by 1801. Napoleon saw his chance to recuperate the wealthy colony when he signed the Treaty of Amiens. During the Revolution, the National Convention voted to abolish slavery in 1794. Under the terms of Amiens, however, Napoleon agreed to appease British demands by not abolishing slavery in colonies where the 1794 decree had never been implemented. The resulting Law of May 20 never applied to colonies like Guadeloupe or Guyane, even though rogue generals and other officials used the pretext of peace as an opportunity to reinstate slavery in some of these places. The Law of May 20 officially restored the slave trade to the Caribbean colonies, not slavery itself. Napoleon sent an expedition under General Leclerc designed to reassert control over Sainte-Domingue. Although the French managed to capture Toussaint Louverture, the expedition failed when high rates of disease crippled the French army. In May 1803, the last 8,000 French troops left the island and the slaves proclaimed an independent republic that they called Haïti in 1804. Seeing the failure of his colonial efforts, Napoleon decided in 1803 to sell the Louisiana Territory to the United States, instantly doubling the size of the U.S. The selling price in the Louisiana Purchase was less than three cents per acre, a total of $15 million.
At the close of the Napoleonic Wars, most of France’s colonies were restored to it by Britain, notably Guadeloupe and Martinique in the West Indies, French Guiana on the coast of South America, various trading posts in Senegal, the Île Bourbon (Réunion) in the Indian Ocean, and France’s tiny Indian possessions. However, Britain finally annexed Saint Lucia, Tobago, the Seychelles, and the Isle de France (now Mauritius).
23.1.9: The Concordat of 1801
The Concordat of 1801 sought national reconciliation between revolutionaries and Catholics and solidified the Roman Catholic Church as the majority church of France. But while it restored France’s ties to the papacy, it was largely in favor of the state.
Learning Objective
Evaluate the significance of the Concordat of 1801
Key Points
-
During the French Revolution, the National
Assembly took Church properties and issued the Civil Constitution of the
Clergy, which made the Church a department of the state, effectively removing
it from papal authority. These and other decisions that aimed to weaken the position of the Catholic Church in France triggered some social unrest. -
The Concordat was designed to regulate relations between Napoleon’s France and the Catholic Church. It was drawn up by a commission with
three representatives from each party and
signed in 1801 in Paris. It sought national
reconciliation between revolutionaries and Catholics and solidified the Roman
Catholic Church as the majority church of France, with most of its civil status
restored. -
While the Concordat restored some ties to the
papacy, it was largely in favor of the state. It wielded greater power of the state
vis-à-vis the Pope than previous French regimes, and church lands lost
during the Revolution were not returned. Napoleon understood the utility of
religion as a factor of social cohesion, and his approach was
utilitarian. He could now win favor with French Catholics while also
controlling Rome in a political sense. -
Napoleon looked for recognition by the
Church of the disposition of its property and geographical reorganization of
bishoprics, while Rome sought the protection of Catholics and the recognition
of a special status of the Catholic Church in the French State. -
As a part of the Concordat, Napoleon presented
another set of laws called the Organic Articles. They were published as a unilateral addition to the Concordat in 1802.
Presenting
the Organic Articles was Napoleon’s method of granting the Tribunate and the
legislative body partial control of the Concordat in order to help the state
monitor any politically harmful Catholic or Protestant movements or activities. -
The hostility of devout Catholics against the
state was now largely resolved. The Concordat did not restore the vast church
lands and endowments that were seized during the revolution and sold
off. Catholic clergy returned from exile or hiding and resumed their
traditional positions in their traditional churches. While the Concordat
restored much power to the papacy, the balance of church-state relations tilted
firmly in Napoleon’s favor.
Key Terms
- Civil Constitution of the Clergy
-
A law passed in July 1790 during the French Revolution that subordinated the Roman Catholic Church in France to the French government.
- The Concordat of 1801
-
An agreement between Napoleon and Pope Pius VII signed in July 1801 in Paris that remained in effect until 1905. It sought national reconciliation between revolutionaries and Catholics and solidified the Roman Catholic Church as the majority church of France, with most of its civil status restored.
- Organic Articles
-
An 1801/02 law administering public worship in France. It was presented by Napoleon Bonaparte and consisted of 77 Articles relating to Catholicism and 44 Articles relating to Protestantism.
- Gallican Church
-
The Roman Catholic Church in France from the time of the Declaration of the Clergy of France (1682) to that of the Civil Constitution of the Clergy (1790) during the French Revolution.
The Catholic Church in Revolutionary France
During the French Revolution, the National Assembly took Church properties and issued the Civil Constitution of the Clergy, which made the Church a department of the state and effectively removed it from papal authority. At the time, the nationalized Gallican Church was the official church of France.
Gallicanism was the theory that the power of monarchs is independent of the power of popes and that the church of each country should be under the joint control of the pope and the monarch, but the doctrine of the Gallican Church was essentially Catholicism. The Civil Constitution caused hostility among the
Vendée resurgents, who
resented the harsh conditions imposed on the Roman Catholic Church by the provisions of the Civil Constitution and broke into open revolt after the Revolutionary government’s imposition of military conscription.
A guerrilla war known as the Revolt in the Vendée was led at the outset by peasants who were chosen in each locale. It cost more than 240,000 lives before it ended in 1796. Subsequent laws abolished the traditional Gregorian calendar and Christian holidays.
Development of the Concordat
The Concordat was drawn up by a commission with three representatives from each party. Napoleon Bonaparte, who was First Consul of the French Republic at the time, appointed Joseph Bonaparte, his brother, Emmanuel Crétet, a counselor of state, and Étienne-Alexandre Bernier, a doctor in theology. Pope Pius VII appointed Cardinal Ercole Consalvi, Cardinal Giuseppe Spina, archbishop of Corinth, and his theological adviser, Father Carlo Francesco Maria Caselli. The French bishops, whether abroad or back to their own countries, had no part in the negotiations.
The Concordat of 1801 was signed in Paris. It sought national reconciliation between revolutionaries and Catholics and solidified the Roman Catholic Church as the majority church of France, with most of its civil status restored.
While the Concordat restored some ties to the papacy, it was largely in favor of the state. It wielded greater power of the state vis-à-vis the Pope than previous French regimes, and church lands lost during the Revolution were not returned. Napoleon understood the utility of religion as an important factor of social cohesion and his approach was utilitarian. He could now win favor with French Catholics while also controlling Rome politically.
Napoleon looked for the recognition by the Church of the disposition of its property and geographical reorganization of bishoprics, while Rome sought the protection of Catholics and the recognition of a special status of the Catholic Church in the French State. The main terms of the Concordat included:
- A declaration that “Catholicism was the religion of the great majority of the French” but not the official state religion, thus maintaining religious freedom for Protestants and other French citizens.
- The Church was to be free to exercise its worship in public in accordance with police regulations that the Government deems necessary for the public peace. The authority to determine if a public religious observance would violate the public peace resided with each mayor, who had the power to prohibit a public ceremony if he considered it a threat to the peace of his commune
- The Papacy had the right to depose bishops, but this made little difference because they were still nominated by the French government. The state paid clerical salaries and the clergy swore an oath of allegiance to the state.
- The Catholic Church gave up all its claims to Church lands that were confiscated after 1790.
- Sunday was reestablished as a “festival.” The rest of the French Republican Calendar was not replaced by the traditional Gregorian Calendar until January 1, 1806.
Leaders of the Catholic Church taking the civil oath required by the Concordat of 1801, Henri Gourdon de Genouillac, Paris à travers les siècles, v. 4, Paris, F. Roy, 1881.
In the aftermath of signing the Concordat of 1801, the Catholic clergy returned from exile or hiding and resumed their traditional positions in their traditional churches. Very few parishes retained the priests who had accepted the “Civil Constitution of the Clergy.” Napoleon and the pope both found the Concordat useful. Similar arrangements were made with the Church in territories controlled by Napoleon, especially Italy and Germany.
Organic Articles
As part of the Concordat, Napoleon presented another set of laws called the Organic Articles.
These consisted of 77 Articles relating to Catholicism and 44 Articles relating to Protestantism and were published as a unilateral addition to the Concordat in 1802. Napoleon presented the set of laws to the Tribunate and the legislative body at the same time that he had them vote on the Concordat itself. It met with opposition from the Catholic Church with Pope Pius VII claiming that the articles had been promulgated without his knowledge. Presenting the Organic Articles was Napoleon’s method of granting the Tribunate and the legislative body partial control of the Concordat to help the state monitor any politically harmful Catholic or Protestant movements or activities.
Significance of the Concordat
The hostility of devout Catholics against the state was now largely resolved. The Concordat did not restore the vast church lands and endowments that were seized upon during the revolution and sold off. Catholic clergy returned from exile or hiding, and resumed their former positions in their traditional churches. While the Concordat restored much power to the papacy, the balance of church-state relations tilted firmly in Napoleon’s favor. He selected the bishops and supervised church finances. Similar arrangements were made with the Church in territories controlled by Napoleon, especially Italy and Germany.
The Concordat was abrogated by the law of 1905 on the separation of Church and state. However, some provisions of the Concordat are still in effect in the Alsace-Lorraine region under the local law of Alsace-Moselle, as the region was controlled by the German Empire at the time of the 1905 law’s passage.
23.1.10: The Napoleonic Code
The 1804 Napoleonic Code, which influenced civil law codes across the world, replaced the fragmented laws of pre-revolutionary France, recognizing the principles of civil liberty, equality before the law (although not for women in the same sense as for men), and the secular character of the state.
Learning Objective
Synthesize the key tenets of the Napoleonic Code
Key Points
-
Napoleon set out to reform the French legal
system in accordance with the ideas of the French Revolution. Before the
Napoleonic Code, France did not have a single set of laws. Law consisted mainly
of local customs, which had sometimes been officially compiled in
“customals.” There were also exemptions,
privileges, and special charters granted by the kings or other feudal lords. -
Specifically, Jean-Jacques
Régis de Cambacérès led the drafting process of a single civil law code. His
drafts of 1793, 1794, and 1799, however, were adopted only partially. When
Napoleon came to power in 1799, a commission of four eminent jurists was
appointed in 1800, chaired by Cambacérès (now Second Consul) and sometimes by
the First Consul, Napoleon himself. -
The Code was complete by 1801 but not published until 1804.
Napoleon
participated actively in the sessions of the Council of State that revised the
drafts of the new civil code. The development of the code was a fundamental
change in the nature of the civil law legal system as it stressed clearly
written and accessible law. Other codes were commissioned by Napoleon to codify
criminal and commerce law. -
Praised for its clarity, the Code spread rapidly
throughout Europe and the world and marked the end of feudalism and
the liberation of serfs where it took effect. The Code recognized the
principles of civil liberty, equality before the law (although not for women in
the same sense as for men), and the secular character of the state. -
Although the Napoleonic Code was not the
first civil code and did not represent the whole of Napoleon’s empire, it
was one of the most influential. It was adopted in many countries occupied by
the French during the Napoleonic Wars. It formed the basis of the law
systems across most of continental Europe and has had a lasting impact on civil law codes in other regions of the world, including the Middle East where it has been combined with the Islamic law. -
The development of the Napoleonic Code was a
fundamental change in the nature of the civil law system, making laws clearer
and more accessible. It also superseded the former conflict between royal
legislative power and, particularly in the final years before the Revolution,
protests by judges representing views and privileges of the social classes to
which they belonged.
Key Terms
- Council of State
-
A body of the French
national government that acts both as legal adviser of the executive
branch and as the supreme court for administrative justice. Originally
established in 1799 by Napoleon Bonaparte as a successor to the King’s
Council and a judicial body mandated to adjudicate claims against the
State and assist in the drafting of important laws. - Napoleonic Code
-
The French civil code established under Napoleon I in 1804. It was drafted by a commission of four eminent jurists. The code, with its stress on clearly written and accessible law, was a major step in replacing the previous patchwork of feudal laws. Historian Robert Holtman regards it as one of the few documents that have influenced the whole world.
Legal System in France Before the Code
Napoleon set out to reform the French legal system in accordance with the ideas of the French Revolution. Before the Napoleonic Code, France did not have a single set of laws. Law consisted mainly of local customs, which had sometimes been officially compiled in “customals” (coutumes). There were also exemptions, privileges, and special charters granted by the kings or other feudal lords. During the Revolution, the last vestiges of feudalism were abolished and a new legal code was required to address changes in the social, economic, and political structure of French society.
Jean-Jacques Régis de Cambacérès led the drafting process of a single civil law code. His drafts of 1793, 1794, and 1799, however, were adopted only partially. When Napoleon came to power in 1799, a commission of four eminent jurists was appointed in 1800, chaired by Cambacérès (now Second Consul) and sometimes by the First Consul, Napoleon himself. The Code was complete by 1801, after intensive scrutiny by the Council of State, but was not published until 1804. It was promulgated as the Civil Code of the French (Code civil des Français), but was renamed the Napoleonic Code (Code Napoléon) from 1807 to 1815, and once again after the Second French Empire (1852-71).
The Napoleonic Code
Napoleon participated actively in the sessions of the Council of State that revised the drafts of the new civil code. The development of the code was a fundamental change in the nature of the civil law legal system as it stressed clearly written and accessible law. Other codes were commissioned by Napoleon to codify criminal and commerce law.
The preliminary article of the Code established certain important provisions regarding the rule of law. Laws could be applied only if they had been duly promulgated and then published officially (including provisions for publishing delays, given the means of communication available at the time). Thus, no secret laws were authorized. It prohibited ex post facto laws (i.e. laws that apply to events that occurred before their introduction). The code also prohibited judges from refusing justice on grounds of insufficiency of the law, thereby encouraging them to interpret the law. On the other hand, it prohibited judges from passing general judgments of a legislative value (more below). With regard to family, the Code established the supremacy of the man over the wife and children, which was the general legal situation in Europe at the time.
Praised for its clarity, the Code spread rapidly throughout Europe and the world in and marked the end of feudalism and the liberation of serfs where it took effect. The Code recognized the principles of civil liberty, equality before the law (although not for women in the same sense as for men), and the secular character of the state. It discarded the old right of primogeniture (where only the eldest son inherited) and required that inheritances be divided equally among all children. The court system was standardized. All judges were appointed by the national government in Paris.
First page of the 1804 original edition of the Napoleonic Code.
The Napoleonic Code was not the first legal code to be established in a European country with a civil legal system. It was preceded by the Codex Maximilianeus bavaricus civilis (Bavaria, 1756), the Allgemeines Landrecht (Prussia, 1794), and the West Galician Code (Galicia, then part of Austria, 1797). It was, however, the first modern legal code to be adopted with a pan-European scope and strongly influenced the law of many of the countries formed during and after the Napoleonic Wars. The Napoleonic Code was very influential in developing countries outside Europe, especially in the Middle East, that were attempting to modernize through legal reforms.
Significance and Lasting Impact
Although the Napoleonic Code was not the first civil code and did not represent the whole of Napoleon’s empire, it was one of the most influential. It was adopted in many countries occupied by the French during the Napoleonic Wars and thus formed the basis of the law systems of Italy, the Netherlands, Belgium, Spain, Portugal (and their former colonies), and Poland (1808–1946). In the German regions on the west bank of the Rhine (Rhenish Palatinate and Prussian Rhine Province), the former Duchy of Berg, and the Grand Duchy of Baden, the Napoleonic Code was in use until the introduction in 1900 of the first common civil code for the entire German Empire.
A civil code with strong Napoleonic influences was also adopted in 1864 in Romania and remained in force until 2011. The Code was adopted in Egypt as part of the system of mixed courts introduced in Egypt after the fall of Khedive Ismail (1879).
In the Persian Gulf Arab states of the Middle East, the influence of the Napoleonic Code mixed with hints of Islamic law is clear even in Saudi Arabia (which abides more towards Islamic law). In Kuwait, for example, property rights, women’s rights, and the education system were seen as Islamic reenactments of the French civil code.
Thus, the civil law systems of the countries of modern continental Europe, with the exception of Russia and the Scandinavian countries have, to different degrees, been influenced by the Napoleonic Code.
In the United States, whose legal system is largely based on English common law, the state of Louisiana is unique in having a strong influence from the Napoleonic Code and Spanish legal traditions on its civil code.
The development of the Napoleonic Code was a fundamental change in the nature of the civil law system, making laws clearer and more accessible. It also superseded the former conflict between royal legislative power and, particularly in the final years before the Revolution, protests by judges representing views and privileges of the social classes to which they belonged. Such conflict led revolutionaries to take a negative view of the judges and the judicial system. This is reflected in the Napoleonic Code provision prohibiting judges from deciding a case by way of introducing a general rule, since the creation of general rules is an exercise of legislative, not judicial power. In theory, there is thus no case law in France. However, the courts still had to fill in the gaps in the laws and regulations and, indeed, were prohibited from refusing to do so. Moreover, both the code and legislation have required judicial interpretation. Thus, a vast body of judicially-created law (jurisprudence) has come into existence. There is no rule of stare decisis (binding precedent) in French law, but decisions by important courts have become more or less equivalent to case law.
23.2: The French Empire
23.2.1: “Emperor of the French”
The title of Emperor of the French emphasized that the emperor ruled over the French people, the nation, and not over France, the republic. This moniker aimed to demonstrate that Napoleon’s coronation was not a restoration of monarchy but an introduction of a new political system: the French Empire.
Learning Objective
Differentiate between the French Directory, the French Consulate, and the French Empire
Key Points
-
The
Directory was a five-member committee that governed France from
November 1795 when it replaced the Committee of Public Safety. French military
disasters in 1798 and 1799 damaged the Directory, eventually leading to its demise. In the Coup of 18 Brumaire, Napoleon seized French parliamentary and
military power, forcing the sitting directors of the
government to resign. - A remnant of the Council of Ancients abolished the Constitution of the
Year III, ordained the Consulate, and legalized the coup d’état in favor
of Bonaparte with the Constitution of the Year VIII. The new constitution (adopted in 1799)
established the form of government known as the Consulate. The constitution
tailor-made the position of First Consul to give Napoleon most of the powers of
a dictator. - The constitution was amended twice and in each
case, the amendments strengthened Napoleon’s authority. The
Constitution of the Year X (1802) made Napoleon First Consul for Life. In 1804,
the Constitution of the Year XII established the First French Empire with
Napoleon Bonaparte I, Emperor of the French. - The title Emperor of the French was established
when Napoleon Bonaparte received the title of Emperor in 1804 from the French
Senate and was crowned Emperor of the French at the cathedral of Notre Dame.
The title emphasized that the emperor ruled over the French people, the nation,
and not over France, the republic. The old title of king of France indicated
that the king owned France as a personal possession. -
The title was purposefully created to preserve
the appearance of the French Republic and show that after the French
Revolution, the feudal system was abandoned and a nation state was created,
with equal citizens as the subjects of their emperor. The title also aimed to
demonstrate that Napoleon’s coronation was not a restoration of monarchy, but
an introduction of a new political system: the French Empire. -
Napoleon’s reign lasted until 1815, interrupted by the Bourbon
Restoration of 1814 and his own exile to Elba. He escaped reigning as Emperor for another 94 days
before his final defeat and exile. The title, however, was later used by the House of
Bonaparte.
Key Terms
- Emperor of the French
-
The title established when Napoleon Bonaparte received the title of Emperor in 1804 from the French Senate and was crowned at the cathedral of Notre Dame. The title emphasized that the emperor ruled over the French people, the nation, and not over France, the republic.
- Directory
-
A five-member
committee that governed France from November 1795, when it replaced
the Committee of Public Safety, until it was overthrown by Napoleon
Bonaparte in the Coup of 18 Brumaire (November 8-9, 1799) and
replaced by the Consulate. It gave its name to the final four years of the
French Revolution. - Coup of 18 Brumaire
-
A bloodless coup d’état
under the leadership of Napoleon Bonaparte that overthrew the Directory,
replacing it with the French Consulate. It took place on November 9, 1799,
18 Brumaire, Year VIII under the French Republican Calendar. - Consulate
-
The government of France
from the fall of the Directory in the Coup of 18 Brumaire (1799) until the
start of the Napoleonic Empire in 1804. By extension, the term also refers to
this period of French history. Napoleon Bonaparte, as First
Consul, established himself as the head of a more liberal, authoritarian,
autocratic, and centralized republican government in France while not declaring
himself head of state.
Directory vs. Consulate vs. French Empire
The Directory was a five-member committee that governed France from November 1795 when it replaced the Committee of Public Safety.
French military disasters in 1798 and 1799 damaged the Directory and eventually led to its demise.
In the Coup of 18 Brumaire, Napoleon seized French parliamentary and military power in a two-fold coup d’état, forcing the sitting directors of the government to resign. On the night of the 19 Brumaire (November 10, 1799) a remnant of the Council of Ancients abolished the Constitution of the Year III, ordained the Consulate, and legalized the coup d’état in favor of Bonaparte with the Constitution of the Year VIII.
The new constitution (adopted in 1799) established the form of
government known as the Consulate. The constitution tailor-made the position of
First Consul to give Napoleon most of the powers of a dictator. The new government was composed of three
parliamentary assemblies: the Council of State (Conseil d’État), which drafted
bills; the Tribunate, which debated
but could not vote on bills; and the Legislative Assembly (Corps législatif), which could not discuss
the bills, but whose members voted on them after reviewing the Tribunate’s
debate record. The Conservative Senate (Sénat conservateur) was a governmental
body equal to the three aforementioned legislative assemblies. However, the
Senate was more of an executive body as it verified the draft bills and
directly advised the First Consul on their implications. The
executive power was vested in three Consuls, but all actual power was held by
the First Consul, Bonaparte.
The Constitution was amended twice, each
time strengthening Napoleon’s already concentrated power. The
Constitution of the Year X (1802) made Napoleon First Consul for Life. In 1804,
the Constitution of the Year XII established the First French Empire with
Napoleon Bonaparte — previously First Consul for Life, with wide-ranging
powers — as Napoleon I, Emperor of the French.
That ended the period of the French Consulate and of the French First Republic.
Napoleon’s rule was constitutional, and although autocratic, it was much more advanced than traditional European monarchies of the time.
Napoleon I on His Imperial Throne by Jean-Auguste-Dominique Ingres, 1806.
Napoleon’s coronation took place on December 2, 1804. Two separate crowns were brought for the ceremony: a golden laurel wreath recalling the Roman Empire and a replica of Charlemagne’s crown. Napoleon entered the ceremony wearing the laurel wreath and kept it on his head throughout the proceedings.
A New Title
The title Emperor of the French was established when Napoleon Bonaparte received the title of Emperor in 1804 from the French Senate and was crowned Emperor of the French at the cathedral of Notre Dame. The title emphasized that the emperor ruled over the French people, the nation, and not over France, the republic. The old title of king of France indicated that the king owned France as a personal possession. The new term indicated a constitutional monarchy. The title was purposefully created to preserve the appearance of the French Republic and to show that after the French Revolution, the feudal system was abandoned and a nation state was created, with equal citizens as the subjects of their emperor. The title also aimed to demonstrate that Napoleon’s coronation was not a restoration of monarchy, but an introduction of a new political system: the French Empire.
Napoleon’s reign lasted until 1815, when he was defeated at the Battle of Waterloo, exiled, and imprisoned on the island of Saint Helena, where he died in 1821. His reign was interrupted by the Bourbon Restoration of 1814 and his own exile to Elba, from where he escaped less than a year later to reclaim the throne, reigning as Emperor for another 94 days before his final defeat and exile.
The title, however, was used by the House of Bonaparte – Napoleon II (1815) and Napoleon III (1852-70).
Emperor of the French was the title established when Napoleon Bonaparte received the title of Emperor in 1804 from the French Senate and was crowned Emperor of the French at the cathedral of Notre Dame. The title emphasized that the emperor ruled over the French people, the nation, and not over France, the republic. The old title of king of France indicated that the king owned France as a personal possession. The new term indicated a constitutional monarchy. The title was purposefully created to preserve the appearance of the French Republic and to show that after the French Revolution, the feudal system was abandoned and a nation state was created, with equal citizens as the subjects of their emperor. The title also aimed to demonstrate that Napoleon’s coronation was not a restoration of monarchy, but an introduction of a new political system: the French Empire.
Napoleon’s reign lasted until 1815, when he was defeated at the Battle of Waterloo, exiled, and imprisoned on the island of Saint Helena, where he died in 1821. His reign was interrupted by the Bourbon Restoration of 1814 and his own exile to Elba, from where he escaped less than a year later to reclaim the throne, reigning as Emperor for another 94 days before his final defeat and exile.
The title, however, was used by the House of Bonaparte – Napoleon II (1815) and Napoleon III (1852-70).
23.2.2: The Confederation of the Rhine
The Confederation of the Rhine was an alliance of various German states that served as a satellite and major military ally of the French Empire with Napoleon as its “Protector,” and was created as a buffer state from any future aggression from Austria, Russia, or Prussia against France.
Learning Objective
Explain how creating the Confederation of the Rhine benefited Napoleon’s long-term goals
Key Points
-
The Fourth Coalition (1806–1807) of Prussia,
Russia, Saxony, Sweden, and Britain formed against France within months of the
collapse of the previous coalition. Following his triumph at the 1805 Battle of
Austerlitz and the subsequent demise of the Third Coalition, Napoleon looked
forward to achieving a general peace in Europe, especially with his two main
remaining antagonists, Britain and Russia. -
One point of contention was the fate of Hanover,
a German electorate in personal union with the British monarchy that had been
occupied by France since 1803. Dispute over this state would eventually become
a casus belli for both Britain and Prussia against France.
This issue also dragged Sweden into the war. The path to war seemed inevitable and the final straw was Napoleon’s formation of the Confederation of the
Rhine out of various German states in July 1806. -
The Confederation was a virtual satellite of the
French Empire with Napoleon as its “Protector” and was intended to
act as a buffer state from any future aggression from Austria, Russia, or
Prussia against France (a policy that was an heir of the French revolutionary
doctrine of maintaining France’s “natural frontiers”). The formation
of the Confederation was the final nail in the coffin of the Holy Roman Empire. -
Napoleon consolidated the various smaller states
of the former Holy Roman Empire, which allied with France into larger
electorates, duchies, and kingdoms to make the governance of non-Prussian and
Austrian Germany more efficient. According to the founding treaty, the confederation was to be run by common
constitutional bodies, but the individual states (in particular the larger
ones) wanted unlimited sovereignty. In the end,
the Confederation was above all a military
alliance. - In
return for continued French protection, member states were compelled to supply
France with many of their own military personnel and contribute much of the resources
to support the French armies still occupying western and southern
Germany. -
The
Confederation was at its largest in 1808, when it included 35 states and collapsed in 1813,
in the aftermath of Napoleon’s failed campaign against the Russian Empire. Many
of its members changed sides after the 1813 Battle of Leipzig, when it became
apparent Napoleon would lose the War of the Sixth Coalition.
Key Terms
- Confederation of the Rhine
-
A confederation of client states of the First French Empire formed by Napoleon in 1806 from 16 German states after he defeated Austria and Russia in the Battle of Austerlitz. 19 other states joined later, creating a territory of over 15 million subjects. It provided a significant strategic advantage to the French Empire on its eastern front.
- Battle of Austerlitz
-
An 1805 battle, also known as the Battle of the Three Emperors, that was one of the most important and decisive engagements of the Napoleonic Wars. In what is widely regarded as the greatest victory achieved by Napoleon, the Grande Armée of France defeated a larger Russian and Austrian army led by Tsar Alexander I and Holy Roman Emperor Francis II. The battle brought the War of the Third Coalition to a rapid end.
Causes of the War of the Fourth Coalition
The Fourth Coalition (1806–1807) of Prussia, Russia, Saxony, Sweden, and Britain formed against France within months of the collapse of the previous coalition. Following his triumph at the 1805 Battle of Austerlitz and the subsequent demise of the Third Coalition, Napoleon looked forward to achieving a general peace in Europe, especially with his two main remaining antagonists, Britain and Russia. Meanwhile, he sought to isolate Prussia from the influence of these two powers by offering a tentative alliance while also seeking to curb Prussia’s political and military influence among the German states.
Britain and its new Whig administration remained committed to checking the growing power of France. Peace overtures between the two nations early in the new year proved ineffectual due to the still unresolved issues that led to the breakdown of the 1802 Peace of Amiens. One point of contention was the fate of Hanover, a German electorate in personal union with the British monarchy that had been occupied by France since 1803. Dispute over this state would eventually become a casus belli for both Britain and Prussia against France. This issue also involved Sweden, whose forces were deployed there as part of the effort to liberate Hanover during the war of the previous coalition. The path to war seemed inevitable after French forces ejected the Swedish troops in April 1806. Another cause of the eventual war was Napoleon’s formation of the Confederation of the Rhine out of various German states in July 1806.
Creating the Confederation
The Confederation was a virtual satellite of the French Empire with Napoleon as its “Protector” and was intended to serve as a buffer against any future aggression from Austria, Russia, or Prussia against France (a policy that was an heir of the French revolutionary doctrine of maintaining France’s “natural frontiers”). The formation of the Confederation was the final nail in the coffin of the Holy Roman Empire and subsequently its last Habsburg emperor, Francis II, changed his title to simply Francis I, Emperor of Austria.
On August 1, the members of the confederation formally seceded from the Holy Roman Empire and on August 6, following an ultimatum by Napoleon, Francis II declared the Holy Roman Empire dissolved. Francis and his Habsburg dynasty continued as emperors of Austria.
Contemporary propaganda engraving depicting the first meeting of the Confederation of the Rhine on August 25, 1806. Napoleon, “Protector” of the Confederation, is visible in the background, wearing the largest hat.
The original members of the confederation were 16 German states from the Holy Roman Empire. They were later joined by 19 others, forming a territory that totaled more than 15 million subjects and provided a significant strategic advantage to the French Empire on its eastern front. Prussia and Austria were not members. Napoleon sought to consolidate the modernizing achievements of the revolution, but, above all, he wanted the soldiers and supplies these subject states could provide for his wars.
Napoleon consolidated the various smaller states of the former Holy Roman Empire, which had allied with France into larger electorates, duchies, and kingdoms to make the governance of non-Prussian and Austrian Germany more efficient. He also elevated the electors of the two largest Confederation states, his allies Württemberg and Bavaria, to the status of kings.
According to the founding treaty, the confederation was to be run by common constitutional bodies, but the individual states (in particular the larger ones) wanted unlimited sovereignty. Instead of a monarchical head of state, as was the case under the Holy Roman Emperor, its highest office was held by Karl Theodor von Dalberg, the former Arch Chancellor, who now bore the title of a Prince-Primate of the confederation. As such, he was President of the College of Kings and presided over the Diet of the Confederation, designed to be a parliament-like body although it never actually assembled. The President of the Council of the Princes was the Prince of Nassau-Usingen.
The Confederation was above all a military alliance: in return for continued French protection, member states were compelled to supply France with many of their own military personnel (mainly to serve as auxiliaries to the Grande Armée), and contribute much of the resources needed to support the French armies still occupying western and southern Germany.
The Confederation was at its largest in 1808, when it included 35 states. Some sources cite slightly different numbers because several member states merged; consequently, some sources count all the separate member states, while others cite numbers following the mergers. Only Austria, Prussia, Danish Holstein, and Swedish Pomerania stayed outside, not counting the west bank of the Rhine and the Principality of Erfurt, which were annexed by the French Empire. The Confederation of the Rhine collapsed in 1813, in the aftermath of Napoleon’s failed campaign against the Russian Empire. Many of its members changed sides after the 1813 Battle of Leipzig, when it became apparent Napoleon would lose the War of the Sixth Coalition.
23.2.3: Abdication in Spain
In an attempt to control the Iberian Peninsula, in 1808 Napoleon forced the abdications of Charles IV and Ferdinand VII of Spain and granted the Spanish crown to his brother Joseph, provoking a violent conflict that overlapped with the Peninsular War.
Learning Objective
Determine why Napoleon pushed for the abdication of the Spanish monarchy
Key Points
-
In the aftermath of the War of the Fourth
Coalition, one of Napoleon’s major objectives became enforcing the
Continental System against the British. He decided to focus his attention on
the Kingdom of Portugal, which consistently violated his trade prohibitions. - Internal political struggles and an economic crisis in Spain made the country vulnerable to the increasing impact of France. In addition, under terms of the 1807 Treaty of Fontainebleau, Charles IV and his unpopular prime minister Godoy allowed Napoleon’s troops to cross Spain to
attack Portugal. This move was extremely unpopular with the Spanish
people, who saw the entry as a humiliating invasion. - Under the pretext of
reinforcing the Franco-Spanish army occupying Portugal, French imperial troops entered Spain. Napoleon turned on his ally and ordered French
commanders to seize key Spanish fortresses. Barcelona was taken in February
1808 and the Spanish Royal Army found itself paralyzed. -
The
events led to what is known as the Mutiny of Aranjuez, an 1808 uprising
against Charles IV. The
mutineers made Charles dismiss Godoy and the court forced the
King to abdicate in favor of his son and rival, who became Ferdinand
VII.
Napoleon,
under the false pretense of resolving the conflict, invited both Charles and
Ferdinand to Bayonne, where he forced them both to renounce the throne.
He then named his brother Joseph
Bonaparte king of Spain. - The
abdications led to what the Spanish-speaking world calls the Spanish War of
Independence (1808-1814), which overlaps with the Peninsular War.
Marshal Murat led 120,000 troops into Spain and
the French arrived in Madrid, where riots against the occupation erupted just a
few weeks later (The Dos de Mayo of 1808 Uprising). Resistance to French
aggression soon spread throughout the country. -
The
years of fighting in Spain were a heavy burden on France’s Grande Armée, but the
burden of war destroyed the social and economic fabric of Portugal and Spain
and ushered in an era of social turbulence, political instability, and economic
stagnation that lasted until the mid 19th century.
Key Terms
- Mutiny of Aranju
-
An 1808 uprising against Charles IV that took place in the town of Aranjuez. The mutineers made Charles dismiss unpopular prime minister Godoy and two days later, the court forced the King himself to abdicate in favor of his son and rival, who became Ferdinand VII.
- Peninsular War
-
An 1807–1814 military conflict between Napoleon’s empire and the allied powers of Spain, Britain, and Portugal for control of the Iberian Peninsula during the Napoleonic Wars. The war started when French and Spanish armies invaded and occupied Portugal in 1807 and escalated in 1808 when France turned on Spain, its ally. The war lasted until the Sixth Coalition defeated Napoleon in 1814, and is regarded as one of the first wars of national liberation, significant for the emergence of large-scale guerrilla warfare.
- El Escorial Conspiracy
-
An attempted coup d’état led by the Crown Prince Fernando of Asturias that took place in 1807, but was quickly discovered and led to an investigation known as the Process of El Escorial.
- The Dos de Mayo
-
An 1808 rebellion by the people of Madrid against the occupation of the city by French troops, provoking the repression by the French Imperial forces and triggering the Peninsular War.
- 1807 Treaty of Fontainebleau
-
An 1807 treaty between Charles IV of Spain and Napoleon I of France regarding the occupation of Portugal. Under this treaty, Portugal was divided into three regions- the Entre-Douro-e-Minho Province for the King of the Etrúria, the Principality of the Algarves under Spanish minister D. Manuel Godoy and the remaining provinces and overseas territories to be distributed under a later agreement.
- Abdications of Bayonne
-
The name given to a series of forced abdications of the Kings of Spain, Charles IV and his son Ferdinand VII, that led to what the Spanish-speaking world calls the Spanish War of Independence (1808-1814), which overlaps with the Peninsular War.
Napoleon and the Iberian Peninsula
In the aftermath of the War of the Fourth Coalition (1806-07),
one of Napoleon’s major objectives became enforcing the Continental System against the British. He decided to focus his attention on the Kingdom of Portugal, which consistently violated his trade prohibitions. After defeat in the War of the Oranges in 1801, Portugal adopted a double-sided policy. At first, John VI agreed to close his ports to British trade. The situation changed dramatically after the Franco-Spanish defeat at Trafalgar in 1805. John grew bolder and officially resumed diplomatic and trade relations with Britain. Unhappy with this change of policy by the Portuguese government, Napoleon sent an army to invade Portugal in 1807. The attack was the first step in what would eventually become the Peninsular War, a six-year struggle that significantly sapped French strength.
Napoleon and Internal Power Struggles in Spain
The prime minister under Charles IV, Manuel de Godoy, became unpopular among both the nobles and the Spanish people. The nobility resented how Godoy had attained power even though he was born in poverty and obscurity. Most notable among them was the King’s own son Ferdinand, who had led the El Escorial Conspiracy (an 1807 attempted and quickly discovered coup d’état led by Ferdinand)
a few months earlier. The people were upset about Godoy’s ambitious nature and his willingness to have Catholic Spain make treaties with atheist Revolutionary France against Christian (Anglican) Great Britain.
Furthermore, an economic crisis affecting the country was heightened after Spain lost its navy in the Battle of Trafalgar in 1805. This impaired trade with the American colonies, causing food shortages and affecting industrial production. In addition, under terms of the 1807 Treaty of Fontainebleau, the King and Godoy allowed French Emperor Napoleon’s troops to cross Spain to attack Portugal (see above). This move was extremely unpopular with the Spanish people, who saw the entry as a humiliating invasion.
Under the pretext of reinforcing the Franco-Spanish army occupying Portugal, French imperial troops entered Spain. Napoleon turned on his ally and ordered French commanders to seize key Spanish fortresses. Barcelona was taken in February 1808 and the Spanish Royal Army found itself paralyzed.
These events led
the Mutiny of Aranjuez, an 1808 uprising against Charles IV that took place in the town of Aranjuez, where the royal family and the government were staying on their way south to flee an anticipated French invasion from the north. Soldiers, peasants, and members of the general public assaulted Godoy’s quarters and captured him. The mutineers made Charles dismiss Godoy and two days later, the court forced the King himself to abdicate in favor of his son and rival, who became Ferdinand VII.
Ferdinand ascended the throne and turned to Napoleon for support.
Throughout the winter of 1808, French agents became increasingly involved in Spanish internal affairs, attempting to incite discord between members of the Spanish royal family. Secret French machinations finally materialized when Napoleon announced that he would intervene to mediate between the rival political factions in the country.
Napoleon, under the false pretense of resolving the conflict, invited both Charles and Ferdinand to Bayonne, France. Both were afraid of the French ruler’s power and thought it appropriate to accept the invitation. Once in Bayonne, Napoleon forced them both to renounce the throne and grant it to him. The Emperor then named his brother Joseph Bonaparte king of Spain. This episode , known as the Abdications of Bayonne, led to what the Spanish-speaking world calls the Spanish War of Independence (1808-1814), which overlaps with the Peninsular War.
Joseph I of Spain (Joseph Bonaparte), by François Gérard, 1808.
The liberal, republican, and radical segments of the Spanish and Portuguese populations supported a potential French invasion. Napoleon relied on this support both in the conduct of the war and administration of the country. But while Napoleon—through his brother Joseph—fulfilled his promises to remove all feudal and clerical privileges, most Spanish liberals soon came to oppose the occupation because of the violence and brutality it brought.
The Peninsular War
Marshal Murat led 120,000 troops into Spain and the French arrived in Madrid, where riots against the occupation erupted just a few weeks later (The Dos de Mayo of 1808 Uprising). The appointment of Joseph Bonaparte as the King of Spain enraged the Spanish. Resistance to French aggression soon spread throughout the country. The shocking French defeat at the Battle of Bailén in July gave hope to Napoleon’s enemies and partly persuaded the French emperor to intervene in person. The French army, under the Emperor’s personal command, crossed the Ebro River in November 1808 and inflicted a series of crushing defeats against the Spanish forces. After clearing the last Spanish force guarding the capital at Somosierra, Napoleon entered Madrid in December with 80,000 troops. He then unleashed his soldiers against Moore and the British forces.
The French occupation destroyed the Spanish administration, which fragmented into quarreling provincial juntas. In 1810, a reconstituted national government, the Cádiz Cortes—in effect a government-in-exile—fortified itself in Cádiz but could not raise effective armies because it was besieged by 70,000 French troops. British and Portuguese forces eventually secured Portugal, using it as a safe position from which to launch campaigns against the French army and provide whatever supplies they could get to the Spanish, while the Spanish armies and guerrillas tied down vast numbers of Napoleon’s troops. These combined regular and irregular allied forces prevented Napoleon’s marshals from subduing the rebellious Spanish provinces by restricting French control of territory, and the war continued through years of stalemate.
The years of fighting in Spain were a heavy burden on France’s Grande Armée. While the French were victorious in battle, their communications and supplies were severely tested and their units frequently isolated, harassed, or overwhelmed by partisans fighting an intense guerrilla war of raids and ambushes. The Spanish armies were repeatedly beaten and driven to the peripheries, but would regroup and relentlessly hound the French. This drain on French resources led Napoleon, who had unwittingly provoked a total war, to call the conflict the “Spanish Ulcer.” The Spanish people continued to rally around the cause of “Ferdinand the Desired” who, imprisoned in France, became a national hero. In 1813, Napoleon reinstated him as Ferdinand VII.
The burden of war destroyed the social and economic fabric of Portugal and Spain and ushered in an era of social turbulence, political instability, and economic stagnation. Devastating civil wars between liberal and absolutist factions led by officers trained in the Peninsular War persisted in Iberia until 1850. The cumulative crises and disruptions of invasion, revolution, and restoration led to the independence of most of Spain’s American colonies and the independence of Brazil from Portugal.
23.2.4: Italy under Napoleon
Napoleon conquered most of Italy in the name of the French Revolution by 1799 and established a number of France’s client states under his own control or nearly absolute authority.
Learning Objective
Classify the political structure exemplified by the Italian states under Napoleon’s rule
Key Points
-
In
1796, the French Army of Italy under Napoleon invaded Italy with the aims
of forcing the First Coalition to abandon Sardinia and forcing Austria to withdraw from Italy.
Within only two weeks, Victor Amadeus III of Sardinia was forced to sign an
armistice. Napoleon then entered Milan, where he was welcomed as a
liberator. -
In 1797, Napoleon signed the Treaty of Campo
Formio, by which the Republic of Venice was annexed to the Austrian state,
dashing Italian nationalists’ hopes that it might become an independent state.
This treaty forced Austria to recognize the existence of the Cisalpine Republic
and
the annexation of Piedmont by France. - Napoleon conquered most of Italy in the
name of the French Revolution by 1799.
He consolidated old units and split up Austria’s
holdings. He set up a series of new republics, complete with new codes of law
and abolition of old feudal privileges. The new republics were satellite states of Napoleon’s France, some of them joined with France by personal union under Napoleon’s authority.
As all of these republics were imposed by an
outside force, none had popular support in Italy. - Napoleon’s Italian Republic was the successor of
the Cisalpine Republic, which changed its constitution to allow the French
First Consul Napoleon to become its president. While the constitution gave the republic some level of sovereignty, in practice it was largely controlled by Napoleon. -
The
Kingdom of Italy was established in 1805, when the Italian Republic became the
Kingdom of Italy, with the same man (now styled Napoleon I) as King of Italy,
and the 24-year-old Eugène de Beauharnais (Napoleon’s stepson) as his viceroy.
Napoleon’s title was Emperor of the French and King of Italy, implying the
importance of the Italian Kingdom to his empire. - Napoleon’s dominance over Italian states ended with his fall as Emperor of the French.
Key Terms
- Kingdom of Italy
-
A French client state founded in Northern Italy by Napoleon I, fully influenced by revolutionary France, that ended with his defeat and fall. Formally in personal union with the French Empire, with Napoleon I reigning as its king throughout its existence (1805-14), direct governance was conducted by Napoleon’s stepson, Eugène de Beauharnais, who served as Viceroy for his step-father.
- Napoleon’s Italian Republic
-
A short-lived (1802–1805) republic located in Northern Italy created by Napoleon as a successor of the Cisalpine Republic. It was a sister republic of Napoleonic France (the two were joined by the personal union).
- Cisalpine Republic
-
A sister republic and a satellite state of France created by Napoleon out of territories in Northern Italy that lasted from 1797 to 1802.
Napoleon’s Conquest of Italy
At the end of the 18th century, Italy used here to refer to a number of separate Italian states as at the time sm Italy was not yet a unified state) found itself dominated by Austria while the dukes of Savoy (a mountainous region between Italy and France) had become kings of Sardinia by increasing their Italian possessions, which now included Sardinia and the north-western region of Piedmont. This situation was shaken in 1796, when the French Army of Italy under Napoleon invaded Italy with the aims of forcing the First Coalition to abandon Sardinia (where they had created an anti-revolutionary puppet-ruler) and forcing Austria to withdraw from Italy. Within only two weeks, Victor Amadeus III of Sardinia was forced to sign an armistice. Napoleon then entered Milan, where he was welcomed as a liberator.
In 1797, Napoleon signed the Treaty of Campo Formio, by which the Republic of Venice was annexed to the Austrian state, dashing Italian nationalists’ hopes that it might become an independent state. This treaty forced Austria to recognize the existence of the Cisalpine Republic (made up of Lombardy, Emilia Romagna and small parts of Tuscany and Veneto) and the annexation of Piedmont by France. Napoleon conquered most of Italy in the name of the French Revolution by 1799. He consolidated old units and split up Austria’s holdings. He set up a series of new republics, complete with new codes of law and abolition of old feudal privileges. The Cisalpine Republic was centered on Milan. Genoa became a republic while its hinterland became the Ligurian Republic. The Roman Republic was formed out of the papal holdings while the pope himself was sent to France. The Neapolitan Republic was formed around Naples, but lasted only five months before the enemy forces of the Coalition recaptured it. All of these republics were France’s client states, some connected with France by personal union (with Napoleon as the common head of the states).
Even if some of these states were created by the French invasion and were just satellites of France, they sparked a nationalist movement. As all of these republics were imposed by an outside force, none had popular support in Italy, especially since the peasantry was alienated by Jacobin anti-clericalism. Even native republicans became disillusioned when they realized that the French expected them to be obedient satellites of Paris, which included frequent interference in local affairs and massive taxes. Return to the old feudal order was equally undesirable, so the republican movement would gradually establish its nationalist goals.
Location of Cisalpine Republic in 1799, Adolphus William Ward, The Cambridge Modern History Atlas, London: Cambridge University Press, 1912, Map 86.
Formally, the Cisalpine Republic was an independent state allied with France, but the treaty of alliance established the effective subalternity of the new republic to France. The French in fact had control over the local police and left an army consisting of 25,000 Frenchmen, financed by the republic.
The Italian Republic
Napoleon’s Italian Republic was the successor of the Cisalpine Republic, which changed its constitution to allow the French First Consul Napoleon to become its president. Sovereignty resided in three electoral colleges located in Milan, Bologna, and Brescia. All elected a commission of control and supreme rule called the Censorship, composed of twenty-one members and based in Cremona. The head of state was the president of the republic, Napoleon Bonaparte, elected for 10 years. The president had full executive powers, appointed the vice-president and the secretary of state, took legislative and diplomatic initiative, chose the ministers, public agents, ambassadors, and chiefs of the army, summoned the executive councils, and prepared the budget. The vice-president, Francesco Melzi d’Eril, acted for the president during his absence. The Legislative Council was a commission of at least 10 members appointed by the president for three years. The government comprised seven ministers. The parliament of the republic was a legislative body with limited powers. It was summoned by the president of the republic and could only approve or reject a law, the discussion reserved to a more restricted committee of 15 speakers.
The Kingdom of Italy
The Kingdom of Italy was established in 1805 when the Italian Republic became the Kingdom of Italy, with the same man (now styled Napoleon I) as King of Italy and the 24-year-old Eugène de Beauharnais (Napoleon’s stepson) as his viceroy. Napoleon’s title was Emperor of the French and King of Italy, implying the importance of the Italian Kingdom to his empire.
Although the earlier republican constitution was never formally abolished, a series of constitutional statutes completely altered it. The first declared Napoleon as king and established that his sons would succeed him, even if the French and the Italian crowns had to be separated after the Emperor’s death. The most important was the third, which proclaimed Napoleon as the head of state with full powers of government. The Consulta (a commission of eight members led by the president of the republic and in charge of foreign policy), Legislative Council, and Speakers were merged in a Council of State, whose opinions became only optional and not binding for the king. The Legislative Body, the old parliament, remained in theory, but was never summoned after 1805. The fourth statute, decided in 1806, indicated Beauharnais as the heir to the throne.
Originally, the Kingdom consisted of the territories of the Italian Republic: former Duchy of Milan, Duchy of Mantua, Duchy of Modena, the western part of the Republic of Venice, part of the Papal States in Romagna, and the province of Novara. Within the next several years, its territory shifted a number of times
as the Kingdom served as a theater in Napoleon’s operations against Austria during the wars of the various coalitions. In practice, the Kingdom was a dependency of the French Empire.
After Napoleon abdicated both the thrones of France and Italy in 1814,
Beauharnais
surrendered and was exiled to Bavaria by the Austrians. The remains of the kingdom were eventually annexed by the Austrian Empire.
23.2.5: The Continental System
The Continental System
was Napoleon’s strategy to weaken Britain’s economy by banning trade between Britain and states occupied by or allied with France, which proved largely ineffective and eventually led to Napoleon’s fall.
Learning Objective
Identify Napoleon’s goals with the Continental System
Key Points
-
Great
Britain was the central force in encouraging and financing alliances against
Napoleonic France. As France lacked the naval strength to invade Britain or
decisively defeat the Royal Navy at sea, Napoleon resorted instead to economic
warfare. Napoleon
believed that embargo on trade with Britain imposed on the European nations
under his control would weaken the British
economy.
The strategy became to be known as the
Continental System or Continental Blockade. - In 1806, having recently conquered or allied with every major power in
continental Europe, Napoleon issued the Berlin Decree forbidding his allies and
conquests from trading with the British. The British responded with the Orders
in Council of 1807 that forbade trade with France, its
allies, or neutrals and instructed the Royal Navy to blockade French and allied
ports. Napoleon retaliated with the Milan Decree, which declared that all neutral
shipping using British ports or paying British tariffs were to be regarded as
British and seized. -
The embargo was effective intermittently for about
half the time but in terms of economic damage to Great Britain, it largely failed. It encouraged British merchants to engage in
smuggling with continental Europe and seek out new markets. Napoleon’s
exclusively land-based customs enforcers could not stop British smugglers. -
The British countered the Continental system by
threatening to sink any ship that did not come to a British port or chose to
comply with France. This double threat created a difficult time for neutral
nations like the United States. -
The embargo also had an effect on France. Ship
building and its trades declined, as did many other industries that relied on
overseas markets. With few exports and a loss of profits, many industries were
closed down. Southern France especially suffered from the reduction in trade.
Moreover, the prices of staple foods rose for most of continental Europe. - British allies, including Sweden and Portugal, refused to comply, which resulted in damaging wars. Russia’s withdrawal from the system in 1810 was a
motivating factor behind Napoleon’s decision to invade Russia in 1812, which
proved the turning point of the war and ultimately led to Napoleon’s fall.
Key Terms
- Continental System
-
The foreign policy of Napoleon I of France in his struggle against Great Britain during the Napoleonic Wars that used the economic warfare as a strategy to weaken Britain. As a response to the naval blockade of the French coasts enacted by the British government in 1806, Napoleon issued the Berlin Decree, which brought into effect a large-scale embargo against British trade that banned trade between Britain and states occupied by or allied with France.
- Orders in Council of 1807
-
An 1807 series of decrees made by the Privy Council of the United Kingdom in the course of the wars with Napoleonic France, which instituted its policy of commercial warfare. They played an important role in shaping the British war effort against France as well as strained relations—and sometimes military conflicts—between the United Kingdom and neutral countries.
- Milan Decree
-
A decree issued in 1807 by Napoleon I of France to enforce the Berlin Decree of 1806, which initiated the Continental System.
It authorized French warships and privateers to capture neutral ships sailing from any British port or from any country occupied by British forces. It also declared that any ships submitted to search by the Royal Navy on the high seas were to be considered lawful prizes if captured by the French. - Berlin Decree
-
A decree issued in Berlin by Napoleon in 1806 that forbade the import of British goods into European countries allied with or dependent upon France and installed the Continental System in Europe. All connections were to be cut, even the mail. Any ships discovered trading with Great Britain were liable to French maritime attacks and seizures. The ostensible goal was to weaken the British economy by closing French-controlled territory to its trade.
Great Britain and Napoleon: Economic Warfare
Great Britain was the central force in encouraging and financing alliances against Napoleonic France. As France lacked the naval strength to invade Britain or decisively defeat the Royal Navy at sea, Napoleon resorted instead to economic warfare. Britain was Europe’s manufacturing and business center and Napoleon believed that embargo on trade with Britain imposed on the European nations under his control would cause inflation and debt that would weaken the British economy. In 1806, having recently conquered or allied with every major power in continental Europe, Napoleon issued the Berlin Decree forbidding his allies and conquests from trading with the British. The British responded with the Orders in Council of 1807 that forbade trade with France, its allies, and neutrals and instructed the Royal Navy to blockade French and allied ports. Napoleon retaliated with the Milan Decree, which declared that all neutral shipping using British ports or paying British tariffs were to be regarded as British and seized.
As an island nation, trade was Britain’s most vital lifeline. Napoleon believed that if he could isolate Britain economically, he would be able to invade the nation after its economic collapse. He decreed that all commerce ships wishing to do business in Europe must first stop at a French port in order to ensure that there could be no trade with Britain. He also ordered all European nations and French allies to stop trading with Britain and threatened Russia with an invasion if they did not comply.
Napoleon’s strategy became known as the Continental System or Continental Blockade.
The Continental System: Effects
The embargo was effective intermittently for about half the time
but in terms of economic damage to Great Britain largely failed. It encouraged British merchants to engage in smuggling with continental Europe and seek out new markets. Napoleon’s exclusively land-based customs enforcers could not stop British smugglers, especially as they operated with the connivance of Napoleon’s chosen rulers of Spain, Westphalia, and other German states. The System had mixed effects on British trade, with British exports to the Continent falling between 25% to 55% compared to pre-1806 levels. However, trade sharply increased with the rest of the world, making up for much of the decline.
The British countered the Continental system by threatening to sink any ship that did not come to a British port or chose to comply with France. This double threat created a difficult time for neutral nations like the United States. In response to this prohibition, the U.S. government adopted the Embargo Act of 1807 (against both Great Britain and France) and eventually Macon’s Bill No. 2. The embargo was designed as an economic counterattack to hurt Britain, but proved even more damaging to American merchants. Macon’s Bill
lifted all embargoes against Britain and France for three months. It stated that if either one of the two countries ceased attacks upon American shipping, the United States would end trade with the other, unless that other country agreed to recognize the rights of the neutral American ships as well.
Ograbme
A political cartoon showing merchants dodging the “Ograbme,” which is “Embargo” spelled backwards. The embargo was also ridiculed in the New England press as Dambargo, Mob-Rage, or Go-bar-’em.
The embargo also had an effect on France. Ship building and its trades declined, as did many other industries that relied on overseas markets. With few exports and a loss of profits, many industries closed entirely. Southern France especially suffered from the reduction in trade. Moreover, the prices of staple foods rose for most of continental Europe. Napoleon’s St. Cloud Decree of 1810 opened the southwest of France and the Spanish frontier to limited British trade and reopened French trade to the United States. It was an admission that his blockade had hurt the French economy more than the British. It also failed to reduce British financial support to its allies.
Britain’s response to the Continental system was to launch a major naval attack on the weakest link in Napoleon’s coalition, Denmark. Although ostensibly neutral, Denmark was under heavy French and Russian pressure to pledge its fleet to Napoleon. In 1807, the British occupied the island Heligoland outside the west coast of Denmark. This base made it easier for Britain to control the trade to the ports of the North sea coast and facilitate smuggling.
Sweden, Britain’s ally in the Thir,d Coalition, first refused to comply with French demands and was attacked by Russia and by Denmark/Norway in 1808. At the same time, a French force threatened to invade southern Sweden but the plan was stopped as the British Navy controlled the Danish straits. The Royal Navy set up a base outside the port of Gothenburg in 1808 to simplify the operations into the Baltic sea. In 1810, France demanded that Sweden should declare war to Great Britain and stop all trade. The result was a war between Sweden and Britain, but the British continued to control smuggling through the Baltic.
Portugal openly refused to join the Continental System. In 1793, Portugal signed a treaty of mutual assistance with Britain. The Portuguese population rose in revolt against the French invaders with the help of the British Army. Napoleon intervened and the Peninsular War began in 1808.
Finally, Russia chafed under the embargo and in 1810 reopened trade with Britain. Russia’s withdrawal from the system was a motivating factor behind Napoleon’s decision to invade Russia in 1812, which proved the turning point of the war and ultimately led to Napoleon’s fall. The Continental System formally ended in 1814 after Napoleon’s first abdication.
23.2.6: Napoleon’s Marriage to Marie-Louise
Napoleon’s marriage to Marie-Louise, triggered by his desire to have an heir and marry into one of the major European royal families, was shaped by European politics. However, the two also developed a close personal relationship.
Learning Objective
Identify the reasons why Napoleon divorced Josephine and married Marie-Louise
Key Points
- When after a few years of marriage it became clear that Josephine could not have a child, Napoleon began to think seriously about the possibility of divorce even though he still loved his wife. Despite her anger, Josephine agreed to the divorce so the Emperor could remarry in the hope of having an heir.
-
In
addition to the desire for an heir, Napoleon sought the validation and
legitimization of his Empire by marrying a member of one of the leading royal
families of Europe.
In
1810, he married 19-year-old Marie-Louise, Archduchess of Austria, and a great
niece of Marie Antoinette by proxy. Thus, he married into a German royal
and imperial family. -
Marie-Louise was daughter of Archduke Francis of Austria and his
second wife, Maria Theresa of Naples and Sicily. Her father became Holy Roman
Emperor as Francis II. Marie-Louise was a great-granddaughter of
Empress Maria Theresa through her father and thus a great niece of Marie
Antoinette. She was also a maternal granddaughter of Queen Maria Carolina of
Naples, Marie Antoinette’s favorite sister. -
Marie-Louise’s formative years overlapped with a period of conflict between France
and her family. She was brought up to detest France and French ideas but became an obedient wife and settled in quickly in
the French court. Napoleon initially remarked that he had “married a
womb,” but their relationship soon matured. - Despite the initial excitement and peace over the marriage and resulting alliance between the two long-time enemies, France and Austria soon engaged in another military conflict. Until Napoleon’s abdication and exile, the marriage between him and Marie-Louise was always shaped by European politics.
- Although Marie-Louise did not join her husband in exile and returned to Vienna, she remained loyal to her husband.
Key Terms
- Congress of Vienna
-
A conference of ambassadors of European states chaired by Austrian statesman Klemens Wenzel von Metternich and held in Vienna from November 1814 to June 1815. The objective was to provide a long-term peace plan for Europe by settling critical issues arising from the French Revolutionary Wars and the Napoleonic Wars.
- Treaty of Fontainebleau
-
An agreement established in Fontainebleau, France in 1814 between Napoleon I and representatives from the Austrian Empire, Russia, and Prussia. With this treaty, the allies ended Napoleon’s rule as emperor of France and sent him into exile on Elba.
Napoleon and Josephine: Divorce
When
after a few years of marriage it became clear that Josephine could not have a child, Napoleon began to think seriously about the possibility of
divorce even though he still loved his wife. The final die was cast when Josephine’s grandson Napoleon Charles
Bonaparte, declared Napoleon’s heir, died of croup in 1807.
Napoleon began to create lists of eligible princesses. He let
Josephine know that in the interest of France, he must find a wife who could
produce an heir. Despite her anger, Josephine agreed to the divorce so the
Emperor could remarry in the hope of having an heir. The divorce ceremony took
place in 1810 and was a grand but solemn social occasion. Both Josephine
and Napoleon read a statement of devotion to the other.
Despite the divorce, Napoleon showed his dedication to her for the rest of his life. When he heard the news of her death while on exile in Elba, he locked himself in his room and would not come out for two full days. Her name would also be his final word on his deathbed in 1821. However,
in 1810, he married 19-year old Marie-Louise, Archduchess of Austria, and a great niece of Marie Antoinette by proxy. Thus, he married into a German royal and imperial family.
Marie-Louise
Archduchess Marie-Louise of Austria was born in 1791 to Archduke Francis of Austria and his second wife, Maria Theresa of Naples and Sicily. Her father became Holy Roman Emperor a year later as Francis II. Marie-Louise was a great granddaughter of Empress Maria Theresa through her father and thus a great niece of Marie Antoinette. She was also a maternal granddaughter of Queen Maria Carolina of Naples, Marie Antoinette’s favorite sister.
Marie-Louise’s formative years overlapped with a period of conflict between France and her family; she was thus brought up to detest France and French ideas. She was influenced by her grandmother Maria Carolina, who despised the French Revolution that ultimately caused the death of her sister, Marie Antoinette. Maria Carolina’s Kingdom of Naples also came into direct conflict with French forces led by Napoleon. The War of the Third Coalition brought Austria to the brink of ruin, increasing Marie-Louise’s resentment towards Napoleon. The Imperial family was forced to flee Vienna in 1805; Marie-Louise took refuge in Hungary and later Galicia before returning to Vienna in 1806. Napoleon also contributed directly to the final dissolution of the Holy Roman Empire and Maria-Louise’s father relinquished the title of Holy Roman Emperor although he remained Emperor of Austria. Another war broke out between France and Austria in 1809, resulting in another defeat for the Austrians. The Imperial family had to flee Vienna again.
Napoleon and Marie-Louise: Marriage
In addition to the desire to have an heir, Napoleon sought the validation and legitimization of his Empire by marrying a member of one of the leading royal families of Europe. His wish to marry Tsar Paul I of Russia’s daughter Grand Duchess Anna caused alarm in Austria, whose officials grew concerned about being sandwiched between two great powers allied with each other. At the persuasion of Count Metternich, a marriage between Napoleon and Marie-Louise was suggested.
Frustrated by the Russians delaying the marriage negotiations, Napoleon rescinded his proposal and began negotiations to marry Marie-Louise. The civil wedding and the religious wedding ceremony the next day were held in 1810.
The excitement surrounding the wedding ushered in a period of peace and friendship between France and Austria, at war for most of the previous two decades.
Marriage of Napoleon and Marie-Louise by Georges Rouget (1811).
Marie-Louise was less than happy with the arrangement, at least at first, stating “Just to see the man would be the worst form of torture.” However, she seemed to warm up to Napoleon over time. After her wedding, she wrote to her father “He loves me very much. I respond to his love sincerely. There is something very fetching and very eager about him that is impossible to resist.”
Marie-Louise was an obedient wife and settled in quickly in the French court. Napoleon initially remarked that he had “married a womb,” but their relationship soon matured. While he loved Josephine and claimed she remained his greatest friend even after their divorce, he was critical of her affairs and extravagant lifestyle leading to massive debts, whereas with Marie-Louise, there was reportedly “never a lie, never a debt.” However, the marriage was not without tension. Napoleon sometimes remarked to aides that Marie-Louise was too shy and timid compared to the outgoing and passionate Josephine, whom he remained in close contact with, upsetting Marie-Louise. During public occasions, Marie-Louise spoke little due to reserve and timidity, which some observers mistook for haughtiness. She was regarded as a virtuous woman and never interfered in politics. Marie-Louise gave birth to a son in 1811. The boy, Napoléon François Joseph Charles Bonaparte, was given the title King of Rome in accordance with the practice where the heir apparent to the Holy Roman Empire was called the King of the Romans.
Collapse of the Empire
The weakened French position triggered the Sixth Coalition (1813-14). Prussia and the United Kingdom joined Russia in declaring war on France, but Austria stayed out due to relations between the Imperial families. In 1813, Marie Louise was appointed Regent as Napoleon set off for battle in Germany. The regency was only de jure, as all decisions were still taken by Napoleon and implemented by his most senior officials. Marie-Louise tried unsuccessfully to get her father to ally with France, but Austria too joined the opposition to France. She maintained a correspondence with Napoleon, informing him of increasing demands for peace in Paris and the provinces. In January 1814, Marie-Louise was appointed Regent for the second time and two days later Napoleon embraced Marie-Louise and his son for the last time. He left to lead a hastily formed army to stave off the Allied invasion from the north.
As the Allies neared Paris, Marie-Louise was reluctant to leave. She felt that as the daughter of the sovereign of Austria, one of the allied members, she would be treated with respect by allied forces. In addition, her son would be a possible successor to the throne should Napoleon be deposed. She was also afraid that her departure would strengthen the royalist supporters of the Bourbons. Marie-Louise was finally persuaded to leave but she did not expect her father to dethrone Napoleon and deprive her son of the crown of France. In April 1814, the Senate, at the instigation of Talleyrand, announced the deposition of the Emperor. Marie-Louise was astonished to discover the turn of events.
Napoleon abdicated the throne in April 1814. The Treaty of Fontainebleau exiled him to Elba, allowed Marie-Louise to retain her imperial rank and style, and made her ruler of the duchies of Parma, Piacenza, and Guastalla, with her son as heir. Marie-Louise was strongly dissuaded by her advisers from rejoining her husband, who had heard accounts of Napoleon’s distraught grief over the death of Josephine.
When Napoleon escaped in 1815 and reinstated his rule, the Allies once again declared war. Marie-Louise was asked by her stepmother to join in the processions to pray for the success of the Austrian armies but rejected the insulting invitation. Napoleon was defeated for the last time at the Battle of Waterloo, was exiled to Saint Helena in 1815, and made no further attempt to contact his wife personally. The Congress of Vienna recognized Marie-Louise as ruler of Parma, Piacenza, and Guastalla, but prevented her from bringing her son to Italy. It also made her Duchess of Parma for her life only, as the Allies did not want a descendant of Napoleon to have a hereditary claim over Parma.
23.3: Napoleon’s Defeat
23.3.1: The Holy Alliance
The Holy Alliance was a coalition created in 1815 by the monarchist great powers of Russia, Austria, and Prussia to prevent revolutionary influences in Europe and serve as a bastion against democracy, revolution, and secularism.
Learning Objective
Identify the members and explain the function of the Holy Alliance
Key Points
-
The Holy Alliance was a coalition created
by the monarchist great powers of Russia, Austria, and Prussia. It was
established after the ultimate defeat of Napoleon at the behest of Tsar
Alexander I of Russia and signed in Paris in 1815. Ostensibly, the
alliance was formed to instill the divine right of kings and Christian values
in European political life. -
In
practice, the Austrian state chancellor Prince Klemens von Metternich made the
Alliance a bastion against democracy, revolution, and secularism. The monarchs
of the three countries involved used it to band together to prevent
revolutionary influence (especially from the French Revolution) from entering
these nations. -
The Alliance is usually associated with the
later Quadruple and Quintuple Alliances, which included the United Kingdom and
(from 1818) France with the aim of upholding the European peace settlement and
balance of power in the Concert of Europe concluded at the Congress of Vienna. -
The meetings of the Alliances were irregular and focused on reactionary initiatives that aimed to preserve the old royal order in Europe. The last meetings revealed the rising antagonism between Britain and France,
especially on Italian unification, the right to self-determination, and the
Eastern Question. -
The Holy Alliance, the brainchild of Tsar
Alexander I, gained a lot of support because most European monarchs did not
wish to offend the Tsar by refusing to sign it. As it bound monarchs
personally rather than their governments, it was easy to ignore once signed.
The Quadruple Alliance, by contrast, was a
standard treaty, and the four Great Powers did not invite any of their allies to
sign it although the wording of the treaty left its provisions vague. -
The
intention of the Holy Alliance was to restrain republicanism and secularism in
Europe in the wake of the devastating French Revolutionary Wars and the
alliance nominally succeeded in this until Crimean War (1853–1856).
By extension, the Alliance can be considered as the most
potent prevention against any other general wars of Europe
between 1815 and 1914.
Key Terms
- The Holy Alliance
-
A coalition created by the monarchist great powers of Russia, Austria and Prussia. It was established after the ultimate defeat of Napoleon at the behest of Tsar Alexander I of Russia and signed in Paris in 1815. Ostensibly, the alliance was formed to instill the divine right of kings and Christian values in European political life.
- Concert of Europe
-
A system, also known as the Congress System or the Vienna System after the Congress of Vienna, adopted by the major conservative powers of Europe to maintain their power, oppose revolutionary movements, weaken the forces of nationalism, and uphold the balance of power. It operated in Europe from the end of the Napoleonic Wars (1815) to the early 1820s.
- Quadruple Alliance
-
A treaty signed in Paris in 1815 by the great powers of United Kingdom, Austria, Prussia, and Russia. It renewed the use of the Congress System which advanced European international relations. The alliance was originally formed to counter France and the powers promised aid to each other. It functioned until 1818.
- Quintuple Alliance
-
An alliance that came into being at the Congress of Aix-la-Chapelle in 1818, when France joined the earlier alliance created by Russia, Austria, Prussia and the United Kingdom.
The Holy Alliance was a coalition created by the monarchist great powers of Russia, Austria and Prussia, established after the ultimate defeat of Napoleon at the behest of Tsar Alexander I of Russia and signed in Paris in 1815.
Ostensibly, the alliance was formed to instill the divine right of kings and Christian values in European political life. About three months after the Final Act of the Vienna Congress, the monarchs of Orthodox (Russia), Catholic (Austria), and Protestant (Prussia) confession promised to act on the basis of “justice, love and peace,” both in internal and foreign affairs, for “consolidating human institutions and remedying their imperfections.” Despite this noble wording, the Alliance was rejected as ineffective by the United Kingdom, the Papal States, and the Islamic Ottoman Empire.
In practice, the Austrian state chancellor Prince Klemens von Metternich made the Alliance a bastion against democracy, revolution, and secularism. The monarchs of the three countries involved used it to band together to prevent revolutionary influence (especially from the French Revolution) from entering these nations.
Quadruple and Quintuple Alliances
The Alliance is usually associated with the later Quadruple and Quintuple Alliances, which included the United Kingdom and (from 1818) France. It aimed to uphold the European peace settlement and balance of power in the Concert of Europe concluded at the Congress of Vienna. In 1818, the Tsar, Emperor Francis I of Austria, and King Frederick William III of Prussia met with the Duke of Wellington, Viscount Castlereagh, and the Duc de Richelieu at the Congress of Aix-la-Chapelle to demand stern measures against university demagogues. The gesture resulted in tangible action when the Carlsbad Decrees were issued the following year.
The Carlsbad Decrees were a set of reactionary restrictions introduced in the states of the German Confederation that banned nationalist fraternities (“Burschenschaften”), removed liberal university professors, and expanded the censorship of the press. They aimed to quell a growing sentiment for German unification.
At the 1820 Congress of Troppau and the succeeding Congress of Laibach, Metternich tried to align his allies in the suppression of the Carbonari revolt against King Ferdinand I of the Two Sicilies. The Quintuple Alliance met for the last time at the 1822 Congress of Verona to discuss the Italian question (in light of the efforts leading to Italian unification), the Greek question (in light of the Greek Revolution striving for Greek independence), and the Spanish question (in light of a potential French invasion of Spain to help the Spanish Royalists restore King Ferdinand VII of Spain to the absolute power). The last meetings revealed the rising antagonism between Britain and France, especially on Italian unification, the right to self-determination, and the Eastern Question (the strategic competition and political considerations of the European Great Powers in light of the political and economic instability in the Ottoman Empire from the late 18th to early 20th centuries).
Contemporary caricature of the 1822
Congress of Verona, the last meeting of the Quintuple Alliance.
While Britain stood largely aloof from the Alliance’s illiberal actions, the four Continental monarchies were successful in authorizing Austrian military action in Italy in 1821 and French intervention in Spain in 1823. The Quintuple Alliance is considered defunct along with the Holy Alliance of the three original Continental members with the death of Tsar Alexander I of Russia in 1825.
The Alliance is considered defunct with Alexander’s death in 1825. France ultimately went separate ways in 1830, leaving the core of Russia, Austria, and Prussia as the Central-Eastern European block which again congregated to suppress the Revolutions of 1848. The Austro-Russian alliance finally broke up in the Crimean War. Although Russia helped crush the Hungarian Revolution of 1848, Austria took no action to support its ally, declared itself neutral, and even occupied the Wallachian and Moldavian lands on the Danube upon the Russian retreat in 1854. Thereafter, Austria remained isolated, which added to the loss of her leading role in the German lands, culminating in the defeat of the Austro-Prussian War in 1866.
Assessment
The Holy Alliance, the brainchild of Tsar Alexander I, gained support because most European monarchs did not wish to offend the Tsar by refusing to sign it. As it bound monarchs personally rather than their governments, it was easy to ignore once signed. Only three notable princes did not sign: Pope Pius VII (it was not Catholic enough), Sultan Mahmud II of Ottoman Empire, and the British Prince Regent (because his government did not wish to pledge itself to the policing of continental Europe). Although it did not fit comfortably within the complex, sophisticated, and cynical web of power politics that epitomized diplomacy of the post Napoleonic era, its influence was more lasting than its contemporary critics expected and was revived in the 1820s as a tool of repression when the terms of the Quintuple Alliance did not fit the purposes of some of the Great Powers of Europe.
The Quadruple Alliance, by contrast, was a standard treaty and the four Great Powers did not invite any of their allies to sign it. It included a provision for the High Contracting Parties to “renew their meeting at fixed periods…for the purpose of consulting on their common interests” which were the “prosperity of the Nations, and the maintenance of peace in Europe.” The wording of Article VI of the treaty did not specify what these “fixed periods” should be, and there were no provisions in the treaty for a permanent commission to arrange and organize the conferences. This meant that the first conference in 1818 dealt with remaining issues of the French wars, but after that meetings were held ad hoc to address specific threats, such as those posed by revolutions, for which the treaty was not drafted.
The intention of the Holy Alliance was to restrain republicanism and secularism in Europe in the wake of the devastating French Revolutionary Wars, and the alliance nominally succeeded in this until the Crimean War (1853–1856). Otto von Bismarck managed to reunite the Holy Alliance after the unification of Germany, but the alliance again faltered by the 1880s over Austrian and Russian conflicts of interest with regard to the dismemberment of the Ottoman Empire. By extension, the Alliance can be considered the most potent prevention against other general wars of Europe between 1815 and 1914.
23.3.2: Invasion of Russia
Although during the 1812 Invasion of Russia Napoleon achieved tactical victories and entered Moscow, the campaign exhausted the French forces, demonstrating the weaknesses of the French strategy,
shaking Napoleon’s reputation, and dramatically weakening French hegemony in Europe.
Learning Objective
Critique Napoleon’s decision to invade Russia
Key Points
-
The
Treaty of Schönbrunn, which ended the 1809 war between Austria and France, had
a clause removing Western Galicia from Austria and annexing it to the Grand
Duchy of Warsaw. Russia, seeing the territory as a potential
launching-point for others to invade, in response developed a plan of war in 1811. Russia’s
withdrawal from the Continental System was a further incentive for Napoleon to start a campaign against it. -
Napoleon ignored repeated advice against an
invasion of the Russian heartland and prepared for an offensive campaign. The
invasion commenced in June 1812. To gain increased support from
Polish nationalists and patriots, Napoleon termed this war the Second Polish
War. Liberating Poland from the Russian threat became one of the stated reasons behind the invasion. -
The invasion of Russia demonstrates the
importance of logistics in military planning. Napoleon and the Grande Armée developed a proclivity for living off the land that had served them well in densely populated and agriculturally rich central Europe with its network
of roads. In Russia,
many of the Grande Armée’s methods of operation did not work and they were additionally
handicapped by the lack of supplies and harsh winter, although the last factor was not as decisive as the popular narrative of the campaign suggested. -
The
Grande Armée was a very large force, numbering 680,000 soldiers. Through a
series of long marches, Napoleon pushed the army rapidly through Western Russia
in an attempt to bring the Russian army to battle, winning a number of minor
engagements and a major battle at Smolensk in August 1812. As the Russian army
fell back, Cossacks were given the task of burning villages, towns, and
crops to deny the invaders the option of living off the
land. These scorched-earth tactics surprised and disturbed the French as the
strategy also destroyed the Russian territory. - Napoleon then achieved a tactical victory at Borodino, entered Moscow, and forced the Russian army to retreat at
Maloyaroslavets. However, in
the weeks that followed, lack of food and fodder for the horses, hypothermia
from the bitter cold, and persistent attacks upon isolated troops from Russian
peasants and Cossacks led to great loss of men and a general lack of
discipline and cohesion in the army. After crossing the Berezina River, Napoleon returned
to Paris. - The campaign effectively ended in December 1812, with
the last French troops leaving Russian soil.
The
campaign was a turning point in the Napoleonic Wars. The reputation of Napoleon
was severely shaken and French hegemony in Europe was dramatically weakened. These events triggered a major shift in
European politics.
Key Terms
- Continental System
-
The foreign policy of Napoleon
I of France in his struggle against Great Britain during the
Napoleonic Wars that used the economic warfare as a strategy.
As a response to the naval blockade of the French coasts enacted by the British
government in 1806, Napoleon issued the Berlin Decree, which brought into
effect a large-scale embargo against British trade that banned trade between
Britain and states occupied by or allied with France. - Peninsular War
-
An 1807–1814 military
conflict between Napoleon’s empire and the allied powers of Spain,
Britain, and Portugal for control of the Iberian Peninsula during
the Napoleonic Wars. The war started when French and Spanish armies invaded and
occupied Portugal in 1807 and escalated in 1808 when France turned on
Spain, previously its ally. The war lasted until the Sixth
Coalition defeated Napoleon in 1814 and is regarded as one of the first
wars of national liberation, significant for the emergence of large-scale
guerrilla warfare. - The French Invasion of Russia
-
A military campaign, known in Russia as the Patriotic War of 1812 and in France as the Russian Campaign, that began in June 1812 when Napoleon’s Grande Armée crossed the Niemen River to engage and defeat the Russian army. Napoleon hoped to compel Tsar Alexander I of Russia to cease trading with British merchants through proxies in an effort to pressure the United Kingdom to sue for peace. The official political aim of the campaign was to liberate Poland from the threat of Russia.
Causes of Napoleon’s Invasion of Russia
Although most of Western and Central European states were under Napoleon’s control—either directly or indirectly through various protectorates, alliances, or under treaties favorable for France—Napoleon had embroiled his armies in the costly Peninsular War (1807/8-1814) in Spain and Portugal. France’s economy, army morale, and political support at home noticeably declined. Most importantly, Napoleon himself was not in the same physical and mental state. He was overweight and increasingly prone to various maladies.
The Treaty of Schönbrunn, which ended the 1809 war between Austria and France, had a clause removing Western Galicia from Austria and annexing it to the Grand Duchy of Warsaw. Russia saw the territory as a potential launching-point for another country to invade and thus developed a plan of offensive war in 1811, assuming a Russian assault on Warsaw and Danzig.
Furthermore, Tsar Alexander found Russia in an economic bind as his country had little in the way of manufacturing yet was rich in raw materials, depending heavily on Napoleon’s Continental System for both money and manufactured goods. Russia’s withdrawal from the system was a further incentive for Napoleon to start the campaign.
Napoleon ignored repeated advice against an invasion of the Russian heartland and prepared for an offensive campaign. The invasion commenced in June 1812. In an attempt to gain increased support from Polish nationalists and patriots, Napoleon termed this war the Second Polish War (Napoleon’s “First Polish War” was in fact the War of the Fourth Coalition, 1806-08, one of declared goals of which was the resurrection of the Polish state on territories of the former Polish-Lithuanian Commonwealth). Polish patriots wanted the Russian part of Poland to be joined with the Duchy of Warsaw and independent Poland reestablished. These demands were rejected by Napoleon, who stated he promised Austria, one of powers that had partitioned Poland at the end of the 18th century, that this would not happen.
Logistical Challenges
The invasion of Russia demonstrates the importance of logistics in military planning. Napoleon and the Grande Armée developed a proclivity for living off the land that served them well in the densely populated and agriculturally rich central Europe with its network of roads. Rapid forced marches dazed and confused old order Austrian and Prussian armies and made foraging difficult. In Russia, many of the Grande Armée’s methods of operation did not work and they were handicapped by the lack of winter horse shoes, which made it impossible for the horses to obtain traction on snow and ice. Forced marches often left troops without supplies as the wagons struggled to keep up. Lack of food and water in thinly populated, agriculturally sparse regions led to the death of troops by exposing them to waterborne diseases through drinking from mud puddles and eating rotten food and forage. The front of the army received whatever could be provided while the formations behind starved. In fact, starvation, desertion, typhus, and suicide would cost the French Army more men than all the battles of the Russian invasion combined.
Following the campaign, a saying arose that the Generals Janvier and Février (January and February) defeated Napoleon, alluding to the Russian Winter. While the harsh weather was an important factor in the final defeat of the French Army, historians point out that most French losses took place before the winter and the common narrative that identified the extremely cold weather as the main reason behind the French loss is a myth (perpetuated also by Napoleon’s advisers).
The French Invasion of Russia
Through a series of long marches, Napoleon pushed the army rapidly through Western Russia in an attempt to bring the Russian army to battle, winning a number of minor engagements and a major battle at Smolensk in August 1812. As the Russian army fell back, Cossacks were given the task of burning villages, towns, and crops. This was intended to deny the invaders the option of living off the land. These scorched-earth tactics surprised and disturbed the French as the strategy also destroyed Russian territory.
The Russian army retreated into Russia for almost three months. The continual retreat and loss of lands to the French upset the Russian nobility. They pressured Alexander I to relieve the commander of the Russian army, Field Marshal Barclay. Alexander I complied, appointing an old veteran, Prince Mikhail Kutuzov, to take over command.
In September, the French caught up with the Russian army, which had dug itself in on hillsides before a small town called Borodino 70 miles west of Moscow. The battle that followed was the largest and bloodiest single-day action of the Napoleonic Wars, involving more than 250,000 soldiers and resulting in 70,000 casualties. The French gained a tactical victory, but at the cost of 49 general officers and thousands of men. Napoleon entered Moscow a week later. In another turn of events the French found puzzling, there was no delegation to meet the Emperor. The Russians evacuated the city and the city’s governor, Count Fyodor Rostopchin, ordered several strategic points in Moscow set ablaze. The loss of Moscow did not compel Alexander I to sue for peace and both sides were aware that Napoleon’s position weakened with each passing day. After staying a month in Moscow, Napoleon moved his army out southwest toward Kaluga, where Kutuzov was encamped with the Russian army.
Michail Illarionovich Kutuzov (1745 – 1813), commander-in-chief of the Russian army on the far left, with his generals at the talks deciding to surrender Moscow to Napoleon. The room is the home of peasant A.S. Frolov. Painting by Aleksey Danilovich Kivshenko.
Kutuzov’s military career was closely associated with the period of Russia’s growing power from the end of the 18th century to the beginning of the 19th century. Kutuzov contributed much to the military history of Russia and is considered one of the best Russian generals. He took part in the suppression of the Bar Confederation’s uprising, in three of the Russo-Turkish Wars, and in the Napoleonic War, including two major battles at Austerlitz and the battle of Borodino.
Napoleon tried once more to engage the Russian army in a decisive action at the Battle of Maloyaroslavets. Despite holding a superior position, the Russians retreated with troops exhausted, few rations, no winter clothing, and the remaining horses in poor condition. Napoleon hoped to reach supplies at Smolensk and later at Vilnius. In the weeks that followed, lack of food and fodder for the horses, hypothermia from the bitter cold, and persistent attacks upon isolated troops from Russian peasants and Cossacks led to great loss of men and a general lack of discipline and cohesion in the army. After crossing the Berezina River, Napoleon left the army with urging from his advisers. He returned to Paris to protect his position as Emperor and raise more forces to resist the advancing Russians. The campaign effectively ended in December 1812, with the last French troops leaving Russian soil.
Napoleon’s retreat by Vasily Vereshchagin.
The main body of Napoleon’s Grande Armée diminished by a third during the first eight weeks of his invasion before the major battle of the campaign. The central French force under Napoleon’s direct command crossed the Niemen River with 286,000 men, but by the time of the Battle of Borodino his force was reduced to 161,475. Napoleon’s invasion of Russia is among the most lethal military operations in world history.
Effects
The campaign was a turning point in the Napoleonic Wars. The reputation of Napoleon was severely shaken and French hegemony in Europe dramatically weakened. The Grande Armée, made up of French and allied invasion forces, was reduced to a fraction of its initial strength. These events triggered a major shift in European politics. France’s ally Prussia broke their imposed alliance with France and switched sides, soon followed by Austria. This triggered the War of the Sixth Coalition.
23.3.3: The Fall of Paris
Following Napoleon’s retreat from Russia and the subsequent defeat of his army by the Sixth Coalition at Leipzig (1813), the armies of the Sixth Coalition invaded France and advanced toward Paris, which capitulated on March 31, 1814.
Learning Objective
Connect the invasion of Russia to the fall of Paris.
Key Points
-
Following defeats in the Wars of the Fourth and
Fifth Coalitions, Prussia and Austria were forcibly allied with France during
the Russian Campaign. When this campaign
resulted in the destruction of Napoleon’s Grande Armée, Prussia and Austria
took advantage of the situation by forming a Sixth Coalition against France
(1813-1814). -
The
retreat from Russia turned into a new war on German soil. The decisive battle of the war, the
so-called Battle of Nations (October 16-19, 1813), took place in Leipzig where Napoleon was
defeated. After the battle, the pro-French German Confederation of the
Rhine collapsed and the supreme commander of the Coalition forces in the theater, the Russian Tsar
Alexander I, ordered all Coalition forces in Germany to cross the Rhine and
invade France. -
After
retreating from Germany, Napoleon fought a series of battles, including the
Battle of Arcis-sur-Aube in France, but was steadily forced back against
overwhelming odds. In early
February 1814, Napoleon fought his Six Days’ Campaign in which he won multiple
battles against numerically superior enemy forces marching on Paris. However, the Emperor’s victories
were not significant enough to make any changes to the overall strategic
picture. -
Napoleon
realized he could no longer continue with his current strategy of
defeating the Coalition armies. He
had two options: fall back on Paris and hope that the Coalition
members would come to terms or copy the Russians
and leave Paris to his enemies. He decided to move eastward to Saint-Dizier and raise the whole country against the invaders. He started on
the execution of this plan when a letter to Empress Marie-Louise outlining his
intention to move on the Coalition lines of communications was intercepted and
his projects exposed to his enemies. -
Tsar Alexander I of Russia and King Frederick of
Prussia along with their advisers reconsidered; realizing the weakness of
their opponent, they decided to march to Paris.
The
battle ended when the French commanders surrendered the city to Tsar Alexander on March 31. - On April 2, the
Senate declared Napoleon deposed.
He abdicated in favor of his son on April 4. The
Allies forced Napoleon to abdicate unconditionally
on April 6. The terms of his abdication, which included his exile to the Isle
of Elba, were settled in the Treaty of Fontainebleau on April 11. A reluctant
Napoleon ratified it two days later.
Key Terms
- French Invasion of Russia
-
A military campaign, known in
Russia as the Patriotic War of 1812 and in France as the Russian Campaign,
that began in June 1812 when Napoleon’s Grande Armée crossed the Neman
River to engage and defeat the Russian army. Napoleon
hoped to compel Tsar Alexander I of Russia to cease trading with
British merchants through proxies to pressure the United
Kingdom to sue for peace. The official political aim of the campaign
was to liberate Poland from the threat of Russia. - War of the Sixth Coalition
-
A war fought from March 1813 to May 1814 in which a coalition of Austria, Prussia, Russia, the United Kingdom, Portugal, Sweden, Spain, and a number of German states finally defeated France and drove Napoleon into exile on Elba.
- Six Days’ Campaign
-
A final series of victories by the forces of Napoleon I of France as the Sixth Coalition closed in on Paris, February 10-15, 1814.
- Battle of Paris of 1814
-
A battle fought on March 30–31, 1814 between the Sixth Coalition—consisting of Russia, Austria, and Prussia—and the French Empire. After a day of fighting in the suburbs of Paris, the French surrendered on March 31, ending the War of the Sixth Coalition and forcing Emperor Napoleon to abdicate and go into exile.
- German Campaign of 1813
-
A military campaign fought in 1813, in which members of the Sixth Coalition fought a series of battles in Germany against the French Emperor Napoleon and his Marshals. The campaign liberated the German states from the domination of the First French Empire.
Background: German Campaign of 1813
Following defeats in the Wars of the Fourth and Fifth Coalitions, Prussia and Austria were forcibly allied with France during the Russian Campaign (the French Invasion of Russia). When this campaign resulted in the destruction of Napoleon’s Grande Armée, Prussia and Austria took advantage of the situation by forming a Sixth Coalition against France (1813-1814). The retreat from Russia turned into a new war on German soil. Napoleon vowed to create a new army as large as that he sent into Russia. Although he inflicted 40,000 casualties on the Allies at Lützen and Bautzen (1813), lost about the same number of men during those encounters. The belligerents declared an armistice, during which both sides attempted to recover from losses. During this time, Allied negotiations finally brought Austria out in open opposition to France.
Following the end of the armistice, Napoleon seemed to regain the initiative at Dresden, where he defeated a numerically superior allied army and inflicted enormous casualties while sustaining relatively few. However, at about the same time, the French sustained defeats in the north at Grossbeeren, Katzbach, and Dennewitz. Napoleon, lacking reliable cavalry, was unable to fully take advantage of his victory and could not avoid the destruction of a whole corps at the Battle of Kulm, further weakening his army. He withdrew to Leipzig in Saxony where he thought he could fight a defensive action against the converging Allied armies. There, at the so-called Battle of Nations (October 16-19, 1813) Napoleon was defeated. After the battle, the pro-French German Confederation of the Rhine collapsed, ending Napoleon’s hold on Germany east of the Rhine. The supreme commander of the Coalition forces in the theater and the paramount monarch among the three main Coalition monarchs, the Russian Tsar Alexander I, ordered all Coalition forces in Germany to cross the Rhine and invade France.
Vladimir Ivanovich Moshkov (1792—1839), Battle of Leipzig.
The Battle of Leipzig or Battle of the Nations was fought on October 16-19, 1813, at Leipzig, Saxony. The coalition armies of Russia, Prussia, Austria, and Sweden, led by Tsar Alexander I of Russia and Karl Philipp, Prince of Schwarzenberg, decisively defeated the French army of Napoleon I that also contained Polish, Italian, and German troops (from the Confederation of the Rhine). Being decisively defeated for the first time in battle, Napoleon was compelled to return to France while the Coalition hurried to keep their momentum, invading France early the next year.
March on Paris
After retreating from Germany, Napoleon fought a series of battles including the Battle of Arcis-sur-Aube in France, but was steadily forced back against overwhelming odds. During the campaign, he issued a decree for 900,000 fresh conscripts, but only a fraction of these were ever raised. In early February 1814, Napoleon fought his Six Days’ Campaign in which he won multiple battles against numerically superior enemy forces marching on Paris.
With an army of only 70,000, the Emperor was faced with at least half a million Allied troops advancing in several main armies. The Six Days’ Campaign was fought from February 10 to February 15, during which time Napoleon inflicted four defeats: in the Battle of Champaubert, the Battle of Montmirail, the Battle of Château-Thierry, and the Battle of Vauchamps. However, the Emperor’s victories were not significant enough to make any changes to the overall strategic picture.
However, after six weeks of fighting, the Coalition armies hardly gained any ground. The generals still hoped to bring Napoleon to battle against their combined forces. However, after Arcis-sur-Aube, Napoleon realized he could no longer continue with his current strategy of defeating the Coalition armies in detail and decided to change his tactics. He had two options: fall back on Paris and hope that the Coalition members would come to terms, as capturing Paris with a French army under his command would be difficult and time-consuming, or copy the Russians and leave Paris to his enemies as they had left Moscow to him two years earlier. He decided to move eastward to Saint-Dizier, rally what garrisons he could find, and raise the whole country against the invaders. He started on the execution of this plan when a letter to Empress Marie-Louise outlining his intention to move on the Coalition lines of communications was intercepted and his projects exposed to his enemies.
The Coalition commanders held a council of war at Pougy in March and initially decided to follow Napoleon, but the next day Tsar Alexander I of Russia and King Frederick of Prussia along with their advisers reconsidered and realizing the weakness of their opponent, decided to march to Paris and let Napoleon do his worst to their lines of communications. The Coalition armies marched straight for the capital.
The Battle of Paris of 1814
The Austrian, Prussian, and Russian armies were joined together and put under the command of Field Marshal Count Barclay de Tolly who would also be responsible for the taking of the city, but the driving force behind the army was the Tsar of Russia and the King of Prussia. Napoleon left his brother Joseph Bonaparte in defense of Paris with additional troops under Marshals Auguste Marmont, Bon Adrien Jeannot de Moncey, and Édouard Mortier.
The Coalition army arrived outside Paris in late March. Nearing the city, Russian troops broke rank and ran forward to get their first glimpse of the city. Camping outside the city on March 29, the Coalition forces were to assault the city from its northern and eastern sides the next morning.
Marmont and Mortier rallied available troops at a position on Montmartre Heights to oppose them. The battle ended when the French commanders surrendered the city. Alexander sent an envoy to meet with the French and hasten the surrender. He offered generous terms to the French and although willing to avenge Moscow more than a year earlier, declared himself to be bringing peace to France rather than destruction. On March 31, Talleyrand gave the key of the city to the Tsar. Later that day, the Coalition armies triumphantly entered the city with the Tsar at the head of the army followed by the King of Prussia and Prince Schwarzenberg. On April 2, the Senate declared Napoleon deposed.
Battle of Paris of 1814 by Bogdan Willewalde.
The Battle of Paris was fought on March 30–31, 1814 between the Sixth Coalition—consisting of Russia, Austria, and Prussia—and the French Empire. After a day of fighting in the suburbs of Paris, the French surrendered on March 31, ending the War of the Sixth Coalition and forcing Emperor Napoleon to abdicate and go into exile.
Napoleon had advanced as far as Fontainebleau when he heard that Paris had surrendered. Outraged, he wanted to march on the capital, but his marshals would not fight for him and repeatedly urged him to surrender. He abdicated in favor of his son on April 4. The Allies rejected this out of hand, forcing Napoleon to abdicate unconditionally on April 6. The terms of his abdication, which included his exile to the Isle of Elba, were settled in the Treaty of Fontainebleau on April 11. A reluctant Napoleon ratified it two days later. The War of the Sixth Coalition was over.
23.4: The 100 Days
23.4.1: Napoleon’s Exile and Return to Power
Napoleon’s exile from Elba and his short-lived return to power were fueled by the popular support of the French, including the military, who were disappointed with the royal decisions to reverse the results of the French Revolution and disfranchise the majority.
Learning Objective
Explain how Napoleon was able to raise support after his escape
Key Points
- According to the 1814 Treaty of Fontainebleau,
Napoleon was stripped of his powers as ruler of the French Empire and all of Napoleon’s successors and
family members were prohibited from attaining power in France. The treaty also
established the island of Elba where Napoleon was exiled as a separate
principality to be ruled by Napoleon. -
Louis
XVIII’s restoration to the throne in 1814 was linked to a new written constitution, the Charter of 1814, which guaranteed a
bicameral legislature with a hereditary/appointive Chamber of Peers and an
elected Chamber of Deputies. Their role was consultative (except on taxation),
as only the King had the power to propose or sanction laws and appoint or
recall ministers. - The franchise was now limited to men with considerable property
holdings and just 1% of people could vote. Many of the legal,
administrative, and economic reforms of the revolutionary period were left
intact, but after
a first sentimental flush of popularity, Louis’ gestures towards reversing the
results of the French Revolution quickly lost him support among the
disenfranchised majority. -
Napoleon
escaped from Elba in February 1815. Two days later, he landed on the
French mainland at Golfe-Juan and started heading north. He was enthusiastically welcomed by the military despite their earlier allegiance to the king. The unpopular Louis XVIII fled to Belgium
after realizing he had little political support. Napoleon arrived in Paris
on March 20 and governed for a period now called the Hundred Days. -
In
an attempt to strengthen the trust of a public disappointed by the restored
royal authority, Napoleon took up a constitutional reform that resulted in
the Charter of 1815, signed on April 22, 1815, and prepared by Benjamin
Constant. The document extensively amended (virtually replacing)
the previous Napoleonic Constitutions. It was liberal in spirit and
gave the French people rights which were previously unknown to them. -
The Charter was adopted by a plebiscite on
June 1, 1815, by an immense majority of the five million voters, although many eligible voters abstained. The rapid fall of Napoleon prevented it
from being fully applied.
Key Terms
- Charter of 1814
-
An 1814 constitution granted by King Louis XVIII of France shortly after his restoration. The Congress of Vienna demanded that Louis bring in a constitution of some form before he was restored.
The document was presented as a gift from the King to the people, not as a constituent act of the people. - Charter of 1815
-
A constitution signed on April 22, 1815 and prepared by Benjamin Constant at the request of Napoleon I when he returned from exile on Elba. More correctly known as the “Additional Act to the Constitutions of the Empire,” the document extensively amended (virtually replacing) the previous Napoleonic Constitutions (Constitution of the Year VIII, Constitution of the Year X, and Constitution of the Year XII).
- Hundred Days
-
The period between Napoleon’s return from exile on the island of Elba to Paris on March 20, 1815, and the second restoration of King Louis XVIII on July 8, 1815 (a period of 111 days). This period saw the War of the Seventh Coalition and includes the Waterloo Campaign, the Neapolitan War, and several minor campaigns.
- Treaty of Fontainebleau of 1814
-
An agreement established in Fontainebleau, France, on April 11, 1814, between Napoleon I and representatives from the Austrian Empire, Russia, and Prussia. With this treaty, the allies ended Napoleon’s rule as emperor of France and sent him into exile on Elba.
Napoleon’s Exile to Elba
The Treaty of Fontainebleau was an agreement established in 1814 between Napoleon I and representatives from the Austrian Empire, Russia, and Prussia, containing 21 articles. Based on the most significant terms of the accord, Napoleon was stripped of his powers as ruler of the French Empire, but both Napoleon and Marie-Louise of Austria were permitted to preserve their respective titles as emperor and empress. All Napoleon’s successors and family members were prohibited from attaining power in France. The treaty also established the island of Elba, where Napoleon was exiled, as a separate principality to be ruled by Napoleon. Elba’s sovereignty and flag were guaranteed recognition by foreign powers in the accord, but only France was allowed to assimilate the island.
The British position was that the French nation was in a state of rebellion and Napoleon Bonaparte was a usurper. Lord Castlereagh explained that he would not sign on behalf of the king of the United Kingdom because to do so would recognize the legitimacy of Napoleon as emperor of the French and that to exile him to an island over which he had sovereignty only a short distance from France and Italy, both of which had strong Jacobin factions, could easily lead to further conflict.
British etching from 1814 in celebration of Napoleon’s exile to Elba at the close of the War of the Sixth Coalition.
The print shows Napoleon seated backwards on a donkey on the road “to Elba” from Fontainebleau. He holds a broken sword in one hand and the donkey’s tail in the other while two drummers follow him playing a farewell march.
The First Bourbon Restoration
Louis XVIII’s restoration to the throne in 1814 was effected largely through the support of Napoleon’s former foreign minister, Talleyrand, who convinced the victorious Allied Powers of the desirability of a Bourbon restoration. Louis granted a written constitution, the Charter of 1814, which guaranteed a bicameral legislature with a hereditary/appointive Chamber of Peers and an elected Chamber of Deputies. Its role was consultative (except on taxation), as only the King had the power to propose or sanction laws and appoint or recall ministers. The franchise was limited to men with considerable property holdings, so just 1% of the population could vote. Many of the legal, administrative, and economic reforms of the revolutionary period were left intact, including the Napoleonic Code.
After a first sentimental flush of popularity, Louis’ gestures towards reversing the results of the French Revolution quickly lost him support among the disenfranchised majority. Symbolic acts such as the replacement of the tricolore with the white flag, the titling of Louis as the “XVIII” (as successor to Louis XVII, who never ruled) and as “King of France” rather than “King of the French,” as well as the monarchy’s recognition of the anniversaries of the deaths of Louis XVI and Marie Antoinette, were significant in the eyes of the increasingly disappointed public. A more tangible source of antagonism was the pressure applied to possessors of biens nationaux (properties confiscated during the French Revolution from the Catholic Church, the monarchy, émigrés, and suspected counter-revolutionaries)
by the Catholic Church and returning émigrés attempting to repossess their former lands. Other groups bearing ill sentiment towards Louis included the army, non-Catholics, and workers hit by a post-war slump and British imports. The growing anti-royal sentiments would soon help Napoleon to gather popular support for his own restoration.
Escape from Elba
Separated from his wife and son who had returned to Austria, cut off from the allowance guaranteed to him by the Treaty of Fontainebleau, and aware of rumors he was about to be banished to a remote island in the Atlantic Ocean, Napoleon escaped from Elba in February 1815. Two days later, he landed on the French mainland at Golfe-Juan and started heading north. The 5th Regiment was sent to intercept him and made contact just south of Grenoble. Napoleon approached the regiment alone, dismounted his horse and, when he was within gunshot range, shouted to the soldiers, “Here I am. Kill your Emperor, if you wish.” The soldiers quickly responded with, “Vive L’Empereur!” Marshal Michel Ney, who had pledged loyalty to the restored Bourbon king, Louis XVIII, affectionately kissed his former emperor and forgot his oath of allegiance to the Bourbon monarch. The two then marched together towards Paris with a growing army. The unpopular Louis XVIII fled to Belgium after realizing he had little political support. On March 13, the powers at the Congress of Vienna declared Napoleon an outlaw.
Napoleon arrived in Paris on 20 March and governed for a period now called the Hundred Days.
Constitutional Reform: The Charter of 1815
In an attempt to strengthen the trust of the public disappointed by the restored royal authority, Napoleon took up a constitutional reform, which resulted in the Charter of 1815, signed on April 22, 1815 and prepared by Benjamin Constant. More correctly known as the “Additional Act to the Constitutions of the Empire” the document extensively amended (virtually replacing) the previous Napoleonic Constitutions (Constitution of the Year VIII, Constitution of the Year X, and Constitution of the Year XII). The Additional Act reframed the Napoleonic constitution into something more along the lines of the Bourbon Restoration Charter of 1814 of Louis XVIII, while otherwise ignoring the Bourbon charter’s existence. It was very liberal in spirit and gave the French people rights which were previously unknown to them, such as the right to elect the mayor in communes with population of less than 5,000. Napoleon treated it as a mere continuation of the previous constitutions and it therefore took the form of an ordinary legislative act “additional to the constitutions of the Empire.”
The legislative power was to be exercised by the Emperor together with the Parliament, composed of two chambers: the Chamber of Peers, hereditary members appointed by the Emperor, and the Chamber of Representatives, 629 citizens elected for five-year terms by electoral colleges in the individual départments. The ministers were to be responsible to the Parliament for their actions. The liberalization dealt both with the guarantees of rights and the end of censorship. In the end, the two chambers held sessions for only one month, from June 3 to July 7, 1815.
The Charter was adopted by a plebiscite on June 1, 1815, by an immense majority of the five million voters, although a great many eligible voters abstained. The rapid fall of Napoleon prevented it from being fully applied.
23.4.2: Napoleon’s Defeat at Waterloo
The Waterloo Campaign (June 15 – July 8, 1815) was fought between the French Army of the North and two Seventh Coalition armies, an Anglo-allied army and a Prussian army, that defeated Napoleon in the decisive Battle of Waterloo, forced him to abdicate for the second time, and ended the Napoleonic Era.
Learning Objective
Identify the contributing factors to Napoleon’s ultimate defeat at Waterloo
Key Points
-
At the Congress of Vienna, the Great Powers of
Europe – Austria, Great Britain, Prussia, and Russia – and their allies declared
Napoleon an outlaw and with the signing of this declaration on March 13, 1815,
began the War of the Seventh Coalition. The hopes of peace that Napoleon had
entertained were gone; war was now inevitable. -
Some
time after the allies began mobilizing, the invasion
of France was planned for July 1, 1815. This invasion
date, later than some military leaders expected, allowed
all invading Coalition armies to be ready at the same time. Yet this postponed invasion date also gave
Napoleon more time to strengthen his forces and defenses. Napoleon
chose to attack, which entailed a preemptive strike at his enemies before they
were fully assembled and able to cooperate. -
Napoleon’s
decision to attack in today’s Belgium was supported by several considerations: he had learned that the British and Prussian armies were widely
dispersed and might be defeated in detail; the British troops in
Belgium were largely second-line troops as most of the veterans of the
Peninsular War had been sent to America to fight the War of 1812; and a French victory might have triggered a friendly revolution in
French-speaking Belgium. -
Hostilities
started on June 15, when the French drove away the Prussian outposts and
crossed the river Sambre at Charleroi, placing their forces between the
cantonment areas of Wellington’s Army (to the west) and Blücher’s army to the
east. On June 18,
the Battle of Waterloo proved to be
the decisive battle of the campaign. -
After the defeat at Waterloo, Napoleon chose not
to remain with the army and attempt to rally it, but returned to Paris to try
to secure political support for further action. He failed to do so and was
forced to abdicate; a provisional government
with Joseph Fouché as acting president was formed. - The two Coalition armies entered Paris on July
7. The next day Louis XVIII was restored to the French throne and a week later
(July 15), Napoleon surrendered to Captain Frederick Maitland of
HMS Bellerophon. Napoleon was exiled to the island of Saint Helena, where
he died in 1821. The war ended with signing the Treaty of Paris in November 1815.
Key Terms
- Convention of St. Cloud
-
An 1815 military convention at which the French surrendered Paris to the armies of Prince Blücher and the Duke of Wellington, ending surrender hostilities between the armies of the Seventh Coalition and the French army. Under the terms of the convention, the commander of the French army, Marshal Davout, surrendered Paris to the two allied armies of the Seventh Coalition and agreed to move the French army well away from Paris to the south. In return, the allies promised to respect the rights and property of the local government, French civilians, and members of the French armed forces.
- Waterloo Campaign
-
A military campaign (June 15 – July 8, 1815) fought between the French Army of the North and two Seventh Coalition armies, an Anglo-allied army and a Prussian army. Initially, the French army was commanded by Napoleon Bonaparte, but he left for Paris after the French defeat at the Battle of Waterloo. Command then rested on Marshals Soult and Grouchy, who were replaced by Marshal Davout at the request of the French Provisional Government. The Anglo-allied army was commanded by the Duke of Wellington and the Prussian army by Prince Blücher.
- Treaty of Paris of 1815
-
A treaty signed on November 20, 1815, following the defeat and second abdication of Napoleon Bonaparte. Under the treaty, France was ordered to pay 700 million francs in indemnities and the country’s borders were reduced to their 1790 levels. France was to cover the cost of providing additional defensive fortifications to neighboring Coalition countries. Furthermore, Coalition forces remained in Northern France as an army of occupation under the command of the Duke of Wellington.
- Battle of Waterloo
-
A battle fought on June 18, 1815 near Waterloo in present-day Belgium, then part of the United Kingdom of the Netherlands. A French army under the command of Napoleon Bonaparte was defeated by two of the armies of the Seventh Coalition: an Anglo-led Allied army under the command of the Duke of Wellington, and a Prussian army under the command of Gebhard Leberecht von Blücher.
The Seventh Coalition
At the Congress of Vienna, the Great Powers of Europe – Austria, Great Britain, Prussia, and Russia – and their allies declared Napoleon an outlaw and with the signing of this declaration on March 13, 1815, began the War of the Seventh Coalition. The hopes of peace that Napoleon had entertained were gone; war was now inevitable. Furthermore, the Treaty of Alliance against Napoleon, in which each of the European powers agreed to pledge 150,000 men for the coming conflict, was ratified on March 25. Such a number was not possible for Great Britain, as its standing army was smaller than the armies of its peers and its forces were scattered around the globe, with many units still in Canada where the War of 1812 had recently ceased. Consequently, it made up its numerical deficiencies by paying subsidies to the other powers and to the other states of Europe that would contribute contingents.
Some time after the allies began mobilizing, it was agreed that the planned invasion of France would commence on July 1, 1815. The advantage of this invasion date, later than some military leaders expected, was that it allowed the invading Coalition armies a chance to be ready at the same time. Thus, they could deploy their combined numerically superior forces against Napoleon’s smaller, thinly spread forces, ensuring his defeat and avoiding a possible defeat within the borders of France. Yet this postponed invasion date gave Napoleon more time to strengthen his forces and defenses, which would make defeating him harder and more costly in lives, time, and money.
Napoleon chose to attack, which entailed a preemptive strike at his enemies before they were fully assembled and able to cooperate. By destroying some of the major Coalition armies, Napoleon believed he would then be able to bring the governments of the Seventh Coalition to the peace table to discuss peace for France with Napoleon remaining in power. If peace were rejected by the allies despite preemptive military success he might have achieved using the offensive military option available to him, then the war would continue and he could turn his attention to defeating the rest of the Coalition armies.
Napoleon’s decision to attack in today’s Belgium was supported by several considerations. First, he had learned that the British and Prussian armies were widely dispersed and might be defeated in detail. Also, the British troops in Belgium were largely second-line troops as most of the veterans of the Peninsular War had been sent to America to fight the War of 1812. Also, a French victory might trigger a friendly revolution in French-speaking Belgium.
Waterloo Campaign
Hostilities started on June 15 when the French drove away the Prussian outposts and crossed the river Sambre at Charleroi, placing their forces between the cantonment areas of Wellington’s Army (to the west) and Blücher’s army to the east. On June 16, the French prevailed with Marshal Ney commanding the left wing of the French army and holding Wellington at the Battle of Quatre Bras and Napoleon defeating Blücher at the Battle of Ligny. On June 17, Napoleon left Grouchy with the right wing of the French army to pursue the Prussians while he took the reserves and command of the left wing of the army to pursue Wellington towards Brussels.
On the night of June 17, the Anglo-allied army prepared for battle on a gentle escarpment about a mile (1.6 km) south of the village of Waterloo. The next day this proved the decisive battle of the campaign. The Anglo-allied under Wellington army stood fast against repeated French attacks until they managed to rout the French army with the aid of several Prussian corps under
Blücher that arrived at the east side of the battlefield in the early evening. With the right wing of the army, Grouchy engaged a Prussian rearguard at the simultaneous Battle of Wavre. Although he won a tactical victory, his failure to prevent the Prussian march to Waterloo meant that his actions contributed to the French defeat at Waterloo. The next day (June 19) he left Wavre and started a long retreat back to Paris.
Battle of Waterloo (1815) by William Sadler II.
Waterloo was the decisive engagement of the Waterloo Campaign and Napoleon’s last. According to Wellington, the battle was “the nearest-run thing you ever saw in your life.” Napoleon abdicated four days later and on July 7, Coalition forces entered Paris. The defeat at Waterloo ended Napoleon’s rule as Emperor of the French and marked the end of his Hundred Days return from exile. The battle also ended the First French Empire and set a chronological milestone between serial European wars and a time of relative peace.
The Ultimate End of the Napoleonic Era
After the defeat at Waterloo, Napoleon chose not to remain with the army and attempt to rally it, but returned to Paris to try to secure political support for further action. He failed to do it and was forced to abdicate.
With the abdication of Napoleon, a provisional government with Joseph Fouché as acting President was formed. Initially, the remnants of the French left wing and the reserves that were routed at Waterloo were commanded by Marshal Soult while Grouchy kept command of the left wing. However, on June 25, Soult was relieved of his command by the Provisional Government and replaced by Grouchy, who in turn was placed under the command of Marshal Davout. On the same day, Napoleon received from Fouché (Napoleon’s former police chief) an intimation that he must leave Paris. He retired to Malmaison, the former home of Joséphine, where she had died shortly after his first abdication. On June 29, the near approach of the Prussians, who had orders to seize Napoleon dead or alive, caused him to retire westwards toward Rochefort in an attempt to eventually reach the United States. The presence of blockading Royal Navy warships under Vice Admiral Henry Hotham with orders to prevent his escape forestalled this plan.
When the French Provisional Government realized that the French army under Marshal Davout was unable to defend Paris, they authorized delegates to accept capitulation terms that led to the Convention of St. Cloud.
Under the terms of the convention, the commander of the French army, Marshal Davout, surrendered Paris to the two allied armies of the Seventh Coalition and agreed to move the French army well away from Paris, to the south “beyond the Loire.” In return, the allies promised to respect the rights and property of the local government, French civilians, and members of the French armed forces.
The two Coalition armies entered Paris on July 7. The next day Louis XVIII was restored to the French throne and a week later (July 15), Napoleon surrendered to Captain Frederick Maitland of HMS Bellerophon. Napoleon was exiled to the island of Saint Helena where he died in May 1821. Under the terms of the
Treaty of Paris of 1815, France was ordered to pay 700 million francs in indemnities and the country’s borders were reduced to their 1790 level. France covered the cost of providing additional defensive fortifications to be built by neighboring Coalition countries. Under the terms of the treaty, parts of France were to be occupied by up to 150,000 soldiers for five years, with France footing the bill. However, the Coalition occupation, under the command of the Duke of Wellington, was only deemed necessary for three years and the foreign troops pulled out in 1818.
Chapter 22: The French Revolution
22.1: France under Louis XV
22.1.1: Catherine’s Foreign Policy Goals
During Catherine the Great’s reign, Russia significantly extended its borders by absorbing new territories, most notably from the Ottoman Empires and the Commonwealth of Poland-Lithuania, as well as
attempted to serve as an international mediator in disputes that could, or did, lead to war.
Learning Objective
Describe Catherine the Great’s foreign policy efforts and to what extent she achieved her goals
Key Points
-
During her reign, Catherine extended the borders
of the Russian Empire southward and westward to absorb New Russia, Crimea, Northern Caucasus,
Right-bank Ukraine, Belarus, Lithuania, and Courland at the expense, mainly, of
two powers – the Ottoman Empire and the Polish–Lithuanian Commonwealth. Under
her rule, some 200,000 square miles (520,000 km2)
were added to Russian territory. -
Catherine made Russia the dominant power in
south-eastern Europe after her first Russo-Turkish War against the Ottoman
Empire (1768–74), which saw some of the heaviest defeats in Ottoman history.
In
1786, Catherine conducted a triumphal procession in the Crimea, which helped
provoke the next Russo–Turkish War. This war, catastrophic for the Ottomans,
legitimized the Russian claim to
the Crimea. -
Catherine’s triumph in Crimea is linked to a
concept of Potemkin villages. In politics and economics, Potemkin villages
refer to any construction (literal or figurative) built solely to deceive
others into thinking that a situation is better than it really is. -
Although the idea of partitioning the Commonwealth of Poland-Lithuania came from Frederick the Great of Prussia, Catherine took a leading role
in carrying it out (in three separate partitions of 1772, 1793, and 1795).
Russia
completed the partitioning of Poland-Lithuania with Prussia and Austria and the Commonwealth ceased to exist as an independent state. -
Catherine longed for recognition as an
enlightened sovereign. She pioneered for Russia the role that Britain later
played through most of the 19th and early 20th centuries as an international
mediator in disputes that could, or did, lead to war. - In
1780, she established a League of Armed Neutrality, designed to defend neutral
shipping from the British Royal Navy during the American Revolution. After
establishing a league of neutral parties, Catherine the Great attempted to act
as a mediator between the United States and Britain by submitting a ceasefire
plan.
Key Terms
- Potemkin villages
-
In politics and economics, a term referring to any construction (literal or figurative) built solely to deceive others into thinking that a situation is better than it really is. The term comes from stories of a fake portable village, supposedly built only to impress Empress Catherine II during her journey to Crimea in 1787.
- the Confederation of Bar
-
An association of Polish nobles formed at the fortress of Bar in Podolia in 1768 to defend the internal and external independence of the Polish–Lithuanian Commonwealth against Russian influence and against King Stanisław II Augustus with Polish reformers, who were attempting to limit the power of the Commonwealth’s wealthy magnates. Its creation led to a civil war and contributed to the First Partition of the Polish–Lithuanian Commonwealth.
- League of Armed Neutrality
-
An alliance of European naval powers between 1780 and 1783, which was intended to protect neutral shipping against the Royal Navy’s wartime policy of unlimited search of neutral shipping for French contraband.
Empress Catherine the Great of Russia began the first League with her declaration of Russian armed neutrality in 1780, during the War of American Independence. She endorsed the right of neutral countries to trade by sea with nationals of belligerent countries without hindrance, except in weapons and military supplies. - Treaty of Jassy
-
A 1792 peace treaty signed at Jassy in Moldavia (presently in Romania) by the Russian and Ottoman Empires that ended the Russo-Turkish War of 1787–92 and confirmed Russia’s increasing dominance in the Black Sea. The treaty formally recognized the Russian Empire’s annexation of the Crimean Khanate via the Treaty of Küçük Kaynarca of 1783 and transferred Yedisan (the territory between Dniester and Bug rivers) to Russia making the Dniester the Russo-Turkish frontier in Europe and leaving the Asiatic frontier (Kuban River) unchanged.
- Treaty of Küçük Kaynarca
-
A 1774 peace treaty signed in Küçük Kaynarca (today Kaynardzha, Bulgaria) between the Russian Empire and the Ottoman Empire. Following the recent Ottoman defeat at the Battle of Kozludzha, the document ended the Russo-Turkish War of 1768–74 and marked a defeat of the Ottomans in their struggle against Russia.
- the Targowica Confederation
-
A confederation established by Polish and Lithuanian magnates in 1792 in Saint Petersburg, with the backing of the Russian Empress Catherine the Great. The confederation opposed the progressive Polish Constitution of May 3rd, 1791, especially the provisions limiting the privileges of the nobility. Four days later after the proclamation of the confederation, two Russian armies invaded the Polish-Lithuanian Commonwealth without a formal declaration of war.
Catherine’s Foreign Policy
During her reign, Catherine extended the borders of the Russian Empire southward and westward to absorb New Russia (a region north of the Black Sea; presently part of Ukraine), Crimea, Northern Caucasus, Right-bank Ukraine, Belarus, Lithuania, and Courland at the expense, mainly, of two powers – the Ottoman Empire and the Polish–Lithuanian Commonwealth. Under her rule, some 200,000 square miles (520,000 km2) were added to Russian territory. Catherine’s foreign minister, Nikita Panin (in office 1763–81), exercised considerable influence from the beginning of her reign but eventually Catherine had him replaced with Ivan Osterman (in office 1781–97).
Wars with the Ottoman Empire
While Peter the Great had succeeded only in gaining a toehold in the south on the edge of the Black Sea in the Azov campaigns, Catherine completed the conquest of the south. Catherine made Russia the dominant power in south-eastern Europe after her first Russo-Turkish War against the Ottoman Empire (1768–74), which saw some of the heaviest defeats in Ottoman history, including the 1770 Battles of Chesma and Kagul. The Russian victories allowed Catherine’s government to obtain access to the Black Sea and to incorporate present-day southern Ukraine, where the Russians founded several new cities. The Treaty of Küçük Kaynarca (1774) gave the Russians territories at Azov, Kerch, Yenikale, Kinburn, and the small strip of Black Sea coast between the rivers Dnieper and Bug. The treaty also removed restrictions on Russian naval or commercial traffic in the Azov Sea, granted to Russia the position of protector of Orthodox Christians in the Ottoman Empire, and made the Crimea a protectorate of Russia.
Catherine annexed the Crimea in 1783, nine years after the Crimean Khanate had gained nominal independence—which had been guaranteed by Russia—from the Ottoman Empire as a result of her first war against the Turks. The palace of the Crimean khans passed into the hands of the Russians. In 1786, Catherine conducted a triumphal procession in the Crimea, which helped provoke the next Russo–Turkish War. The Ottomans restarted hostilities in the second Russo-Turkish War (1787–92). This war, catastrophic for the Ottomans, ended with the Treaty of Jassy (1792), which legitimized the Russian claim to the Crimea and granted the Yedisan region to Russia.
Catherine’s triumph in Crimea is linked to a concept of Potemkin villages. In politics and economics, Potemkin villages refer to any construction (literal or figurative) built solely to deceive others into thinking that a situation is better than it really is. The term comes from stories of a fake portable village, built only to impress Empress Catherine II during her journey to Crimea in 1787.
The purpose of the trip was to impress Russia’s allies. To help accomplish this in a region devastated by war, Grigory Potemkin (Catherine’s lover and trusted advisor) set up “mobile villages” on the banks of the Dnieper River. As soon as the barge carrying the Empress and ambassadors arrived, Potemkin’s men, dressed as peasants, would populate the village. Once the barge left, the village was disassembled, then rebuilt downstream overnight. Some modern historians, however, claim accounts of this portable village are exaggerated and the story is most likely a myth.
Partitions of Poland
In 1764, Catherine placed Stanisław Poniatowski, her former lover, on the Polish throne. Although the idea of partitioning Poland came from Frederick the Great of Prussia, Catherine took a leading role in carrying it out (in three separate partitions of 1772, 1793, and 1795). In 1768, she formally became protector of the Polish–Lithuanian Commonwealth, which provoked an anti-Russian uprising in Poland, the Confederation of Bar (1768–72). After the uprising broke down due to internal politics in the Polish-Lithuanian Commonwealth, she established a system of government fully controlled by the Russian Empire through a Permanent Council, under the supervision of her ambassadors and envoys.
After the French Revolution of 1789, Catherine rejected many principles of the Enlightenment she had once viewed favorably. Afraid the progressive May 3rd Constitution of Poland (1791) might lead to a resurgence in the power of the Polish–Lithuanian Commonwealth and the growing democratic movements inside the Commonwealth might become a threat to the European monarchies, Catherine decided to intervene in Poland. She provided support to a Polish anti-reform group known as the Targowica Confederation. After defeating Polish loyalist forces in the Polish–Russian War of 1792 and in the Kościuszko Uprising (1794), Russia completed the partitioning of Poland, dividing all of the remaining Commonwealth territory with Prussia and Austria (1795).
Partitions of the Polish-Lithuanian Commonwealth in 1772, 1793 and 1795
The Partitions of Poland were a series of three partitions of the Polish–Lithuanian Commonwealth that took place towards the end of the 18th century and ended the existence of the state, resulting in the elimination of the sovereign Crown of the Kingdom of Poland and Lithuania for 123 years. The partitions were conducted by the Russian Empire, the Kingdom of Prussia and Habsburg Austria, which divided up the Commonwealth lands among themselves progressively in the process of territorial seizures.
Relations with Western Europe
Catherine agreed to a commercial treaty with Great Britain in 1766, but stopped short of a full military alliance. Although she could see the benefits of Britain’s friendship, she was wary of Britain’s increased power following its victory in the Seven Years War, which threatened the European balance of power.
Catherine longed for recognition as an enlightened sovereign. She pioneered for Russia the role that Britain later played through most of the 19th and early 20th centuries as an international mediator in disputes that could, or did, lead to war. She acted as mediator in the War of the Bavarian Succession (1778–79) between the German states of Prussia and Austria. In 1780, she established a League of Armed Neutrality, designed to defend neutral shipping from the British Royal Navy during the American Revolution. After establishing a league of neutral parties, Catherine the Great attempted to act as a mediator between the United States and Britain by submitting a ceasefire plan.
A 1791 British caricature of an attempted mediation between Catherine (on the right, supported by Austria and France) and Turkey, by James Gillray, Library of Congress.
Cartoon shows Catherine II, faint and shying away from William Pitt (British prime minister). Seated behind Pitt are the King of Prussia and a figure representing Holland as Sancho Panza. Selim III kneels to kiss the horse’s tail. a gaunt figure representing the old order in France and Leopold II (Holy Roman Emperor) render assistance to Catherine by preventing her from falling to the ground.
From 1788 to 1790, Russia fought a war against Sweden, a conflict instigated by Catherine’s cousin, King Gustav III of Sweden, who expected to simply overtake the Russian armies still engaged in war against the Ottoman Turks, and hoped to strike Saint Petersburg directly. But Russia’s Baltic Fleet checked the Royal Swedish navy in a tied battle of Hogland (1788), and the Swedish army failed to advance. Denmark declared war on Sweden in 1788 (the Theater War). After the decisive defeat of the Russian fleet at the Battle of Svensksund in 1790, the parties signed the Treaty of Värälä (1790), returning all conquered territories to their respective owners.
22.1.2: Louis XV
Although Louis XV’s upbringing turned him into a great patron of arts and sciences, his reign was marked by diplomatic, military, and political failures that removed France from the position of one of the most powerful and admired states in Europe.
Learning Objective
Detail Louis XV’s upbringing and his personality as king
Key Points
-
Louis XV (1710 – 1774) was a monarch of the House of Bourbon who ruled as King of France
from 1715 until his death. Until he reached maturity in 1723, his kingdom was ruled by
Philippe d’Orléans, Duke of Orléans as Regent of France, and Cardinal
Fleury was his chief minister from 1726 until
1743. - Although Louis XIV was not born as the Dauphin, the death of his great-grandfather Louis XV, his father, and his older brother made him the heir
to the throne of France at the age of five. - The young king received an excellent education that later resulted in his patronage of arts and sciences. At the age of 15, he was married to Marie Leszczyńska, daughter of Stanisław I, the
deposed king of Poland. In 1729 his wife gave
birth to a male child, an heir to the throne. The birth of a long-awaited heir, which ensured the
survival of the dynasty for the first time since 1712, was welcomed with
tremendous joy and Louis XV became extremely popular . -
In
1723, the king’s majority was declared by the Parlement of Paris, which ended
the regency. Louis XV appointed Louis Henri, Duke of Bourbon, in charge of state affairs. The Duke pursued policies
that resulted in serious economic and social problems in France, so the
king dismissed him in 1726 and selected Cardinal Fleury to
replace him. From
1726 until his death in 1743, Cardinal Fleury ruled France with the king’s
assent. It was the most peaceful and prosperous period of the reign of Louis
XV, despite some unrest. -
Historians agree that in terms of culture and art,
France reached a high point under Louis XV. However, he was blamed for the many
diplomatic, military, and economic reverses. His reign was marked by ministerial
instability and his reputation destroyed by military losses that largely
deprived France of its colonial possessions. - Louis’s XV’s reign sharply contrasts with Louis XIV’s reign. Historians emphasize Louis XIV’s military and
diplomatic successes.
Despite the fact that Louis XIV’s considerable foreign, military, and domestic expenditure
also impoverished and bankrupted France, in comparison to his great
predecessor, Louis XV is commonly seen as one of the least effective rulers of
the House of Bourbon.
Key Term
- Dauphin
-
The title given to the heir apparent to the throne of France from 1350 to 1791 and 1824 to 1830. The word is French for dolphin, as a reference to the depiction of the animal on their coat of arms.
Louis XV (1710 – 1774), known as Louis the Beloved, was a monarch of the House of Bourbon who ruled as King of France from 1715 until his death. He succeeded his great-grandfather Louis XIV at the age of five. Until he reached maturity in 1723, his kingdom was ruled by Philippe d’Orléans, Duke of Orléans as Regent of France (his maternal great-uncle and cousin twice removed patrilineally). Cardinal Fleury was his chief minister from 1726 until the Cardinal’s death in 1743, at which time the young king took sole control of the kingdom.
Early Life
Louis XV was born during the reign of his great-grandfather Louis XIV.
His grandfather and Louis XIV’s son, Louis Le Grand Dauphin (Dauphin being
the title given to the heir apparent to the throne of France), had three sons with his wife Marie Anne Victoire of Bavaria: Louis, Duke of Burgundy; Philippe, Duke of Anjou (who became King of Spain); and Charles, Duke of Berry. Louis XV was the third son of the Duke of Burgundy and his wife Marie Adélaïde of Savoy. At birth, Louis XV received a customary title for younger sons of the French royal family: Duke of Anjou. In April 1711, Louis
Le Grand Dauphin
suddenly died, making Louis XV’s father, the Duke of Burgundy, the new Dauphin. At that time, Burgundy had two living sons, Louis, Duke of Brittany, and his youngest son, the future Louis XV.
A year later, Marie Adélaïde contracted smallpox or measles and died. Her husband, said to be heartbroken by her death, died from the disease the same week. Within a week of his death, it was clear that the couple’s two children had also been infected. Fearing that the Dauphin (the older son) would die, the Court had both the Dauphin and the Duke of Anjou baptized. The Dauphin died the same day. The Duke of Anjou, and now after his brother’s death the Dauphin, survived the smallpox.
Louis XV as a child in coronation robes, portrait by Hyacinthe Rigaud, Metropolitan Museum of Art.
In September 1715, Louis XIV died of gangrene after a 72-year reign. In August 1714, he made a will stipulating that the nation was to be governed by a Regency Council made up of fourteen members until the new king reached the age of majority. Philippe, Duke of Orléans, nephew of Louis XIV, was named president of the council, but all decisions were to be made by majority vote.
By French royal tradition, princes were put in the care of men when they reached their seventh birthdays. Louis was taken from his governess, Madame de Ventadour, in 1717 and placed in the care of Francois de Villeroy, who had been designated as his governor in Louis XIV’s will. De Villeroy served under the formal authority of the Duke of Maine, who was charged with overseeing the king’s education. He was aided by André-Hercule de Fleury (later to become Cardinal Fleury), who served as the king’s tutor. Fleury gave the king an excellent education, including lessons from renowned professors (e.g., Guillaume Delisle, a cartographer known for his accurate maps of Europe and the newly explored Americas). Louis XV had an inquisitive and open-minded nature. An avid reader, he developed eclectic tastes. Later in life he advocated the creation of departments in physics (1769) and mechanics (1773) at the Collège de France.
In 1721, 11-year-old Louis XV was betrothed to his first cousin, the Infanta Maria Anna Victoria of Spain. The eleven-year-old king was not interested in the arrival of his future wife, the three-year-old Spanish Infanta.
The king was quite frail as a boy and several medical emergencies led to concern for his life. Many also assumed that the Spanish Infanta, eight years younger than the king, was too young to bear an heir in a timely way. To remedy this situation, the Duke of Bourbon set about choosing a European princess old enough to produce an heir.
Eventually, 21-year-old Marie (Maria) Leszczyńska, daughter of Stanisław I, the deposed king of Poland, was chosen to marry the king. The marriage was celebrated in 1725 when the king was 15, and the couple soon produced many children. In September 1729, in her third pregnancy, the queen finally gave birth to a male child, an heir to the throne, the Dauphin Louis (1729–1765). The birth of a long-awaited heir, which ensured the survival of the dynasty for the first time since 1712, was welcomed with tremendous joy and celebration in all spheres of French society and the young king became extremely popular.
Marie Leszczyńska in 1730, by Alexis Simon Belle.
Marie was on a list of 99 eligible European princesses to marry the young king, but she was far from the first choice on the list. She had been placed there initially because she was a Catholic princess and therefore fulfilled the minimum criteria, but was removed because she was poor when the list was reduced from 99 to 17. However, when the list of 17 was further reduced to four, the preferred choices presented numerous problems and Marie emerged as the best compromise. Queen Marie maintained the role and reputation of a simple and dignified Catholic queen. She functioned as an example of Catholic piety and was famed for her generosity to the poor and needy through her philanthropy, which made her very popular among the public her entire life as queen.
Towards the Personal Reign
In 1723, the king’s majority was declared by the Parlement of Paris, which ended the regency. Initially, Louis XV left the Duke of Orléans in charge of state affairs. The Duke of
Orléans was appointed first minister upon the death of Cardinal Dubois in August 1723, but died in December of the same year. Following the advice of Fleury, Louis XV appointed his cousin Louis Henri, Duke of Bourbon, to replace the late Duke of Orléans.
The ministry of the Duke of Bourbon pursued policies that resulted in serious economic and social problems in France. These included the persecution of Protestants; monetary manipulations; the creation of new taxes; and high grain prices. As a result of Bourbon’s rising unpopularity, the king dismissed him in 1726 and selected Cardinal Fleury, his former tutor, as a replacement.
From 1726 until his death in 1743, Cardinal Fleury ruled France with the king’s assent. It was the most peaceful and prosperous period of the reign of Louis XV, despite some unrest. After the financial and social disruptions suffered at the end of the reign of Louis XIV, the rule of Fleury is seen by historians as a period of recovery. The king’s role in the decisions of the Fleury government is unclear, but he did support Fleury against the intrigues of the court and the conspiracies of the courtiers.
Louis XV, The King
Starting in 1743 with the death of Fleury, the king ruled alone without a first minister. He had read many times the instructions of Louis XIV: “Listen to the people, seek advice from your Council, but decide alone.” His political correspondence reveals his deep knowledge of public affairs as well as the soundness of his judgement. Most government work was conducted in committees of ministers that met without the king. The king reviewed policy only in the High Council, which was composed of the king, the Dauphin, the chancellor, the finance minister, and the foreign minister. Created by Louis XIV, the council was in charge of state policy regarding religion, diplomacy, and war. There, he let various political factions oppose each other and vie for influence and power.
Historians agree that in terms of culture and art, France reached a high point under Louis XV. However, he was blamed for the many diplomatic, military, and economic reverses. His reign was marked by ministerial instability and his reputation destroyed by military losses that largely deprived France of its colonial possessions. Historians have also noted that the king left the country in the hands of his advisors while he engaged in his favorite hobbies, including hunting and womanizing. This sharply contrasts Louis XV’s reign from that of his great-grandfather and predecessor Louis XIV. Historians emphasize Louis XIV’s military and diplomatic successes, particularly placing a French prince on the Spanish throne, which ended the threat of an aggressive Spain that historically interfered in French domestic politics. They also note the effect of Louis’s wars in expanding France’s boundaries and creating more defensible frontiers that preserved France from invasion until the Revolution. Under Louis XIV, Europe came to admire France for its military and cultural successes, power, and sophistication. Europeans began to emulate French manners, values, goods, and deportment. French became the universal language of the European elite. Despite the fact that Louis XIV’s considerable foreign, military, and domestic expenditure also impoverished and bankrupted France, in comparison to his great predecessor, Louis XV is commonly seen as one of the least effective rulers of the House of Bourbon.
22.1.3: The Ancien Regime
The Ancien Régime was the social and political system fin the Kingdom of France from the 15th until the end of the 18th centuries. It was based on the rigid division of the society into three disproportionate and unequally treated classes.
Learning Objective
Describe the structure of the Ancien
Régime
and the societal rules at play
Key Points
- The Ancien Régime (Old Regime or Former Regime) was the social and political system established in the Kingdom of France from approximately the 15th century until the latter part of the 18th century under the late Valois and Bourbon dynasties.
-
The
estates of the realm were the broad orders of social hierarchy used in
Christian Europe from the medieval period to early modern Europe.
Different systems for dividing society members into estates evolved over time. The best-known system is the three-estate system of the
French Ancien Régime. -
The
First Estate comprised the entire clergy, traditionally divided into
“higher” (nobility) and “lower” (non-noble) clergy. In 1789, it numbered around 130,000
(about 0.5% of the population). -
The Second Estate was the French nobility and
(technically, although not in common use) royalty, other than the monarch
himself, who stood outside of the system of estates. It is traditionally
divided into “nobility of the sword” and “nobility of the robe,”
the magisterial class that administered royal justice and civil government. The
Second Estate constituted approximately 1.5% of France’s population -
The Third Estate comprised all of those who were
not members of the above and can be divided into two groups, urban and rural,
together making up 98% of France’s population. The urban included the
bourgeoisie and wage-laborers. The rural included peasants. - The French estates of the realm system was based on massive social injustices that were one of the key factors leading up to the French Revolution.
Key Terms
- the gabelle
-
A very unpopular tax on salt in France that was established during the mid-14th century and lasted, with brief lapses and revisions, until 1946. Because all French citizens needed salt (for use in cooking, for preserving food, for making cheese, and for raising livestock), the tax propagated extreme regional disparities in salt prices and stood as one of the most hated and grossly unequal forms of revenue generation in the country’s history.
- estates of the realm
-
The broad orders of social hierarchy used in Christendom (Christian Europe) from the medieval period to early modern Europe. Different systems for dividing society members into estates evolved over time. The best-known system is a three-estate system of the French Ancien Régime used until the French Revolution (1789–1799). This system was made up of clergy (the First Estate), nobility (the Second Estate), and commoners (the Third Estate).
- the taille
-
A direct land tax on the French peasantry and non-nobles in Ancien Régime France. The tax was imposed on each household based on how much land it held.
- Ancien Régime
-
The social and political system established in the Kingdom of France from approximately the 15th century until the latter part of the 18th century under the late Valois and Bourbon dynasties. The term is occasionally used to refer to the similar feudal social and political order of the time elsewhere in Europe.
Ancien Régime
The Ancien Régime (Old Regime or Former Regime) was the social and political system established in the Kingdom of France from approximately the 15th century until the latter part of the 18th century under the late Valois and Bourbon dynasties. The term is occasionally used to refer to the similar feudal social and political order of the time elsewhere in Europe. The administrative and social structures of the Ancien Régime were the result of years of state-building, legislative acts, internal conflicts, and civil wars, but they remained a patchwork of local privilege and historic differences until the French Revolution ended the system. Despite the notion of absolute monarchy and the efforts by the kings to create a centralized state, Ancien Régime France remained a country of systemic irregularities. Administrative (including taxation), legal, judicial, and ecclesiastic divisions and prerogatives frequently overlapped (for example, French bishoprics and dioceses rarely coincided with administrative divisions).
Estates of the Realm
The estates of the realm were the broad orders of social hierarchy used in Christendom (Christian Europe) from the medieval period to early modern Europe. Different systems for dividing society members into estates evolved over time. The best-known system is the three-estate system of the French Ancien Régime used until the French Revolution (1789–1799). This system was made up of clergy (the First Estate), nobility (the Second Estate), and commoners (the Third Estate).
The First Estate comprised the entire clergy, traditionally divided into “higher” and “lower” clergy. Although there was no formal demarcation between the two categories, the upper clergy were effectively clerical nobility from the families of the Second Estate. In the time of Louis XVI, every bishop in France was a nobleman, a situation that had not existed before the 18th century. At the other extreme, the “lower clergy” (about equally divided between parish priests and monks and nuns) constituted about 90 percent of the First Estate, which in 1789 numbered around 130,000 (about 0.5% of the population).
The Second Estate was the French nobility and (technically, although not in common use) royalty, other than the monarch himself, who stood outside of the system of estates. It is traditionally divided into “nobility of the sword” and “nobility of the robe,” the magisterial class that administered royal justice and civil government. The Second Estate constituted approximately 1.5% of France’s population and were exempt from the corvée royale (forced labor on the roads) and from most other forms of taxation such as the gabelle (salt tax) and most important, the taille (the oldest form of direct taxation). This exemption from paying taxes led to their reluctance to reform.
The Third Estate comprised all who were not members of the above and can be divided into two groups, urban and rural, together making up 98% of France’s population. The urban included the bourgeoisie and wage-laborers. The rural included peasants who owned their own land (and could be prosperous) and peasants who worked on nobles’ or wealthier peasants’ land. The peasants paid disproportionately high taxes compared to the other Estates and simultaneously had very limited rights. In addition, the First and Second Estates relied on the labor of the Third, which made the latter’s unequal status all the more unjust.
The Third Estate men and women shared the hard life of physical labor and food shortages. Most were born within this group and died as part of it. It was extremely rare for individuals of this status to advance to another estate. Those who crossed the class lines did so as a result of either being recognized for their extraordinary bravery in a battle or entering religious life. Some commoners were able to marry into the Second Estate, although that was very rare.
Caricature on the Third Estate carrying the First and Second Estate on its back, Bibliothèque Nationale de France.
France under the Ancien Régime (before the French Revolution) divided society into three estates: the First Estate (clergy); the Second Estate (nobility); and the Third Estate (commoners). The king was considered part of no estate.
Social Injustice
The population of France in the decade prior to the French Revolution was about 26 million, of whom 21 million lived in agriculture. Few of these owned enough land to support a family and most were forced to take on extra work as poorly paid laborers on larger farms. Despite regional differences and French peasants’ generally better economic status than that of their Eastern European counterparts, hunger was a daily problem and the condition of most French peasants was poor.
The fundamental issue of poverty was aggravated by social inequality as all peasants were liable to pay taxes from which the nobility could claim immunity, and feudal dues payable to a local lord. Similarly, the tithes (a form of obligatory tax, at the time often paid in kind), which the peasants were obliged to pay to their local churches, were a cause of grievance as the majority of parish priests were poor and the contribution was being paid to an aristocratic and usually absentee abbot. The clergy numbered about 100,000 and yet owned 10% of the land. The Catholic Church maintained a rigid hierarchy as abbots and bishops were all members of the nobility and canons were all members of wealthy bourgeois families. As an institution, it was both rich and powerful. It paid no taxes and merely contributed a grant to the state every five years, the amount of which was self-determined. The upper echelons of the clergy also had considerable influence over government policy.
Successive French kings and their ministers tried to suppress the power of the nobles but did so with very limited success.
22.1.4: The Rise of the Nobility
Despite attempts to weaken the position of the nobility, Louis XV met with avid resistance and largely failed to reform the system that privileged the aristocracy.
Learning Objective
Explain how the nobility continued to gain power throughout the reign of Louis XV.
Key Points
-
Louis
XIV believed in the divine right of kings, which assert that a monarch is
above everyone except God. He continued his predecessors’ work
of creating a centralized state governed from Paris, sought to eliminate
remnants of feudalism in France, and subjugated and weakened the aristocracy. - Louis XIV eventually failed to reform the unjust tax system that greatly favored the nobility, but instituted reforms in military administration and compelled many members of the nobility, especially the noble
elite, to inhabit Versailles. This created an effective
system of control as the king manipulated the nobility with an elaborate system
of pensions and privileges, minimizing their influence and increasing his own
power. -
Although Louis XV attempted to continue his
predecessor’s efforts to weaken the aristocracy, he failed to establish himself
as an absolute monarch of Louis XIV’s stature. He supported the policy of fiscal
justice, which created a tax on the twentieth of all revenues that
affected the privileged classes as well as commoners. This breach in the
privileged status of the aristocracy and the clergy was another attempt to impose taxes on the privileged, but the new tax
was received with violent protest from the upper classes. -
Pressed and eventually won over by his entourage
at court, the king gave in and exempted the clergy from the twentieth in 1751.
Eventually, the twentieth became a mere increase in the already existing taille,
the most important direct tax of the monarchy from which privileged classes
were exempted. -
During the reign of Louis XV, the parlements
repeatedly challenged the crown for control over policy, especially regarding
taxes and religion, which strengthened the position of the nobility and weakened the authority of the king. -
Chancellor René Nicolas de Maupeou sought to
reassert royal power by suppressing the parlements in 1770. A furious battle
resulted and after King Louis XV died, the parlements were restored.
Key Terms
- Ancien Régime
-
The social and political system established in the Kingdom of France from
approximately the 15th century until the latter part of the 18th century under
the late Valois and Bourbon dynasties. The term is occasionally used to refer
to the similar feudal social and political order of the time elsewhere in
Europe. - lit de justice
-
A particular formal session of the Parlement of Paris, under the presidency of the king, for the compulsory registration of the royal edicts.
- parlements
-
Provincial appellate courts in the France of the Ancien Régime, i.e. before the French Revolution. They were not legislative bodies but rather the court of final appeal of the judicial system. They typically wielded much power over a wide range of subject matter, particularly taxation. Laws and edicts issued by the Crown were not official in their respective jurisdictions until assent was given by publishing them. The members were aristocrats who had bought or inherited their offices and were independent of the King.
- letters patent
-
A type of legal instrument in the form of a published written order issued by a monarch, president, or other head of state, generally granting an office, right, monopoly, title, or status to a person or corporation.
- taille
-
A direct land tax on the
French peasantry and non-nobles in Ancien Régime France.
The tax was imposed on each household based on how much land it held.
Background: The Nobility under Louis XIV
Louis XIV believed in the divine right of kings, which assert that a monarch is above everyone except God and therefore not answerable to the will of his people, the aristocracy, or the Church. Louis continued his predecessors’ work of creating a centralized state governed from Paris, sought to eliminate remnants of feudalism in France, and subjugated and weakened the aristocracy.
The reign of Louis XIV marked the rise of France of as a military, diplomatic, and cultural power in Europe. However, the ongoing wars, the panoply of Versailles, and the growing civil administration required a great deal of money, and finance was always the weak spot in the French monarchy. Tax-collecting methods were costly and inefficient and the state always received far less than what the taxpayers paid. But the main weakness arose from an old bargain between the French crown and nobility: the king reigned with limited or no opposition from the nobles if only he refrained from taxing them. Only the commoners paid direct taxes and that meant the peasants because many bourgeois obtained exemptions. The system was outrageously unjust in throwing a heavy tax burden on the poor and helpless.
Later after 1700, the French ministers supported by Madame De Maintenon (Louis XIV’s second wife) were able to convince the King to change his fiscal policy. Louis was willing enough to tax the nobles but unwilling to fall under their control. Only towards the close of his reign under extreme stress of war was he able, for the first time in French history, to impose direct taxes on the aristocracy. This was a step toward equality before the law and toward sound public finance, but so many concessions and exemptions were won by nobles and bourgeois that the reform lost much of its value.
Louis XIV also instituted reforms in military administration through Michel le Tellier and his son François-Michel le Tellier, Marquis de Louvois. They helped to curb the independent spirit of the nobility, imposing order on them at court and in the army. Gone were the days when generals protracted war at the frontiers while bickering over precedence and ignoring orders from the capital and the larger politico-diplomatic picture. The old military aristocracy (“the nobility of the sword”) ceased to have a monopoly over senior military positions and rank.
Over time, Louis XIV also compelled many members of the nobility, especially the noble elite, to inhabit Versailles.
Provincial nobles who refused to join the Versailles system were locked out of important positions in the military or state offices. Lacking royal subsides and thus unable to keep up a noble lifestyle, these rural nobles often went into debt.
This created an effective system of control as the king manipulated the nobility with an elaborate system of pensions and privileges, minimizing their influence and increasing his own power.
French aristocrats, c. 1774, by Antoine-Jean Duclos.
In the political system of pre-Revolutionary France, the nobility made up the Second Estate (with the Catholic clergy comprising the First Estate and the bourgeoisie and peasants in the Third Estate). Although membership in the noble class was mainly inherited, it was not a closed order. New individuals were appointed to the nobility by the monarchy, or could purchase rights and titles or join by marriage. Sources differ about the actual number of nobles in France, but proportionally it was among the smallest noble classes in Europe.
Louis XV: Attempts to Reform
Although Louis XV attempted to continue his predecessor’s efforts to weaken the aristocracy, he failed to establish himself as an absolute monarch of Louis XIV’s stature. Following the advice of his mistress, Marquise de Pompadour, Louis XV supported the policy of fiscal justice designed by Machault d’Arnouville. In order to finance the budget deficit, which amounted to 100 million livres in 1745, Machault d’Arnouville created a tax on the twentieth of all revenues that affected the privileged classes as well as commoners. This breach in the privileged status of the aristocracy and the clergy, normally exempt from taxes, was another attempt to impose taxes on the privileged. However, the new tax was received with violent protest from the privileged classes in the estates of the few provinces that retained the right to decide taxation (most provinces had long lost their provincial estates and the right to decide taxation). The new tax was also opposed by the clergy and by the parlements (provincial appellate court staffed by aristocrats). Members of these courts bought their positions from the king, together with the right to transfer their positions hereditarily through payment of an annual fee. Membership in such courts and appointment to other public positions often led to elevation to nobility (the so-called nobles of the robe, as distinguished from the nobility of ancestral military origin, the nobles of the sword.) While these two categories of nobles were often at odds, both sought to retain their privileges.
The Role of Parlements
Pressed and eventually won over by his entourage at court, the king gave in and exempted the clergy from the twentieth in 1751. Eventually, the twentieth became a mere increase in the already existing taille, the most important direct tax of the monarchy from which privileged classes were exempted. It was another defeat in the taxation war waged against the privileged classes. As a result of these attempts at reform, the Parlement of Paris, using the quarrel between the clergy and the Jansenists as a pretext, addressed remonstrances to the king in April 1753. In these remonstrances, the Parlement, made up of privileged aristocrats and ennobled commoners, proclaimed itself the “natural defender of the fundamental laws of the kingdom” against the arbitrariness of the monarchy.
During the reign of Louis XV, the parlements repeatedly challenged the crown for control over policy, especially regarding taxes and religion. The parlements had the duty to record all royal edicts and laws. Some, especially the Parlement of Paris, gradually acquired the habit of refusing to register legislation with which they disagreed until the king held a lit de justice or sent letters patent to force them to act. Furthermore, the parlements could pass certain regulations, which were laws that applied within their jurisdiction. In the years immediately before the start of the French Revolution in 1789, their extreme concern to preserve Ancien Régime institutions of noble privilege prevented France from carrying out many simple reforms, especially in the area of taxation, even when those reforms had the support of the king. Chancellor René Nicolas de Maupeou sought to reassert royal power by suppressing the parlements in 1770. A furious battle resulted and after King Louis XV died, the parlements were restored.
22.1.5: France’s Fiscal Woes
Under Louis XIV, France witnessed successful reforms and growth as a global power, but financial strain imposed by multiple wars left the state bankrupt. Under Louis XV, lost wars and limited reforms reversed the gains of the initial years of economic recovery.
Learning Objective
Examine the excessive spending of Louis XIV and Louis XV and the consequences of their actions for the French government.
Key Points
-
Louis
XIV began his personal reign with effective fiscal reforms. He chose
Jean-Baptiste Colbert as Controller-General of Finances in 1665, and Colbert
reduced the national debt through more efficient taxation. However,
the gains were insufficient to support Louis’s policies. During his
reign, France fought three major wars and two
lesser conflicts. In
order to weaken the power of the nobility, Louis attached nobles to his court at
Versailles. These strategies to hold centralized power, although effective,
were very costly. - To
support the reorganized and enlarged army, the panoply of Versailles, and the
growing civil administration, the king needed more money.
Only towards the close of his reign under extreme stress of war was he
able to impose direct taxes on the
aristocratic population. However, so many concessions and exemptions
were won by nobles and bourgeois that the reform lost much of its value. -
Louis encouraged industry, fostered
trade and commerce, and sponsored the founding of an overseas empire, but the powerful position of Louis XIV’s France came at a financial cost that could not be balanced by his reforms. The considerable
foreign, military, and domestic expenditure impoverished and bankrupted France. -
Cardinal
Fleury was Louis XV’s chief minister and his rule was the most peaceful and prosperous period of the reign of Louis XV. After
the financial and social disruptions suffered at the end of the reign of Louis
XIV, the rule of Fleury is seen by historians as a period of
“recovery.” Following Fleury’s death, Louis failed to continue his policies. - Louis XV attempted fiscal reforms that included the taxation of the nobility but his foreign policy failures weakened France and further strained its finances. As a result of lost wars,
Louis was forced to cede many territories, including lucrative overseas colonies. -
Lost
wars and subsequent financial strains, ineffective reforms, and
religious feuds, combined with XV’s reputation as a man interested more
in women and hunting than in ruling France, weakened the monarchy that was left
in a state of economic crisis.
Key Terms
- parlements
-
Provincial appellate courts
in the France of the Ancien Régime, i.e. before the French
Revolution. They were not legislative bodies but rather the court of final
appeal of the judicial system. They typically wielded much power over a wide
range of subject matter, particularly taxation. Laws and edicts issued by the Crown
were not official in their respective jurisdictions until assent was given by publishing them. The members were aristocrats who had bought or
inherited their offices and were independent of the King. - Seven Years’ War
-
A world war fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents and affecting Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other. For the first time, aiming to curtail Britain and Prussia’s ever-growing might, France formed a grand coalition of its own, which ended with failure as Britain rose as the world’s predominant force, altering the European balance of power.
- Treaty of Aix-la-Chapelle of 1748
-
A treaty, sometimes called the Treaty of Aachen, that ended the War of the Austrian Succession following a congress assembled in 1748 at the Free Imperial City of Aachen and signed by Great Britain, France, and the Dutch Republic.
- taille
-
A direct land tax on the
French peasantry and non-nobles in Ancien Régime France. The tax
was imposed on each household based on how much land it held.
Louis XIV: Finance Reform vs. High Spending
Louis XIV, known as the “Sun King,” reigned over France from 1643 until 1715. He began his personal reign with effective fiscal reforms. In 1661, the treasury verged on bankruptcy. To rectify the situation, Louis chose Jean-Baptiste Colbert as Controller-General of Finances in 1665. Colbert reduced the national debt through more efficient taxation. Although his tax reform proved difficult, excellent results were achieved and the deficit of 1661 turned into a surplus in 1666. In 1667, the net receipts had risen to 20 million pounds sterling while expenditure had fallen to 11 million, leaving a surplus of 9 million pounds.
However, the gains were insufficient to support Louis’s policies. During his reign, France fought three major wars: the Franco-Dutch War, the War of the League of Augsburg, and the War of the Spanish Succession. There were also two lesser conflicts: the War of Devolution and the War of the Reunions. Warfare defined the foreign policies of Louis XIV, seen by the king as the ideal way to enhance his glory. Even in peacetime, he concentrated on preparing for the next war, including reforms that enlarged and modernized the French military.
Furthermore, in order to centralize his power, Louis recognized that he had to weaken the power of the nobility, which he achieved partly by attaching nobles to his court at Versailles and thus virtually controlling their daily lives. Apartments were built to house those willing to pay court to the king, but the pensions and privileges necessary to live in a style appropriate to their rank were only possible by waiting constantly on Louis. This strategy, although effective, turned out to be very costly, particularly given the king’s extravagant choices and lavish lifestyle.
To support the reorganized and enlarged army, the panoply of Versailles, and the growing civil administration, the king needed more money. Methods of collecting taxes were costly and inefficient. Direct taxes passed through the hands of many intermediate officials; indirect taxes were collected by private individuals called tax farmers who made a substantial profit. The state always received far less than what the taxpayers actually paid. Yet the main weakness arose from an old bargain between the French crown and nobility: the king could rule without much opposition from the nobility if only he refrained from taxing them. Only the lowest classes paid direct taxes and that meant mostly peasants since many bourgeois obtained exemptions. Later after 1700, the French ministers who were supported by Madame De Maintenon (the king’s second wife) were able to convince the King to change his fiscal policy. Louis was willing to tax the nobles but unwilling to fall under their control, and only towards the close of his reign under extreme stress of war was he able, for the first time in French history, to impose direct taxes on the aristocratic elements of the population. This was a step toward equality before the law and sound public finance, but so many concessions and exemptions were won by nobles and bourgeois that the reform lost much of its value.
In addition to successful finance reforms, Louis encouraged industry, fostered trade and commerce, and sponsored the founding of an overseas empire. His political and military victories as well as numerous cultural achievements helped raise France to a preeminent position in Europe. Historians note, however, that the powerful position of Louis XIV’s France came at a financial cost that could not be balanced by his reforms. The considerable foreign, military, and domestic expenditure impoverished and bankrupted France.
Louis XIV in 1690, by Jean Nocret.
Voltaire’s history, The Age of Louis XIV, named Louis’s reign as not only one of the four great ages in which reason and culture flourished, but the greatest ever. The success, however, came at the financial cost that bankrupted France.
Louis XV: The Disintegration of the Empire
Louis XV succeeded his great-grandfather Louis XIV at the age of five. Until he reached maturity in 1723, his kingdom was ruled by Philippe d’Orléans, Duke of Orléans as Regent of France. Cardinal Fleury was his chief minister from 1726 until the Cardinal’s death in 1743, at which time the young king took sole control of the kingdom. Fleury’s rule was he most peaceful and prosperous period of the reign of Louis XV. After the financial and social disruptions suffered at the end of the reign of Louis XIV, the rule of Fleury is seen by historians as a period of “recovery.” Fleury stabilized the French currency and balanced the budget in 1738. Economic expansion was a major goal of the government. Communications were improved with the completion of the Saint-Quentin canal in 1738 and the systematic building of a national road network. By the middle of the 18th century, France had the most modern and extensive road network in the world. Modern highways, which stretched from Paris to the most distant borders of France, helped to advance trade. In foreign relations, Fleury sought peace by trying to maintain alliance with England and pursuing reconciliation with Spain.
After Fleury’s death, Louis failed to continue his policies. Following the advice of his mistress, Marquise
de Pompadour, he supported the policy of fiscal justice designed by
Machault d’Arnouville. In order to finance the budget deficit, Machault d’Arnouville
created a tax on the twentieth of all revenues that affected the privileged
classes as well as commoners. This breach in the privileged status of the
aristocracy and the clergy, normally exempt from taxes, was another attempt to
impose taxes on the privileged, but the new tax was received with violent
protest from the privileged classes. It was opposed by the clergy and by the parlements (provincial
appellate court staffed by aristocrats).
Pressed and eventually won over by his entourage
at court, the king gave in and exempted the clergy from the twentieth in 1751.
Eventually, the twentieth became a mere increase in the already existing taille,
the most important direct tax of the monarchy from which privileged classes
were exempted. It was another defeat in the taxation war waged against the
privileged classes.
Louis’s greatest failure was perhaps his foreign policy.
As a result of lost wars, Louis was forced to return the Austrian Netherlands (modern-day Belgium) territory won at the Battle of Fontenoy of 1745 but returned to Austria by the terms of the Treaty of Aix-la-Chapelle of 1748. He also ceded New France in North America to Spain and Great Britain at the conclusion of the Seven Years’ War in 1763. Although he incorporated the territories of Lorraine and Corsica into the kingdom of France, the loss of colonies in North America, the Caribbean, and West Africa as well as the weakening of influence in India demonstrated that France was no longer a colonial European power with access to lucrative overseas opportunities (although France did maintain control over Guadeloupe and Martinique, sources of profitable sugar).
Most historians argue that Louis XV’s decisions damaged the power of France, weakened the treasury, discredited the absolute monarchy, and made it more vulnerable to distrust and destruction. Lost wars and financial strains that they imposed, ineffective reforms, and religious feuds, combined with the king’s reputation as a man interested more in women and hunting than in ruling France, weakened the monarchy that was left in a state of economic crisis.
Louis XV, by Louis Michel van Loo, (Château de Versailles), Library and Archives Canada.
Under Louis XV, financial strain imposed by wars, particularly by the disastrous for France Seven Years’ War and by the excesses of the royal court, contributed to fiscal problems and the national unrest that in the end culminated in the French Revolution of 1789.
22.1.6: Taxes and the Three Estates
The taxation system under the Ancien Régime largely excluded the nobles and the clergy from taxation while the commoners, particularly the peasantry, paid disproportionately high direct taxes.
Learning Objective
Distinguish between the three Estates and their burdens of taxation.
Key Points
-
France under the Ancien Régime was divided society into three estates: the First Estate
(clergy); the Second Estate (nobility); and the Third Estate (commoners). One critical difference between the
estates of the realm was the burden of taxation. The nobles and the clergy were
largely excluded from taxation while the commoners paid disproportionately
high direct taxes. -
The desire for more efficient tax collection was
one of the major causes for French administrative and royal centralization. The
taille became a
major source of royal income. Exempted from the taille were clergy and nobles (with few exceptions). Different kinds of provinces had different taxation obligations and some among the nobility and the clergy paid modest taxes, but the majority of taxes was always paid by the poorest. Moreover, the church separately taxed the commoners and the nobles. -
As the French state continuously struggled with
the budget deficit, some attempts to reform the skewed system took place under
both Louis XIV and Louis XV. The greatest challenge to introduce any
changes was an old bargain between the French crown and the nobility: the king
could rule without much opposition from the nobility if only he refrained from
taxing them. - New taxes introduced under Louis XIV
were a step toward equality before the law and
sound public finance, but so many concessions and exemptions were won by
nobles and bourgeois that the reform lost much of its value. - Although Louis XV also attempted to impose new taxes on the First and Second Estates, with
all the exemptions and reductions won by the privileged classes the
burden of the new tax once again fell on the poorest citizens. -
Historians
consider the unjust taxation system, continued under Louis XVI, to be one of
the causes of the French Revolution.
Key Terms
- the estates of the realm
-
The broad orders of social
hierarchy used in Christendom (Christian Europe) from the medieval period to
early modern Europe. Different systems for dividing society members into
estates evolved over time. The best known system is a
three-estate system of the French Ancien Régime used until the French
Revolution (1789–1799). This system was made up of clergy (the First Estate),
nobility (the Second Estate), and commoners (the Third Estate). - parlements
-
Provincial appellate courts in
the France of the Ancien Régime, i.e. before the French Revolution.
They were not legislative bodies but rather the court of final appeal of the
judicial system. They typically wielded much power over a wide range of subject
matter, particularly taxation. Laws and edicts issued by the Crown were not
official in their respective jurisdictions until assent was given by
publishing them. The members were aristocrats who had bought or inherited their
offices and were independent of the King. - Ancien Régime
-
The
social and political system established in the Kingdom of France from
approximately the 15th century until the latter part of the 18th century under
the late Valois and Bourbon dynasties. The term is occasionally used to refer
to the similar feudal social and political order of the time elsewhere in
Europe. - taille
-
A direct land tax on the
French peasantry and non-nobles in Ancien Régime France.
The tax was imposed on each household and was based on how much land it held. - tithe
-
A one-tenth part of something, paid as a contribution to a religious organization or compulsory tax to government. Today, the fee is voluntary and paid in cash, checks, or stocks, whereas historically it was required and paid in kind, such as with agricultural products.
Estates of the Realm and Taxation
France under the Ancien Régime (before the French Revolution) divided society into three estates: the First Estate (clergy); the Second Estate (nobility); and the Third Estate (commoners). The king was not considered part of any estate. One critical difference between the estates of the realm was the burden of taxation. The nobles and the clergy were largely excluded from taxation
(with the exception of a modest quit-rent, an ad valorem tax on land) while the commoners paid disproportionately high direct taxes. In practice, this meant mostly the peasants because many bourgeois obtained exemptions. The system was outrageously unjust in throwing a heavy tax burden on the poor and powerless.
Taxation Structure
The desire for more efficient tax collection was one of the major causes for French administrative and royal centralization. The taille, a direct land tax on the peasantry and non-nobles, became a major source of royal income. Exempted from the taille were clergy and nobles (except for non-noble lands they held in “pays d’état;” see below), officers of the crown, military personnel, magistrates, university professors and students, and certain cities (“villes franches”) such as Paris. Peasants and nobles alike were required to pay one-tenth of their income or produce to the church (the tithe).
Although exempted from the taille, the church was required to pay the crown a tax called the “free gift,” which it collected from its office holders at roughly 1/20 the price of the office.
There were three kinds of provinces: the “pays d’élection,” the “pays d’état,” and the “pays d’imposition.” In the “pays d’élection” (the longest held possessions of the French crown) the assessment and collection of taxes were originally trusted to elected officials, but later these positions were bought. The tax was generally “personal,” which meant it was attached to non-noble individuals. In the “pays d’état” (provinces with provincial estates), tax assessment was established by local councils and the tax was generally “real,” which meant that it was attached to non-noble lands (nobles possessing such lands were required to pay taxes on them). “Pays d’imposition” were recently conquered lands that had their own local historical institutions, although taxation was overseen by the royal administrator.
In the decades leading to the French Revolution, peasants paid a land tax to the state (the taille) and a 5% property tax (the vingtième; see below). All paid a tax on the number of people in the family (capitation), depending on the status of the taxpayer (from poor to prince). Further royal and seigneurial obligations might be paid in several ways: in labor, in kind, or rarely, in coin. Peasants were also obligated to their landlords for rent in cash, a payment related to their amount of annual production, and taxes on the use of the nobles’ mills, wine-presses, and bakeries.
Caricature showing the Third Estate carrying the First and Second Estates on its back, Bibliothèque Nationale de France, c. 1788.
The tax system in pre-revolutionary France largely exempted the nobles and the clergy from taxes. The tax burden therefore devolved to the peasants, wage-earners, and the professional and business classes, also known as the Third Estate. Further, people from less-privileged walks of life were blocked from acquiring even petty positions of power in the regime, which caused further resentment.
Attempts at Reform
As the French state continuously struggled with the budget deficit, attempts to reform the skewed system took place under both Louis XIV and Louis XV. The greatest challenge to systemic change was an old bargain between the French crown and the nobility: the king could rule without much opposition from the nobility if only
he refrained from taxing them. Consequently, attempts to impose taxes on the privileged — both the nobility and the clergy —
were a great source of tension between the monarchy and the First and the Second Estates.
Already in
1648, when Louis XIV was still a minor and his mother Queen Anne acted as a regent and Cardinal Mazarin as her chief minister, the two attempted to tax members of the Parlement de Paris. The members not only refused to comply, but also ordered all of Mazarin’s earlier financial edicts burned. The later wars of Louis XIV, although successful politically and militarily, exhausted the state’s budget, which eventually led the King to accept reform proposals. Only towards the end of Louis’s reign did the French ministers supported by Madame De Maintenon (the King’s second wife) convince the King to change his fiscal policy.
Louis was willing to tax the nobles but unwilling to fall under their control, and only under extreme stress of war was he
able, for the first time in French history, to impose direct taxes on the
aristocracy. Several additional tax systems were created, including the “capitation” (begun in 1695), which touched every person including nobles and the clergy (although exemption could be bought for a large one-time sum) and the “dixième” (1710–17, restarted in 1733), enacted to support the military, which was a true tax on income and property value. This was a step toward equality before
the law and sound public finance, but so many concessions and exemptions
were won by nobles and bourgeois that the reform lost much of its value.
Louis XV continued the tax reform initiated by his predecessor.
Following
the advice of his mistress, Marquise de Pompadour, he supported the policy of
fiscal justice designed by Machault d’Arnouville. In order to finance the
budget deficit, in 1749 Machault d’Arnouville created a tax on the twentieth of all
revenues that affected the privileged classes as well as commoners.
Known as the “vingtième” (or “one-twentieth”), it was enacted to reduce the royal deficit. This tax continued throughout the Ancien Régime. It was based solely on revenues, requiring 5% of net earnings from land, property, commerce, industry, and official offices. It was meant to touch all citizens regardless of status. However, the clergy, the regions with “pays d’état,” and the parlements protested. Consequently, the clergy won exemption, the “pays d’état” won reduced rates, and the parlements halted new income statements, effectively making the “vingtième” a far less efficient tax than it was designed to be. The financial needs of the Seven Years’ War led to a second (1756–1780) and then a third (1760–1763) “vingtième” being created. With all the exemptions and reductions won by the privileged classes, however, the burden of the new tax once again fell on the poorest.
Historians consider the unjust taxation system continued under Louis XVI to be one of the causes of the French Revolution.
22.1.7: Territorial Losses
Louis XV’s controversial decision following the War of the Austrian Succession and his loss in the Seven Years’ War weakened the international position of France and lost most of its colonial holdings.
Learning Objective
Describe the land lost under Louis XV
Key Points
-
Louis XV inherited a country with a
reputation of a military, political, colonial, and cultural power. By the end
of his reign, however, the international opinion of France changed
dramatically, largely because of Louis’s controversial foreign policy. -
Louis XV entered the War of the Austrian Succession in 1741 on the side of Prussia in hopes of pursuing its own anti-Austrian
foreign policy goals. In Germany, the French
were forced back to the Rhine and their Bavarian allies were decisively
defeated. In the Netherlands,
France experienced much military success. By 1748, France
occupied the entire Austrian Netherlands (modern-day Belgium) as well as some
parts of the northern Netherlands, then the wealthiest area of Europe. -
Despite his victory, Louis XV, who wanted to
appear as an arbiter and not as a conqueror, agreed to restore all his
conquests back to the defeated enemies with chivalry at the Treaty of
Aix-la-Chapelle in 1748.
The attitude was internationally hailed, but at home the king became unpopular. -
In what is known as diplomatic revolution, the king overruled his ministers and
signed the Treaty of Versailles with Austria in 1756. The new Franco-Austrian alliance
would last intermittently for the next thirty-five years. In 1756, Frederick
the Great invaded Saxony without a declaration of war, initiating the Seven
Years’ War, and Britain declared war on France. -
The French military successes of the War of the
Austrian Succession were not repeated in the Seven Years’ War, except for a few
temporary victories. - The Treaty of Paris forced France to cede Canada, Dominica,
Grenada, Saint Vincent and the Grenadines, and Tobago to Britain. France also
ceded the eastern half of French Louisiana to Britain. In addition, while
France regained its trading posts in India, it recognized British clients as
the rulers of key Indian native states and pledged not to send troops to
Bengal.
Key Terms
- French and Indian War
-
A 1754–1763 conflict that comprised the North American theater of the worldwide Seven Years’ War of 1756-1763. The war pitted the colonies of British America against those of New France, with both sides supported by military units from their parent countries of Great Britain and France as well as by American Indian allies.
- Treaty of Paris of 1763
-
A 1763 treaty signed by the kingdoms of Great Britain, France, and Spain with Portugal in agreement, after Great Britain’s victory over France and Spain during the Seven Years’ War. The signing of the treaty formally ended the Seven Years’ War and marked the beginning of an era of British dominance outside Europe. Great Britain and France each returned much of the territory they had captured during the war, but Great Britain gained much of France’s possession in North America. Additionally, Great Britain agreed to protect Roman Catholicism in the New World. The treaty did not involve Prussia and Austria as they signed a separate agreement, the Treaty of Hubertusburg.
- War of the Austrian Succession
-
A war (1740–1748) that involved most of the powers of Europe over the question of Maria Theresa’s succession to the realms of the House of Habsburg. The war included King George’s War in North America, the War of Jenkins’ Ear, the First Carnatic War in India, the Jacobite rising of 1745 in Scotland, and the First and Second Silesian Wars. It began under the pretext that Maria Theresa was ineligible to succeed to the Habsburg thrones of her father, Charles VI.
- Seven Years’ War
-
A world war fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents and affecting Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other.
- Treaty of Aix-la-Chape
-
A 1748 treaty, sometimes called the Treaty of Aachen, that ended the War of the Austrian Succession following a congress assembled at the Free Imperial City of Aachen. The treaty was signed by Great Britain, France, and the Dutch Republic. Two implementation treaties were signed at Nice in 1748 and 1749 by Austria, Spain, Sardinia, Modena, and Genoa.
- diplomatic revolution
-
The reversal of longstanding alliances in Europe between the War of the Austrian Succession and the Seven Years’ War. Austria went from an ally of Britain to an ally of France. Prussia became an ally of Britain. It was part of efforts to preserve or upset the European balance of power.
Background
The reign of Louis XIV left the French state financially troubled but politically triumphant. Louis’s political and military victories as well as numerous cultural achievements helped raise France to a preeminent position in Europe. Europe came to admire France for its military and cultural successes, power, and sophistication. Europeans generally began to emulate French manners, values, and goods, and French became the universal language of the European elite. Louis XIV’s successor and great-grandson, Louis XV, inherited a country with a reputation of a military, political, colonial, and cultural power. By the end of his reign, however, the international opinion of France changed dramatically, largely because of Louis’s controversial foreign policy.
The War of the Austrian Succession
In 1740, the death of Emperor Charles VI and his succession by his daughter Maria Theresa started the War of the Austrian Succession. Sensing the vulnerability of Maria Theresa’s position, King Frederick the Great of Prussia invaded the Austrian province of Silesia in hopes of annexing it permanently. The elderly Cardinal Fleury had little energy left to oppose the war, which was strongly supported by the anti-Austrian party at court. Renewing the cycle of conflicts typical of Louis XIV’s reign, the king entered the war in 1741 on the side of Prussia in hopes of pursuing its own anti-Austrian foreign policy goals. The war would last seven years and Fleury did not live to see its end. After Fleury’s death in 1743, the king followed his predecessor’s example of ruling without a first minister. In Germany, the French were forced back to the Rhine and their Bavarian allies were decisively defeated. At one point Austria even considered launching an offensive against Alsace, before being compelled to retreat due to a Prussian offensive. In north Italy, the war stalled and did not produce significant results.
These fronts were of lesser importance than the front in the Netherlands. Here, France experienced much military success despite the king’s loss of his trusted advisor. Against an army composed of British, Dutch, and Austrian forces, the French were able to savor a series of major victories at the Battles of Fontenoy (1745), Rocoux (1746), and Lauffeld (1747). In 1746, French forces besieged and occupied Brussels, which Louis entered in triumph. By 1748, France occupied the entire Austrian Netherlands (modern-day Belgium) as well as some parts of the northern Netherlands, then the wealthiest area of Europe.
Despite his victories, Louis XV, who wanted to appear as an arbiter and not as a conqueror, agreed to restore all his conquests back to the defeated enemies with chivalry at the Treaty of Aix-la-Chapelle in 1748, arguing that he was “king of France, not a shopkeeper.” He thought it better to cultivate the existing borders of France rather than trying to expand them. The attitude was internationally hailed and he became known as the “arbiter of Europe.” At home, however, this decision, largely misunderstood by his generals and by the French people, made the king unpopular. The news that the king had restored the Southern Netherlands to Austria was met with disbelief and bitterness. Louis’s popularity was also threatened by public exposure of his marital infidelities, which likely could have been kept concealed had France not entered the War of the Austrian Succession (when taking personal command of his armies, the king brought along one of his mistresses). The military successes of the War of the Austrian Succession inclined the French public to overlook Louis’s adulteries, but after 1748, in the wake of the anger over the terms of the Treaty of Aix-la-Chapelle, pamphlets against the king’s mistresses became increasingly widely published and read.
Europe in the years after the Treaty of Aix-la-Chapelle in 1748
In the aftermath of the War of Austrian Succession in France, there was a general resentment at what was seen as a foolish throwing away of advantages (particularly in the Austrian Netherlands, which had largely been conquered by the brilliant strategy of Marshal Saxe), and the phrases Bête comme la paix (“Stupid as the peace”) and La guerre pour le roi de Prusse (“The war for the king of Prussia”) became popular in Paris.
Seven Years’ War
By 1755, a new European conflict was brewing. The Treaty of Aix-la-Chapelle turned out to be only a short-lived truce in the conflict between Austria and Prussia over the province of Silesia, while France and Britain were in conflict over colonial possessions. Indeed, the French and British were fighting without a declaration of war in the French and Indian War of 1754-1763. In 1755, the British seized 300 French merchant ships in violation of international law. A few months later, Great Britain and Prussia, enemies in the War of the Austrian Succession, signed a 1756 treaty of “neutrality.”
Frederick the Great had abandoned his French ally during the War of Austrian Succession by signing a separate peace treaty with Austria in 1745. At the same time, French officials realized that the Habsburg Empire of Maria Theresa of Austria was no longer the formidable challenge it had been when they controlled Spain and much of the rest of Europe. The new dangerous power looming on the horizon was Prussia. In what is known as diplomatic revolution, the king overruled his ministers and signed the Treaty of Versailles with Austria in 1756, putting an end to more than 200 years of conflict with the Habsburgs. The new Franco-Austrian alliance would last intermittently for the next thirty-five years. In 1756, Frederick the Great invaded Saxony without a declaration of war, initiating the Seven Years’ War, and Britain declared war on France.
The French military successes of the War of the Austrian Succession were not repeated in the Seven Years’ War, except for a few temporary victories. A French invasion of Hanover in 1757 resulted in a counter-attack that saw them driven out of the electorate. Plans for an invasion of Britain in 1759 were never carried out due to catastrophic naval defeats. French forces suffered disaster after disaster against the British in North America, the Caribbean, India, and Africa.
Map showing the 1750 possessions of Britain (pink), France (blue), and Spain (green) in North America and the Caribbean
In the aftermath of the lost Seven Years’ War, France lost most of its colonial holdings in North America and some, although not all, of its colonies in the Caribbean.
Treaty of Paris
During
the war, Great Britain conquered the French colonies of Canada, Guadeloupe,
Saint Lucia, Dominica, Grenada, Saint Vincent and the Grenadines, and Tobago, the
French trading posts in India, the slave-trading station at Gorée, the Sénégal
River and its settlements, and the Spanish colonies of Manila in the
Philippines and Havana in Cuba. France captured Minorca and British trading
posts in Sumatra while Spain captured the border fortress of Almeida in
Portugal and Colonia del Sacramento in South America.
In
the Treaty of Paris of 1763, which ended the Seven Years’ War, most of these territories were restored to their original owners, although Britain made considerable gains. France and Spain restored all their
conquests to Britain and Portugal. Britain restored Manila and Havana to Spain,
and Guadeloupe, Martinique, Saint Lucia, Gorée, and the Indian trading posts to
France. In return, France ceded Canada, Dominica, Grenada, Saint Vincent and
the Grenadines, and Tobago to Britain. France also ceded the eastern half of
French Louisiana to Britain. In addition, while France regained its trading posts in
India, it recognized British clients as the rulers of key Indian native
states and pledged not to send troops to Bengal. The
Treaty is sometimes noted as the point at which France gave
Louisiana to Spain. The transfer, however, occurred with the Treaty of
Fontainebleau (1762) but was not publicly announced until 1764. The Treaty
of Paris was to give Britain the east side of the Mississippi. New Orleans on the east side remained in French hands (albeit
temporarily). The Mississippi River corridor in what is modern day Louisiana
was to be reunited following the Louisiana Purchase in 1803 and the
Adams-Onís Treaty in 1819.
Territorial Gains
Although Louis XV failed to expand the French frontier, the large acquisition of Lorraine through diplomacy in 1766 contributed to his legacy. Furthermore, after a short period of Corsican sovereignty, France conquered the island but it was not incorporated into the French state until 1789.
22.1.8: The American Revolution
France supported the rebellious colonies (eventually the United States) during the American Revolution because it perceived the revolt as the embodiment of Enlightenment ideals and as an opportunity to curb British ambitions.
Learning Objective
Connect the American Revolution and French politics
Key Points
- The
origins of the French involvement in the American Revolution go back to the
British victory in the French and Indian War. France’s
loss in that war weakened its international position at the time when
Britain was becoming the most powerful European empire. The outbreak
of the American Revolution was thus seen in France as an opportunity to curb
British ambitions. -
From
the spring of 1776, France (together with Spain) was informally involved in the
American Revolutionary War by providing supplies, ammunition, and guns. The 1777 capture of a British army at Saratoga encouraged the French to formally enter
the war in support of Congress. -
Benjamin Franklin negotiated a permanent
military alliance in early 1778 and thus France became the first country
to officially recognize the Declaration of Independence. In 1778, the Treaty of
Amity and Commerce and the Treaty of Alliance were signed between the United
States and France. - France supported the United States in North America but as the enemy of Britain, it was also involved in the Caribbean and
Indian theaters of the American Revolution. -
France’s material gains in the aftermath of the
American Revolution were minimal, but its financial losses huge. The treaty with
France was mostly about exchanges of captured territory (France’s only net
gains were the islands of Tobago and Senegal in Africa). Historians link
the disastrous post-war financial state of the French state to the subsequent French Revolution. -
The American Revolution also serves as an
example of the transatlantic flow of ideas. At its ideological roots were
the ideals of the Enlightenment, many of which emerged in France and were
developed by French philosophers. Conversely, the American Revolution became
the first in a series of upheavals in the Atlantic that embodied the
ideals of the Enlightenment and thus inspired others to follow the
revolutionary spirit, including the French during their 1789 Revolution.
Key Terms
- Enlightenment
-
An intellectual movement which dominated the world of ideas in Europe in the 18th century. It included a range of ideas centered on reason as the primary source of authority and legitimacy, and came to advance ideals such as liberty, progress, tolerance, fraternity, constitutional government, and separation of church and state.
- French and Indian War
-
A 1754-1763 conflict that comprised
the North American theater of the worldwide Seven Years’ War of
1756-1763. The war pitted the colonies of British America against
those of New France, with both sides supported by military units from their
parent countries of Great Britain and France as well as by American Indian
allies. - Treaty of Paris of 1763
-
A 1763 treaty signed by the
kingdoms of Great Britain, France and Spain with Portugal in agreement, after
Great Britain’s victory over France and Spain during the Seven Years’ War. The
signing of the treaty formally ended the Seven Years’ War and marked the
beginning of an era of British dominance outside Europe. Great Britain and
France each returned much of the territory that they had captured during the war,
but Great Britain gained much of France’s possession in North America.
Additionally, Great Britain agreed to protect Roman Catholicism in the New
World. The treaty did not involve Prussia and Austria as they signed a separate
agreement, the Treaty of Hubertusburg. - Second Anglo-Mysore War
-
A 1780-1784 conflict between the Kingdom of Mysore and the British East India Company. At the time, Mysore was a key French ally in India, and the Franco-British war sparked Anglo-Mysorean hostilities in India. The great majority of soldiers on the company side were raised, trained, paid, and commanded by the company, not the British government.
- New France
-
The area colonized by France in North America during a period beginning with the exploration of the Saint Lawrence River by Jacques Cartier in 1534 and ending with the cession to Spain and Great Britain in 1763. At its peak in 1712, the territory extended from Newfoundland to the Rocky Mountains and from Hudson Bay to the Gulf of Mexico, including all the Great Lakes of North America.
France and the American Revolution: Background
The origins of the French involvement in the American Revolution go back to the British victory in the French and Indian War (1754–1763; the American theater in the Seven Years’ War).
The war pitted the colonies of British America against those of New France, with both sides supported by military units from their parent countries as well as by American Indians. As a result of the war, France ceded most of the territories of New France, except the islands of Saint Pierre and Miquelon, to Great Britain and Spain at the Treaty of Paris of 1763. Britain received Canada, Acadia, and the parts of French Louisiana which lay east of the Mississippi River – except for New Orleans, which was granted to Spain, along with the territory to the west – the larger portion of Louisiana. Consequently, France lost its position as a major player in North American affairs.
France’s loss in the war weakened its international position at the time when Britain began turning into the most powerful European empire. The outbreak of the American Revolution was thus seen in France as an opportunity to curb British ambitions. Furthermore, both the French general population and the elites supported the revolutionary spirit that many perceived as the incarnation of the Enlightenment ideals against the “English tyranny.” In political terms, the Revolution was seen in France as an opportunity to strip Britain of its North American possessions in retaliation for France’s loss a decade before.
French Involvement
From the spring of 1776, France and Spain were informally involved in the American Revolutionary War, with French admiral Latouche Tréville leading the process of providing supplies, ammunition, and guns from France.
In 1777, the British sent an invasion force from Canada to seal off New England as part of a grand strategy to end the war. The British army in New York City went to Philadelphia, capturing it from Washington. The invasion army under John Burgoyne waited in vain for reinforcements from New York and became trapped in northern New York state. It surrendered after the Battle of Saratoga in October 1777.
Surrender of General Burgoyne at the Battle of Saratoga, by John Trumbull, 1822.
A British army was captured at the Battle of Saratoga in late 1777 and in its aftermath, the French openly entered the war as allies of the United States. Estimates place the percentage of French-supplied arms to the Americans in the Saratoga campaign at up to 90%.
The capture of a British army at Saratoga encouraged the French to formally enter the war in support of Congress. Benjamin Franklin negotiated a permanent military alliance in early 1778 , making France the first country to officially recognize the Declaration of Independence. In 1778, the Treaty of Amity and Commerce and the Treaty of Alliance were signed between the United States and France. William Pitt, former British prime minister and Britain’s political leader during the Seven Years’ War, spoke out in parliament urging Britain to make peace in America and unite with America against France, while other British politicians who previously sympathized with colonial grievances now turned against the Americans for allying with Britain’s international rival and enemy. Later, Spain (in 1779) and the Dutch (1780) became allies of the French, leaving the British Empire to fight a global war without major international support.
The American theater became only one front in Britain’s war. The British were forced to withdraw troops from continental America to reinforce the valuable sugar-producing Caribbean colonies, which were considered more important.
British commander Sir Henry Clinton evacuated Philadelphia to reinforce New York City because of the alliance with France and the deteriorating military situation. General Washington attempted to intercept the retreating column, resulting in the Battle of Monmouth Court House, the last major battle fought in the north. After an inconclusive engagement, the British successfully retreated to New York City. The northern war subsequently became a stalemate, as the focus of attention shifted to the smaller southern theater.
The northern, southern, and naval theaters of the war converged in 1781 at Yorktown, Virginia.
The British army under Cornwallis marched to Yorktown, where they expected to be rescued by a British fleet. The fleet was there but so was a larger French fleet. The British returned to New York for reinforcements after the Battle of the Chesapeake, leaving Cornwallis trapped. In October 1781, the British surrendered their second invading army of the war under a siege by the combined French and Continental armies under Washington.
Surrender of Cornwallis at Yorktown, by John Trumbull, 1797.
In 1781, British forces moved through Virginia and settled at Yorktown, but their escape was blocked by a French naval victory in September. A combined Franco-American army launched a siege at Yorktown and captured more than 8,000 British troops in October. The defeat at Yorktown finally turned the British Parliament against the war and in early 1782 they voted to end offensive operations in North America.
France was also involved in the Caribbean and Indian theaters of the American Revolutionary War.
Although France lost St. Lucia early in the war, its navy dominated the Caribbean, capturing Dominica, Grenada, Saint Vincent, Montserrat, Tobago, St. Kitts, and Turks and Caicos between 1778 and 1782. Dutch possessions in the Caribbean and South America were captured by Britain but later recaptured by France and restored to the Dutch Republic. When word reached India in 1778 that France had entered the war, the British East India Company moved quickly to capture French trading outposts there. The capture of the French-controlled port of Mahé on India’s west coast motivated Mysore’s ruler, Hyder Ali, to start the Second Anglo-Mysore War in 1780. The French support was weak, however, and the
status quo ante bellum (“the state existing before the war”) 1784 Treaty of Mangalore ended the war. France’s trading posts in India were returned after the war.
Aftermath of the American Revolution for France
France’s material gains in the aftermath of the American Revolution were minimal but its financial losses huge. The treaty with France was mostly about exchanges of captured territory (France’s only net gains were the islands of Tobago and Senegal in Africa), but it also reinforced earlier treaties, guaranteeing fishing rights off Newfoundland. France, already in financial trouble, was economically exhausted by borrowing to pay for the war and using up all its credit. Its participation in the war created the financial disasters that marked the 1780s. Historians link those disasters to the coming of the French Revolution. Ironically,
while the peace in 1783 left France on the verge of an economic crisis, the British economy boomed thanks to the return of American business.
The American Revolution also serves as an example of the transatlantic flow of ideas. At its ideological roots were the ideals of the Enlightenment, many of which emerged in France and were developed by French philosophers. Conversely, the American Revolution became the first in a series of upheavals in the Atlantic that embodied the ideals of the Enlightenment and thus inspired others to follow the revolutionary spirit, including the French during their 1789 Revolution. The American Revolution was a powerful example of overthrowing an old regime for many Europeans who were active during the era of the French Revolution, and the American Declaration of Independence influenced the French Declaration of the Rights of Man and the Citizen of 1789.
22.2: Louis XVI’s Early Years
22.2.1: Louis XVI
Louis XVI, although highly educated and intellectually gifted, was seen by his contemporaries and is largely remembered as an individual of unimaginative and indecisive personality.
Learning Objective
Recall Louis XVI’s childhood and describe his character
Key Points
-
Louis XVI (1754 –
1793), born Louis-Auguste, was King of France from 1774 until his
deposition in 1792, although his formal title after 1791 was King of the
French. During his
childhood, Louis-Auguste was neglected by his parents who favored his older
brother, Louis, duc de Bourgogne. Considered brighter and more handsome than
his little brother, Louis, duc de Bourgogne died at the age of nine in
1761. -
A strong and healthy but
very shy Louis-Auguste was an intellectually curious and gifted student. Upon the death of his father, he became the new
Dauphin. The strict and conservative education he received
from the Duc de La Vauguyon, however, did
not prepare him for the throne that he was to inherit in 1774. -
In
1770, at age 15, Louis-Auguste married 14-year-old
Habsburg Archduchess Maria Antonia, the youngest daughter of the Holy Roman Emperor
Francis I and his wife Empress Maria Theresa of the Habsburg dynasty. The
French public was hostile towards the marriage that confirmed the Franco-Austrian alliance. -
Over time
the couple became closer, although their marriage was not consummated until
1777. The created a strain upon their marriage and the failure to produce children alerted the French public. -
When
Louis XVI succeeded to the throne in 1774, he had an
enormous responsibility as the government was deeply in debt and resentment of
“despotic” monarchy was on the rise. While none doubted Louis’s intellectual ability to rule
France, it was quite clear that, although raised as the Dauphin since 1765, he
lacked firmness and decisiveness. -
Historians
note the king had a rather dull personality. In addition to the extreme lack of
decisiveness demonstrated by his decisions regarding both domestic and
foreign policies, he has been described as quiet and shy but also conventional
and unimaginative.
Key Terms
- parlements
-
Provincial appellate courts in the
France of the Ancien Régime, i.e. before the French Revolution. They were
not legislative bodies but rather the court of final appeal of the judicial
system. They typically wielded much power over a wide range of subject matter,
particularly taxation. Laws and edicts issued by the Crown were not official in
their respective jurisdictions until assent was given by publication.
The members were aristocrats who had bought or inherited their offices and were
independent of the King. - Seven Years’ War
-
A world war fought between
1754 and 1763, the main conflict occurring in the seven-year period from 1756
to 1763. It involved every European great power of the time except the
Ottoman Empire, spanning five continents and affecting Europe, the Americas,
West Africa, India, and the Philippines. The conflict split Europe into two
coalitions, led by Great Britain on one side and France on the other. - Dauphin
-
The title given to the heir apparent to the throne of France from 1350 to 1791 and 1824 to 1830.
Louis XVI: Childhood
Louis XVI (1754 – 1793), born Louis-Auguste, was King of France from 1774 until his deposition in 1792, although his formal title after 1791 was King of the French. Out of seven children, he was the second son of Louis, the Dauphin of France, and thus the grandson of Louis XV and Maria Leszczyńska. His mother was Marie-Josèphe of Saxony, the daughter of Frederick Augustus II of Saxony, Prince-Elector of Saxony and King of Poland. During his childhood, Louis-Auguste was neglected by his parents who favored his older brother, Louis, duc de Bourgogne. Considered brighter and more handsome than his little brother,
the eldest son died at the age of nine in 1761.
A strong and healthy but very shy Louis-Auguste excelled at Latin, history, geography, and astronomy, and became fluent in Italian and English. Upon the death of his father, who died of tuberculosis in 1765, the eleven-year-old Louis-Auguste became the new Dauphin. His mother never recovered from the loss of her husband and died in 1767, also from tuberculosis. The strict and conservative education he received from the Duc de La Vauguyon, “gouverneur des Enfants de France” (governor of the Children of France), from 1760 until his marriage in 1770, did not prepare him for the throne that he was to inherit in 1774 after the death of his grandfather, Louis XV.
Marriage
In 1770 at age 15, Louis-Auguste married 14-year-old Habsburg Archduchess Maria Antonia (better known by the French form of her name, Marie Antoinette), the youngest daughter of the Holy Roman Emperor Francis I and his wife, Empress Maria Theresa of the Habsburg dynasty. The French public was hostile towards the marriage. France’s alliance with Austria pulled the country into the disastrous Seven Years’ War, in which it was defeated by the British both in Europe and in North America. By the time Louis-Auguste and Marie Antoinette were married, the French people were generally critical of the Franco-Austrian alliance and Marie-Antoinette was seen as an unwelcome foreigner.
For the young couple, the marriage was initially amiable but distant. Over time, the couple became closer, although their marriage was not consummated until 1777. The royal couple thus failed to produce children for several years after their wedding, which created a strain upon their marriage. The contemporary French public fervently debated why the royal couple failed to
produce an heir for so long, and historians have tried to identify the cause of why they failed to consummate their marriage for years. Eventually, in spite of their earlier difficulties, the royal couple became the parents of four children.
Louis XVI at the age of 20, by Joseph Duplessis, ca. 1775.
Louis’s indecisiveness and conservatism led some to view him as a symbol of the perceived tyranny of the Ancien Régime and his popularity deteriorated progressively, despite the king’s many decisions triggered by his desire to be loved by the public.
Louis XVI’s Personality
When Louis XVI succeeded to the throne in 1774, he was 19 years old. He had an enormous responsibility as the government was deeply in debt and resentment of “despotic” monarchy was on the rise. He felt woefully unqualified to resolve the situation. As king, Louis focused primarily on religious freedom and foreign policy. While none doubted Louis’s intellectual ability to rule France, it was quite clear that although raised as the Dauphin since 1765, he lacked firmness and decisiveness. His desire to be loved by his people is evident in the prefaces of many of his edicts, which often explained that his actions were intended to benefit the population. He aimed to earn the love of his people by reinstating the parlements. When questioned about his decision, he said, “It may be considered politically unwise, but it seems to me to be the general wish and I want to be loved.” Louis XVI believed that to be a good king, he had to, in his own words, “always consult public opinion; it is never wrong.”
Historians note the king had a rather dull personality. In addition to the extreme lack of decisiveness demonstrated by king’s decisions regarding both domestic and foreign policies, he has been described as quiet and shy but also conventional and unimaginative. His interest in locksmithing and carpentry as well as commitment to deepening his education (he had an impressive library) were seen as hobbies that he was more passionate about than about ruling France. Even the long period when the royal couple did not produce children was interpreted in light of Louis’s unimpressive personality. Contemporary pamphlets mocked the king’s perceived infertility and inability to satisfy his wife, who in turn was accused of extramarital affairs.
22.2.2: Marriage to Marie-Antoinette
Louis XVI and Marie Antoinette’s marriage confirmed and strengthened the Franco-Austrian alliance, which had many opponents among French elites and commoners.
Learning Objective
Explain the political reasons for the marriage of Marie-Antoinette and Louis XVI
Key Points
-
Maria Antonia (1755 – 1793), commonly known as
Marie Antoinette, was born in Vienna as the youngest daughter of Empress Maria
Theresa, ruler of the Habsburg Empire, and her husband Francis I, Holy Roman
Emperor. Her family connections made her the primary candidate for the wife of the Dauphin of France at the time of the Franco-Austrian alliance. -
Following the Seven Years’ War and the
Diplomatic Revolution of 1756, Maria Theresa and Louis XV’s common desire to
destroy the ambitions of Prussia and Great Britain and help secure a
definitive peace between them led them to seal their alliance with a marriage:
in 1770, Louis XV formally asked the hand of Maria Antonia for his eldest
surviving grandson, future Louis XVI. -
The French public was hostile towards the
marriage. France’s alliance with Austria had pulled the country into the
disastrous Seven Years’ War, in which it was defeated by the British, both in
Europe and in North America. By the time that Louis and Marie Antoinette were
married, the French were generally critical of the Austrian alliance, and many
saw Marie Antoinette as an unwelcome foreigner. -
At
the outset of the reign of Louis XVI, Marie Antoinette had limited political influence with her husband although she played an important role in introducing French meditation in the process of ending the War of Bavarian Succession. - Later, the queen’s political impact rose significantly. She played a key role in supporting the American Revolution and influenced nominations for critical state positions.
-
Maria Theresa died in 1780 and Marie
Antoinette feared that the death of her mother would jeopardize the
Franco-Austrian alliance (as well as, ultimately, herself), but her brother,
Joseph II, Holy Roman Emperor, assured her that he had no intention of breaking
the alliance.
Key Terms
- Seven Years’ War
-
A world war fought between 1754 and 1763,
the main conflict occurring in the seven-year period from 1756 to 1763. It
involved every European great power of the time except the Ottoman Empire,
spanning five continents and affecting Europe, the Americas, West Africa,
India, and the Philippines. The conflict split Europe into two coalitions, led
by Great Britain on one side and France on the other. - Diplomatic Revolution of 1756
-
The reversal of longstanding
alliances in Europe between the War of the Austrian Succession and the Seven
Years’ War. Austria went from an ally of Britain to an ally of France. Prussia
became an ally of Britain. It was part of efforts to preserve or upset the
European balance of power. - War of the Bavarian Succession
-
A 1778 – 1779 conflict between a Saxon-Prussian alliance and Austria to prevent the Habsburgs from acquiring the Electorate of Bavaria. Although the war consisted of only a few minor skirmishes, thousands of soldiers died from disease and starvation, earning the conflict the name Kartoffelkrieg (Potato War) in Prussia and Saxony.
- Dauphin
-
The title given to the heir apparent to the throne of France from 1350 to 1791 and 1824 to 1830.
Maria Antonia: Childhood
Maria Antonia (1755 – 1793), commonly known as Marie Antoinette, was born in Vienna as the youngest daughter of Empress Maria Theresa, ruler of the Habsburg Empire, and her husband Francis I, Holy Roman Emperor. Shortly after her birth, she was placed under the care of the Governess of the Imperial children, Countess von Brandeis. Despite the private tutoring she received, results of her schooling were less than satisfactory. At the age of ten, she could not write correctly in German or in any language commonly used at court, such as French and Italian. Conversations with her were stilted although she became a good musician. She played the harp, the harpsichord, and the flute, had a beautiful singing voice, and excelled at dancing.
Political Marriage
Following the Seven Years’ War and the Diplomatic Revolution of 1756, Empress Maria Theresa decided to end hostilities with her longtime enemy, King Louis XV of France. Their common desire to destroy the ambitions of Prussia and Great Britain and help secure a definitive peace between them led them to seal their alliance with a marriage: in 1770, Louis XV formally asked the hand of Maria Antonia for his eldest surviving grandson, future Louis XVI. Maria Antonia formally renounced all her rights to the Habsburg domains and was married to the Dauphin of France the same year. Upon her arrival in France, she adopted the French version of her name: Marie Antoinette.
The couple’s failure to produce children for several years placed a strain upon their marriage, exacerbated by the publication of obscene pamphlets mocking their infertility. The reasons behind the couple’s initial failure to have children were debated at that time and have been since.
The marriage was reportedly consummated in 1773 but historians have concluded it did not take place until 1777.
Eventually, in spite of their early difficulties, the royal couple became the parents of four children.
The French public was hostile towards the marriage. France’s alliance with Austria pulled the country into the disastrous Seven Years’ War, in which it was defeated by the British both in Europe and in North America. By the time that Louis and Marie Antoinette were married, the French were generally critical of the Austrian alliance and many saw Marie Antoinette as an unwelcome foreigner. Simultaneously, the Dauphine was beautiful, personable, and well-liked by the common people. Her first official appearance in Paris in 1773 was a resounding success.
In 1770,
Madame du Barry, Louis XV’s mistress with considerable political influence, was instrumental in ousting Étienne François, duc de Choiseul, who had helped orchestrate the Franco-Austrian alliance and Marie Antoinette’s marriage, and exiling his sister the duchesse de Gramont, one of Marie Antoinette’s ladies-in-waiting. Marie Antoinette was persuaded by her husband’s aunts to refuse to even acknowledge du Barry, but some saw this as a political blunder that jeopardized Austria’s interests at the French court. However, Marie Antoinette’s mother and the Austrian ambassador to France who was sending the Empress secret reports on Marie-Antoinette’s behavior, put Marie Antoinette under pressure and she grudgingly agreed to speak to Madame du Barry. Two days after the death of Louis XV in 1774, Louis XVI exiled Madame du Barry, pleasing his wife and aunts.
Marie Antoinette in a court dress worn over extremely wide panniers, Louise Élisabeth Vigée Le Brun (1778).
The queen spent heavily on fashion, luxuries, and gambling, although the country was facing a grave financial crisis. For her, Rose Bertin created dresses, hair styles such as poufs up to three feet high and the panache (bundle of feathers). She and her court also adopted the English fashion of dresses made of indienne (a material banned in France from 1686 until 1759), percale, and muslin. By the time of the Flour War of 1775, a series of riots against the high price of flour and bread, her reputation among the general public was damaged.
Political Influence
Upon the death of Louis XV in 1774, the Dauphin ascended the throne as King Louis XVI of France and Navarre, and Marie Antoinette became Queen of France and Navarre. At the outset, the new queen had limited political influence with her husband. Marie Antoinette’s first child, Marie-Thérèse Charlotte, was born in 1778, but in the middle of the queen’s pregnancy her brother made claims on the throne of Bavaria (the War of the Bavarian Succession). Marie Antoinette pleaded with her husband for the French to intercede on behalf of Austria. The Peace of Teschen (1779) ended the brief conflict, with the queen imposing French mediation on the demand of her mother and Austria’s gaining a territory of at least 100,000 inhabitants, a strong retreat from the early French position of hostility toward Austria with the impression, partially justified, that the queen sided with Austria against France.
The queen played a very important role in supporting the American Revolution by securing Austrian and Russian support for France, which resulted in the establishment of a neutral league that stopped Great Britain’s attack and by weighing in decisively for the nomination of Philippe Henri, marquis de Ségur, as Minister of War and Charles Eugène Gabriel de La Croix, marquis de Castries, Secretary of the Navy in 1780. The two helped George Washington in defeating the British in the American Revolutionary War, which ended in 1783.
In 1783, the queen also played a decisive role in the nomination of Charles Alexandre de Calonne as Controller-General of Finances, and of the baron de Breteuil as the Minister for the Maison du Roi (Minister of the Royal Household), making him perhaps the strongest and most conservative minister of the reign. As a result of these nominations, Marie Antoinette’s influence became paramount in government, and the new ministers rejected any major change to the structure of the old regime. More than that, the decree by de Ségur requiring four quarterings of nobility as a condition for the appointment of officers blocked the access of commoners to important positions in the armed forces.
Empress Maria Theresa died in 1780 and Marie Antoinette feared the death of her mother would jeopardize the Franco-Austrian alliance, but her brother, Joseph II, Holy Roman Emperor, assured her that he had no intention of breaking the alliance. Joseph II visited his sister in 1781 to reaffirm the Franco-Austrian alliance, but his visit was tainted with rumors that Marie Antoinette was sending money from the French treasury to Austria.
In the same year, Marie Antoinette gave birth to her second child, Louis Joseph Xavier François, Dauphin of France.
Despite the general celebration over the birth of the Dauphin, Marie Antoinette’s political influence, such as it was, did greatly benefit Austria. This together with the queen’s extravagant and expensive lifestyle contributed to her growing unpopularity.
22.2.3: The New Royals and Their People
Despite the initial sympathy of the commoners, Marie Antoinette quickly lost the approval of the French as her lavish lifestyle and pro-Austrian stance combined with Louis XVI’s failed reforms turned both the elites and the masses hostile towards the royals.
Learning Objective
Characterize the relationship between the royals and the French people at the beginning of Louis XVI’s reign
Key Points
-
Although nearly all royal marriages in Europe
were traditionally arranged around the political interests of
involved families, the marriage of Louis-Auguste and
Maria Antonia provoked very strong and ambiguous reactions in France. It aimed
to strengthen the union between France and Austria, but the French public was highly critical of the political alliance. -
Despite the common skepticism towards the
Franco-Austrian alliance, Marie Antoinette’s arrival in Paris provoked
excitement. She was beautiful, personable, and well-liked by the common people.
Her first official appearance in Paris in 1773 was a resounding success.
However, the popularity of the queen did not last long. - The queen’s
extravagant lifestyle soon
discouraged many, particularly in light of the country’s financial crisis and mass poverty. She spent heavily on fashion, luxuries, and gambling.
By the
time of the Flour War of 1775, a series of riots against the high price of flour
and bread, her reputation among the general public was damaged. -
Similarly, the queen’s role in French politics
contributed to the loss of initial popularity as Marie Antoinette was
consistently accused of influencing her husband’s decisions to disproportionately benefit Austria. -
The wealth and lavish
lifestyle that the royal couple provided for their favorites outraged most aristocratic families, who resented the influence of the selected few, and also fueled the increasing popular disapprobation
toward Marie Antoinette, mostly in Paris. -
The queen’s lifestyle continued to fuel her
increasingly negative public image. Her husband’s seeming approval of Marie
Antoinette’s choices, combined with his failed reforms and declining mental
health, only worsened the already hostile attitude of both the elites and masses.
Key Terms
- Seven Years’ War
-
A world war fought between
1754 and 1763, the main conflict occurring in the seven-year period from 1756
to 1763. It involved every European great power of the time except the
Ottoman Empire, spanning five continents and affecting Europe, the Americas,
West Africa, India, and the Philippines. The conflict split Europe into two
coalitions, led by Great Britain on one side and France on the other. - War of the Bavarian Succession
-
A 1778 – 1779 conflict between
a Saxon-Prussian alliance and Austria to prevent the Habsburgs from
acquiring the Electorate of Bavaria. Although the war consisted of only a few
minor skirmishes, thousands of soldiers died from disease and starvation,
earning the conflict the name Kartoffelkrieg (Potato War) in
Prussia and Saxony. - Kettle War
-
A military confrontation between the troops of the Holy Roman Empire and the Republic of the Seven Netherlands on October 8, 1784. Its name relates to the fact that the only shot fired hit a soup kettle.
- the Flour War
-
A wave of riots arising from April to May 1775 in France that followed an increase in grain prices and subsequently bread prices. The riots started after the police withheld grain from the royal stores but were also triggered by poor harvests in the summers of 1773 and 1774.
- Dauphin
-
The title given to the heir
apparent to the throne of France from 1350 to 1791 and 1824 to 1830.
The French Public and the Political Marriage
Although nearly all royal marriages in Europe were traditionally arranged around the political interests of involved families, the marriage of fifteen-year-old Louis-Auguste and fourteen-year-old Maria Antonia (better known by the French form of her name Marie Antoinette) provoked very strong and ambiguous reactions in France. As a daughter of the Holy Roman Emperor Francis I and Empress Maria Theresa, the head of the Habsburg Empire, Maria Antonia belonged to one of the most powerful royal families in Europe. Her marriage to the heir to the French throne aimed to strengthen the ongoing if still rather recent union between two empires that were at the time seen as the weaker players in the European balance of power. Louis XV and Maria Theresa’s common desire to destroy the ambitions of Prussia and Great Britain and help secure a definitive peace between the two old enemies were at the foundation of the marriage, but many among the French public were skeptical about the union. The alliance with Austria pulled France into the disastrous Seven Years’ War, in which it was defeated by the British both in Europe and in North America. By the time Louis-Auguste and Maria Antonia were married, the French people were generally critical of the Franco-Austrian alliance.
The Loss of Popularity
Despite the common skepticism towards the Franco-Austrian alliance, Marie Antoinette’s arrival in Paris provoked excitement. She was beautiful, personable, and well-liked by the common people. Her first official appearance in Paris in 1773 was a resounding success. However, the popularity of the queen did not last long.
Her extravagant lifestyle soon discouraged many, particularly in light of the country’s financial crisis and poverty of the masses. She spent heavily on fashion, luxuries, and gambling, including custom dresses, hair styles such as poufs up to three feet high, and the panache (bundle of feathers), all made by Rose Bertin. She and her court also adopted the English fashion of dresses made of indienne (a material banned in France from 1686 until 1759), percale, and muslin. By the time of the Flour War of 1775, a series of riots against the high price of flour and bread, her reputation among the general public was damaged.
Similarly, the queen’s role in French politics contributed to the loss of initial popularity as Marie Antoinette was consistently accused of influencing her husband’s decisions to disproportionately benefit Austria. In 1778, her brother and the Holy Roman Emperor Joseph II made claims on the throne
of Bavaria (the War of the Bavarian Succession). Marie Antoinette pleaded with her
husband for the French to intercede on behalf of Austria. The Peace of Teschen
(1779) ended the brief conflict, with the queen imposing French mediation on
the demand of her mother, and Austria gaining a territory of at least 100,000
inhabitants — a strong retreat from the early French position of hostility toward Austria with the impression, partially justified, that the queen sided
with Austria against France.
Empress
Maria Theresa died in 1780 and Marie Antoinette feared that the death of her
mother would jeopardize the Franco-Austrian alliance, but her brother assured her that he
had no intention of breaking the alliance. Joseph II visited his sister in 1781
to reaffirm the Franco-Austrian alliance, but his visit was tainted with rumors
that Marie Antoinette was sending money from the French treasury to Austria. In the
same year, Marie Antoinette gave birth to her second child, Louis Joseph Xavier
François, Dauphin of France. Despite the general celebration over the birth of
the Dauphin, Marie Antoinette’s political influence continued to benefit Austria, which contributed to her growing unpopularity.
During the Kettle War, in which her brother Joseph attempted to open the Scheldt River for naval passage, Marie Antoinette succeeded in obtaining a huge financial compensation to Austria. The queen was also able to get her brother’s support against Great Britain in the American Revolution and neutralized French hostility to his alliance with Russia.
Marie Antoinette dans son salon, Jean-Baptiste André Gautier-Dagoty, 1774.
France’s financial problems were the result of a combination of factors: expensive wars; a large royal family whose expenditures were paid for by the state; and the unwillingness of the privileged classes to help defray the costs of the government out of their own pockets by relinquishing some of their financial privileges. Yet the public perception was that Marie Antoinette had ruined the national finances. She was even given the nickname of “Madame Déficit.” While sole fault for the financial crisis did not lie with her, Marie Antoinette played a decisive role in the failure of radical reforms.
In 1782, after the governess of the royal children, the princesse de Guéméné, went bankrupt and resigned, Marie Antoinette appointed her favorite, the duchesse de Polignac, to the position. The decision met with disapproval from the court as the duchess was considered to be of too modest birth to occupy such an exalted position. On the other hand, both the king and the queen trusted de Polignac completely and gave her a thirteen-room apartment in Versailles and a generous salary. The entire Polignac family benefited greatly from the royal favor in titles and positions, but its sudden wealth and lavish lifestyle outraged most aristocratic families (who resented the Polignacs’ dominance at court) and fueled the increasing popular disapprobation toward Marie Antoinette, mostly in Paris.
The queen’s lifestyle continued to fuel her increasingly negative public image. Her husband’s seeming approval of Marie Antoinette’s choices, combined with his failed reforms and declining mental health, only worsened the already hostile attitude of both the elites and the masses. The aristocracy was angered by the king’s failed attempts to impose taxes on them while the masses, already in poverty, continued to carry the unjust burden of taxation. In 1783, the queen began to create her “hamlet,” a rustic retreat built by her favored architect Richard Mique. Its creation caused another uproar when the cost became widely known. A year later, Louis XVI bought the Château de Saint-Cloud from the duc d’Orléans in the name of his wife. The decision was unpopular, particularly with some factions of the nobility who disliked the queen but also with a growing percentage of the population who disapproved the idea of the queen owning a private residence independent of the king. The purchase of Saint-Cloud damaged the queen’s image even further. In the eyes of public opinion, the lavish spending of the royal family could not be disconnected from France’s disastrous financial condition.
The portrait
of Marie Antoinette and her three surviving children: Marie Thérèse, Louis Charles (on her lap), and Louis Joseph holding up the drape of an empty bassinet signifying the recent death of Marie’s fourth child, Louise Élisabeth
Vigée-Lebrun (1787).
The queen attempted to fight back her critics with propaganda portraying her as a caring mother, most notably in the painting by Élisabeth Vigée Le Brun exhibited at the Royal Académie Salon de Paris in August 1787.
22.2.4: Efforts at Financial Reform
Facing severe financial crisis, Louis XVI appointed three ministers who tried progressive reforms but failed under the pressure of opposition from the privileged classes of the society.
Learning Objective
Compare the efforts made by French finance ministers under Louis XVI to revitalize the French treasury
Key Points
-
While the later years of
Louis XV’s reign saw serious economic setbacks, it was not until 1775 that the French
economy began to enter a true crisis. With the government deeply in debt, Louis XVI was
forced to permit radical reforms. He felt unqualified to resolve the situation
and surrounded himself with experienced finance ministers. -
Anne
Robert Jacques Turgot was appointed Controller-General of Finances in 1774. His radical reforms met with fierce opposition although they were praised by intellectuals. His attacks on privilege won him the
hatred of the nobles and the parlements; his attempted
reforms in the royal household, that of the court; his free trade legislation,
that of the financiers; and his views on religious tolerance that of the clergy. - Marie Antoinette disliked Turgot for
opposing the granting of favors to her proteges, which played a key
role in the end of his career. -
In 1777, Jacques Necker
was made director-general of the finances. His greatest financial measures were
the use of loans to help fund the French debt and increasing interest rather than taxes. In 1781, he gave the
first-ever public record of royal finances, but the statistics were
completely false. In light of the opposition to reforms, Louis forced Necker to resign. Although he was recalled twice, he failed to introduce effective reforms. -
In
1783, Louis replaced Necker with Charles Alexandre de Calonne, who increased
public spending to buy the country way out of debt. Knowing the
Parlement of Paris would veto a single land tax payable by all landowners,
Calonne persuaded Louis XVI to call the Assembly of Notables to vote on his
referendum. - Calonne’s eventual reform package consisted of five major points:
cut government spending; create a revival of free trade methods; authorize the
sale of Church property; equalize salt and tobacco taxes; and establish a
universal land value tax. All
the proposed measures failed because of the powerlessness of the crown to
impose them. Under the pressure of the opposition, Louis XVI dismissed
Calonne in 1787.
Key Terms
- Assembly of Notables
-
A group of high-ranking nobles, ecclesiastics, and state functionaries convened by the King of France on extraordinary occasions to consult on matters of state.
- estates of the realm
-
The broad orders of social hierarchy used in Christendom (Christian Europe) from the medieval period to early modern Europe. Different systems for dividing society members into estates evolved over time. The best-known system is the French Ancien Régime (Old Regime), a three-estate system used until the French Revolution (1789–1799). It was made up of clergy (the First Estate), nobility (the Second Estate), and commoners (the Third Estate).
- Seven Years’ War
-
A world war fought between 1754 and 1763,
the main conflict occurring in the seven-year period from 1756 to 1763. It
involved every European great power of the time except the Ottoman Empire,
spanning five continents and affecting Europe, the Americas, West Africa,
India, and the Philippines. The conflict split Europe into two coalitions, led
by Great Britain on one side and France on the other. - parlements
-
Provincial appellate courts in the
France of the Ancien Régime, i.e. before the French Revolution. They were
not legislative bodies but rather the court of final appeal of the judicial
system. They typically wielded much power over a wide range of subject matter,
particularly taxation. Laws and edicts issued by the Crown were not official in
their respective jurisdictions until they gave assent by publication.
The members were aristocrats who had bought or inherited their offices and were
independent of the King. - Flour War
-
A wave of riots arising from April
to May 1775 in France that followed an increase in grain prices and
subsequently bread prices. The riots started after the police withheld
grain from the royal stores but were also triggered by poor harvests in the
summers of 1773 and 1774. - Estates-General
-
A general assembly representing the French estates of the realm: the clergy (First Estate), the nobles (Second Estate), and the common people (Third Estate).
Financial Crisis under Louis XVI
When Louis XVI succeeded to the throne in 1774, he was 19 years old. At the time, the government was deeply in debt and resentment of monarchy was on the rise.
While the later years of Louis XV’s reign saw serious economic setbacks and the Seven Years’ War (1756–1763) led to an increase in the royal debt and the loss of nearly all of France’s North American possessions, it was not until 1775 that the French economy began enter a true state of crisis. An extended reduction in agricultural prices over the previous twelve years, with dramatic crashes in 1777 and 1786, and climatic events such as the disastrous winters of 1785-1789, contributed to the problem. With the government deeply in debt, Louis XVI was forced to permit radical reforms.
He felt unqualified to resolve the situation and surrounded himself with experienced finance ministers.
Turgot: Radical Reform Approach
Anne Robert Jacques
Turgot was appointed Controller-General of Finances in 1774. His first act was to submit to the king a statement of his guiding principles: “No bankruptcy, no increase of taxation, no borrowing.” Turgot’s policy, in face of the desperate financial position, was to enforce the most rigid economy in all departments. All departmental expenses were to be submitted for the approval of the controller-general, while Turgot appealed personally to the king against the lavish giving of places and pensions. He also imposed certain conditions on leases as they were renewed or annulled, including those for the manufacture of gunpowder and the administration of the royal mails.
Turgot’s measures succeeded in considerably reducing the deficit and raised the national credit to such an extent that in 1776, just before his fall, he was able to negotiate a loan with Dutch bankers at 4% interest. Nonetheless, the deficit was still so large that it prevented him from substituting for indirect taxation a single tax on land. He suppressed, however, a number of octrois (a local tax collected on various articles brought into a district for consumption)
and minor duties, and opposed on grounds of economy, the participation of France in the American Revolutionary War, although without success.
Turgot also set to work to establish free trade in grain, but his edict (1774) met with strong opposition although it won the praise of intellectuals. Turgot was hated by those who were interested in speculations in grain, but his worst enemy was the poor harvest of 1774, which led to a rise in the price of bread in the winter and early spring of 1774–1775.
The so-called Flour War of 1775, a series of riots against
the high price of flour and bread, followed. Turgot showed great firmness in repressing the riots and the king loyally supported his decisions.
Portrait of Turgot by Antoine Graincourt, now in Versailles.
Turgot, originally considered a physiocrat, is today best remembered as an early advocate for economic liberalism.
All this time Turgot had been preparing his famous Six Edicts, which were finally presented in 1776. Two of them met with violent opposition: the edict suppressing forced unpaid labor and the edict suppressing certain rules by which the craft guilds maintained their privileges. In the preamble to the former, Turgot boldly announced the abolition of privilege and the subjection of all three estates to taxation (although the clergy were afterwards excepted).
Soon nearly everybody was against Turgot. His attacks on privilege won him the hatred of the nobles and the parlements; his attempted reforms in the royal household, that of the court; his free trade legislation, that of the financiers; and his views on tolerance and his agitation for the suppression of the phrase that was offensive to Protestants in the king’s coronation oath, that of the clergy. The queen disliked him for opposing the grant of favors to her proteges, which played a key role in the end of his career. With all his enemies, Turgot’s fall was certain. In 1776, he was ordered to resign.
Necker: Loans and Debt
In 1777,
Jacques
Necker was made director-general of the finances since he could not be controller because of his Protestant faith. He gained popularity by regulating the finances through modest tax and loan reforms. His greatest financial measures were his use of loans to help fund the French debt and raisin interest rates rather than taxes. He also advocated loans to finance French involvement in the American Revolution. From 1777 to 1781, Necker was essentially in control of all of France’s wealth. In 1781, he published a work (Compte rendu), in which he summarized governmental income and expenditures, giving the first-ever public record of royal finances. It was meant to create a well-informed, interested populace. However, the statistics presented by Necker were completely false and misleading. He wanted to show France in a strong financial position when the reality was actually bleak. France was suffering financially and Necker was blamed for the high debt accrued from the American Revolution. While at court, Necker made many enemies because of his reforming policies. Marie Antoinette was his most formidable enemy and following his wife’s pressure, Louis would become a factor in Necker’s resignation. The king would not reform taxation to bring in more money to cover debts, nor would he allow Necker to be a special adviser because this was strongly opposed by the ministers.
Yet in 1788, the country had been struck by both economic and financial crises, and Necker was called back to the office to stop the deficit and save France from financial ruin. He was seen as the savior of France while the country stood on the brink of ruin, but his actions could not stop the French Revolution. He put a stop to the rebellion in the Dauphiné by legalizing its assembly and then set to work to arrange for the summons of the Estates-General of 1789. He advocated doubling the representation of the Third Estate to satisfy the people. But he failed to address the matter of voting – rather than voting by head count, which is what the people wanted, voting remained as one vote for each estate. Necker was dismissed on July 11, 1789, three days before the storming of the Bastille.
The king recalled him on July 19 and Necker stayed in office until 1790, but his efforts to keep the financial situation afloat were ineffective. His popularity vanished and he resigned with a broken reputation.
Jacques Necker by
Joseph Duplessi. Original was exhibited at the Salon of 1783, now in the Château de Coppet.
When Necker was criticized by his enemies for the Compte rendu, he made public his “Financial Summary for the King,” which appeared to show that France had fought the war in America, paid no new taxes, and still had a massive credit of 10 million livres of revenue.
Callone: Reform Package
In 1783, Louis replaced Necker with Charles Alexandre de Calonne, who increased public spending to buy the country’s way out of debt. He took office when France was 110 million livres in debt, partly because of its involvement in the American Revolution, and had no means of paying it. At first he attempted to obtain credit and support the government through loans to maintain public confidence in its solvency. In 1785, he reissued the gold coinage and developed
reductions to a basic price of goods or services. Knowing the Parlement of Paris would veto a single land tax payable by all landowners, Calonne persuaded Louis XVI to call the Assembly of Notables to vote on his referendum. Calonne’s eventual reform package consisted of five major points: cut government spending; create a revival of free trade methods; authorize the sale of Church property; equalize salt and tobacco taxes; and establish a universal land value tax. While Turgot and Necker had attempted similar reforms, Calonne attributed their failure to the opposition of the parlements. Therefore, he called the Assembly of Notables in 1787, to which he presented his plan and the deficit in the treasury. Composed of the old regime’s social and political elite, the Assembly balked at the deficit presented to them and despite Calonne’s plan for reform and his backing from the king, they accused the controller-general of being responsible for the enormous financial strains.
All the proposed measures failed because of the powerlessness of the crown to impose them. As a last resort, Calonne proposed to the king the suppression of internal customs duties and argued in favor of the taxation of the property of nobles and clergy.
Under the pressure of the opposition, Louis XVI dismissed Calonne in 1787 and exiled him to Lorraine.
Portrait of de Calonne by Élisabeth-Louise Vigée-Le Brun (1784; London, Royal Collection).
Louis XVI dismissed Calonne in 1787 and exiled him to Lorraine. The joy was general in Paris where Calonne, accused of wishing to raise taxes, was known as Monsieur Déficit. Calonne soon afterwards left for Great Britain, and during his residence there kept up a polemical correspondence with Necker. After his dismissal, Calonne stated, “The King, who assured me a hundred times that he would support me with unshakable firmness, abandoned me, and I succumbed.”
22.3: The Beginning of Revolution
22.3.1: Calling the Estates-General
The Estates-General of 1789 was a general assembly representing the French estates of the realm summoned by Louis XVI to propose solutions to France’s financial problems. It ended when the Third Estate formed into a National Assembly, signaling the outbreak of the French Revolution.
Learning Objective
Analyze the reasons why Louis XVI called the Estates-General.
Key Points
-
The
Estates-General of 1789 was the first meeting
since 1614 of the French Estates-General, a general assembly representing the
French estates of the realm. Summoned by King Louis
XVI to propose solutions to his government’s financial problems, the
Estates-General convened for several weeks in May and June 1789. -
In 1787,
pressured by France’s desperate financial situation,the King convened an Assembly of Notables. France’s finance minister, Charles Alexandre de Calonne, hoped that if the Assembly supported proposed finance reforms, parlements would be forced to register them. The plan failed but the Assembly
insisted that the proposed reforms should be presented to the Estates-General. -
Louis
XVI convoked the Estates-General for
May 1789. The
King agreed to retain many of the divisive customs which had been the norm in
1614 but were intolerable to the Third Estate. The most controversial and
significant decision remained the nature of voting. -
On
May 5, 1789, the Estates-General convened. The following day, the Third Estate
discovered that the royal decree granting double representation also upheld traditional voting by orders. By
trying to avoid the issue of representation and focus solely on taxes, the
King and his ministers gravely misjudged the situation. -
On June 17, with the failure of efforts to
reconcile the three estates, the Third Estate declared themselves redefined as the
National Assembly, an assembly not of the estates but of the people. They
invited the other orders to join them, but made it clear that they intended to
conduct the nation’s affairs with or without them. - The King tried to resist but after failed
attempts to sabotage the Assembly and keep the three estates separate, the Estates-General ceased to exist, becoming the National Assembly.
Key Terms
- Tennis Court Oath
-
An oath taken on June 20, 1789, by the members of the French Estates-General for the Third Estate who had begun to call themselves the National Assembly, vowing “not to separate, and to reassemble wherever circumstances require, until the constitution of the kingdom is established.” It was a pivotal event in the early days of the French Revolution.
- parlements
-
Provincial appellate courts in the France of
the Ancien Régime, i.e. before the French Revolution. They were not
legislative bodies but rather the court of final appeal of the judicial system.
They typically wielded much power over a wide range of subject matter,
particularly taxation. Laws and edicts issued by the Crown were not official in
their respective jurisdictions until assent was given by publication.
The members were aristocrats who had bought or inherited their offices and were
independent of the King. - estates of the realm
-
The broad orders of social
hierarchy used in Christendom (Christian Europe) from the medieval period to
early modern Europe. Different systems for dividing society members into
estates evolved over time. The best-known system is the French
Ancien Régime (Old Regime), a three-estate system used until the
French Revolution (1789–1799). It was made up of clergy (the First Estate),
nobility (the Second Estate), and commoners (the Third Estate). - Estates-General
-
A general assembly representing the
French estates of the realm: the clergy (First Estate), the nobles (Second
Estate), and the common people (Third Estate). - Assembly of Notables
-
A group of high-ranking nobles,
ecclesiastics, and state functionaries convened by the King of France on
extraordinary occasions to consult on matters of state.
The Estates-General (or States-General) of 1789 was the first meeting since 1614 of the general assembly representing the French estates of the realm: the clergy (First Estate), the nobles (Second Estate), and the common people (Third Estate). Summoned by King Louis XVI to propose solutions to his government’s financial problems, the Estates-General sat for several weeks in May and June 1789.
Assembly of Notables of 1787
An Assembly of Notables was a group of high-ranking nobles, ecclesiastics, and state functionaries convened by the King of France on extraordinary occasions to consult on matters of state. Throughout the history of modern France, such an assembly was convened only several times, serving a consultative purpose. Unlike the States-General, whose members were elected by the subjects of the realm, the assemblymen were selected by the king and were prominent men, usually of the aristocracy. In 1787, pressured by France’s desperate financial situation, the King convened an assembly. Repeated attempts to implement tax reform failed due to lack of the Parlement of Paris support, as parlement judges felt that any increase in tax would have a direct negative effect on their own income. In response to this opposition, the finance minister
Charles
Alexandre de
Calonne suggested that Louis XVI call an Assembly of Notables. While the Assembly had no legislative power in its own right, Calonne hoped that if it supported the proposed reforms, parlement would be forced to register them. Most historians argue that the plan failed because the assemblymen, whose privileges the plan aimed to curb, refused to bear the burden of increased taxation, although some have noted that the nobles were quite open to changes but rejected the specifics of Calonne’s proposal. In addition, the Assembly insisted that the proposed reforms should actually be presented to a representative body such as the Estates-General.
Estates-General of 1789
Louis XVI convened the Estates-General in 1788, setting the date of its opening for May 1, 1789. Because it had been so long since the Estates-General had been brought together, there was a debate as to which procedures should be followed. The King agreed to retain many of the divisive customs which were the norm in 1614 but intolerable to the Third Estate at a time when the concept of equality was central to public debate. The most controversial and significant decision remained that of the nature of voting. If the estates voted by order, the nobles and the clergy could together outvote the commons by 2 to 1. If, on the other hand, each delegate was to have one vote, the majority would prevail.
The number of delegates elected was about 1,200, half of whom formed the Third Estate. The First and Second Estates had 300 each. But French society had changed since 1614, and these Estates-General were not like those of 1614. Members of the nobility were not required to stand for election to the Second Estate and many were elected to the Third Estate. The total number of nobles in the three Estates was about 400. Noble representatives of the Third Estate were among the most passionate revolutionaries, including Jean Joseph Mounier and the comte de Mirabeau.
On May 5, 1789, the Estates-General convened. The following day, the Third Estate discovered that the royal decree granting double representation also upheld the traditional voting by orders. The apparent intent of the King and his advisers was for everyone to get directly to the matter of taxes, but by trying to avoid the issue of representation they had gravely misjudged the situation. The Third Estate wanted the estates to meet as one body and for each delegate to have one vote. The other two estates, while having their own grievances against royal absolutism, believed – correctly, as history would prove – that they would lose more power to the Third Estate than they stood to gain from the King. Necker sympathized with the Third Estate in this matter but lacked astuteness as a politician. He decided to let the impasse play out to the point of stalemate before he would enter the fray. As a result, by the time the King yielded to the demand of the Third Estate, it seemed to to be a concession wrung from the monarchy rather than a gift that would have convinced the populace of the King’s goodwill.
Painting by Auguste Couder showing the opening of the Estates-General, ca. 1838.
The suggestion to summon the Estates General came from the Assembly of Notables installed by the King in February 1787. It had not met since 1614. The usual business of registering the King’s edicts as law was performed by the Parlement of Paris. In 1787, it refused to cooperate with Charles Alexandre de Calonne’s program of badly needed financial reform, due to the special interests of its noble members.
On June 17, with the failure of efforts to reconcile the three estates, the Communes – or the Commons, as the Third Estate called itself now – declared themselves redefined as the National Assembly, an assembly not of the estates but of the people. They invited the other orders to join them but made it clear that they intended to conduct the nation’s affairs with or without them. The King tried to resist. On June 20, he ordered to close the hall where the National Assembly met, but deliberations moved to a nearby tennis court, where they proceeded to swear the Tennis Court Oath by which they agreed not to separate until they had settled the constitution of France. Two days later, removed from the tennis court as well, the Assembly met in the Church of Saint Louis, where the majority of the representatives of the clergy joined them. After a failed attempt to keep the three estates separate, that part of the deputies of the nobles who still stood apart joined the National Assembly at the request of the King. The Estates-General ceased to exist, becoming the National Assembly.
22.3.2: Establishment of the National Assembly
Following the storming of
the Bastille on July 14, the National Assembly became the effective government
and constitution drafter that ruled until passing the 1791 Constitution, which turned
France into a constitutional monarchy.
Learning Objective
Critique the National Assembly, its establishment, and its goals
Key Points
- After the Third Estate discovered that the royal decree granting
double representation upheld the traditional voting by orders, its
representatives refused to accept the imposed rules and proceeded to meet
separately. On June 17, with the failure of efforts to reconcile the three
estates, the Third Estate declared themselves redefined as the National
Assembly, an assembly not of the estate but of the people. -
After Louis XVI’s failed attempts to sabotage the Assembly and to
keep the three estates separate, the Estates-General ceased to exist, becoming
the National Assembly. It renamed itself the National Constituent Assembly on
July 9 and began to function as a governing body and constitution-drafter.
Following the storming of the Bastille on July 14, the National Assembly became
the effective government of France. -
The leading forces of the Assembly at this time were the
conservative foes of the revolution (“The Right”);
the Monarchiens inclined toward arranging France along lines similar
to the British constitution model; and “the Left,” a group still
relatively united in support of revolution and democracy. A critical figure in
the Assembly was Abbé Emmanuel Joseph Sieyès, who authored a pamphlet called “What
Is the Third Estate?” -
In August 1789, the National Constituent Assembly abolished
feudalism and published the Declaration of the Rights of Man and of the Citizen, but the financial crisis continued largely unaddressed and the deficit only
increased. -
In November, the Assembly suspended the old judicial system
and declared the property of the Church to be “at the disposal of the
nation.” In 1790, religious orders were dissolved and the Civil
Constitution of the Clergy, which turned the remaining clergy into employees of
the state, was passed. -
In the turmoil of the revolution, the Assembly members gathered
the various constitutional laws they had passed into a single constitution and
submitted it to recently restored Louis XVI, who accepted it. Under the
Constitution of 1791, France would function as a constitutional monarchy.
Key Terms
- What Is the Third Estate?
-
A political pamphlet written in January 1789, shortly before the outbreak of the French Revolution, by French thinker and clergyman Abbé Emmanuel Joseph Sieyès. The pamphlet was Sieyès’ response to finance minister Jacques Necker’s invitation for writers to state how they thought the Estates-General should be organized.
- Declaration of the Rights of Man and of the Citizen
-
A
fundamental document of the French Revolution and in the history of human and civil rights, passed by France’s National Constituent Assembly in August 1789. It was influenced by the doctrine of natural right, stating that the rights of man are held to be universal. It became the basis for a nation of free individuals protected equally by law. - Tennis Court Oath
-
An oath taken on June
20, 1789, by the members of the French Estates-General for the Third Estate, who
had begun to call themselves the National Assembly, vowing “not to
separate, and to reassemble wherever circumstances require, until the constitution
of the kingdom is established.” It was a pivotal event in the early days
of the French Revolution. - estates of the realm
-
The broad orders of
social hierarchy used in Christendom (Christian Europe) from the medieval
period to early modern Europe. Different systems for dividing society members
into estates evolved over time. The best-known system is the
French Ancien Régime (Old Regime), a three-estate system used until the French
Revolution (1789–1799). It was made up of clergy (the First Estate), nobility
(the Second Estate), and commoners (the Third Estate). - Estates-General
-
A general assembly
representing the French estates of the realm: the clergy (First Estate), the
nobles (Second Estate), and the common people (Third Estate).
From Estates General to National Assembly
The Estates-General, convened by Louis XVI to deal with France’s financial crisis,
assembled on May 5, 1789. Its members were elected to represent the estates of the realm: the First Estate (the clergy), the Second Estate (the nobility), and the Third Estate (the commoners) but the Third Estate had been granted “double representation” (twice as many delegates as each of the other estates).
However, the following day, the Third Estate discovered
that the royal decree granting double representation also upheld the
traditional voting by orders.
That meant that the nobles and
the clergy could together outvote the commoners by 2 to 1. If, on the other hand,
each delegate was to have one vote, the majority would prevail. As a result, double representation was meaningless in terms of power. The Third Estate refused to accept the imposed rules and proceeded to meet separately, calling themselves the Communes (“Commons”).
On June 17, with the failure of efforts to
reconcile the three estates,
the Third Estate declared themselves redefined as the
National Assembly, an assembly not of the estates but of the people. They
invited the other orders to join them, but made it clear that they intended to
conduct the nation’s affairs with or without them. The King tried to resist. On
June 20, he ordered to close the hall where the National Assembly met, but
the deliberations were moved to a nearby tennis court, where they
proceeded to swear the Tennis Court Oath by which they agreed not to separate
until they had settled the constitution of France. After Louis XVI’s failed attempts to sabotage the Assembly and keep the three estates
separate, the Estates-General ceased to exist, becoming the National
Assembly.
Drawing by Jacques-Louis David of the Tennis Court Oath.
The oath was both a revolutionary act and an assertion that political authority derived from the people and their representatives rather than from the monarch himself. Their solidarity forced Louis XVI to order the clergy and the nobility to join with the Third Estate in the National Assembly to give the illusion that he controlled the National Assembly. The Oath signified for the first time that French citizens formally stood in opposition to Louis XVI, and the National Assembly’s refusal to back down forced the king to make concessions.
National Constituent Assembly
The Assembly renamed itself the National Constituent Assembly on July 9
and began to function as a governing body and a constitution-drafter. Following the storming of the Bastille on July 14, the National Assembly (sometimes called the Constituent Assembly) became the effective government of France. The number of delegates increased significantly during the election period, but many deputies took their time arriving, some of them reaching Paris as late as 1791. The majority of the Second Estate had a military background and the Third Estate was dominated by men of legal professions. This suggests that while the Third Estate was referred to as the commoners, its delegates belonged largely to the bourgeoisie and not the most-oppressed lower classes.
The leading forces of the Assembly were the conservative foes of the revolution (later known as “The Right”); the Monarchiens (“Monarchists,” also called “Democratic Royalists”) allied with Jacques Necker and inclined toward arranging France along lines similar to the British constitution model; and “the Left” (also called “National Party”), a group still relatively united in support of revolution and democracy, representing mainly the interests of the middle classes but strongly sympathetic to the broader range of the common people.
A critical figure in the Assembly and eventually for the French Revolution was Abbé Emmanuel Joseph Sieyès, who for a time managed to bridge the differences between those who wanted a constitutional monarchy and those who wished to move in more democratic (or even republican) directions. In January 1789, Sieyès authored a pamphlet What Is the Third Estate?, a response to finance minister Jacques Necker’s invitation for writers to state how they thought the Estates-General should be organized. In it he argues that the Third Estate – the common people of France – constituted a complete nation within itself and had no need for the “dead weight” of the two other orders, the clergy and aristocracy. Sieyès stated that the people wanted genuine representatives in the Estates-General, equal representation to the other two orders taken together, and votes taken by heads and not by orders. These ideas had an immense influence on the course of the French Revolution.
Work of the Assembly
On August 4, 1789, the National Constituent Assembly abolished feudalism (action triggered by numerous peasant revolts), sweeping away both the seigneurial rights of the Second Estate and the tithes (a 10% tax for the Church) collected by the First Estate. During the course of a few hours, nobles, clergy, towns, provinces, companies, and cities lost their special privileges. Originally the peasants were supposed to pay for the release of seigneurial dues, but the majority refused to pay and in 1793 the obligation was cancelled.
On August 26, 1789, the Assembly published the Declaration of the Rights of Man and of the Citizen, which comprised a statement of principles rather than a constitution with legal effect.
Influenced by the doctrine of natural right, it stated that the rights of man were held to be universal, becoming the basis for a nation of free individuals protected equally by law. Simultaneously, the Assembly continued to draft a new constitution. Amid the Assembly’s preoccupation with constitutional affairs (many competing ideas were debated), the financial crisis continued largely unaddressed and the deficit only increased. The Assembly gave Necker complete financial dictatorship.
The old judicial system, based on the 13 regional parliaments, was suspended in November 1789 and officially abolished in September 1790.
In an attempt to address the financial crisis, the Assembly declared, on November 2, 1789, that the property of the Church was “at the disposal of the nation.” Thus the nation had now also taken on the responsibility of the Church, which included paying the clergy and caring for the poor, the sick, and the orphaned. In December, the Assembly began to sell the lands to the highest bidder to raise revenue. Monastic vows were abolished, and in February 1790 all religious orders were dissolved. Monks and nuns were encouraged to return to private life. The Civil Constitution of the Clergy, passed in July 1790, turned the remaining clergy into employees of the state.
In the turmoil of the revolution, the Assembly members gathered the various constitutional laws they had passed into a single constitution and submitted it to recently restored Louis XVI, who accepted it, writing “I engage to maintain it at home, to defend it from all attacks from abroad, and to cause its execution by all the means it places at my disposal.” The King addressed the Assembly and received enthusiastic applause from members and spectators. With this capstone, the National Constituent Assembly adjourned in a final session on September 30, 1791.
Under the Constitution of 1791, France would function as a constitutional monarchy.
22.3.3: The Storming of the Bastille
The medieval fortress, armory, and political prison in Paris known as the Bastille became a symbol of the abuse of the monarchy. Its fall on July 14, 1789 was the flashpoint of the French Revolution.
Learning Objective
Explain the swell of popular emotion that led to the storming of the Bastille
Key Points
-
During
the reign of Louis XVI, France faced a major economic crisis,
exacerbated by a regressive system of taxation. On May 5, 1789, the
Estates-General convened to deal with this issue, but were held back by archaic
protocols that disadvantaged the Third Estate (the commoners). On June 17,
1789, the Third Estate reconstituted themselves as the National Assembly, a
body whose purpose was the creation of a French constitution. -
Paris, close to insurrection, showed wide
support for the Assembly. The press published the Assembly’s debates while
political discussions spread into the public squares and halls of the capital.
The Palais-Royal and its grounds became the site of an ongoing meeting. The
crowd, on the authority of the meeting at the Palais-Royal, broke open the
prisons of the Abbaye to release some grenadiers of the French guards,
reportedly imprisoned for refusing to fire on the people. -
On July 11, 1789, with troops distributed across
the Paris area, Louis XVI dismissed and banished his finance minister,
Jacques Necker, who had been sympathetic to the Third Estate. News of Necker’s
dismissal reached Paris on July 12.
Crowds gathered throughout Paris, including more than ten thousand at the
Palais-Royal. -
Among
the troops under the royal authority, there were foreign mercenaries, most
notably Swiss and German regiments, that were seen as less likely to be
sympathetic to the popular cause than ordinary French soldiers. By early
July, approximately half of the 25,000 regular troops in Paris and Versailles
were drawn from these foreign regiments. -
On
the morning of July 14, 1789, the city of Paris was in a state of alarm. At
this point, the Bastille was nearly empty, housing only seven prisoners. Amid the tensions of July 1789, the building
remained as a symbol of royal tyranny. -
The
crowd gathered outside around mid-morning, calling for the surrender of the
prison, the removal of the cannon, and the release of the arms and gunpowder.
Following failed mediation efforts, gunfire began, apparently
spontaneously, turning the crowd into a mob. Governor de Launay opened the gates to the inner courtyard,
and the conquerors swept in to liberate the fortress at 5:30.
Key Terms
- National Assembly
-
A revolutionary assembly formed by the representatives of the Third Estate (the common people) of the Estates-General that existed from June 13 to July 9, 1789. After July 9, it was known as the National Constituent Assembly although popularly the shorter form persisted.
- Estates-General
-
A general assembly representing the
French estates of the realm: the clergy (First Estate), the nobles (Second
Estate), and the common people (Third Estate).
Storming of the Bastille: Background
During the reign of Louis XVI, France faced a major economic crisis, partially initiated by the cost of intervening in the American Revolution and exacerbated by a regressive system of taxation. On May 5, 1789, the Estates-General convened to deal with this issue, but were held back by archaic protocols that disadvantaged the Third Estate (the commoners). On June 17, 1789, the Third Estate reconstituted themselves as the National Assembly, a body whose purpose was the creation of a French constitution. The king initially opposed this development, but was forced to acknowledge the authority of the assembly, which subsequently renamed itself the National Constituent Assembly on July 9.
Paris, close to insurrection, showed wide support for the Assembly. The press published the Assembly’s debates while political discussions spread into the public squares and halls of the capital. The Palais-Royal and its grounds became the site of an ongoing meeting. The crowd, on the authority of the meeting at the Palais-Royal, broke open the prisons of the Abbaye to release some grenadiers of the French guards, reportedly imprisoned for refusing to fire on the people. The Assembly recommended the imprisoned guardsmen to the clemency of the king, They returned to prison and received pardon. The rank and file of the regiment now leaned toward the popular cause.
Social Unrest
On July 11, 1789, with troops distributed across the Paris area, Louis XVI, acting under the influence of the conservative nobles of his privy council, dismissed and banished his finance minister, Jacques Necker, who had been sympathetic to the Third Estate. News of Necker’s dismissal reached Paris on July 12. The Parisians generally presumed that the dismissal marked the start of a coup by conservative elements. Liberal Parisians were further enraged by the fear that royal troops would attempt to shut down the National Constituent Assembly, which was meeting in Versailles. Crowds gathered throughout Paris, including more than ten thousand at the Palais-Royal. Among the troops under the royal authority were foreign mercenaries, most notably Swiss and German regiments, that were seen as less likely to be sympathetic to the popular cause than ordinary French soldiers. By early July, approximately half of the 25,000 regular troops in Paris and Versailles were drawn from these foreign regiments.
During the public demonstrations that started on July 12, the multitude displayed busts of Necker and Louis Philippe II, Duke of Orléans (of the House of Bourbon, the ruling dynasty of France, who actively supported the French Revolution). The crowd clashed with royal troops and unrest grew. The people of Paris expressed their hostility against state authorities by attacking customs posts blamed for causing increased food and wine prices, and started to plunder any place where food, guns, and supplies could be hoarded. That night, rumors spread that supplies were being hoarded at Saint-Lazare, a huge property of the clergy, which functioned as convent, hospital, school, and even a jail. An angry crowd broke in and plundered the property, seizing 52 wagons of wheat which were taken to the public market. That same day, multitudes of people plundered many other places, including weapon arsenals. The royal troops did nothing to stop the spreading of social chaos in Paris during those days.
Storming of the Bastille
On the morning of July 14, 1789, the city of Paris was in a state of alarm. The partisans of the Third Estate in France, now under the control of the Bourgeois Militia of Paris (soon to become Revolutionary France’s National Guard), earlier stormed the Hôtel des Invalides without significant opposition with the intention of gathering weapons held there. The commandant at the Invalides had in the previous few days taken the precaution of transferring 250 barrels of gunpowder to the Bastille for safer storage.
At this point, the Bastille was nearly empty, housing only seven prisoners.
The cost of maintaining a garrisoned medieval fortress for so limited a purpose led to a decision, made shortly before the disturbances began, to replace it with an open public space.
Amid the tensions of July 1789, the building remained as a symbol of royal tyranny.
The crowd gathered outside around mid-morning, calling for the surrender of the prison, the removal of the cannon, and the release of the arms and gunpowder. Two representatives of the crowd outside were invited into the fortress and negotiations began. Another was admitted around noon with definite demands. The negotiations dragged on while the crowd grew and became impatient. Around 1:30 p.m., the crowd surged into the undefended outer courtyard. A small party climbed onto the roof of a building next to the gate to the inner courtyard and broke the chains on the drawbridge. Soldiers of the garrison called to the people to withdraw but in the noise and confusion these shouts were misinterpreted as encouragement to enter. Gunfire began, apparently spontaneously, turning the crowd into a mob.
“The Storming of the Bastille” by Jean-Pierre Houël, Bibliothèque Nationale de France.
A 2013 analysis of the Bastille dimensions showed that it did not tower over the neighborhood as was depicted in the paintings but was a comparable height.
The firing continued and a substantial force of Royal Army troops encamped on the Champs de Mars did not intervene. With the possibility of mutual carnage suddenly apparent, Governor de Launay ordered a cease-fire at 5 p.m.. A letter offering his terms was handed out to the besiegers through a gap in the inner gate. His demands were refused, but de Launay nonetheless capitulated as he realized that with limited food stocks and no water supply his troops could not hold out much longer. He accordingly opened the gates to the inner courtyard, and the conquerors swept in to liberate the fortress at 5:30 p.m.
The king first learned of the storming only the next morning through the Duke of La Rochefoucauld. “Is it a revolt?” asked Louis XVI. The duke replied: “No sire, it’s not a revolt; it’s a revolution.”
22.3.4: The Declaration of the Rights of Man
The Declaration of the Rights of Man and of the Citizen, passed by France’s National Constituent Assembly in August 1789, is a fundamental document of the French Revolution that granted civil rights to some commoners, although it excluded a significant segment of the French population.
Learning Objective
Identify the main points in the Declaration of the Rights of Man
Key Points
-
The Declaration of the Rights of Man and of
the Citizen (1791) is a fundamental document of the French
Revolution and in the history of human and civil rights. The
inspiration and content of the document emerged largely from the ideals of the
American Revolution. The key drafts were prepared by General Lafayette, working
at times with his close friend Thomas Jefferson. - The concepts in the Declaration come from the tenets
of the Enlightenment, including individualism,
the social contract as theorized by Jean-Jacques Rousseau, and the separation of powers espoused by Montesquieu.
The spirit of secular natural law rests at the foundations of the Declaration. -
At
the time of writing, the rights contained in the declaration were only awarded
to men. Furthermore, the declaration was a statement of vision rather than
reality as it was not deeply rooted in the practice of the West or even
France at the time. It embodied ideals toward which France
pledged to aspire in the future. -
While the French Revolution provided rights to a
larger portion of the population, there remained a distinction between those
who obtained the political rights in the Declaration of the Rights of Man and
Citizen and those who did not. Those who were deemed to hold these rights were called active citizens, a designation granted to men who
were French, at least 25 years old, paid taxes equal to three days of work, and
could not be defined as servants. -
Tensions
arose between active and passive citizens throughout the Revolution and the
question of women’s rights emerged as particularly prominent. The Declaration
did not recognize women as active citizens. The absence of women’s rights prompted Olympe de
Gouges to publish the Declaration of the Rights of Woman and the Female Citizen
in September 1791. -
The
Declaration did not revoke the institution of slavery, as lobbied for by
Jacques-Pierre Brissot’s Les Amis des Noirs and defended by the group of
colonial planters called the Club Massiac. However, it played an important rhetorical role in the Haitian Revolution.
Key Terms
- social contract
-
A theory or model that originated during the Age of Enlightenment that typically addresses the questions of the origin of society and the legitimacy of the authority of the state over the individual. Its arguments typically posit that individuals have consented, either explicitly or tacitly, to surrender some of their freedoms and submit to the authority of the ruler or magistrate (or to the decision of a majority) in exchange for protection of their remaining rights. The question of the relation between natural and legal rights, therefore, is often an aspect of this theory. The term comes from a 1762 book by Jean-Jacques Rousseau which discussed this concept.
- separation of powers
-
A model for the governance of a state (or who controls the state) first developed in ancient Greece. Under this model, the state is divided into branches, each with separate and independent powers and areas of responsibility so that the powers of one branch are not in conflict with the powers associated with the other branches. The typical division of branches is legislative, executive, and judiciary.
- natural law
-
A philosophy that certain rights or values are inherent by virtue of human nature and can be universally understood through human reason. Historically, natural law refers to the use of reason to analyze both social and personal human nature to deduce binding rules of moral behavior. Although it is often conflated with common law, the two are distinct. Common law is not based on inherent rights, but is the legal tradition whereby certain rights or values are legally recognized by virtue of already having judicial recognition or articulation.
- March on Versailles
-
A march began during the French Revolution among women in the marketplaces of Paris who, on the morning of October 5, 1789, were near rioting over the high price and scarcity of bread. Their demonstrations quickly became intertwined with the activities of revolutionaries, who were seeking liberal political reforms and a constitutional monarchy for France. The market women and their various allies grew into a crowd of thousands. Encouraged by revolutionary agitators, they ransacked the city armory for weapons and marched to the Palace of Versailles.
- The Declaration of the Rights of Man and of
the Citizen -
A fundamental document of the
French Revolution and in the history of human and civil rights passed
by France’s National Constituent Assembly in August 1789. It was
influenced by the doctrine of natural right, stating that the rights of man are
held to be universal. It became the basis for a nation of free individuals
protected equally by law.
Intellectual Context
The Declaration of the Rights of Man and of
the Citizen (August 1791) is a fundamental document of the French
Revolution and in the history of human and civil rights. The
inspiration and content of the document emerged largely from the ideals of the
American Revolution. The key drafts were prepared by General Lafayette, working
at times with his close friend Thomas Jefferson, who drew heavily upon The Virginia Declaration
of Rights drafted in May 1776 by George Mason (which was based in part on the
English Bill of Rights 1689), as well as Jefferson’s own drafts for the
American Declaration of Independence. In August 1789, Honoré Mirabeau played a
central role in conceptualizing and drafting the Declaration of the Rights of
Man and of the Citizen.
The
Declaration emerged from the tenets of the Enlightenment, including individualism,
the social contract as theorized by Jean-Jacques Rousseau, and the separation of powers espoused by Montesquieu.
The spirit of secular natural law rests at the foundations of the Declaration.
Unlike traditional natural law theory, secular natural law does not draw from religious
doctrine or authority. The document defines a single set of individual and
collective rights for all men. Influenced by the doctrine of natural rights,
these rights are held to be universal and valid in all times and
places. Correspondingly, the role of government, carried on by elected
representatives, is to recognize and secure these rights.
Thomas
Jefferson — the primary author of the U.S. Declaration of Independence —was in France as a U.S. diplomat and worked closely with Lafayette on designing
a bill of rights for France. In the ratification by the states of the U.S.
Constitution in 1788, critics demanded a written Bill of Rights.
In response, James Madison’s proposal for a U.S. Bill of Rights was
introduced in New York in June 1789, 11 weeks before the French declaration.
Considering the 6 to 8 weeks it took news to cross the Atlantic, it is possible
that the French knew of the American text, which emerged
from the same shared intellectual heritage. The same people took part in
shaping both documents: Lafayette admired Jefferson, and Jefferson, in turn,
found Lafayette an important political and intellectual partner.
Natural
Rights
At
the time of writing, the rights contained in the declaration were only awarded
to men. Furthermore, the declaration was a statement of vision rather than
reality as it was not deeply rooted in the practice of the West or even
France at the time. It embodied ideals toward which France
aspired to struggle in the future.
In
the second article, “the natural and imprescriptible rights of man”
are defined as “liberty, property, security and resistance to oppression.”
It demanded the destruction of aristocratic privileges by proclaiming an end to
feudalism and exemptions from taxation. It also called for freedom and equal
rights for all human beings (referred to as “Men”) and access to
public office based on talent. The monarchy was restricted and all citizens
had the right to take part in the legislative process. Freedom of
speech and press were declared and arbitrary arrests outlawed. The Declaration
also asserted the principles of popular sovereignty, in contrast to the divine
right of kings that characterized the French monarchy, and social equality
among citizens, eliminating the special rights of the nobility and clergy.
The Declaration of the Rights of Man and of the Citizen of 1789 by Jean-Jacques-François Le Barbier.
The Declaration is included in the preamble of the constitutions of both the Fourth French Republic (1946) and Fifth Republic (1958) and is still current. Inspired by the American Revolution and also by the Enlightenment philosophers, the Declaration was a core statement of the values of the French Revolution and had a major impact on the development of freedom and democracy in Europe and worldwide.
Limitations
While
the French Revolution provided rights to a larger portion of the population,
there remained a distinction between those who obtained the political rights in
the Declaration of the Rights of Man and Citizen and those who did not. Those
who were deemed to hold these political rights were called active citizens, a designation granted to men who were French, at least 25 years old,
paid taxes equal to three days of work, and could not be defined as servants. This
meant that at the time of the Declaration only male property owners held these
rights. The category of passive citizens was created to encompass those
populations that the Declaration excluded from political rights. In the end,
the vote was granted to approximately 4.3 out of 29 million Frenchmen. Women,
slaves, youth, and foreigners were excluded.
Tensions
arose between active and passive citizens throughout the Revolution and the
question of women’s rights emerged as particularly prominent. The Declaration
did not recognize women as active citizens despite the fact that after the
March on Versailles on October 5, 1789, women
presented the Women’s Petition to the National Assembly, in which they proposed
a decree giving women equal rights. In 1790, Nicolas de Condorcet and Etta Palm
d’Aelders unsuccessfully called on the National Assembly to extend civil and
political rights to women. The absence of women’s rights prompted Olympe de
Gouges to publish the Declaration of the Rights of Woman and the Female Citizen
in September 1791. Modeled on the Declaration of the Rights of Man and of the
Citizen, it exposes the failure of the French Revolution, which had been devoted
to equality.
The Declaration did not revoke the institution of slavery, as lobbied for by Jacques-Pierre Brissot’s Les Amis des Noirs and defended by the group of colonial planters called the Club Massiac. Thousands of slaves in Saint-Domingue, the most profitable slave colony in the world, engaged in uprisings (with critical attempts beginning also in August 1791) that would be known as the first successful slave revolt in the New World. Slavery in the French colonies was abolished by the Convention dominated by the Jacobins in 1794. However, Napoleon reinstated it in 1802. In 1804, the colony of Saint-Domingue became an independent state, the Republic of Haiti.
Legacy
The Declaration, together with the American Declaration of
Independence, Constitution, and Bill of Rights, inspired in large part the 1948
United Nations Universal Declaration of Human Rights. It has also influenced
and inspired rights-based liberal democracy throughout the world. It was
translated as soon as 1793–1794 by Colombian Antonio Nariño, who published it
despite the Inquisition and was sentenced to be imprisoned for ten years for
doing so. In 2003, the document was listed on UNESCO’s Memory of the World
register.
22.3.5: The March on Versailles
Concerned over the high price and scarcity of bread, women from the marketplaces of Paris led the March on Versailles
on October 5, 1789. This became one of the most significant events of the French Revolution, eventually forcing the royals to return to Paris.
Learning Objective
Describe the March on Versailles
Key Points
- The Women’s March on Versailles was one of the earliest and most significant events of the French Revolution. On the morning of October 5, 1789, women were near rioting in the Paris marketplace over the high price and scarcity of bread. Their demonstrations quickly became intertwined with the activities of revolutionaries, who were seeking liberal political reforms and a constitutional monarchy for France.
- At the end of the Ancien Régime, the fear of famine became an ever-present dread for the lower strata of the Third Estate. Rumors swirled that foods, especially grain, were purposely withheld from the poor for the benefit of the privileged. While the march turned into a more general revolutionary upsurge, this fear remained at its roots.
- Despite its post-revolutionary mythology, the march was not a spontaneous event. Speakers at the Palais-Royal mentioned it regularly, but the final trigger was a royal banquet on October 1 at which the officers at Versailles welcomed the officers of new troops, a customary practice when a unit changed its garrison. The lavish banquet was reported in newspapers as nothing short of a gluttonous orgy, which outraged the commoners.
- On the morning of October 5, a young woman struck a marching drum at the edge of a group of market women who were infuriated by the chronic shortage and high price of bread. As more and more women and men arrived, the crowd grew to more than 7,000 individuals. One of the men was Stanislas-Marie Maillard, a prominent conqueror of the Bastille who by unofficial acclamation was given a leadership role.
- Although the fighting ceased quickly and the royal troops had cleared the palace attacked by the revolutionaries, the crowd was still everywhere outside. Lafayette convinced the king and later the queen to address the crowd, which calmed the participants of the march. However, the revolutionaries forced the royals to return to Paris.
- As a result of the march, the monarchist faction in the Assembly effectively lost its significance, Robespierre raised his public profile considerably, Lafayette found himself tied too closely to the king; Maillard returned to Paris with his status as a local hero made permanent. For the women of Paris, the march became the climax of revolutionary hagiography. The royals were effectively trapped in Paris.
Key Terms
- Pacte de Famine
-
A conspiracy theory adopted by many in France during the 18th century. The theory held that foods, especially grain, were purposely withheld for the benefit of privileged interest groups. During this period, French citizens obtained much of their nourishment from grain.
- flight
to Varennes -
An attempted escape from Paris during the night of June 20-21, 1791 by King Louis XVI of France, his queen Marie Antoinette, and their immediate family
in order to initiate a counter-revolution at the head of loyal troops under royalist officers concentrated at Montmédy near the frontier. - Great Fear
-
A general panic that took place between July 17 and August 3, 1789, at the start of the French Revolution. Rural unrest had been present in France since the worsening grain shortage of the spring. Fueled by rumors of an aristocratic “famine plot” to starve or burn out the population, both peasants and townspeople mobilized in many regions.
- March on Versailles
-
Taking place on October 5, 1789, one of the earliest and most significant events of the French Revolution. Women in the marketplaces of Paris were near rioting over the high price and scarcity of bread. Their demonstrations quickly became intertwined with the activities of revolutionaries, who were seeking liberal political reforms and a constitutional monarchy for France.
- National Assembly
-
A revolutionary assembly that existed from June 13 to July 9, 1789, and was formed by the representatives of the Third Estate (the common people) of the Estates-General.
March on Versailles:
Background
The Women’s March on Versailles,
also known as The October March, The October Days, or simply The March on
Versailles, was one of the earliest and most significant events of the French
Revolution. On the morning of October 5, 1789, women in the marketplaces of Paris were near rioting over the high price and
scarcity of bread. Their demonstrations quickly became intertwined with the
activities of revolutionaries seeking liberal political reforms and a
constitutional monarchy for France.
At
the end of the Ancien Régime, the fear of famine became an
ever-present dread for the lower strata of the Third Estate. Rampant rumors of a conspiracy theory held
that foods, especially grain, were purposely withheld from the poor for the
benefit of the privileged (the Pacte de Famine). Stories of a plot to destroy wheat
crops in order to starve the population provoked the so-called Great Fear in the
summer of 1789.
Despite
its post-revolutionary mythology, the march was not a spontaneous
event. Speakers at the Palais-Royal mentioned it regularly and the idea of
a march on Versailles had been widespread. The final trigger came from a royal
banquet held on October 1 at which the officers at Versailles welcomed the officers
of new troops, a customary practice when a unit changed its garrison. The royal
family briefly attended the affair. The lavish banquet was reported in
newspapers as nothing short of a gluttonous orgy. Worst of all, the papers dwelt scornfully on the reputed desecration of the tricolor cockade; drunken officers
were said to have stamped upon this symbol of the nation and professed their
allegiance solely to the white cockade of the House of Bourbon. This embellished
tale of the royal banquet became the source of intense public outrage.
The Day of the March
On
the morning of October 5, a young woman struck a marching drum at the edge of a
group of market women who were infuriated by the chronic shortage and high
price of bread. From their starting point in the markets of the eastern section
of Paris, the angry women forced a nearby church to toll its bells. More women
from other nearby marketplaces joined in, many bearing kitchen blades and other
makeshift weapons. As more women and men arrived, the crowd
outside the city hall reached between 6,000 and 7,0000 and perhaps as
high as 10,000. One of the men was Stanislas-Marie Maillard, a
prominent conqueror of the
Bastille, who by unofficial acclamation was given a leadership role.
When
the crowd finally reached Versailles, members of the National Assembly greeted the
marchers and invited Maillard into their hall. As he spoke, the restless
Parisians came pouring into the Assembly and sank exhausted on the deputies’
benches. Hungry, fatigued, and bedraggled from the rain, they seemed to confirm
that the siege was mostly a demand for food. With few other options available, the President of the
Assembly, Jean Joseph Mounier, accompanied a deputation of market-women into the
palace to see the king. A group of six women were escorted into the
king’s apartment, where they told him of the crowd’s privations. The king
responded sympathetically and after this brief but pleasant meeting,
arrangements were made to disburse some food from the royal stores with more
promised. Some in the crowd felt that their goals had been
satisfactorily met.
However,
at about 6 a.m., some
of the protesters discovered a small gate to the palace was unguarded. Making
their way inside, they searched for the queen’s bedchamber. The royal guards
fired their guns at the intruders, killing a young member of the crowd.
Infuriated, the rest surged towards the breach and streamed inside.
Although
the fighting ceased quickly and the royal troops cleared the palace, the crowd
was still everywhere outside. Lafayette (commander-in-chief of the National
Guard), who had earned the court’s indebtedness, convinced the king to address
the crowd. When the two men stepped out on a balcony an unexpected cry went up:
“Vive le Roi!” The relieved king briefly conveyed his
willingness to return to Paris. After the king withdrew, the exultant crowd
would not be denied the same accord from the queen and her presence was
demanded loudly. Lafayette brought her to the same balcony, accompanied by her
young son and daughter. However pleased it may have been by the royal
displays, the crowd insisted that the king come back with them to Paris. At
about 1 p.m. on October 6, the vast throng escorted the
royal family and a complement of 100 deputies back to the capital, this
time with the armed National Guards leading the way.
An illustration of the Women’s March on Versailles, October 5, 1789, author unknown.
The march symbolized a new balance of power that displaced the ancient privileged orders of the French nobility and favored the nation’s common people, collectively termed the Third Estate. Bringing together people representing sources of the Revolution in their largest numbers yet, the march on Versailles proved to be a defining moment of that Revolution.
Consequences of the March
The
rest of the National Constituent Assembly followed the king within two weeks to
new quarters in Paris, excepting 56 pro-monarchy deputies. Thus, the march effectively deprived the monarchist faction of
significant representation in the Assembly as most of these deputies
retreated from the political scene. Conversely, Robespierre’s impassioned
defense of the march raised his public profile considerably. Lafayette, though
initially acclaimed, found he had tied himself too closely to the king. As
the Revolution progressed, he was hounded into exile by the radical leadership.
Maillard returned to Paris with his status as a local hero made
permanent. For the women of Paris, the march became the source of
apotheosis in revolutionary hagiography. The “Mothers of the Nation”
were highly celebrated upon their return and would be praised and
solicited by successive Parisian governments for years to come.
Louis
attempted to work within the framework of his limited powers after the women’s
march but won little support, and he and the royal family remained virtual
prisoners in the Tuileries. Desperate, he made his abortive flight
to Varennes in
June 1791. Attempting to escape and join with royalist armies, the king was
once again captured by a mixture of citizens and national guardsmen who hauled
him back to Paris.
22.4: Constitutional Monarchy
22.4.1: The Constitution of 1791
The Constitution of 1791, the first written constitution of France, turned the country into a constitutional monarchy following the collapse of the absolute monarchy of the Ancien Régime.
Learning Objective
Deconstruct the government established by the Constitution of 1791
Key Points
-
One of the stated goals of the National Assembly
formed by the Third Estate on June 13, 1789, was to write a constitution. A
twelve-member Constitutional Committee was convened on July 14, 1789, to
draft most of the articles of the constitution.
Many proposals for redefining the French state
were floated. -
The main early controversies surrounded the
level of power to be granted to the king of France and the form the legislature would take. Another critical question was whether every subject of the French Crown would be given equal rights as the Declaration of
Rights of Man and Citizen theoretically promised. -
A
second body, the Committee of Revisions, was created in September 1790. Because
the National Assembly was both a legislature and a constitutional convention, this committee was formed to sort out whether its decrees were constitutional articles or mere
statutes. The
committee became very important in the days after the Champs de Mars Massacre, when one of its members used his position to preserve a
number of powers of the Crown. -
A new
constitution was reluctantly accepted by Louis XVI in September 1791.
It abolished many institutions defined as
“injurious to liberty and equality of rights.”
The National Assembly was the legislative body, the king and royal ministers
made up the executive branch, and the judiciary was independent of the other
two branches. On a local level, previous feudal geographic divisions were
formally abolished and the territory of the French state was divided into
several administrative units with the principle of
centralism. The king was allowed a suspensive veto to balance out the interests of the
people. - The constitution was not egalitarian by today’s
standards. It distinguished between the active citizens (male property
owners of certain age) and the passive citizens. All women were deprived of
rights and liberties, including the right to education and freedom to speak,
write, print, and worship. - Following the onset of French Revolutionary Wars and the August
10 Insurrection, a National Convention declared France a republic on September 22, 1792,
which meant that France needed a new constitution a year after agreeing on the 1791 Constitution.
Key Terms
- National Assembly
-
A revolutionary assembly formed by
the representatives of the Third Estate (the common people) of the
Estates-General that existed from June 13 to July 9, 1789. After July 9, it was
known as the National Constituent Assembly although popularly the shorter
form persisted. - French Revolutionary Wars
-
A series of sweeping military conflicts from 1792 until 1802, resulting from the French Revolution. They pitted the French First Republic against Britain, Austria and several other monarchies. They are divided into two periods: the War of the First Coalition (1792–1797) and the War of the Second Coalition (1798–1802). Initially confined to Europe, the fighting gradually assumed a global dimension as the political ambitions of the Revolution expanded.
- August 10 Insurrection
-
One of the defining events in the history of the French Revolution, the storming of the Tuileries Palace by the National Guard of the insurrectional Paris Commune and revolutionary fédérés from Marseilles and Brittany resulted in the fall of the French monarchy. King Louis XVI and the royal family took shelter with the Legislative Assembly, which was suspended. The formal end of the monarchy that occurred six weeks later was one of the first acts of the new National Convention.
- Champs de Mars Massacre
-
A massacre that took place on July 17, 1791, in Paris in the midst of the French Revolution. Two days before, the National Constituent Assembly issued a decree that Louis XVI would remain king under a constitutional monarchy. This decision came after Louis XVI and his family unsuccessfully tried to flee France in the Flight to Varennes the month before. Later that day, leaders of the republicans in France rallied against this decision, eventually leading royalist Lafayette to order the massacre.
- Paris Commune
-
During the French Revolution, the government of Paris from 1789 until 1795. Established in the Hôtel de Ville just after the storming of the Bastille, it consisted of 144 delegates elected by the 48 divisions of the city. It became insurrectionary in the summer of 1792, essentially refusing to take orders from the central French government. It took charge of routine civic functions but is best known for mobilizing extreme views. It lost much of its power in 1794 and was replaced in 1795.
- Feuillants
-
A political group that emerged during the French Revolution and consisted of monarchists and reactionaries who sat on the right of the Legislative Assembly of 1791. It came into existence when the left-wing Jacobins split between moderates who sought to preserve the position of the king and supported the proposed plan of the National Assembly for a constitutional monarchy and radicals (Jacobins) who wished to press for a continuation of direct democratic action to overthrow Louis XVI.
- March on Versaille
-
A march that started on the morning of October 5, 1789, among women in the marketplaces of Paris who were near rioting over the high price and scarcity of bread.
Their demonstrations quickly became intertwined with the activities of
revolutionaries, who were seeking liberal political reforms and a
constitutional monarchy for France. The market women and their various
allies grew into a crowd of thousands. Encouraged by revolutionary agitators,
they ransacked the city armory for weapons and marched to the Palace of
Versailles. - Declaration of Rights of Man and Citizen
-
A fundamental document of the
French Revolution and in the history of human and civil rights passed
by France’s National Constituent Assembly in August 1789. It was
influenced by the doctrine of natural right, stating that the rights of man are
held to be universal. It became the basis for a nation of free individuals
protected equally by law.
Constitution of 1791: Drafting Process
One of the stated goals of the National Assembly formed by the Third Estate on June 13, 1789, was to write a constitution. A 12-member Constitutional Committee was convened on July 14, 1789 (coincidentally the day of the Storming of the Bastille) to draft most of the articles of the constitution. It originally included two members from the First Estate, two from the Second, and four from the Third. Many proposals for redefining the French state were floated, particularly in the days after the remarkable sessions of August 4 and 5 when feudalism was abolished. For instance, the Marquis de Lafayette proposed a combination of the American and British systems, a bicameral parliament with the king having the suspensive veto power over the legislature modeled on the authority then recently vested in the President of the United States.
The main early controversies surrounded the level of power that should be granted to the king of France and the form the legislature would take (i.e.: unicameral or bicameral). The Constitutional Committee proposed a bicameral legislature, but the motion was defeated in favor of one house. They also proposed an absolute veto, but were again defeated in favor of a suspensive veto, which could be overridden by three consecutive legislatures.
A second Constitutional Committee quickly replaced the first one. It included three members from the original group as well as five new members, all of the Third Estate. The greatest controversy faced by the new committee surrounded citizenship. The critical question was whether every subject of the French Crown would be given equal rights, or would there be some restrictions? The March on Versailles (October 5-6), led by women from marketplaces around Paris, rendered the question even more complicated. In the end, a distinction between active citizens who held political rights (males over the age of 25 who paid direct taxes equal to three days’ labor) and passive citizens, who had only civil rights, was drawn. Some radical deputies, such as Maximilien Robespierre, could not accept the distinction.
A second body, the Committee of Revisions, was created in September 1790. Because the National Assembly was both a legislature and a constitutional convention, the Committee of Revisions was required to sort out whether its decrees were constitutional articles or mere statutes. It was the task of the Committee of Revisions to sort it out. The committee became very important in the days after the Champs de Mars Massacre (July 17, 1791), when a wave of opposition against popular movements swept France and resulted in a renewed effort to preserve powers of the Crown. The result was the rise of the Feuillants, a new political faction led by Antoine Barnave, one of the Committee’s members who used his position to preserve a number of powers of the Crown, including the nomination of ambassadors, military leaders, and ministers.
Acceptance and Administration
After very long negotiations, a new constitution was reluctantly accepted by Louis XVI in September 1791. Redefining the organization of the French government, citizenship, and the limits to the powers of government, the National Assembly set out to represent the interests of the public. It abolished many institutions defined as “injurious to liberty and equality of rights.” The National Assembly asserted its legal presence as part of the French government by establishing its permanence in the Constitution and forming a system of recurring elections. The National Assembly was the legislative body, the king and royal ministers made up the executive branch, and the judiciary was independent of the other two branches. On a local level, previous feudal geographic divisions were formally abolished and the territory of the French state was divided into several administrative units (Départements), but with the principle of centralism.
As framers of the constitution, the Assembly was concerned that if only representatives governed France, they were likely to be motivated by their own self-interests. Therefore, the king was allowed a suspensive veto to balance out the interests of the people. By the same token, representative democracy weakened the king’s executive authority. However, the constitution was not egalitarian by today’s standards. It distinguished between the active citizens (male property owners of certain age) and the passive citizens. All women were deprived of rights and liberties, including the right to education, freedom to speak, write, print, and worship.
The first page of the French Constitution of 1791, Archives Nationales.
The short-lived French Constitution of 1791 was the first written constitution in France, created after the collapse of the absolute monarchy of the Ancien Régime. One of the basic precepts of the revolution was adopting constitutionality and establishing popular sovereignty.
Effectiveness
With the onset of French Revolutionary Wars and the involvement of foreign powers in the conflict, radical Jacobin and ultimately republican conceptions grew enormously in popularity, increasing the influence of Robespierre, Danton, Marat and the Paris Commune. When the King used his veto powers to protect non-juring priests and refused to raise militias in defense of the revolutionary government, the constitutional monarchy proved unacceptable to radical revolutionaries and was effectively ended by the August 10 Insurrection. A National Convention was called, electing Robespierre as its first deputy. It was the first assembly in France elected by universal male suffrage. The convention declared France a republic on September 22, 1792, which meant that France needed a new constitution.
22.4.2: Politics within the Revolutionaries
Over the course of the Revolution, the original revolutionary movement known as the Jacobins split into more and less radical factions, the most important of which were the Feuillants (moderate; pro-royal),
the Montagnards (radical) and the Girondins (moderate; pro-republic).
Learning Objective
Distinguish between the different blocs within the new government
Key Points
-
The Legislative Assembly consisted of 745 members, mostly from the middle class. The rightists
within the assembly consisted of about 260 Feuillants, who were staunch
constitutional monarchists firm in their defense of the King against the
popular agitation. The leftists were about 136 Jacobins and Cordeliers.
They
favored the idea to spread the new ideals of liberty and equality and to put the king’s
loyalty to the test. The remainder of the House, 345 deputies, belonged to no definite party. They were
committed to the ideals of the Revolution and thus inclined to side
with the left but would also occasionally back proposals from the right. -
The Feuillants came into
existence when the Jacobins split between moderates, who sought to
preserve the position of the king and supported the proposed plan of the
National Assembly for a constitutional monarchy, and radicals (Jacobins). Labelled by their opponents as royalists, they were targeted after
the fall of the monarchy. -
The National
Convention was a single-chamber assembly in France from September 20, 1792, to October 26, 1795, that succeeded the Legislative Assembly. It fractured into even more extreme factions than its predecessor. A result of the increasing divide within
the Jacobins was the split between the more radical Montagnards and the
Girondins. -
The
Jacobin Club was distinguished by its left-wing revolutionary politics.
They were thus closely allied to the sans-culottes, a
popular force of working-class Parisians that played a pivotal role in the
development of the revolution. The Jacobins were dubbed “the Mountain” (French: la montagne) for
their seats in the uppermost part of the chamber and aimed for a more repressive form of government. - The two most significant factors in the consequential split between the
Montagnards and the Girondins were the September Massacres and the trial of
Louis XVI, both in 1792. -
The
terms “left” and “right” used to refer to political parties
is one of the lasting legacies of the French Revolution. Members of the National Assembly divided into supporters of the
king to the president’s right and supporters of the revolution to his left.
Key Terms
- Feuillants
-
A political group that emerged
during the French Revolution and consisted of monarchists and reactionaries who
sat on the right of the Legislative Assembly of 1791. It came into existence
when the left-wing Jacobins split between moderates, who sought to
preserve the position of the king and supported the proposed plan of the
National Assembly for a constitutional monarchy, and radicals (Jacobins),
who wished to press for a continuation of direct democratic action to overthrow
Louis XVI. - Jacobins
-
Members of a revolutionary
political movement that was the most famous political club during the French
Revolution, distinguished by its left-wing, revolutionary politics. Unlike other sects like the Girondins, they were closely allied to the sans-culottes,
a popular force of working-class Parisians that played a pivotal role
in the development of the revolution. They had a significant presence in the
National Convention and were dubbed “the Mountain” for their seats in the
uppermost part of the chamber. - National Convention
-
A single-chamber assembly in France from September 20, 1792, to October 26, 1795, during the French Revolution. It succeeded the Legislative Assembly and founded the First Republic after the insurrection of August 10, 1792. It was the first French assembly elected by universal male suffrage, without distinctions of class.
- Girondins
-
A political group operating in France from 1791 to 1795 during the French Revolution, active within the Legislative Assembly and the National Convention. They emerged from the Jacobin movement and campaigned for the end of the monarchy, but resisted the spiraling momentum of the Revolution. They came into conflict with The Mountain (Montagnards), a radical faction within the Jacobin Club.
- sans-culottes
-
The common people of the lower classes in late 18th century France, a great many of whom became radical and militant partisans of the French Revolution in response to their poor quality of life under the Ancien Régime.
- Montagnards
-
A political group during the French Revolution who sat on the highest benches in the Assembly. They were the most radical group and opposed the Girondists. The term, first used during a session of the Legislative Assembly, came into general use in 1793. Led by Maximilien Robespierre, they unleashed the Reign of Terror in 1794.
- Legislative Assembly
-
The legislature of France from October 1, 1791, to September 20, 1792, during the years of the French Revolution. It provided the focus of political debate and revolutionary law-making between the periods of the National Constituent Assembly and National Convention.
Factions at the Legislative Assembly
The National Constituent Assembly dissolved itself on September 30, 1791. Upon Robespierre’s motion, it decreed that none of its members would be eligible to the next legislature. Its successor body, the Legislative Assembly operating under the Constitution of 1791, lasted until September 20, 1792.
The Legislative Assembly first met on October 1, 1791, and consisted of 745 members, mostly from the middle class. The members were generally young, and since none had sat in the previous Assembly, they largely lacked national political experience. They tended to be people with successful careers in local politics.
The rightists within the assembly consisted of about 260 Feuillants, whose chief leaders, Gilbert du Motier de La Fayette and Antoine Barnave, remained outside the House because of their ineligibility for re-election. They were staunch constitutional monarchists, firm in their defense of the King against the popular agitation. The leftists were of 136 Jacobins (still including the party later known as the Girondins or Girondists) and Cordeliers (a populist group, whose many members would later become the radical Montagnards).
The left drew its inspiration from the more radical tendency of the Enlightenment, regarded the émigré nobles as traitors, and espoused anticlericalism. They were suspicious of Louis XVI, some favoring a general European war, both to spread the new ideals of liberty and equality and to put the king’s loyalty to the test.
The remainder of the House, 345 deputies, belonged to no definite party. They were called “the Marsh” (Le Marais) or “the Plain” (La Plaine). They were committed to the ideals of the Revolution, generally inclined to side with the left but would also occasionally back proposals from the right. Some historians dispute these numbers and estimate that the Legislative Assembly consisted of about 165 Feuillants (the right), about 330 Jacobins (including Girondins; the left), and about 350 deputies, who did not belong to any definite party but voted most often with the left. The differences emerge from how historians approach data in primary sources, where numbers reported by the clubs do not overlap with analyses of club membership conducted independently by name.
The Jacobins in 1791, author unknown
The Jacobins were known for creating a strong government that could deal with the needs of war, economic chaos, and internal rebellion. They supported the rights of property and favored free trade and a liberal economy much like the Girondins, but their relationship to the people made them more willing to adapt interventionist economic policies.
The Feuillants came into existence when the Jacobins split between moderates (Feuillants), who sought to preserve the position of the king and supported the proposed plan of the National Assembly for a constitutional monarchy, and radicals (Jacobins), who wished to press for a continuation of direct democratic action to overthrow Louis XVI.
Labelled by their opponents as royalists, they were targeted after the fall of the monarchy. In August 1792, a list of 841 members was published and all were arrested and tried for treason. The name survived for a few months as an insulting label for moderates, royalists, and aristocrats.
Factions at the National Convention
The National Convention was a single-chamber assembly in France from September 20, 1792, to October 26, 1795, succeeding the Legislative Assembly. It was fractured into factions even more extreme than those of the Legislative Assembly. The Jacobin Club,
gathering members with republican beliefs and aspiring to establish a French democratic republic, experienced political tensions beginning in 1791 .There were conflicting viewpoints in response to several revolutionary events and how to best achieve a democratic republic. A result of the increasing divide within the Jacobins was the split between the more radical Montagnards and the Girondins.
The Jacobin Club was one of several organizations that grew out of the French Revolution, distinguished by its left-wing, revolutionary politics. Because of this, the Jacobins, unlike other sects like the Girondins, were closely allied to the sans-culottes, a popular force of working-class Parisians that played a pivotal role in the development of the revolution. The Jacobins had a significant presence in the National Convention and were dubbed “the Mountain” (French: la montagne)
for their seats in the uppermost part of the chamber. In addition to siding with
sans-culottes, the Montagnards aimed for a more repressive form of government that would institute a price maximum on essential consumer goods and punish all traitors and enemies of the Republic. The Montagnards also believed war and other political differences required emergency solutions. They had 302 members in 1793 and 1794, including committee members and deputies who voted with the faction. Most members of the club came from the middle class and tended to represent the Parisian population. Its leaders included Maximilien Robespierre, Jean-Paul Marat, and Georges Danton. This faction eventually gained overwhelming power in the Convention and governed France during the Reign of Terror.
Possibly the two most significant factors in the consequential split between the Montagnards and the Girondins were the September Massacres and the trial of Louis XVI, both in 1792. The official fall of the monarchy came on August 10, 1792, after Louis XVI refused to rescind his veto of the National Assembly’s constitution. The Montagnards argued for immediate execution of the king by military court-martial, insisting that he was undermining the Revolution. Because a trial would require the “presumption of innocence,” such a proceeding would contradict the mission of the National Convention. The Girondins, in contrast, agreed that the king was guilty of treason but argued for his clemency and favored the option of exile or popular referendum as his sentence. However, the trial progressed and Louis XVI was executed by guillotine in January 1793.
The second key factor in the split between the Montagnards and the Girondins was the September Massacres of 1792. Radical Parisians and members of the National Guard were angry with the poor progress in the war against Austria and Prussia and the forced enlistment of 30,000 volunteers. On August 10, radicals went on a killing spree, slaughtering roughly 1,300 inmates in various Paris prisons, many of whom were simply common criminals, not the treasonous counter-revolutionaries condemned by the Montagnards. The Girondins did not tolerate the massacres, but neither the Montagnards of the Legislative Assembly nor the Paris Commune took any action to stop or condemn the killings. Members of the Girondins later accused Marat, Robespierre, and Danton of inciting the massacres to further their dictatorial power.
The conflict between the Montagnards and the Girondins eventually led to the fall of the Girondins and their mass execution.
The Girondins in the La Force Prison after their arrest. Woodcut from 1845.
The Girondins campaigned for the end of the monarchy but then resisted the spiraling momentum of the Revolution. They came into conflict with The Mountain (Montagnards), a radical faction within the Jacobin Club. The Girondins comprised a group of loosely affiliated individuals rather than an organized political party.
Left v. Right
The terms “left” and “right” to refer to political parties is one of the lasting legacies of the French Revolution. Members of the National Assembly divided into supporters of the king to the president’s right and supporters of the revolution to his left. One deputy, the Baron de Gauville, explained, “We began to recognize each other: those who were loyal to religion and the king took up positions to the right of the chair so as to avoid the shouts, oaths, and indecencies that enjoyed free rein in the opposing camp.” However, the right opposed the seating arrangement because they believed that deputies should support private or general interests but not form factions or political parties. The contemporary press occasionally used the terms “left” and “right” to refer to the opposing sides.
When the National Assembly was replaced in 1791 by the Legislative Assembly comprising entirely new members, the divisions continued. “Innovators” sat on the left, “moderates” gathered in the center, and the “conscientious defenders of the constitution” found themselves sitting on the right, where the defenders of the Ancien Régime had previously gathered. When the succeeding National Convention met in 1792, the seating arrangement continued, but following the arrest of the Girondins, the right side of the assembly was deserted, and any remaining members who had sat there moved to the center.
22.4.3: Foreign Intervention
Several Europeans monarchies, notably Austria, Prussia, and Great Britain, engaged in military conflicts with revolutionary France to take advantage of the political chaos and stop the spread of the revolutionary, anti-royal spirit across the globe.
Learning Objective
State the reasons why other European states got involved in France’s political turmoil
Key Points
-
During the French Revolution, European
monarchs watched the developments in France and considered whether they
should intervene in support of Louis XVI or to take advantage of the
chaos in France. The Holy Roman Emperor Leopold II, brother to
the French Queen Marie Antoinette, initially looked on the Revolution
calmly, but he and other European monarchs soon feared that the revolutionary spirit might expand across the continent and in colonies. -
In August 1791, Leopold and King Frederick
William II of Prussia, in consultation with emigrant French nobles, issued the
Declaration of Pillnitz, which declared the interest of the monarchs of Europe
in the well-being of Louis and his family and threatened vague but severe
consequences if anything should befall them. - Many in France wanted to wage war, including the
King, many of the Feuillants, and the Girondins, although for very different reasons. The forces opposing war were much weaker. The Austrian emperor Leopold II,
brother of Marie Antoinette, wished to avoid war but died in March
1792. France preemptively declared war on Austria
(April 20, 1792) and Prussia joined on the Austrian side a few weeks
later. -
What followed was a series of sweeping military
conflicts lasting from 1792 until 1802 that would become known as the French
Revolutionary Wars. They pitted the French First Republic against several
monarchies, most notably Britain and Austria, and are divided in two periods:
the War of the First Coalition (1792–1797) and the War of the Second Coalition
(1798–1802). -
In July 1792, Charles William Ferdinand, Duke
of Brunswick, commander of the mostly Prussian army, issued a proclamation called the
Brunswick Manifestol Written by the French king’s cousin,
Louis Joseph de Bourbon, Prince de Condé, the leader of an émigré corps within
the Allied army, it declared the Allies’ intent to restore the king to his
full powers and to treat any person or town who opposed them as rebels to be
condemned to death by martial law. - The Revolutionary Wars ended with great success for France and revealed the talent of a new military leader, Napoleon Bonaparte. After
a decade of constant warfare and aggressive diplomacy, France had succeeded in
seizing and conquering a wide array of territories, from the Italian Peninsula
and the Low Countries in Europe to the Louisiana Territory in North America.
French success in these conflicts ensured the spread of revolutionary
principles over much of Europe.
Key Terms
- Declaration of Pillnitz
-
A statement issued on August 27, 1791, at Pillnitz Castle near Dresden (Saxony) by Frederick William II of Prussia and the Habsburg Holy Roman Emperor Leopold II, Marie Antoinette’s brother. It declared the joint support of the Holy Roman Empire and of Prussia for King Louis XVI of France against the French Revolution.
- Brunswick Manifesto
-
A proclamation issued by Charles William Ferdinand, Duke of Brunswick, commander of the Allied Army (principally Austrian and Prussian), on July 25, 1792, to the population of Paris, France during the War of the First Coalition. It threatened that if the French royal family were harmed, then French civilians would be harmed. It was a measure intended to intimidate Paris, but instead, it helped further spur the increasingly radical French Revolution.
- Jacobins
-
Members of a revolutionary
political movement that was the most famous political club during
the French Revolution, distinguished by its left wing,
revolutionary politics. Unlike other sects like the
Girondins, they were closely allied to the sans-culottes, a popular
force of working-class Parisians that played a pivotal role in the development
of the revolution. They had a significant presence in the National Convention and were dubbed ‘the Mountain’ for their seats in the uppermost part of the
chamber. - French Revolutionary Wars
-
A series of sweeping military
conflicts from 1792 until 1802, resulting from the French Revolution.
They pitted the French First Republic against Britain, Austria, and several
other monarchies. They are divided in two periods: the War of the First
Coalition (1792–1797) and the War of the Second
Coalition (1798–1802). Initially confined to Europe, the fighting
gradually assumed a global dimension as the political ambitions of the
Revolution expanded. - War of the First Coalition
-
A 1792–1797 military conflict that was the first attempt by the European monarchies to defeat the French First Republic. France declared war on the Habsburg Monarchy of Austria on April 20, 1792, and the Kingdom of Prussia joined the Austrian side a few weeks later. The two monarchies were joined by Great Britain and several smaller European states.
- War of the Second Coalition
-
A 1798–1802 conflict that was the second war on revolutionary France by the European monarchies, led by Britain, Austria, and Russia and including the Ottoman Empire, Portugal, and Naples. Their goal was to contain the spread of chaos from France, but they failed to overthrow the revolutionary regime and French territorial gains since 1793 were confirmed.
- Girondins
-
A political group operating in
France from 1791 to 1795 during the French Revolution, active within the
Legislative Assembly and the National Convention. They emerged from the Jacobin
movement and campaigned for the end of the monarchy, but then resisted the
spiraling momentum of the Revolution. They came into conflict with The Mountain
(Montagnards), a radical faction within the Jacobin Club. - Feuillants
-
A political group that emerged
during the French Revolution and consisted of monarchists and reactionaries who
sat on the right of the Legislative Assembly of 1791. It came into existence
when the left-wing Jacobins split between moderates, who sought to preserve
the position of the king and supported the proposed plan of the National
Assembly for a constitutional monarchy, and radicals (Jacobins), who
pressed for a continuation of direct democratic action to overthrow
Louis XVI.
The Fear of Revolution Among European Monarchs
During the French Revolution, European monarchs watched the developments in France and considered whether they should intervene in support of Louis XVI or to take advantage of the chaos in France. The Holy Roman Emperor Leopold II, brother to the French Queen Marie Antoinette, initially looked on the Revolution calmly. He became disturbed as the Revolution became more radical, although he still hoped to avoid war. In August 1791, Leopold and King Frederick William II of Prussia, in consultation with emigrant French nobles, issued the Declaration of Pillnitz, which declared the interest of the monarchs of Europe in the well-being of Louis and his family and threatened vague but severe consequences if anything should befall them. Although Leopold saw the Pillnitz Declaration as a way of taking action that would enable him to avoid actually doing anything about France for the moment, Paris saw the Declaration as a serious threat and the revolutionary leaders denounced it.
The meeting at Pillnitz Castle in 1791, oil painting by Johann Heinrich Schmidt.
The National Assembly of France interpreted the declaration to mean that Leopold was going to declare war. Radical Frenchmen who called for war used it as a pretext to gain influence and declare war on April 20, 1792, leading to the campaigns of 1792 in the French Revolutionary Wars.
The King, many of the Feuillants, and the Girondins wanted to wage war. Louis XVI and many Feuillants expected war would increase his personal popularity. He also foresaw an opportunity to exploit any defeat; either result would make him stronger. The Girondins, on the other hand, wanted to export the Revolution throughout Europe and, by extension defend the Revolution within France.
The forces opposing war were much weaker. Some Feuillants believed France had little chance to win and feared a loss might lead to greater radicalization of the revolution. On the other end of the political spectrum, Robespierre opposed a war on two grounds: he was concerned it would strengthen the monarchy and military at the expense of the revolution and that it would incur the anger of ordinary people in Austria and elsewhere. The Austrian emperor Leopold II, brother of Marie Antoinette, wished to avoid war but died in March 1792.
In addition to the ideological differences between France and the monarchical powers of Europe, disputes continued over the status of imperial estates in Alsace and the French authorities became concerned about the agitation of emigré nobles abroad, especially in the Austrian Netherlands and the minor states of Germany. France preemptively declared war on Austria (April 20, 1792) and Prussia joined on the Austrian side a few weeks later.
French Revolutionary Wars
What followed was a series of sweeping military conflicts lasting from 1792 until 1802 that would become known as the French Revolutionary Wars. They pitted the French First Republic against several monarchies, most notably Britain and Austria, and are divided in two periods: the War of the First Coalition (1792–1797) and the War of the Second Coalition (1798–1802). Initially confined to Europe, the fighting gradually assumed a global dimension as the political ambitions of the Revolution expanded.
First Coalition
While the revolutionary government frantically raised fresh troops and reorganized its armies, a mostly Prussian Allied army under Charles William Ferdinand, Duke of Brunswick assembled at Koblenz on the Rhine. In July the invasion commenced, with Brunswick’s army easily taking the fortresses of Longwy and Verdun. The duke then issued a proclamation called the Brunswick Manifesto (July 1792), written by the French king’s cousin, Louis Joseph de Bourbon, Prince de Condé, the leader of an émigré corps within the Allied army. This document declared the Allies’ intent to restore the king to his full powers and treat any person or town who opposed them as rebels to be condemned to death by martial law. This, however, strengthened the resolve of the revolutionary army and government to oppose them by any means necessary. On August 10, a crowd stormed the Tuileries Palace, seizing the king and his family.
Anonymous caricature depicting the treatment given to the Brunswick Manifesto by the French population.
The Brunswick Manifesto, rather than intimidate the populace into submission, sent it into furious action and created fear and anger towards the Allies. It also spurred revolutionaries to take further action, organizing an uprising. On August 10, the Tuileries Palace was stormed in a bloody battle with Swiss Guards protecting it, the survivors of which were massacred by the mob.
The War of the First Coalition began with French victories, which rejuvenated the nation and emboldened the National Convention to abolish the monarchy. In 1793, the new French armies experienced numerous defeats, which allowed the Jacobins to rise to power and impose the Reign of Terror as a method of attempting to unify the nation. In 1794, the situation improved dramatically for the French. By 1795, they had captured the Austrian Netherlands and knocked Spain and Prussia out of the war with the Peace of Basel. A hitherto unknown general Napoleon Bonaparte began his first campaign in Italy in April 1796. In less than a year, French armies under Napoleon decimated the Habsburg forces and evicted them from the Italian peninsula, winning almost every battle and capturing 150,000 prisoners. With French forces marching towards Vienna, the Austrians sued for peace and agreed to the Treaty of Campo Formio, ending the First Coalition against the Republic.
Second Coalition
The War of the Second Coalition (1798–1802) included an alliance of Britain, Austria, Russia, the Ottoman Empire, Portugal, and Naples. Their goal was to contain the spread of chaos from France but they failed to overthrow the revolutionary regime, and French territorial gains since 1793 were confirmed. The Coalition did very well in 1799, but Russia pulled out. Napoleon took charge in France in late 1799 and he and his generals defeated the Coalition. In the Treaty of Lunéville in 1801, France held all of its previous gains and obtained new lands in Tuscany, Italy, while Austria was granted Venetia and the Dalmatian coast. Britain and France signed the Treaty of Amiens in March 1802, bringing an interval of peace in Europe that lasted for 14 months.
After a decade of constant warfare and aggressive diplomacy, France seized and conquered a wide array of territories, from the Italian Peninsula and the Low Countries in Europe to the Louisiana Territory in North America. French success in these conflicts ensured the spread of revolutionary principles over much of Europe.
22.4.4: Louis XVI and Marie-Antoinette’s Attempts to Escape
The Flight to Varennes, or the royal family’s unsuccessful escape from Paris during the night of June 20-21, 1791, undermined the credibility of the king as a constitutional
monarch and eventually led to the escalation of the crisis and the execution of Louis XVI and Marie Antoinette.
Learning Objective
Analyze the consequences of the royal family’s attempted escapes
Key Points
-
Following
the Women’s March on Versailles, the royal family was forced to return to Paris.
They remained virtual
prisoners in the Tuileries, the official residence of the
king. Louis
XVI became emotionally paralyzed, leaving most important decisions to the
queen. At her insistence, Louis committed himself and his family to a
disastrous attempt of escape from the capital to the eastern frontier on June
21, 1791. -
Due
to the cumulative effect of a host of errors that in and of themselves would
not have condemned the mission to failure, the royal family was thwarted in its
escape after Jean-Baptiste Drouet, the postmaster of Sainte-Menehould,
recognized the king from his portrait. The king and his family were eventually
arrested in the town of Varennes, 31 miles from their ultimate destination, the
heavily fortified royalist citadel of Montmédy. -
The intended goal of the unsuccessful flight was
to provide the king with greater freedom of action and personal security than
was possible in Paris. At Montmédy, General François Claude de Bouillé concentrated a force of 10,000 regulars of the old royal army who were still
considered loyal to the monarchy. The long-term political objectives of
the royal couple and their closest advisers remain unclear. -
The
credibility of the king as a constitutional monarch had been seriously
undermined. However, on July 15, 1791 the National Constituent Assembly agreed
that he could be restored to power if he agreed to the constitution,
although some factions opposed the proposal. The decision led to the Champ de Mars Massacre two days later. -
From the autumn of 1791 on, the king tied his
hopes of political salvation to the dubious prospects of foreign intervention.
Prompted by Marie Antoinette, Louis rejected the advice of the moderate
constitutionalists, led by Antoine Barnave, to fully implement the Constitution
of 1791 he had sworn to maintain. -
The
outbreak of the war with Austria in April 1792 and the publication of the
Brunswick Manifesto led to the storming of the Tuileries by Parisian radicals
on August 10, 1792. This attack led in turn to the suspension of the king’s
powers by the Legislative Assembly and the proclamation of the First French
Republic on September 21. Some
republicans called for the king’s deposition, others for his trial for alleged treason
and intended defection to the enemies of the French nation. Convicted, Louis was sent to the guillotine on January
21, 1793. Nine months later, Marie Antoinette was also convicted of treason and
beheaded on October 16.
Key Terms
- Flight to Varennes
-
An unsuccessful attempt
to escape Paris by King Louis XVI of France, his wife Marie Antoinette, and their immediate family
during the night of June 20-21, 1791 to initiate a counter-revolution at the head of loyal troops under royalist officers concentrated at Montmédy near the frontier. They escaped only as far as the small town of Varennes, where they were arrested after having been recognized at their previous stop in Sainte-Menehould. - Brunswick Manifesto
-
A proclamation issued on July 25, 1792, by Charles
William Ferdinand, Duke of Brunswick, commander of the Allied Army (principally
Austrian and Prussian) to the population of Paris
during the War of the First Coalition. It threatened that if the French royal
family were harmed, then French civilians would be harmed. It was a
measure intended to intimidate Paris, but instead, it helped further spur the
increasingly radical French Revolution. - Champ de Mars Massacre
-
A massacre that took place on July 17, 1791, in Paris in the midst of the French Revolution. Two days earlier, the National Constituent Assembly issued a decree that Louis XVI would remain king under a constitutional monarchy. This decision came after King Louis XVI and his family unsuccessfully tried to flee France in the Flight to Varennes the month before. Later that day, leaders of the republicans in France rallied against this decision, eventually leading royalist Lafayette to order the massacre.
- March on Versailles
-
A march on October 5, 1789, during the French Revolution among women in the marketplaces of Paris who were near rioting over the high price and scarcity of bread. Their demonstrations quickly became intertwined with the activities of revolutionaries, who were seeking liberal political reforms and a constitutional monarchy for France. The market women and their various allies grew into a crowd of thousands. Encouraged by revolutionary agitators, they ransacked the city armory for weapons and marched to the Palace of Versailles.
Flight to Varennes
Following the Women’s March on Versailles, the royal family was forced to return to Paris. Louis XVI attempted to work within the framework of his limited powers but won little support. He and the royal family remained virtual
prisoners in the Tuileries, a royal and imperial palace in Paris that served as the residence of most French monarchs.
For the next two years, the palace remained the official residence of the king.
Louis XVI became emotionally paralyzed, leaving most important decisions to the queen. Prodded by the queen, Louis committed the family to a disastrous escape attempt from the capital to the eastern frontier on June 21, 1791. With the dauphin’s governess the Marquise de Tourzel taking on the role of a Russian baroness, the queen pretending to be a governess, the king’s sister, Madame Élisabeth a nurse, the king a valet, and the royal children the alleged baroness’ daughters, the royal family made their escape leaving the Tuileries around midnight. The escape was largely planned by the queen’s favorite, the Swedish Count Axel von Fersenand the Baron de Breteuil, who had garnered support from Swedish King Gustavus III. Fersen had urged the use of two light carriages, which would have made the 200-mile journey to Montmédy relatively quickly. However this would have involved splitting up the royal family and Louis and Marie-Antoinette decided on the use of a heavy, conspicuous coach drawn by six horses.
Due to the cumulative effect of a host of errors, which in and of themselves would not have condemned the mission to failure, the royal family was thwarted in its escape after Jean-Baptiste Drouet, the postmaster of Sainte-Menehould,
recognized the king from his portrait. The king and his family were eventually arrested in the town of Varennes, 31 miles from their ultimate destination, the heavily fortified royalist citadel of Montmédy.
The arrest of Louis XVI and his family at the house of the registrar of passports, at Varennes in June 1791
by Thomas Falcon Marshall.
The king’s flight was traumatic for France. The realization that the king had effectually repudiated the revolutionary reforms made to that point came as a shock to people who until then had seen him as a fundamentally decent king who governed as a manifestation of God’s will. They felt betrayed. Republicanism burst out of the coffeehouses and became the dominant ideal of revolutionary leaders.
The Question of Goals
The intended goal of the unsuccessful flight was to provide the king with greater freedom of action and personal security than was possible in Paris. At Montmédy, General François Claude de Bouillé concentrated a force of 10,000 regulars of the old royal army who were still considered loyal to the monarchy. The long-term political objectives of the royal couple and their closest advisers remain unclear. A detailed document entitled Declaration to the French People prepared by Louis for presentation to the National Assembly and left behind in the Tuileries indicates that his personal goal was a return to the concessions and compromises contained in the declaration of the Third Estate in June 1789, immediately prior to the outbreak of violence in Paris and the storming of the Bastille. Private correspondence from Marie Antoinette takes a more reactionary line of restoration of the old monarchy without concessions, although referring to pardons for all but the revolutionary leadership and the city of Paris.
The Champ de Mars Massacre
When the royal family finally returned under guard to Paris, the revolutionary crowd met the royal carriage with uncharacteristic silence and the royal family was again confined to the Tuileries Palace. From this point forward, the abolition of the monarchy and the establishment of a republic became an ever-increasing possibility. The credibility of the king as a constitutional monarch had been seriously undermined. However, on July 15, 1791, the National Constituent Assembly agreed that the king could be restored to power if he agreed to the constitution, although some factions opposed the proposal.
Later that day,
Jacques Pierre Brissot, editor and main writer of Le Patriote français and president of the Comité des Recherches of Paris, drew up a petition demanding the removal of the king. A crowd of 50,000 people gathered at the Champ de Mars on July 17 to sign the petition, and about 6,000 had already signed. But earlier that day, two suspicious people hidigg at the Champ de Mars were hanged by those who found them. Jean Sylvain Bailly, the mayor of Paris, used this incident to declare martial law. The Marquis de Lafayette and the National Guard, which was under his command, were temporarily able to disperse the crowd but even more people returned later that afternoon. Lafayette again tried to disperse the crowd, who in response threw stones at the National Guard. After firing unsuccessful warning shots, the National Guard opened fire directly on the crowd, an event known as
the Champ de Mars Massacre.
The exact numbers of dead and wounded are unknown; estimates range from 12 to 50 dead.
Execution of Louis and Marie Antoinette
From the autumn of 1791 on, the king tied his hopes of political salvation to the dubious prospects of foreign intervention. Prompted by Marie Antoinette, Louis rejected the advice of the moderate constitutionalists, led by Antoine Barnave, to fully implement the Constitution of 1791 he had sworn to maintain. He instead secretly committed himself to covert counter-revolution. At the same time, the king’s failed escape attempt alarmed many other European monarchs, who feared that the revolutionary fervor would spread to their countries and result in instability outside France. Relations between France and its neighbors, already strained because of the revolution, deteriorated even further, with some foreign ministries calling for war against the revolutionary government.
The outbreak of the war with Austria in April 1792 and the publication of the Brunswick Manifesto led to the storming of the Tuileries by Parisian radicals on August 10, 1792. This attack led in turn to the suspension of the king’s powers by the Legislative Assembly and the proclamation of the First French Republic on September 21. In November, proof of Louis XVI’s dealings with the deceased revolutionary politician Mirabeau and of his counterrevolutionary intrigues with foreigners was found in a secret iron chest in the Tuileries. It was now no longer possible to pretend that the reforms of the French Revolution had been made with the free consent of the king. Some republicans called for his deposition, others for his trial for alleged treason and intended defection to the enemies of the French nation. On December 3, it was decided that Louis XVI, who together with his family had been imprisoned since August, should be brought to trial for treason. He appeared twice before the National Convention. Convicted, Louis was sent to the guillotine on January 21, 1793. Nine months later, Marie Antoinette was also convicted of treason and beheaded on October 16.
22.5: The Reign of Terror
22.5.1: The Legislative Assembly
The Legislative Assembly, the legislature of revolutionary France from October 1, 1791 to September 20, 1792, provided the focus of political debate and revolutionary law-making. However, its tenure overlapped with a period of extreme political and social chaos.
Learning Objective
Explain the structure and role of the Legislative Assembly
Key Points
-
The
Legislative Assembly first met on October 1, 1791, under the Constitution of
1791, consisting of 745 members. Few were nobles, very few were clergymen,
and the majority came from the middle class. The members were generally young,
and since none had sat in the previous Assembly they largely lacked national
political experience. -
From the beginning, relations between the king
and the Legislative Assembly were hostile. Louis repeatedly vetoed decrees proposed by the Assembly and the war against Austria (soon joined by Prussia) intensified tensions. Soon, the King dismissed Girondins from the Ministry. -
When
the king formed a new cabinet mostly of Feuillants, the breach with the king and the Assembly on one side and the majority of the
common people of Paris on the other. Events came to a head in June when
Lafayette sent a letter to the Assembly recommending the suppression of the
“anarchists” and political clubs in the capital. The
Demonstration of June 20 followed. -
The Girondins made a last advance to Louis,
offering to save the monarchy if he would accept them as ministers. His refusal
united all the Jacobins in the project of overturning the monarchy by force.
The local leaders of this new stage of the revolution were assisted in their
work by the fear of invasion by the allied army. -
On the night of August 10, 1792, insurgents and
popular militias, supported by the revolutionary Paris Commune, assailed the
Tuileries Palace and massacred the Swiss Guards assigned for the
protection of the king. The royal family became prisoners and a rump session of
the Legislative Assembly suspended the monarchy. -
Chaos persisted until the National Convention,
elected by universal male suffrage and charged with writing a new constitution,
met on September 20, 1792, and became the new de facto government
of France. By the same token, the Legislative Assembly ceased to exist.
Key Terms
- September Massacres
-
A wave of killings in Paris (September 2-7, 1792) and other cities in late summer 1792, during the French Revolution. They were partly triggered by a fear that foreign and royalist armies would attack Paris and that the inmates of the city’s prisons would be freed and join them. Radicals called for preemptive action, which was undertaken by mobs of National Guardsmen and some fédérés. It was tolerated by the city government, the Paris Commune, which called on other cities to follow suit.
- Brunswick Manifesto
-
A proclamation issued by Charles William
Ferdinand, Duke of Brunswick, commander of the Allied Army (principally
Austrian and Prussian), on July 25, 1792, to the population of Paris
during the War of the First Coalition. It threatened that if the French royal
family were harmed, French civilians would be harmed. This measure was intended to intimidate Paris,but instead helped further spur the
increasingly radical French Revolution. - Demonstration of June 20
-
The last peaceful attempt (1792) made by the people of Paris during the French Revolution to persuade King Louis XVI of France to abandon his current policy and attempt to follow what they believed to be a more empathetic approach to governing. Its objectives were to convince the government to enforce the Legislative Assembly’s rulings, defend France against foreign invasion, and preserve the spirit of the French Constitution of 1791. The demonstrators hoped that the king would withdraw his veto and recall the Girondin ministers. It was the last phase of the unsuccessful attempt to establish a constitutional monarchy in France.
- Paris Commune
-
During the French Revolution,
the government of Paris from 1789 until 1795. Established in the Hôtel
de Ville just after the storming of the Bastille, it consisted of 144
delegates elected by the 48 divisions of the city. It became insurrectionary in
the summer of 1792, essentially refusing to take orders from the central French
government. It took charge of routine civic functions but is best known for
mobilizing extreme views. It lost much power in 1794 and was replaced in 1795. - Legislative Assembly
-
The legislature of France from October 1, 1791, to September 20, 1792, during the years of the French Revolution. It provided the focus of political debate and revolutionary law-making between the periods of the National Constituent Assembly and the National Convention.
Political Power at the Legislative Assembly
The Legislative Assembly first met on October 1, 1791 under the Constitution of 1791, and consisted of 745 members. Few were nobles, very few were clergymen, and the majority came from the middle class. The members were generally young, and since none had sat in the previous Assembly, largely lacked national political experience.
The rightists within the assembly consisted of about 260 Feuillants
(constitutional monarchists), whose chief leaders, Gilbert du Motier de La Fayette and Antoine Barnave, remained outside the Assembly because of their ineligibility for re-election. They were staunch constitutional monarchists, firm in their defense of the King against the popular agitation. The leftists were 136 Jacobins (still including the party later known as the Girondins or Girondists) and Cordeliers
(a
populist group, whose many members would later become the radical Montagnards). Its most famous leaders were Jacques Pierre Brissot, the philosopher Condorcet, and Pierre Victurnien Vergniaud. The Left drew its inspiration from the more radical tendency of the Enlightenment, regarded the émigré nobles as traitors, and espoused anticlericalism. They were suspicious of Louis XVI, some favoring a general European war both to spread the new ideals of liberty and equality and to put the king’s loyalty to the test. The remainder of the House, 345 deputies, belonged to no definite party and were called the Marsh (Le Marais) or the Plain (La Plaine). They were committed to the ideals of the Revolution and thus generally inclined to side with the left but would also occasionally back proposals from the right.
Some historians dispute these numbers and estimate that the Legislative Assembly consisted of about 165 Feuillants (the right), about 330 Jacobins (including Girondins; the left), and about 350 deputies, who did not belong to any definite party but voted most often with the left. The differences emerge from how historians approach data in primary sources, where numbers reported by the clubs do not overlap with analyses of club membership conducted independently by name.
Medal of the First French Legislative Assembly (1791-1792), Augustin Challamel, Histoire-musée de la république Française, depuis l’assemblée des notables, Paris, Delloye, 1842.
The Legislative Assembly was driven by two opposing groups. The first were conservative members of the bourgeoisie (wealthy middle class in the Third Estate) that favored a constitutional monarchy, represented by the Feuillants, who felt that the revolution had already achieved its goal.
The other group was the democratic faction for whom the king could no longer be trusted, represented by the new members of the Jacobin club that claimed that more revolutionary measures were necessary.
Louis XVI’s Relationship with the Assembly
From the beginning, relations between the king and the Legislative Assembly were hostile. Louis vetoed two decrees proposed in November: that the émigrés assembled on the frontiers should be liable to the penalties of death and confiscation if they remained so assembled and that every non-juring clergyman must take the civic oath on pain of losing his pension and potential deportation.
The war declared on April 20, 1792, against Austria (soon joined by Prussia) started as a disaster for the French. Tensions between Louis XVI and the Legislative Assembly intensified and the blame for war failures was thrown first upon the king and his ministers and the Girondins party. The Legislative Assembly passed decrees sentencing any priest denounced by 20 citizens to immediate deportation, dissolving the King’s guard on the grounds that it was manned by aristocrats, and establishing a camp of 20,000 national guardsmen (Fédérés) near Paris. The King vetoed the decrees and dismissed Girondins from the Ministry. When the king formed a new cabinet mostly of Feuillants, the breach between the king on the one hand and the Assembly and the majority of the common people of Paris on the other widened. Events came to a head in June when Lafayette sent a letter to the Assembly recommending the suppression of the “anarchists” and political clubs in the capital.
The Demonstration of June 20, 1792, followed as the last peaceful attempt made by the people of Paris to persuade King Louis XVI of France to abandon his current policy and attempt to follow what they believed to be a more empathetic approach to governing .
The People Storming the Tuileries on 20 June, 1792, Jacques-Antoine Dulaure, Esquisses historiques des principaux événemens de la révolution, v. 2, Paris, Baudouin frères, 1823.
The King’s veto of the Legislative Assembly’s decrees was published on June 19, just one day before the 3rd anniversary of the Tennis Court Oath that inaugurated the Revolution. The popular demonstration of June 20, 1792, was organized to put pressure on the King.
Events of August 10
The Girondins made a last advance to Louis offering to save the monarchy if he would accept them as ministers. His refusal united all the Jacobins in the project of overturning the monarchy by force. The local leaders of this new stage of the revolution were assisted in their work by the fear of invasion by the allied army. The Assembly declared the country in danger and the Brunswick Manifesto,
combined with the news that Austrian and Prussian armies had marched into French soil, heated the republican spirit to fury.
On the night of August 10, 1792, insurgents and popular militias supported by the revolutionary Paris Commune assailed the Tuileries Palace and massacred the Swiss Guards assigned for the protection of the king. The royal family became prisoners and a rump session of the Legislative Assembly suspended the monarchy. Little more than a third of the deputies were present, almost all of them Jacobins. What remained of a national government depended on the support of the insurrectionary Commune. With enemy troops advancing, the Commune looked for potential traitors in Paris and sent a circular letter to the other cities of France inviting them to follow this example. In Paris and many other cities, the massacres of prisoners and priests (known as September Massacres) followed. The Assembly could offer only feeble resistance. In October, however, there was a counterattack accusing the instigators of being terrorists. This led to a political contest between the more moderate Girondists and the more radical Montagnards inside the Convention, with rumor used as a weapon by both sides. The Girondists lost ground when they seemed too conciliatory, but the pendulum swung again after the men who endorsed the massacres were denounced as terrorists.
Chaos persisted until the National Convention, elected by universal male suffrage and charged with writing a new constitution, met on September 20, 1792, and became the new de facto government of France. The Legislative Assembly ceased to exist. The next day, the Convention abolished the monarchy and declared a republic.
22.5.2: The First French Republic and Regicide
The execution of Louis XVI on January 21, 1793, radicalized the French Revolution at home and united European monarchies against revolutionary France.
Learning Objective
Evaluate the decision to execute the king and queen
Key Points
-
The Insurrection of August 10, 1792, led to the creation of the National
Convention, elected by universal male suffrage and charged with writing a new
constitution. On September 20, the Convention became the new de
facto government of France, and the next day it abolished the
monarchy and declared a republic. -
A commission was established to
examine evidence against the King while the Convention’s Legislation Committee
considered legal aspects of any future trial. Most Montagnards (radical
republicans) favored judgement and execution, while the Girondins (moderate
republicans) were divided concerning Louis’s fate. -
The
trial began on December 3. The following day, the Convention’s president
Bertrand Barère de Vieuzac presented it with the indictment and decreed the
interrogation of Louis XVI.
Louis XVI heard 33 charges. -
Given overwhelming evidence of Louis’ collusion
with the invaders during the ongoing war with Austria and Prussia, the verdict
was a foregone conclusion. Ultimately, 693 deputies voted “yes” in
favor of a guilty verdict. Not a single deputy voted “no,”
although 26 attached some condition to their votes. For punishment, 361
voted for death without conditions, just carrying the vote by a marginal
majority. -
On January 21, 1793, the former Louis XVI, now
simply named Citoyen Louis Capet (Citizen Louis Capet), was
executed by guillotine. Marie
Antoinette was tried separately, after Louis’s death. She was guillotined on
October 16, 1793. - In France, the Reign of Terror followed.
Across Europe, conservatives were horrified and
monarchies called for war against revolutionary France. The execution of Louis
XVI united all European governments, including Spain, Naples, and the
Netherlands, against the Revolution.
Key Terms
- Paris Commune
-
During the French Revolution,
the government of Paris from 1789 until 1795. Established in the Hôtel
de Ville just after the storming of the Bastille, it consisted of 144
delegates elected by the 48 divisions of the city. It became insurrectionary in
the summer of 1792, refusing to take orders from the central French
government. It took charge of routine civic functions but is best known for
mobilizing extreme views. It lost much power in 1794 and was replaced in 1795. - Insurrection of August 10, 1792
-
One of the defining events in
the history of the French Revolution, the storming of the Tuileries
Palace by the National Guard of the insurrectional Paris
Commune and revolutionary fédérés from
Marseilles and Brittany resulted in the fall of the French monarchy.
King Louis XVI and the royal family took shelter with the Legislative
Assembly, which was suspended. The formal end of the monarchy six
weeks later was one of the first acts of the new National Convention. - Legislative Assembly
-
The legislature of
France from October 1, 1791, to September 20, 1792, during the years of the
French Revolution. It provided the focus of political debate and revolutionary
law-making between the periods of the National Constituent Assembly and the National Convention.
The Aftermath of August 10
The Insurrection of August 10, 1792, was one of the defining events in the history of the French Revolution. The storming of the Tuileries Palace by the National Guard of the insurrectional Paris Commune and revolutionary fédérés (federates) from Marseilles and Brittany resulted in the fall of the French monarchy. King Louis XVI and the royal family took shelter with the Legislative Assembly, which was suspended.
Chaos persisted until the National Convention,
elected by universal male suffrage and charged with writing a new constitution,
met on September 20, 1792, and became the new de facto government
of France. The
next day the Convention abolished the monarchy and declared a republic.
The Convention’s unanimous declaration of a French Republic on September 21, 1792, left open the fate of the King. A commission was established to examine evidence against him while the Convention’s Legislation Committee considered legal aspects of any future trial. Most Montagnards (radical republicans) favored judgement and execution, while the Girondins (moderate republicans) were divided concerning Louis’s fate, with some arguing for royal inviolability, others for clemency, and still others for either lesser punishment or death. On November 20, opinion turned sharply against Louis following the discovery of a secret cache of 726 documents of his personal communications.
Most of the pieces of correspondence in the cabinet involved ministers of Louis XVI, but others involved most of the big players of the Revolution. These documents, despite the likely gaps and pre-selection showed the duplicity of advisers and ministers—at least those that Louis XVI trusted—who had set up parallel policies.
The Trial
The trial began on December 3. The following day, the Convention’s president Bertrand Barère
de Vieuzac presented it with the indictment and decreed the interrogation of Louis XVI. The Convention’s secretary read the charges: “the French people” accused Louis of committing “a multitude of crimes in order to establish [his] tyranny by destroying its liberty.”
Louis XVI heard 33 charges.
Louis XVI sought the most illustrious legal minds in France as his defense team. The task of lead counsel eventually fell to Raymond Desèze, assisted by François Denis Tronchet and Guillaume-Chrétien de Lamoignon de Malesherbes. Although he had only two weeks to prepare his defense arguments, on December 26
Desèze
pleaded the king’s case for three hours, arguing eloquently yet discreetly that the revolution spare his life.
Given overwhelming evidence of Louis’s collusion with the invaders during the ongoing war with Austria and Prussia, the verdict was a foregone conclusion. Ultimately, 693 deputies voted “yes” for a guilty verdict. Not a single deputy voted “no,” although 26 attached some condition to their votes. 26 deputies were absent from the vote, most on official business. 23 deputies abstained for various reasons, several because they felt they had been elected to make laws rather than to judge.
For the king’s sentence, deputy Jean-Baptiste Mailhe proposed “Death, but (…) I think it would be worthy of the Convention to consider whether it would be useful to policy to delay the execution.” This “Mailhe amendment,” supported by 26 deputies, was regarded by some of Mailhe’s contemporaries as a conspiracy to save the king’s life. It was even suggested that Mailhe had been paid, perhaps by Spanish gold. Paris voted overwhelmingly for death, 21 to 3. Robespierre voted first and said “The sentiment that led me to call for the abolition of the death penalty is the same that today forces me to demand that it be applied to the tyrant of my country.” Philippe Égalité, formerly the Duke of Orléans and Louis’ own cousin, voted for his execution, a cause of much future bitterness among French monarchists.
There were 721 voters in total. 34 voted for death with attached conditions (23 of whom invoked the Mailhe amendment), 2 voted for life imprisonment in irons, 319 voted for imprisonment until the end of the war (to be followed by banishment). and 361 voted for death without conditions, just carrying the vote by a marginal majority. Louis was to be put to death.
Execution
On January 21, 1793, Louis XVI awoke at 5 a.m. and heard his last Mass. Upon Father Edgeworth’s advice, he avoided a farewell scene with his family. His royal seal was to go to the Dauphin and his wedding ring to the Queen. At 10 a.m., a carriage with the king arrived at Place de la Révolution and proceeded to a space surrounded by guns and drums and a crowd carrying pikes and bayonets, which had been kept free at the foot of the scaffold. The former Louis XVI, now simply named Citoyen Louis Capet (Citizen Louis Capet), was executed by guillotine.
Marie Antoinette was tried separately, after Louis’s death. She was guillotined on October 16, 1793.
Execution of Louis XVI, German copperplate engraving, 1793, by Georg Heinrich Sieveking.
The body of Louis XVI was immediately transported to the old Church of the Madeleine (demolished in 1799), since the legislation in force forbade burial of his remains beside those of his father, the Dauphin Louis de France, at Sens. On January 21, 1815 Louis XVI and his wife’s remains were reburied in the Basilica of Saint-Denis where in 1816 his brother, King Louis XVIII, had a funerary monument erected by Edme Gaulle.
Aftermath of the Execution
In April 1793, members of the Montagnards went on to establish the Committee of Public Safety under Robespierre, which would be responsible for the Terror (September 5, 1793 – July 28, 1794), the bloodiest and one of the most controversial phases of the French Revolution. The time between 1792 and 1794 was dominated by the radical ideology until the execution of Robespierre in July 1794.
Across Europe,
conservatives were horrified and monarchies called for war against revolutionary France.
The execution of Louis XVI united all European governments, including Spain, Naples, and the Netherlands, against the Revolution. France declared war against Britain and the Netherlands on February 1, 1793, and soon afterwards against Spain. In the course of 1793, the Holy Roman Empire, the kings of Portugal and Naples, and the Grand-Duke of Tuscany declared war against France. Thus, the First Coalition was formed.
22.5.3: Robespierre and the Committee of Public Safety
The period of the Jacobin rule known as the Reign of Terror, under the leadership of Maximilien Robespierre, was the first time in history that terror became an official government policy with the stated aim to use violence to achieve a higher political goal.
Learning Objective
Break down the politics of fear and how Robespierre used them to control France
Key Points
-
The Reign of Terror (September 5, 1793 –
July 28, 1794), also known as The Terror, was a period of violence during
the French Revolution incited by conflict between two rival political factions,
the Girondins (moderate republicans) and the Jacobins (radical republicans),
and marked by mass executions of “the enemies of the revolution.” - The
foundation of the Terror was centered around the April 1793 creation of the
Committee of Public Safety. As a wartime measure, the Committee was
given broad supervisory powers over military, judicial, and legislative
efforts. Its power peaked between August
1793 and July 1794 under the leadership of Robespierre, who established a virtual dictatorship. -
In June 1793, Paris sections took over the
Convention, calling for administrative and political purges, a low fixed price
for bread, and a limitation of the electoral franchise to sans-culottes alone.
The Jacobins identified themselves with the popular movement and the
sans-culottes, who in turn saw popular violence as a political right. The
sans-culottes, exasperated by the inadequacies of the government, invaded the
Convention and overthrew the Girondins. In their place they endorsed the
political ascendancy of the Jacobins. -
On June 24, the Convention adopted
the first republican constitution of France, the French Constitution of 1793.
It was ratified by public referendum, but never put into force. Like other
laws, it was indefinitely suspended and in October, it was announced that the
government of France would be “revolutionary until the peace.” -
Although the Girondins and the Jacobins were
both on the extreme left and shared many of the same radical republican
convictions, the Jacobins were more brutally efficient in setting up a war
government. The year of Jacobin rule was the first time in history that terror
became an official government policy, with the stated aim to use violence to
achieve a higher political goal. -
In June
1794, Robespierre, who favored deism over atheism, recommended that the Convention acknowledge the existence
of his god. The next day, the worship of the deistic Supreme Being was
inaugurated as an official aspect of the revolution. As a
result of Robespierre’s insistence on associating terror with virtue, his
efforts to make the republic a morally united patriotic community became
equated with the endless bloodshed. Shortly
after that, following a decisive military victory over Austria at the Battle of
Fleurus, Robespierre was overthrown on July 27, 1794.
Key Terms
- sans-culottes
-
The common people of the lower classes in late 18th century France, a great many of whom became radical and militant partisans of the French Revolution in response to their poor quality of life under the Ancien Régime.
- Committee of Public Safety
-
A committee created in April 1793 by the National Convention and then restructured in July 1793 to form the de facto executive government in France during the Reign of Terror (1793–94), a stage of the French Revolution.
- Reign of Terror
-
A period of violence during the French Revolution incited by conflict between two rival political factions, the Girondins and the Jacobins, and marked by mass executions of “the enemies of the revolution.” The death toll ranged in the tens of thousands, with 16,594 executed by guillotine and another 25,000 in summary executions across France.
- National Convention
-
A single-chamber assembly in France from September 20, 1792, to October 26, 1795, during the French Revolution. It succeeded the Legislative Assembly and founded the First Republic after the insurrection of August 10, 1792.
The Reign of Terror (September 5, 1793 – July 28, 1794), also known as The Terror, was a period of violence during the French Revolution incited by conflict between two rival political factions, the Girondins (moderate republicans) and the Jacobins (radical republicans), and marked by mass executions of “the enemies of the revolution.” The death toll ranged in the tens of thousands, with 16,594 executed by guillotine and another 25,000 in summary executions across France.
The Committee of Public Safety
The foundation of the Terror was the April 1793 creation of the Committee of Public Safety. The National Convention believed that the Committee needed to rule with “near dictatorial power” and gave it new and expansive political powers to respond quickly to popular demands.
The Committee—composed at first of nine and later of 12 members—assumed its role of protecting the newly established republic against foreign attacks and internal rebellion. As a wartime measure, the Committee was given broad supervisory powers over military, judicial, and legislative efforts. It was formed as an administrative body to supervise and expedite the work of the executive bodies of the Convention and the government ministers appointed by the Convention. As the Committee tried to meet the dangers of a coalition of European nations and counter-revolutionary forces within the country, it became more and more powerful.
In July 1793, following the defeat at the Convention of the Girondists, the prominent leaders of the radical Jacobins—Maximilien Robespierre and Saint-Just —were added to the Committee. The power of the Committee peaked between August 1793 and July 1794 under the leadership of Robespierre. In December 1793, the Convention formally conferred executive power upon the Committee and Robespierre established a virtual dictatorship.
Portrait of Maximilien de Robespierre (1758-1794) by an unknown artist.
Influenced by 18th-century Enlightenment philosophes such as Rousseau and Montesquieu, Robespierre was a capable articulator of the beliefs of the left-wing bourgeoisie and a deist. He opposed the dechristianization of France during the French Revolution. His steadfast adherence and defense of the views he expressed earned him the nickname l’Incorruptible (The Incorruptible).
The Terror
In June 1793, Paris sections took over the Convention, calling for administrative and political purges, a low fixed price for bread, and a limitation of the electoral franchise to sans-culottes alone. The Jacobins identified themselves with the popular movement and the sans-culottes, who in turn saw popular violence as a political right. The sans-culottes, exasperated by the inadequacies of the government, invaded the Convention and overthrew the Girondins. In their place they endorsed the political ascendancy of the Jacobins. Robespierre came to power on the back of street violence.
Meanwhile, on June 24, the Convention adopted the first republican constitution of France, the French Constitution of 1793. It was ratified by public referendum but never put into force. Like other laws, it was indefinitely suspended and in October, it was announced that the government of France would be “revolutionary until the peace.”
In an attempt to make their stance known to the world,
the National Convention, led by Robespierre, also released a statement of French foreign policy. It served to further highlight the convention’s fear of enemies of the Revolution. Because of this fear, several other pieces of legislation passed that furthered the Jacobin domination of the Revolution. This led to the consolidation, extension, and application of emergency government devices to maintain what the Revolution considered control.
Although the Girondins and the Jacobins were both on the extreme left and shared many of the same radical republican convictions, the Jacobins were more brutally efficient in setting up a war government. The year of Jacobin rule was the first time in history that terror became an official government policy, with the stated aim to use violence to achieve a higher political goal. The Jacobins were meticulous in maintaining a legal structure for the Terror, so clear records exist for official death sentences. However, many more were murdered without formal sentences pronounced in a court of law. The Revolutionary Tribunal summarily condemned thousands of people to death by guillotine, while mobs beat other victims to death. Sometimes people died for their political opinions or actions, but many for little reason beyond mere suspicion or because others had a stake in getting rid of them. Among people who were condemned by the revolutionary tribunals, about 8% were aristocrats, 6% clergy, 14% middle class, and 72% were workers or peasants accused of hoarding, evading the draft, desertion, or rebellion.
The execution of the Girondins, moderate republicans, enemies of the more radical Jacobins. Author unknown; source: “La Guillotine en 1793” by Hector Fleischmann (1908).
The passing of the Law of Suspects stepped political terror up to a much higher level of cruelty. Anyone who ‘by their conduct, relations, words or writings showed themselves to be supporters of tyranny and federalism and enemies of freedom’ was targeted and suspected of treason. This created a mass overflow in the prison systems. As a result, the prison population of Paris increased from 1,417 to 4,525 people over a three months.
The Republic of Virtue and the Fall of Robespierre
In October 1793, a new law made all suspected priests and persons who harbored them liable to summary execution. The climax of extreme anti-clericalism was reached with the celebration of the goddess Reason in Notre Dame Cathedral in November. In June 1794, Robespierre, who favored deism over atheism and had previously condemned the Cult of Reason, recommended that the convention acknowledge the existence of his god. On the next day, the worship of the deistic Supreme Being was inaugurated as an official aspect of the revolution. This austere new religion of virtue was received with signs of hostility by the Parisian public.
As a result of Robespierre’s insistence on associating Terror with Virtue, his efforts to make the republic a morally united patriotic community became equated with the endless bloodshed.
Following a decisive military victory over Austria at the Battle of Fleurus, Robespierre was overthrown on July 27, 1794. His fall was brought about by conflicts between those who wanted more power for the Committee of Public Safety (and a more radical policy than he was willing to allow) and moderates who completely opposed the revolutionary government. Robespierre tried to commit suicide before his execution by shooting himself, although the bullet only shattered his jaw. He was guillotined on July 28. The reign of the standing Committee of Public Safety was ended. New members were appointed the day after Robespierre’s execution and term limits were imposed. The Committee’s powers were reduced piece by piece.
22.5.4: The National Convention
The National Convention (1792-95), the first French assembly elected by universal male suffrage, transitioned from being paralyzed by factional conflicts to becoming the legislative body overseeing the Reign of Terror and eventually accepting the Constitution of 1795.
Learning Objective
Recall the composition and role of the National Convention
Key Points
-
The
National Convention was a single-chamber assembly in France from September 20,
1792, to October 26, 1795, during the French Revolution. It succeeded the
Legislative Assembly and founded the First Republic after the
Insurrection of August 10, 1792. It was the first French assembly elected
by universal male suffrage without distinctions of class. -
Most
historians divide the National Convention into two main factions: the Girondins
and the Montagnards. The Girondins represented the more moderate elements of the
Convention and protested the vast influence held in the Convention by
Parisians. The Montagnards were much more radical and held strong connections to the
sans-culottes of Paris. Traditionally, historians have also identified a
centrist faction called the Plain, but many historians tend to blur the line
between the Plain and the Girondins. -
Within days, the Convention was overtaken by
factional conflicts.The political deadlock, which had repercussions all over France, eventually drove
both major factions to accept dangerous allies. In June
1792, under the pressure of armed sans-culottes, the Girondins ceased to be
a political force. -
Throughout the winter of 1792 and spring of
1793, Paris was plagued by food riots and mass hunger. The new Convention,
occupied mostly with matters of war, did little to remedy the problem until
late spring of 1793. In April 1793, the Convention created the Committee of
Public Safety. Its dominance marked the Reign of Terror. - In June, the
Convention drafted the Constitution of 1793, which was ratified by popular vote but not enacted. Simultaneously, the Committee of Public Safety carried out thousands of executions
against supposed enemies of the young republic. Its laws and policies took the
revolution to unprecedented heights—they introduced the revolutionary calendar
in 1793, closed churches in and around Paris as a part of a movement of
dechristianization, tried and executed Marie Antoinette, and instituted the Law
of Suspects, among other initiatives. Members of various revolutionary factions and groups
were executed. -
In July 1794,
Robespierre was overthrown, the
Jacobin club was closed, and the surviving Girondins were reinstated. A year
later, the National Convention adopted the Constitution of 1795. They
reestablished freedom of worship, began releasing large numbers of prisoners,
and initiated elections for a new legislative body. On
November 3, 1795, a bicameral parliament called the Directory was established and
the National Convention ceased to exist.
Key Terms
- Law of Suspects
-
A decree passed by the Committee of Public Safety in September 1793 during the Reign of Terror of the French Revolution. It marked a significant weakening of individual freedoms leading to “revolutionary paranoia” that swept the nation.
The law ordered the arrest of all avowed enemies and likely enemies of the Revolution, which included nobles, relatives of émigrés, officials removed from office, officers suspected of treason, and hoarders of goods. - Reign of Terror
-
A period of violence during
the French Revolution incited by conflict between two rival political factions,
the Girondins and the Jacobins, and marked by mass executions of “the
enemies of the revolution.” The death toll ranged in the tens of
thousands, with 16,594 executed by guillotine and another 25,000 in summary
executions across France. - Declaration of the Rights of Man and Citizen
-
A fundamental document of the
French Revolution and in the history of human and civil rights passed
by France’s National Constituent Assembly in August 1789. It was
influenced by the doctrine of natural right, stating that the rights of man are
held to be universal. It became the basis for a nation of free individuals
protected equally by law. - Insurrection of August 10, 1792
-
One of the defining events
in the history of the French Revolution, the storming of the Tuileries
Palace by the National Guard of the insurrectional Paris
Commune and revolutionary fédérés from Marseilles and
Brittany resulted in the fall of the French monarchy. King Louis
XVI and the royal family took shelter with the Legislative Assembly, which
was suspended. The formal end of the monarchy six weeks later was
one of the first acts of the new National Convention. - Thermidorian Reaction
-
A 1794 coup d’état within the French Revolution against the leaders of the Jacobin Club that dominated the Committee of Public Safety. It was triggered by a vote of the National Convention to execute Maximilien Robespierre, Louis Antoine de Saint-Just, and several other leading members of the revolutionary government. It ended the most radical phase of the French Revolution.
- Committee of Public Safety
-
A committee created in April
1793 by the National Convention and then restructured in July 1793 that
formed the de facto executive government in France during the
Reign of Terror (1793–94), a stage of the French Revolution. - National Convention
-
A single-chamber assembly in France from September 20, 1792, to October 26, 1795, during the French Revolution. It succeeded the Legislative Assembly and founded the First Republic after the Insurrection of August 10, 1792.
- sans-culottes
-
The common people of the lower
classes in late 18th century France, a great many of whom became radical and
militant partisans of the French Revolution in response to their poor
quality of life under the Ancien Régime.
The National Convention was a single-chamber assembly in France from September 20, 1792, to October 26, 1795, during the French Revolution. It succeeded the Legislative Assembly and founded the First Republic after the Insurrection of August 10, 1792. The Legislative Assembly decreed the provisional suspension of King Louis XVI and the convocation of a National Convention which was to draw up a constitution. At the same time, it was decided that deputies to that convention should be elected by all Frenchmen ages 25 and older domiciled for a year and living by the product of their labor. The National Convention was therefore the first French assembly elected by universal male suffrage, without distinctions of class.
The election took place in September 1792. Owing to the abstention of aristocrats and anti-republicans and the fear of victimization, the voter turnout was low – 11.9% of the electorate. The universal male suffrage had thus very little impact and the voters elected the same sort of men that the active citizens had chosen in 1791. 75 members sat in the National Constituent Assembly and 183 in the Legislative Assembly. The full number of deputies was 749, not counting 33 from the French colonies, of whom only some arrived in Paris.
According to its own ruling, the Convention elected its President, who was eligible for re-election, every fortnight. For both legislative and administrative purposes, the Convention used committees, with powers regulated by successive laws.
Girondins v. Montagnards
Most historians divide the National Convention into two main factions: the Girondins and the Mountain or the Montagnards (in this context, also referred to as Jacobins). The Girondins represented the more moderate elements of the Convention and protested the vast influence held in the Convention by Parisians. The Montagnards, representing a considerably larger portion of the deputies, were much more radical and held strong connections to the sans-culottes of Paris. Traditionally, historians have identified a centrist faction called the Plain, but many historians tend to blur the line between the Plain and the Girondins.
Within days, the Convention was overtaken by factional conflicts. Girondins were convinced that their opponents aspired to a bloody dictatorship, while the Montagnards believed that Girondins were ready for any compromise with conservatives and royalists that would guarantee their remaining in power. The bitter enmity soon paralyzed the Convention. The political deadlock, which had repercussions all over France, eventually drove both major factions to accept dangerous allies, royalists in the case of Girondins and the sans-culottes in that of the Montagnards. In June 1792, 80,000 armed sans-culottes surrounded the Convention. After deputies who attempted to leave were met with guns, they resigned themselves to declare the arrest of 29 leading Girondins. Thus, the Girondins ceased to be a political force.
Throughout the winter of 1792 and spring of 1793, Paris was plagued by food riots and mass hunger. The new Convention,
occupied mostly with matters of war, did little to remedy the problem until April 1793 when they created the Committee of Public Safety. Eventually headed by Maximilien Robespierre, this committee was given the monumental task of dealing with radical movements, food shortages, riots and revolts (most notably in the Vendée and Brittany), and recent defeats of its armies. In response, the Committee of Public Safety instated a policy of terror and perceived enemies of the republic were persecuted at an ever-increasing rate. The period of the Committee’s dominance during the Revolution is known today as the Reign of Terror.
The Marseillais volunteers departing, sculpted on the Arc de Triomphe.
“La Marseillaise” is the national anthem of France. The song was written in 1792 by Claude Joseph Rouget de Lisle in Strasbourg after the declaration of war by France against Austria. The National Convention adopted it as the Republic’s anthem in 1795. It acquired its nickname after being sung in Paris by volunteers from Marseille marching on the capital.
Despite growing discontent with the National Convention as a ruling body, in June the Convention drafted the Constitution of 1793, which was ratified by popular vote in early August. However, the Committee of Public Safety was seen as an “emergency” government and the rights guaranteed by the 1789 Declaration of the Rights of Man and Citizen and the new constitution were suspended under its control. The Committee carried out thousands of executions against supposed enemies of the young Republic. Its laws and policies took the revolution to unprecedented heights—they introduced the revolutionary calendar in 1793, closed churches in and around Paris as a part of a movement of dechristianization, tried and executed Marie Antoinette, and instituted the Law of Suspects, among others. Members of various revolutionary factions and groups were executed including the Hébertists and the Dantonists.
Shortly after a decisive
military victory over Austria at the Battle of Fleurus, Robespierre was
overthrown in July 1794 and the reign of the standing
Committee of Public Safety was ended.
After the arrest and execution of Robespierre, the Jacobin club was closed, and the surviving Girondins were reinstated (Thermidorian Reaction). A year later, the National Convention adopted the Constitution of 1795. They reestablished freedom of worship, began releasing large numbers of prisoners, and most importantly, initiated elections for a new legislative body. On November 3, 1795, the Directory – a bicameral parliament – was established and the National Convention ceased to exist.
22.5.5: The Thermidorian Reaction
The Thermidorian
Reaction was a coup d’état during the French Revolution resulting in a Thermidorian regime characterized by the violent elimination of its perceived opponents.
Learning Objective
Describe the events of the Thermidorian Reaction
Key Points
- The Thermidorian Reaction was a coup
d’état within the French Revolution against the leaders of the
Jacobin Club who dominated the Committee of Public Safety. It was
triggered by a vote of the National Convention to execute Maximilien
Robespierre, Louis Antoine de Saint-Just, and several other leading members of
the revolutionary government. -
With Robespierre the sole remaining strongman
of the Revolution, his
apparent total grasp on power became increasingly illusory. In
addition to widespread reaction to the Reign of Terror, Robespierre’s tight
personal control of the military, distrust of military might and banks,
and opposition to supposedly corrupt individuals in government made him
the subject of a number of conspiracies. -
The conspiracies came together on Thermidor 9
(July 27) when members of the national bodies of the revolutionary government
arrested Robespierre and the leaders of the Paris city government. Not
all of the conspiratorial groupings were ideologically motivated. -
The
prime mover for the events was a Montagnard
conspiracy, which was
gradually coalescing and came to pass when the Montagnards
finally swayed the deputies of the right over to their side. In the end, Robespierre
himself united his enemies when he gave a speech
to the Convention in which he railed against enemies and conspiracies, some
within the powerful committees. As he did not give the names of the
“traitors,” all in the Convention had reason to fear that they were
the targets. -
The
Thermidorian regime that followed proved unpopular, facing many rebellions
after the execution of Robespierre and his allies.
The people who were involved with Robespierre
became the target, including many members of the Jacobin club, their
supporters, and individuals suspected of being past revolutionaries. In addition, the sans-culottes were violently suppressed by the Muscadin, a group of street fighters
organized by the new government. The massacre of these groups became known as
the White Terror. -
Meanwhile, French armies overran the
Netherlands and established the Batavian Republic, occupied the left bank
of the Rhine and forced Spain, Prussia and several German
states to sue for peace, enhancing the prestige of the National
Convention. A new constitution
was drawn up, which eased back some of the democratic elements of the
Constitution of 1793 and the Thermidorian regime ended.
Key Terms
- Thermidorian Reaction
-
A 1794 coup
d’état within the French Revolution against the leaders of the
Jacobin Club that dominated the Committee of Public Safety. It was
triggered by a vote of the National Convention to execute Maximilien
Robespierre, Louis Antoine de Saint-Just, and several other leaders of
the revolutionary government. It ended the most radical phase of the French
Revolution. - Reign of Terror
-
A period of violence during
the French Revolution incited by conflict between two rival political factions,
the Girondins and the Jacobins, and marked by mass executions of “the
enemies of the revolution.” The death toll ranged in the tens of
thousands, with 16,594 executed by guillotine and another 25,000 in summary
executions across France. - White Terror
-
A period of political violence during the French Revolution following the death of Robespierre and the end of the Reign of Terror. It was started by a group in the south of France calling themselves The Companions of Jehu. They planned a double uprising to coincide with invasions by Great Britain in the west and Austria in the east.
- Paris Commune
-
During the French
Revolution, the government of Paris from 1789 until 1795. Established in
the Hôtel de Ville just after the storming of the Bastille, it
consisted of 144 delegates elected by the 48 divisions of the city. It became
insurrectionary in the summer of 1792, essentially refusing to take orders from
the central French government. It took charge of routine civic functions but is
best known for mobilizing extreme views. It lost much power in 1794 and was
replaced in 1795. - National Convention
-
A single-chamber assembly
in France from September 20, 1792, to October 26, 1795, during the French
Revolution. It succeeded the Legislative Assembly and founded the First
Republic after the Insurrection of August 10, 1792. - Committee of Public Safety
-
A committee created in
April 1793 by the National Convention and then restructured in July 1793. It formed the de facto executive government in France during the
Reign of Terror (1793–94), a stage of the French Revolution.
The Thermidorian Reaction was a coup d’état within the French Revolution against the leaders of the Jacobin Club who dominated the Committee of Public Safety. It was triggered by a vote of the National Convention to execute Maximilien Robespierre, Louis Antoine de Saint-Just, and several other leaders of the revolutionary government. The name Thermidorian refers to Thermidor 9, Year II (July 27, 1794), the date according to the French Republican Calendar when Robespierre and other radical revolutionaries came under concerted attack in the National Convention. Thermidorian Reaction also refers to the period until the National Convention was superseded by the Directory (also called the era of the Thermidorian Convention).
Conspiracies against Robespierre
With Robespierre the sole remaining strongman of the Revolution following the assassination of Jean-Paul Marat and the executions of Jacques Hébert, Georges Danton, and Camille Desmoulins, his apparent total grasp on power became increasingly illusory, especially support from factions to his right. Robespierre’s only real political power at the time lay in the Jacobin Club, which had extended itself beyond the borders of Paris and into the country. In addition to widespread reaction to the Reign of Terror, Robespierre’s tight personal control of the military, distrust of military might and of banks, and opposition to supposedly corrupt individuals in government made him the subject of a number of conspiracies. The conspiracies came together on Thermidor 9 (July 27) when members of the national bodies of the revolutionary government arrested Robespierre and the leaders of the Paris city government. Not all the conspiratorial groupings were ideological in motivation. Many who conspired against Robespierre did so for strong practical and personal reasons, most notably self-preservation. The left was opposed to Robespierre because he rejected atheism and was not sufficiently radical.
The prime mover, however, for the events of Thermidor 9 was a Montagnard conspiracy led by Jean-Lambert Tallien and Bourdon de l’Oise, which was gradually coalescing and came to pass when the Montagnards finally swayed the deputies of the right over to their side (Robespierre and Saint-Just were themselves Montagnards). Joseph Fouché also played an important role as instigator of the events. In the end, iRobespierre himself united his enemies. On Thermidor 8 (July 26), he gave a speech to the Convention in which he railed against enemies and conspiracies, some within the powerful committees. As he did not give the names of the “traitors,” all in the Convention had reason to fear that they were the targets.
Robespierre was declared an outlaw and condemned without judicial process. The following day, Thermidor 10 (July 28, 1794), he was executed with 21 of his closest associates.
The Closing of the Jacobin Club, during the night of July 27-28, 1794. Print by Claude Nicolas Malapeau (1755-1803) after an etching by Jean Duplessis-Bertaux (1747-1819).
For historians of revolutionary movements, the term Thermidor has come to mean the phase in some revolutions when power slips from the hands of the original revolutionary leadership and a radical regime is replaced by a more conservative regime, sometimes to the point at which the political pendulum swings back towards something resembling a pre-revolutionary state.
Thermidorian Regime
The Thermidorian regime that followed proved unpopular, facing many rebellions after the execution of Robespierre and his allies along with 70 members of the Paris Commune. This was the largest mass execution that ever took place in Paris and led to a fragile situation in France. The hostility towards Robespierre did not just vanish with his execution. Instead, the people involved with Robespierre became the target, including many members of the Jacobin club, their supporters, and individuals suspected of being past revolutionaries. In addition, the sans-culottes faced violent suppression by the Muscadin, a group of street fighters organized by the new government. The massacre of these groups became known as the White Terror. Often members of targeted groups were the victims of prison massacres or put on trial without due process, similar conditions to those provided to the counter-revolutionaries during the Reign of Terror.
The Thermidorian regime excluded the remaining Montagnards from power, even those who had joined in conspiring against Robespierre and Saint-Just. The White Terror of 1795 resulted in numerous imprisonments and several hundred executions, almost exclusively of people on the political left.
Meanwhile, French armies overran the Netherlands and established the Batavian Republic, occupied the left bank of the Rhine, and forced Spain, Prussia and several German states to sue for peace, enhancing the prestige of the National Convention. A new constitution called the Constitution of the Year III (1795) was drawn up, which eased back some of the democratic elements of the Constitution of 1793. On October 25, the Convention declared itself dissolved and was replaced by the French Directory on November 2.
22.5.6: Structure of the Directory
The Directory,
a five-member
committee that governed France from November 1795 to November 1799, failed to reform the disastrous economy, relied heavily on army and violence, and represented another turn towards dictatorship during the French Revolution.
Learning Objective
Explain the structure and role of the Directory
Key Points
- The
Constitution of 1795 created the Directory with a bicameral legislature
consisting of the Council of Five Hundred (lower house) and the Council of
Ancients (upper house). Besides functioning as legislative bodies, the Council
of Five Hundred proposed the list from which the Council of
Ancients chose five directors who jointly held executive power. The new
Constitution sought to create a separation of powers, but in reality power was in the hands of the five members
of the Directory. -
In
October 1795, the elections for the new Councils decreed by the new constitution took
place, with the universal male suffrage of 1793 replaced by limited suffrage
based on property. 379 members of the National Convention, for the most part
moderate republicans, were elected to the new legislature. To assure that the
Directory did not abandon the Revolution entirely, the Council required all members of the Directory to be former members of the Convention and
regicides, those who had voted for the execution of Louis XVI. -
On October 31, 1795, the members of the Council
of Five Hundred submitted a list of candidates to the Council of Ancients,
which chose the first Directory. Only one out of the five original members served on the Directory throughout its entire existence. -
State
finances were in total disarray. The government could only cover its expenses
through the plunder and the tribute of foreign countries. The Directory was
continually at war with foreign coalitions. The wars exhausted the state budget but
if peace were made, the armies would return home and the directors would have
to face the exasperation of the rank-and-file who had lost their livelihood, as
well as the ambition of generals who could, in a moment, brush them
aside. -
The
Directory denounced the arbitrary executions of the Reign of Terror, but it
also engaged in large-scale illegal repressions and even massacres of civilians. Although committed to republicanism, it distrusted the existing, albeit limited, democracy. It also increasingly depended
on the Army in foreign and domestic affairs, including finance. The patronage of the directors was ill-bestowed and the general maladministration
heightened their unpopularity. -
On
November 9, 1799 (18 Brumaire of the Year VIII), Napoleon Bonaparte staged the
Coup of 18 Brumaire which installed the Consulate. This effectively led to
Bonaparte’s dictatorship and in 1804 to his proclamation as
emperor, which ended the specifically republican phase of the
French Revolution.
Key Terms
- The Directory
-
A five-member committee that governed France from November 1795, when it replaced the Committee of Public Safety, until it was overthrown by Napoleon Bonaparte in the Coup of 18 Brumaire (November 8-9, 1799) and replaced by the Consulate. It gave its name to the final four years of the French Revolution.
- Coup of 18 Fructidor
-
A seizure of power by members of the French Directory on September 4, 1797, when their opponents, the Royalists, were gaining strength.
- Council of Ancients
-
The upper house of the legislature of France during the period commonly known (from the name of the executive branch during this time) as the Directory, from August 22, 1795 until November 9, 1799, roughly the second half of the French Revolution.
- Reign of Terror
-
A period of violence during
the French Revolution incited by conflict between two rival political factions,
the Girondins and the Jacobins, and marked by mass executions of “the
enemies of the revolution.” The death toll ranged in the tens of
thousands, with 16,594 executed by guillotine and another 25,000 in summary executions across
France. - Coup of 18 Brumaire
-
A bloodless coup d’état under the leadership of Napoleon Bonaparte that overthrew the Directory, replacing it with the French Consulate. It took place on November 9, 1799, 18 Brumaire, Year VIII under the French Republican Calendar.
- War in the Vendée
-
A 1793-1796 uprising in the Vendée region of France during the French Revolution. Initially, the war was similar to the 14th-century Jacquerie peasant uprising, but quickly acquired themes considered by the Paris government to be counter-revolutionary and Royalist.
- Council of Five Hundred
-
The lower house of the legislature of France during the period commonly known (from the name of the executive branch during this time) as the Directory, from August 22, 1795, until November 9, 1799, roughly the second half of the French Revolution.
- National Convention
-
A single-chamber assembly
in France from September 20, 1792, to October 26, 1795, during the French
Revolution. It succeeded the Legislative Assembly and founded the First
Republic after the Insurrection of August 10, 1792.
The New Legislature and the Government
The Constitution of 1795 created the Directory with a bicameral legislature consisting of the Council of Five Hundred (lower house) and the Council of Ancients (upper house).
Besides functioning as legislative bodies, the Council of Five Hundred proposed the list from which the Council of Ancients chose five Directors who jointly held executive power.
The new Constitution sought to create a separation of powers: the Directors had no voice in legislation or taxation, nor could Directors or Ministers sit in either house.
In essence, however, power was in the hands of the five members of the Directory.
In October 1795, immediately after the suppression of a royalist uprising in Paris, the elections for the new Councils decreed by the new constitution took place. The universal male suffrage of 1793 was replaced by limited suffrage based on property. 379 members of the National Convention, for the most part moderate republicans, were elected to the new legislature. To assure that the Directory did not abandon the Revolution entirely, the Council required all the members of the Directory to be former members of the Convention and regicides, those who had voted for the execution of Louis XVI. Due to the rules established by the National Convention, a majority of members of the new legislature had served in the Convention and were ardent republicans, but many new deputies were royalists: 118 versus 11 from the left. The members of the upper house, the Council of Ancients, were chosen by lot from among all of the deputies.
On October 31, 1795, the members of the Council of Five Hundred submitted a list of candidates to the Council of Ancients, which chose the first Directory. It consisted of Paul François Jean Nicolas (commonly known as Paul Barras;
the dominant figure in the Directory known for his skills in political intrigue), Louis Marie de La Révellière-Lépeaux (a fierce republican and anti-Catholic), Jean-François Rewbell (expert in foreign relations and a firm moderate republican), Étienne-François Le Tourneur (a specialist in military and naval affairs), and Lazare Nicolas Marguerite Carnot (an energetic and efficient manager who restructured the French military). Out of the five members, only Barras served during the entire time the Directory existed.
Administration of the Directory
State finances were in total disarray. The government could only cover its expenses through the plunder and tribute of foreign countries.
The Directory was continually at war with foreign coalitions, which at different times included Britain, Austria, Prussia, the Kingdom of Naples, Russia, and the Ottoman Empire. It annexed Belgium and the left bank of the Rhine, while Napoleon Bonaparte conquered a large part of Italy. The Directory established six short-lived sister republics modeled after France in Italy, Switzerland, and the Netherlands. The conquered cities and states were required to send to France huge amounts of money as well as art treasures, which were used to fill the new Louvre museum in Paris. An army led by Bonaparte conquered Egypt and marched as far as Saint-Jean-d’Acre in Syria. The Directory defeated a resurgence of the War in the Vendée, the royalist-led civil war in the Vendée region, but failed in its venture to support the Irish Rebellion of 1798 and create an Irish Republic. The wars exhausted the state budget but if peace was made, the armies would return home and the directors would have to face the exasperation of the rank-and-file who had lost their livelihoods and the ambition of generals who could at any moment brush them aside.
The Directory denounced the arbitrary executions of the Reign of Terror, but also engaged in large-scale illegal repressions and even massacres of civilians (War in the Vendée). The failing economy and high cost of food especially hurt the poor. Although committed to republicanism, the Directory distrusted the existing, albeit limited, democracy. When the elections of 1798 and 1799 were carried by the opposition, it used the Army to imprison and exile opposition leaders and close opposition newspapers. It also increasingly depended on the Army in foreign and domestic affairs, including finance. Barras and Rewbell were notoriously corrupt and screened corruption in others. The patronage of the directors was ill-bestowed and the general maladministration heightened their unpopularity.
Public Discord
With the establishment of the Directory, contemporary observers might have assumed that the Revolution was finished. Citizens of the war-weary nation wanted stability, peace, and an end to conditions that at times bordered on chaos. Those on the right who wished to restore the monarchy by putting Louis XVIII on the throne, and those on the left who would have renewed the Reign of Terror tried but failed to overthrow the Directory. The earlier atrocities had made confidence or goodwill between parties impossible.
The new régime met opposition from Jacobins on the left and Royalists (secretly subsidized by the British government) on the right. The army suppressed riots and counter-revolutionary activities, but the rebellion and in particular Napoleon gained massive power. In the elections of 1797 for one-third of the seats, the Royalists won the great majority and were poised to take control of the Directory in the next election. The Directory reacted by purging all the winners in the Coup of 18 Fructidor, banishing 57 leaders to certain death in Guiana and closing 42 newspapers. By the same token, it rejected democratic elections and kept its old leaders in power.
Sent by Napoleon from Italy, Pierre Augereau and his troops storm Tuileries and capture Generals Charles Pichegru and Willot. Coup d’état of 18 Fructidor, year V (September 4, 1797). Engraving by Berthault, based on a drawing by Girardet.
On September 4, 1797, with the army in place, the Coup d’état of 18 Fructidor, Year V was set in motion. General Augereau’s soldiers arrested Pichegru, Barthélemy, and the leading royalist deputies of the Councils. The next day, the Directory annulled the elections of about two hundred deputies in 53 departments. 65 deputies were deported to Guiana, 42 royalist newspapers were closed, and 65 journalists and editors were deported.
On November 9, 1799 (18 Brumaire of the Year VIII) Napoleon Bonaparte staged the Coup of 18 Brumaire, which installed the Consulate. This effectively led to Bonaparte’s dictatorship and in 1804 to his proclamation as emperor. This ended the specifically republican phase of the French Revolution.
Historians have assessed the Directory as a government of self-interest rather than virtue that lost any claim on idealism. It never had a strong base of popular support. When elections were held, most of its candidates were defeated. Its achievements were minor and the approach reflected another turn towards dictatorship and the failure of liberal democracy. Violence, arbitrary and dubious forms of justice, and heavy-handed repression were methods commonly employed by the Directory.
22.5.7: Napoleon’s Rise to Power
Napoleon’s Italian victories overshadowed his Egyptian defeats during the French Revolutionary Wars, while his position at home strengthened after the Directory became dependent on the military. This made Napoleon the greatest enemy of the same government that relied on his protection.
Learning Objective
Review Napoleon’s career from the military to the Directory
Key Points
-
Upon
graduating from the prestigious École Militaire (military academy) in Paris in
September 1785, Bonaparte was commissioned as a second lieutenant in an artillery
regiment. He spent the early years of the
Revolution in Corsica, fighting in a complex three-way struggle among
royalists, revolutionaries, and Corsican nationalists. He supported the republican Jacobin movement and was promoted to captain in 1792, despite exceeding his leave of absence and leading a riot
against a French army in Corsica. -
Bonaparte was promoted to brigadier general at
the age of 24. Catching the attention of the Committee of Public Safety, he was
put in charge of the artillery of France’s Army of Italy. -
Following the fall of Robespierre and the
Thermidorian Reaction in July 1794, Napoleon, although closely associated with
Robespierre, was released from the arrest within two weeks and asked to draw up plans to attack Italian positions in the
context of France’s war with Austria. -
In October 1795, royalists in Paris declared a
rebellion against the National Convention. Under the leadership of Napoleon, the attackers were repelled on October 5, 1795 (13 Vendémiaire). 1,400 royalists died and the rest fled.
The defeat of the royalist insurrection earned Bonaparte sudden fame, wealth, and the patronage of the
new government, the Directory. - During the French Revolutionary Wars, Napoleon
was successful in a daring invasion of Italy although he failed
to seize Egypt and thereby undermine Britain’s
access to its trade interests in India. After the victories in the Italian campaign and despite the defeats in the Egyptian campaign, Napoleon was welcomed in France as a hero. -
Napoleon drew together an alliance with a number of prominent political figures and they
overthrew the Directory by a coup d’état on November 9, 1799 (Coup of 18th
Brumaire). His power was
confirmed by the new Constitution of 1799, which preserved the appearance of a
republic but in reality established a dictatorship.
Key Terms
- Thermidorian Reaction
-
A 1794 coup
d’état within the French Revolution against the leaders of the
Jacobin Club that dominated the Committee of Public Safety. It was
triggered by a vote of the National Convention to execute Maximilien
Robespierre, Louis Antoine de Saint-Just, and several other leaders of
the revolutionary government. It ended the most radical phase of the French
Revolution. - Committee of Public Safety
-
A committee created in
April 1793 by the National Convention and restructured in July 1793
that formed the de facto executive government in France during the
Reign of Terror (1793–94), a stage of the French Revolution. - 13 Vendémiaire
-
A name given to an October 5, 1795, battle between the French Revolutionary troops and royalist forces in the streets of Paris. The battle was largely responsible for the rapid advancement of Republican General Napoleon Bonaparte’s career. The name comes from
the date of the battle according to the French Republican Calendar. - Directory
-
A five-member
committee that governed France from November 1795, when it replaced
the Committee of Public Safety, until it was overthrown by Napoleon
Bonaparte in the Coup of 18 Brumaire (November 8-9, 1799) and
replaced by the Consulate. It gave its name to the final four years of the
French Revolution. - National Convention
-
A single-chamber assembly
in France from September 20, 1792, to October 26, 1795, during the French
Revolution. It succeeded the Legislative Assembly and founded the First
Republic after the Insurrection of August 10, 1792. - Coup of 18th Brumaire
-
A bloodless coup d’état
under the leadership of Napoleon Bonaparte that overthrew the Directory, replacing
it with the French Consulate. It took place on November 9, 1799, 18
Brumaire, Year VIII under the French Republican Calendar. - French Revolutionary Wars
-
A series of sweeping military
conflicts lasting from 1792 until 1802, resulting from the French Revolution.
They pitted the French First Republic against Britain, Austria, and several
other monarchies. They are divided in two periods: the War of the First
Coalition (1792–1797) and the War of the Second
Coalition (1798–1802). Initially confined to Europe, the fighting
gradually assumed a global dimension as the political ambitions of the
Revolution expanded. - Coup of 18 Fructidor
-
A seizure of power by
members of the French Directory on September 4, 1797, when their opponents,
the Royalists, were gaining strength.
Napoleon Bonaparte (1769 – 1821) was a French military and political leader who rose to prominence during the French Revolution and led several successful campaigns during the Revolutionary Wars. As Napoleon I, he was emperor of the French from 1804 until 1814, and again in 1815. He dominated European and global affairs for more than a decade while leading France against a series of coalitions in the Napoleonic Wars. He remains one of the most celebrated and controversial political figures in human history.
Early Career
Upon graduating from the prestigious
École Militaire (military academy) in Paris in September 1785, Bonaparte was commissioned as a second lieutenant in an artillery regiment. He served in Valence and Auxonne until after the outbreak of the Revolution in 1789 and took nearly two years’ leave in Corsica (where he was born and spent his early years) and Paris during this period. At this time, he was a fervent Corsican nationalist. He spent the early years of the Revolution in Corsica, fighting in a complex three-way struggle among royalists, revolutionaries, and Corsican nationalists. He was a supporter of the republican Jacobin movement, organizing clubs in Corsica, and was given command over a battalion of volunteers. He was promoted to captain in the regular army in 1792, despite exceeding his leave of absence and leading a riot against a French army in Corsica.
He returned to Corsica and came into conflict with the Corsican leader Pasquale Paoli, who decided to split with France and sabotage the French assault on the Sardinian island of La Maddalena. Bonaparte and his family fled to the French mainland in June 1793 because of the conflict with Paoli.
Napoleon Bonaparte, aged 23, lieutenant-colonel of a battalion of Corsican Republican volunteers, paitning by Henri Félix Emmanuel Philippoteaux, ca. 1834.
Born and raised in Corsica,
Napoleon’s first language was Corsican and he always spoke French with a marked Corsican accent .
The Corsican Buonapartes were descended from minor Italian nobility of Tuscan origin, who had come to Corsica from Liguria in the 16th century. His father Carlo Buonaparte was named Corsica’s representative to the court of Louis XVI in 1777.
Bonaparte was promoted to brigadier general at the age of 24. Catching the attention of the Committee of Public Safety, he was put in charge of the artillery of France’s Army of Italy. He devised plans for attacking the Kingdom of Sardinia as part of France’s campaign against the First Coalition. The French army carried out Bonaparte’s plan in the Battle of Saorgio in April 1794 and then advanced to seize Ormea in the mountains. From Ormea, they headed west to outflank the Austro-Sardinian positions around Saorge. After this campaign, he was sent on a mission to the Republic of Genoa to determine that country’s intentions towards France.
Rise as a Military Leader
Following the fall of Robespierre and the Thermidorian Reaction in July 1794, Napoleon, although closely associated with Robespierre, was released from the arrest within two weeks. He was asked to draw up plans to attack Italian positions in the context of France’s war with Austria. He also took part in an expedition to take back Corsica from the British, but the French were repelled by the British Royal Navy.
In October 1795, royalists in Paris declared a rebellion against the National Convention. Paul Barras, a leader of the Thermidorian Reaction, knew of Bonaparte’s earlier military exploits and gave him command of the improvised forces in defense of the Convention in the Tuileries Palace. Napoleon had seen the massacre of the King’s Swiss Guard there three years earlier and realized that artillery would be the key to its defense. He ordered a young cavalry officer named Joachim Murat to seize large cannons and used them to repel the attackers on October 5, 1795 (13 Vendémiaire in the French Republican Calendar). 1,400 royalists died and the rest fled. The defeat of the royalist insurrection extinguished the threat to the Convention and earned Bonaparte sudden fame, wealth, and the patronage of the new government, the Directory. He was promoted to Commander of the Interior and given command of the Army of Italy.
Conquest of Italy
During the French Revolutionary Wars,
Napoleon was successful in a daring invasion of Italy. In the Montenotte Campaign, he separated the armies of Sardinia and Austria, defeating each one in turn, and then forced a peace on Sardinia. Following this, his army captured Milan and started the Siege of Mantua. Bonaparte defeated successive Austrian armies under three different leaders while continuing the siege.
The next phase of the conflict featured the French invasion of the Habsburg heartlands. In the first encounter between the two armies, Napoleon pushed back his opponents and advanced deep into Austrian territory. The Austrians were alarmed by the French thrust that reached all the way to Leoben, not very far from Vienna, and finally decided to sue for peace. The Treaty of Leoben, followed by the more comprehensive Treaty of Campo Formio, gave France control of most of northern Italy and the Low Countries, and a secret clause promised the Republic of Venice to Austria. Bonaparte marched on Venice and forced its surrender, ending 1,100 years of independence. He also authorized the French to loot treasures.
In the Italian campaign, Bonaparte’s army captured 150,000 prisoners, 540 cannons, and 170 standards. The French army fought 67 actions and won 18 pitched battles through superior artillery technology and Bonaparte’s tactics. During the campaign, Bonaparte became increasingly influential in French politics. The royalists attacked Bonaparte for looting Italy and warned that he might become a dictator. Bonaparte also sent General Pierre Augereau to Paris to lead a coup d’état and purge the royalists on September 4 (Coup of 18 Fructidor). This left Barras and his republican allies in control again but dependent on Bonaparte, who proceeded to peace negotiations with Austria. These negotiations resulted in the Treaty of Campo Formio, and Bonaparte returned to Paris in December as a hero. He met Talleyrand, France’s new Foreign Minister—who served in the same capacity for Emperor Napoleon—and they began to prepare for an invasion of Britain.
Expedition to Egypt
Bonaparte decided on a military expedition to seize Egypt and thereby undermine Britain’s access to its trade interests in India. Bonaparte wished to establish a French presence in the Middle East, with the ultimate dream of linking with Tipu Sultan, a Muslim enemy of the British in India. In May 1798, Bonaparte was elected a member of the French Academy of Sciences. His Egyptian expedition included a group of 167 scientists, with mathematicians, naturalists, chemists, and geodesists among them (their discoveries included the Rosetta Stone).
General Bonaparte and his expedition eluded pursuit by the Royal Navy and landed at Alexandria in July. In August, the British fleet under Horatio Nelson captured or destroyed all but two French vessels in the Battle of the Nile, defeating Bonaparte’s goal to strengthen the French position in the Mediterranean. In early 1799, he moved an army into the Ottoman province of Damascus (Syria and Galilee). Bonaparte led 13,000 French soldiers in the conquest of the coastal towns of Arish, Gaza, Jaffa, and Haifa. The attack on Jaffa was particularly brutal. Bonaparte discovered that many of the defenders were former prisoners of war, ostensibly on parole, so he ordered the garrison and 1,400 prisoners to be executed by bayonet or drowning to save bullets. Men, women, and children were robbed and murdered for three days.
Bonaparte began with an army of 13,000 men: 1,500 were reported missing, 1,200 died in combat, and thousands perished from disease. He failed to reduce the fortress of Acre, so he marched his army back to Egypt in May. To speed up the retreat, Bonaparte ordered plague-stricken men to be poisoned with opium. The number who died remains disputed, ranging from a low of 30 to a high of 580. He also brought out 1,000 wounded men.
The 18th Brumaire
Despite the failures in Egypt, Napoleon returned to a hero’s welcome. He allied with a number of prominent political figures tooverthrew the Directory by a coup d’état on November 9, 1799 (Coup of 18th Brumaire, according to the revolutionary calendar), closing down the Council of Five Hundred. Napoleon became “first consul” for ten years, and appointed two consuls who had consultative voices only. His power was confirmed by the new Constitution of 1799, which preserved the appearance of a republic but in reality established a dictatorship.
Chapter 21: Enlightened Despots
21.1: The Age of Enlightenment
21.1.1: Enlightenment Ideals
Centered on the idea that reason is the primary source of authority and legitimacy, the Enlightenment was a philosophical movement that dominated the world of ideas in Europe in the 18th century.
Learning Objective
Identify the core ideas that drove the Age of Enlightenment
Key Points
-
The
Age of Enlightenment was a philosophical
movement that dominated the world of ideas in Europe in the 18th century.
Centered on the idea that reason is the primary source of authority and
legitimacy, this movement advocated such ideals as liberty, progress, tolerance,
fraternity, constitutional government, and separation of church and state. -
There
is little consensus on the precise beginning of the Age of Enlightenment, but the beginning of the 18th century (1701) or the
middle of the 17th century (1650) are commonly identified as starting points. French historians usually place the period
between 1715 and 1789. Most scholars use the last years of the century, often choosing the
French Revolution of 1789 or the beginning of the Napoleonic
Wars (1804–15) to date the end of
the Enlightenment. -
The
Enlightenment took hold in most European countries, often with a specific local
emphasis.
The
cultural exchange during the Age of Enlightenment ran between particular European countries and also in both directions across
the Atlantic. -
There were two distinct
lines of Enlightenment thought. The radical Enlightenment advocated democracy, individual liberty, freedom of
expression, and eradication of religious authority. A second, more moderate
variety sought accommodation between reform and the traditional systems of
power and faith. -
Science
came to play a leading role in Enlightenment discourse and thought. The Enlightenment has long been hailed as the foundation of modern Western
political and intellectual culture. It brought political modernization to the
West. In
religion, Enlightenment era commentary was a response to the preceding century
of religious conflict in Europe. -
Historians
of race, gender, and class note that Enlightenment ideals were not originally
envisioned as universal in the today’s sense of the word. Although they did
eventually inspire the struggles for rights of people of color, women, or the
working masses, most Enlightenment thinkers did not advocate equality for all,
regardless of race, gender, or class, but rather insisted that rights and
freedoms were not hereditary.
Key Terms
- reductionism
-
Several related but distinct philosophical positions regarding the connections between theories, “reducing” one idea to another, more basic one. In the sciences, its methodologies attempt to explain entire systems in terms of their individual, constituent parts and interactions.
- scientific method
-
A body of techniques for investigating phenomena,
acquiring new knowledge, or correcting and integrating previous knowledge that
apply empirical or measurable evidence subject to specific principles
of reasoning. It has characterized natural science since the 17th
century, consisting of systematic observation, measurement, and experimentation, and
the formulation, testing, and modification of hypotheses. - cogito ergo sum
-
A Latin philosophical proposition by René Descartes usually translated into English as “I think, therefore I am.” The phrase originally appeared in his Discourse on the Method. This proposition became a fundamental element of Western philosophy, as it purported to form a secure foundation for knowledge in the face of radical doubt.
While other knowledge could be a figment of imagination, deception, or mistake, Descartes asserted that the very act of doubting one’s own existence served—at minimum—as proof of the reality of one’s own mind. - empiricism
-
The theory that knowledge comes primarily from
sensory experience. It emphasizes evidence, especially data gathered through experimentation and use of the scientific method.
The Age of Enlightenment
The Age of Enlightenment, also known as the Enlightenment, was a philosophical
movement that dominated the world of ideas in Europe in the 18th century. Centered on the idea that reason is the primary source of authority
and legitimacy, this movement advocated such ideals as liberty, progress, tolerance,
fraternity, constitutional government, and separation of church and state. The
Enlightenment was marked by an emphasis on the scientific method and
reductionism along with increased questioning of religious orthodoxy. The core ideas advocated by modern democracies, including the civil society, human and civil rights, and separation of powers, are the product of the Enlightenment. Furthermore, the sciences and academic disciplines (including social sciences and the humanities) as we know them today, based on empirical methods, are also rooted in the Age of Enlightenment. All these developments, which followed and partly overlapped with the European exploration and colonization of the Americas and the intensification of the European presence in Asia and Africa, make the Enlightenment a starting point of what some historians define as the European Moment in World History: the long period of often tragic European domination over the rest of the world.
There is little consensus on the precise beginning of the Age of Enlightenment, with the beginning of the 18th century (1701) or the middle of the 17th century (1650) often considered starting points. French historians usually place the period between 1715 and 1789, from the beginning of the reign of Louis XV until the French Revolution. In the mid-17th century, the Enlightenment traces its origins to Descartes’ Discourse on Method, published in 1637. In France, many cite the publication of Isaac Newton’s Principia Mathematica in 1687. Some historians and philosophers have argued that the beginning of the Enlightenment is when Descartes shifted the epistemological basis from external authority to internal certainty by his cogito ergo sum (1637).
As to its end, most scholars use the last years of the century, often choosing the French Revolution of 1789 or the beginning of the Napoleonic Wars (1804–15) to date the end of the Enlightenment.
National Varieties
The Enlightenment took hold in most European countries, often with a specific local emphasis. For example, in France it became associated with anti-government and anti-Church radicalism, while in Germany it reached deep into the middle classes and took a spiritualistic and nationalistic tone without threatening governments or established churches. Government responses varied widely. In France, the government was hostile and Enlightenment thinkers fought against its censorship, sometimes being imprisoned or hounded into exile. The British government largely ignored the Enlightenment’s leaders in England and Scotland. The Scottish Enlightenment, with its mostly liberal Calvinist and Newtonian focus, played a major role in the further development of the transatlantic Enlightenment. In Italy, the significant reduction in the Church’s power led to a period of great thought and invention, including scientific discoveries. In Russia, the government began to actively encourage the proliferation of arts and sciences in the mid-18th century. This era produced the first Russian university, library, theater, public museum, and independent press. Several Americans, especially Benjamin Franklin and Thomas Jefferson, played a major role in bringing Enlightenment ideas to the New World and in influencing British and French thinkers. The cultural exchange during the Age of Enlightenment ran in both directions across the Atlantic. In their development of the ideas of natural freedom, Europeans and American thinkers drew from American Indian cultural practices and beliefs.
First page of the Encyclopedie published between 1751 and 1766.
The prime example of reference works that systematized scientific knowledge in the Age of Enlightenment were universal encyclopedias rather than technical dictionaries. It was the goal of universal encyclopedias to record all human knowledge in a comprehensive reference work. The most well-known of these works is Denis Diderot and Jean le Rond d’Alembert’s Encyclopédie, ou dictionnaire raisonné des sciences, des arts et des métiers. The work, which began publication in 1751, was composed of thirty-five volumes and over 71,000 separate entries. A great number of the entries were dedicated to describing the sciences and crafts in detail, and provided intellectuals across Europe with a high-quality survey of human knowledge.
Major Enlightenment Ideas
In
the mid-18th century, Europe witnessed an explosion of philosophic and
scientific activity that challenged traditional doctrines and dogmas. The
philosophic movement was led by Voltaire and Jean-Jacques Rousseau, who argued
for a society based upon reason rather than faith and Catholic doctrine, for a
new civil order based on natural law, and for science based on experiments and
observation. The political philosopher Montesquieu introduced the idea of a
separation of powers in a government, a concept which was enthusiastically
adopted by the authors of the United States Constitution.
There
were two distinct lines of Enlightenment thought. The radical enlightenment,
inspired by the philosophy of Spinoza, advocated democracy, individual
liberty, freedom of expression, and eradication of religious authority. A second,
more moderate variety, supported by René Descartes, John Locke, Christian
Wolff, Isaac Newton and others, sought accommodation between reform and the
traditional systems of power and faith.
Science came to play a leading role in Enlightenment discourse and
thought. Many Enlightenment writers and thinkers had backgrounds in the
sciences and associated scientific advancement with the overthrow of religion
and traditional authority in favor of the development of free speech and
thought. Broadly speaking, Enlightenment science greatly valued empiricism and
rational thought and was embedded with the Enlightenment ideal of advancement
and progress. However, as with most Enlightenment views, the benefits of science were
not seen universally.
The
Enlightenment has also long been hailed as the foundation of modern Western
political and intellectual culture. It brought political modernization to the
West in terms of focusing on democratic values and institutions and the
creation of modern, liberal democracies. The fundamentals of European liberal thought, including the
right of the individual, the natural equality of all men, the separation of powers, the artificial
character of the political order (which led to the later distinction between
civil society and the state), the view that all legitimate political power must
be “representative” and based on the consent of the people, and liberal interpretation of law that leaves people free to do whatever is not explicitly forbidden, were all developed by Enlightenment thinkers.
In religion, Enlightenment-era commentary was a response to the preceding century of religious
conflict in Europe. Enlightenment thinkers sought to curtail the political
power of organized religion and thereby prevent another age of intolerant
religious war. A number of novel ideas developed, including deism (belief in
God the Creator, with no reference to the Bible or any other source) and
atheism. The latter was much discussed but had few proponents. Many,
like Voltaire, held that without belief in a God who punishes evil, the moral
order of society was undermined.
Front page of The Gentleman’s Magazine, founded by Edward Cave in London in January 1731.
The increased consumption of reading materials of all sorts was one of the key features of the “social” Enlightenment. The Industrial Revolution allowed consumer goods to be produced in greater quantities at lower prices, encouraging the spread of books, pamphlets, newspapers, and journals. Cave’s innovation was to create a monthly digest of news and commentary on any topic the educated public might be interested in, from commodity prices to Latin poetry.
Impact
The
ideas of the Enlightenment played a major role in inspiring the French
Revolution, which began in 1789 and emphasized the rights of common men as
opposed to the exclusive rights of the elites. As such, they laid the foundation for modern, rational, democratic societies. However, historians of race,
gender, and class note that Enlightenment ideals were not originally envisioned
as universal in the today’s sense of the word. Although they did eventually
inspire the struggles for rights of people of color, women, or the working
masses, most Enlightenment thinkers did not advocate equality for all, regardless of
race, gender, or class, but rather insisted that rights and freedoms were not
hereditary (the heredity of power and rights was a common pre-Enlightenment assumption). This perspective directly attacked the traditionally exclusive
position of the European aristocracy but was still largely focused on expanding
the rights of white males of a particular social standing.
21.1.2: Scientific Exploration
Science, based on empiricism and rational thought and embedded with the Enlightenment ideal of advancement and progress, came to play a leading role in the movement’s discourse and thought.
Learning Objective
Describe advancements made in science and social sciences during the 18th century
Key Points
-
Science came to play a leading role in Enlightenment discourse and ideas. The movement greatly valued empiricism and rational thought
and was embedded with the Enlightenment ideal of advancement and progress.
Similar rules were applied to social sciences. -
Building on the body of work forwarded by Copernicus, Kepler and
Newton, 18th-century astronomers refined telescopes, produced star catalogs,
and worked towards explaining the motions of heavenly bodies and the
consequences of universal gravitation. In 1781, amateur astronomer William
Herschel was responsible for arguably the most important discovery in
18th-century astronomy: a new planet later named Uranus. -
The 18th century witnessed the early modern reformulation of
chemistry that culminated in the law of conservation of mass and the
oxygen theory of combustion. -
David Hume and other Scottish Enlightenment thinkers developed a “science of man.” Against philosophical rationalists, Hume held that passion
rather than reason governs human behavior and argued against the existence of
innate ideas, positing that all human knowledge is ultimately founded solely in
experience. Modern sociology largely originated from these ideas. -
Adam Smith published The Wealth of Nations, often
considered the first work on modern economics, in 1776. It had an immediate
impact on British economic policy that continues into the 21st century.
Enlightenment-era changes in law also continue to shape legal systems today. -
The Age of Enlightenment was also when the first scientific and
literary journals were established. As a source of knowledge derived from
science and reason, these journals were an implicit critique of existing notions
of universal truth monopolized by monarchies, parliaments, and religious
authorities.
Key Terms
- chemical revolution
-
The 18th-century reformulation of chemistry that culminated in the law of conservation of mass and the oxygen theory of combustion. During the 19th and 20th century, this transformation was credited to the work of the French chemist Antoine Lavoisier (the “father of modern chemistry”). However, recent research notes that gradual changes in chemical theory and practice emerged over two centuries.
- science of man
-
A topic in David Hume’s 18th century experimental philosophy A Treatise of Human Nature (1739). It expanded the understanding of facets of human nature, including senses, impressions, ideas, imagination, passions, morality, justice, and society.
- empiricism
-
The theory that
knowledge comes primarily from sensory experience. It emphasizes
evidence gathered through
experimentation and by use of the scientific method.
While
the Enlightenment cannot be pigeonholed into a specific doctrine or set of
dogmas, science is a key part of the ideals of this movement. Many Enlightenment writers and thinkers had backgrounds in the
sciences and associated scientific advancement with the overthrow of religion
and traditional authority in favor of the development of free speech and
thought. Broadly speaking, Enlightenment science greatly valued empiricism and
rational thought, embedded with the ideals of advancement
and progress. Similar rules were applied to social sciences.
Astronomy
Building on the body of work forwarded by Copernicus, Kepler and Newton, 18th-century astronomers refined telescopes, produced star catalogs, and worked towards explaining the motions of heavenly bodies and the consequences of universal gravitation. In 1705, astronomer Edward Halley correctly linked historical descriptions of particularly bright comets to the reappearance of just one (later named Halley’s Comet), based on his computation of the orbits of comets. James Bradley realized that the unexplained motion of stars he had early observed with Samuel Molyneux was caused by the aberration of light. He also came fairly close to the estimation of the speed of light. Observations of Venus in the 18th century became an important step in describing atmospheres, including the work of Mikhail Lomonosov, Johann Hieronymus Schröter, and Alexis Claude de Clairaut. In 1781, amateur astronomer William Herschel was responsible for arguably the most important discovery in 18th-century astronomy. He spotted a new planet that he named Georgium Sidus. The name Uranus, proposed by Johann Bode, came into widespread usage after Herschel’s death. On the theoretical side of astronomy, the English natural philosopher John Michell first proposed the existence of dark stars in 1783.
William Herschel’s 40 foot (12 m) telescope. Scanned from Leisure Hour, Nov 2,1867, page 729.
Much astronomical work of the period becomes shadowed by one of the most dramatic scientific discoveries of the 18th century. On March 13, 1781, amateur astronomer William Herschel spotted a new planet with his powerful reflecting telescope. Initially identified as a comet, the celestial body later came to be accepted as a planet. Soon after, the planet was named Georgium Sidus by Herschel and was called Herschelium in France. The name Uranus, as proposed by Johann Bode, came into widespread usage after Herschel’s death.
Chemistry
The 18th century witnessed the early modern reformulation of chemistry that culminated in the law of conservation of mass and the oxygen theory of combustion. This period was eventually called the chemical revolution. According to an earlier theory, a substance called phlogiston was released from inflammable materials through burning. The resulting product was termed calx, which was considered a dephlogisticated substance in its true form. The first strong evidence against phlogiston theory came from Joseph Black, Joseph Priestley, and Henry Cavendish, who all identified different gases that composed air. However, it was not until Antoine Lavoisier discovered in 1772 that sulphur and phosphorus grew heavier when burned that the phlogiston theory began to unravel. Lavoisier subsequently discovered and named oxygen, as well as described its roles in animal respiration and the calcination of metals exposed to air (1774–1778). In 1783, he found that water was a compound of oxygen and hydrogen. Transition to and acceptance of Lavoisier’s findings varied in pace across Europe. Eventually, however, the oxygen-based theory of combustion drowned out the phlogiston theory and in the process created the basis of modern chemistry.
Social Sciences
David Hume and other Scottish Enlightenment thinkers developed a “science of man” that was expressed historically in works by authors including James Burnett, Adam Ferguson, John Millar, and William Robertson, all of whom merged a scientific study of how humans behaved in prehistoric and ancient cultures with a strong awareness of the determining forces of modernity. Against philosophical rationalists, Hume held that passion rather than reason governs human behavior and argued against the existence of innate ideas, positing that all human knowledge is ultimately founded solely in experience. According to Hume, genuine knowledge must either be directly traceable to objects perceived in experience or result from abstract reasoning about relations between ideas derived from experience.
Modern sociology largely originated from the science of ma’ movement.
Adam Smith published The Wealth of Nations, often considered the first work on modern economics, in 1776. It had an immediate impact on British economic policy that continues into the 21st century. The book was immediately preceded and influenced by Anne-Robert-Jacques Turgot and Baron de Laune drafts of Reflections on the Formation and Distribution of Wealth (Paris, 1766). Smith acknowledged indebtedness to this work and may have been its original English translator.
Enlightenment-era changes in law also continue to shape legal systems today. Cesare Beccaria, a jurist and one of the great Enlightenment writers, published his masterpiece Of Crimes and Punishments in 1764. Beccaria is recognized as one of the fathers of classical criminal theory. His treatise condemned torture and the death penalty and was a founding work in the field of penology (the study of the punishment of crime and prison management). It also promoted criminal justice.
Another prominent intellectual was Francesco Mario Pagano, whose work Saggi Politici (Political Essays, 1783)
argued against torture and capital punishment and advocated more benign penal codes.
Portrait of
Cesare Bonesana-Beccaria
Although less widely known to the general public than his fellow English, Scottish, or French philosophers of the era, Beccaria remains one of the greatest thinkers of the Enlightenment era.
His theories have continued to play a great role in recent times. Some of the current policies impacted by his theories are truth in sentencing, swift punishment and the abolition of death penalty. While many of his theories are popular, some are still a source of heated controversy, more than two centuries after Beccaria’s death.
Scientific Publications
The Age of Enlightenment was also when the first scientific and literary journals were established. The first journal, the Parisian Journal des Sçavans, appeared in 1665. However, it was not until 1682 that periodicals began to be more widely produced. French and Latin were the dominant languages of publication, but there was also a steady demand for material in German and Dutch. There was generally low demand for English publications on the Continent, which was echoed by England’s similar lack of desire for French works. Languages commanding less of an international market such as Danish, Spanish, and Portuguese found journal success more difficult and often used an international language instead. French slowly took over Latin’s status as the lingua franca of learned circles. This in turn gave precedence to the publishing industry in Holland, where the vast majority of these French language periodicals were produced. As a source of knowledge derived from science and reason, the journals were an implicit critique of existing notions of universal truth monopolized by monarchies, parliaments, and religious authorities.
21.1.3: The Popularization of Science
Scientific societies and academies and the unprecedented popularization of science among an increasingly literate population dominated the Age of Enlightenment.
Learning Objective
Describe advancements made in the popularization of science during the 18th century
Key Points
-
Science during the Enlightenment was dominated
by scientific societies and academies, which largely replaced universities
as centers of scientific research and development. Scientific academies and
societies grew out of the Scientific Revolution as the creators of scientific
knowledge in contrast to the scholasticism of the university. -
National scientific societies were founded
throughout the Enlightenment era in the urban hotbeds of scientific development
across Europe. Many regional and provincial
societies followed along with some smaller private counterparts. Activities included research, experimentation, sponsoring
essay contests, and collaborative projects between societies. -
Academies and societies disseminated Enlightenment science by publishing the works of their members. The publication schedules were typically irregular, with periods between volumes sometimes lasting years. While the journals of the academies primarily published scientific
papers, the independent periodicals that followed were a mix of reviews, abstracts, translations
of foreign texts, and sometimes derivative, reprinted materials. -
Although dictionaries and
encyclopedias have existed since ancient times, during the Enlightenment they evolved from a simple list of definitions to far more detailed discussions of those words. The most well-known of the 18th century encyclopedic dictionaries is Encyclopaedia, or a Systematic Dictionary of
the Sciences, Arts, and Crafts. -
During the Enlightenment, science began to appeal to an increasingly larger audience. A more literate population seeking
knowledge and education in both the arts and the sciences drove the expansion
of print culture and the dissemination of scientific learning in coffeehouses, at public lectures, and through popular publications. -
During
the Enlightenment era, women were excluded from scientific societies,
universities, and learned professions. Despite
these limitations, many women made valuable contributions to science during the
18th century.
Key Terms
- Encyclopaedia, or a Systematic Dictionary of the Sciences, Arts, and Crafts
-
A general encyclopedia published in France between 1751 and 1772, with later supplements, revised editions, and translations. It had many writers, known as the Encyclopédistes, and was edited by Denis Diderot and until 1759 co-edited by Jean le Rond d’Alembert. It is most famous for representing the thought of the Enlightenment.
- Scientific Revolution
-
The emergence of modern science during the early modern period, when developments in mathematics, physics, astronomy, biology (including human anatomy) and chemistry transformed society’s views about nature. It began in Europe towards the end of the Renaissance period and continued through the late 18th century, influencing the intellectual social movement known as the Enlightenment. While its dates are disputed, the publication of Nicolaus Copernicus’s De revolutionibus orbium coelestium (On the Revolutions of the Heavenly Spheres) in 1543 is often cited as its beginning.
- Conversations on the Plurality of Worlds
-
A popular science book by French author Bernard le Bovier de Fontenelle published in 1686. It offered an explanation of the heliocentric model of the Universe, suggested by Nicolaus Copernicus in his 1543 work De revolutionibus orbium coelestium. The book, written in French and not in Latin as most scientific works of the era, was one of the first attempts to explain scientific theories in a popular language understandable to the wide audience.
Societies and Academies
Science during the Enlightenment was dominated by scientific societies and academies, which largely replaced universities as centers of scientific research and development.
These organizations grew out of the Scientific Revolution as the creators of scientific knowledge in contrast to the scholasticism of the university. During the Enlightenment, some societies created or retained links to universities. However, contemporary sources distinguished universities from scientific societies by claiming that the university’s utility was in the transmission of knowledge, while societies functioned to create knowledge. As the role of universities in institutionalized science began to diminish, learned societies became the cornerstone of organized science. After 1700, many official academies and societies were founded in Europe, with more than seventy official scientific societies in existence by 1789. In reference to this growth, Bernard de Fontenelle coined the term “the Age of Academies” to describe the 18th century.
National scientific societies were founded in the urban hotbeds of scientific development across Europe. In the 17th century, the Royal Society of London (1662), the Paris Académie Royale des Sciences (1666), and the Berlin Akademie der Wissenschaften (1700) came into existence. In the first half of the 18th century, the Academia Scientiarum Imperialis (1724) in St. Petersburg, and the Kungliga Vetenskapsakademien (Royal Swedish Academy of Sciences) (1739) were created. Many regional and provincial societies followed along with some smaller private counterparts. Official scientific societies were chartered by the state to provide technical expertise, which resulted in direct, close contact between the scientific community and government bodies. State sponsorship was beneficial to the societies as it brought finance and recognition along with a measure of freedom in management. Most societies were granted permission to oversee their own publications, control the election of new members, and otherwise provide administration. Membership in academies and societies was highly selective. Activities included research, experimentation, sponsoring essay contests, and collaborative projects between societies.
Scientific and Popular Publications
Academies and societies served to disseminate Enlightenment science by publishing the scientific works of their members as well as their proceedings. With the exception of the Philosophical Transactions of the Royal Society by the Royal Society of London, which was published on a regular, quarterly basis, publication schedules were typically irregular, with periods between volumes sometimes lasting years. These and other limitations of academic journals left considerable space for the rise of independent periodicals, which excited scientific interest in the general public. While the journals of the academies primarily published scientific papers, independent periodicals were a mix of reviews, abstracts, translations of foreign texts, and sometimes derivative, reprinted materials. Most of these texts were published in the local vernacular, so their continental spread depended on the language of the readers. For example, in 1761, Russian scientist Mikhail Lomonosov correctly attributed the ring of light around Venus, visible during the planet’s transit, as the planet’s atmosphere. However, because few scientists understood Russian outside of Russia, his discovery was not widely credited until 1910. With a wider audience and ever-increasing publication material, specialized journals emerged, reflecting the growing division between scientific disciplines in the Enlightenment era.
Cover of the first volume of Philosophical Transactions of the Royal Society, 1665-1666, the Royal Society of London.
The Philosophical Transactions was established in 1665 as the first journal in the world exclusively devoted to science. It is still published by the Royal Society, which also makes it the world’s longest-running scientific journal. The use of the word “Philosophical” in the title refers to “natural philosophy,” which was the equivalent of what would now be generally called science.
Although dictionaries and encyclopedias have existed since ancient times, they evolved from simply a long list of definitions to detailed discussions of those words in 18th-century encyclopedic dictionaries. The works were part of an Enlightenment movement to systematize knowledge and provide education to a wider audience than the educated elite. As the 18th century progressed, the content of encyclopedias also changed according to readers’ tastes. Volumes tended to focus more strongly on secular affairs, particularly science and technology, rather than on matters of theology. The most well-known of these works is Denis Diderot and Jean le Rond d’Alembert’s
Encyclopaedia, or a Systematic Dictionary of the Sciences, Arts, and Crafts. The work, which began publication in 1751, was composed of thirty-five volumes and more than 71,000 separate entries. Many entries describe the sciences and crafts in detail. The massive work was arranged according to a “tree of knowledge.” The tree reflected the marked division between the arts and sciences, largely a result of the rise of empiricism. Both areas of knowledge were united by philosophy, the trunk of the tree of knowledge.
Science and the Public
During Enlightenment, the discipline of science began to appeal to a consistently growing audience. An increasingly literate population seeking knowledge and education in both the arts and the sciences drove the expansion of print culture and the dissemination of scientific learning.
The British coffeehouse is an early example of this phenomenon, as their establishment created a new public forum for political, philosophical, and scientific discourse. In the mid-16th century, coffeehouses cropped up around Oxford, where the academic community began to capitalize on the unregulated conversation the coffeehouse allowed. The new social space was used by some scholars as a place to discuss science and experiments outside the laboratory of the official institution. Education was a central theme, and some patrons began offering lessons to others. As coffeehouses developed in London, customers heard lectures on scientific subjects such as astronomy and mathematics for an exceedingly low price.
Public lecture courses offered scientists unaffiliated with official organizations a forum to transmit scientific knowledge and their own ideas, leading to the opportunity to carve out a reputation and even make a living. The public, on the other hand, gained both knowledge and entertainment from demonstration lectures. Courses varied in duration from one to four weeks to a few months or even the entire academic year and were offered at virtually any time of day. The importance of the lectures was not in teaching complex scientific subjects, but rather in demonstrating the principles of scientific disciplines and encouraging discussion and debate.
Barred from the universities and other institutions, women were often in attendance at demonstration lectures and constituted a significant number of auditors.
Increasing literacy rates in Europe during the Enlightenment enabled science to enter popular culture through print. More formal works included explanations of scientific theories for individuals lacking the educational background to comprehend the original scientific text. The publication of Bernard de Fontenelle’s Conversations on the Plurality of Worlds (1686) marked the first significant work that expressed scientific theory and knowledge expressly for the laity, in the vernacular and with the entertainment of readers in mind. The book specifically addressed women with an interest in scientific writing and inspired a variety of similar works written in a discursive style. These were more accessible to the reader than complicated articles, treatises, and books published by the academies and scientists.
Science and Gender
During the Enlightenment, women were excluded from scientific societies, universities, and learned professions. They were educated, if at all, through self-study, tutors, and by the teachings of more open-minded family members and relatives. With the exception of daughters of craftsmen, who sometimes learned their fathers’ professions by assisting in the workshop, learned women were primarily part of elite society. In addition, women’s inability to access scientific instruments (e.g., microscope) made it difficult for them to conduct independent research.
Despite these limitations, many women made valuable contributions to science during the 18th century. Two notable women who managed to participate in formal institutions were Laura Bassi and the Russian Princess Yekaterina Dashkova. Bassi was an Italian physicist who received a PhD from the University of Bologna and began teaching there in 1732. Dashkova became the director of the Russian Imperial Academy of Sciences of St. Petersburg in 1783. Her personal relationship with Empress Catherine the Great allowed her to obtain the position, which marked in history the first appointment of a woman to the directorship of a scientific academy. More commonly, however, women participated in the sciences as collaborators of their male relative or spouse.
Others became illustrators or translators of scientific texts.
Portrait of M. and Mme Lavoisier, by Jacques-Louis David, 1788, Metropolitan Museum of Art.
Women usually participated in the sciences through an association with a male relative or spouse. For example, Marie-Anne Pierette Paulze worked collaboratively with her husband, Antoine Lavoisier. Aside from assisting in Lavoisier’s laboratory research, she was responsible for translating a number of English texts into French for her husband’s work on the new chemistry. Paulze also illustrated many of her husband’s publications, such as his Treatise on Chemistry (1789).
21.1.4: Enlightened Despotism
Enlightened despots, inspired by the ideals of the Age of Enlightenment, held that royal power
emanated not from divine right but from a social contract whereby a despot was
entrusted with the power to govern in lieu of any other
governments.
Learning Objective
Define enlightened despotism and provide examples
Key Points
-
Enlightened despots held that royal power
emanated not from divine right but from a social contract whereby a despot was
entrusted with the power to govern in lieu of any other
governments. In effect, the monarchs of enlightened absolutism strengthened
their authority by improving the lives of their subjects. - An essay defending the system of enlightened despotism was penned by Frederick the Great, who ruled Prussia from 1740 to 1786. Frederick modernized
the Prussian bureaucracy and civil service and pursued religious policies
throughout his realm that ranged from tolerance to segregation. Following the common interest among enlightened despots,
he supported arts, philosophers that he favored, and complete freedom of
the press and literature. - Catherine II of Russia continued to modernize Russia along
Western European lines, but her enlightened despotism manifested itself mostly
with her commitment to arts, sciences, and the modernization of Russian
education. While she introduced some administrative and economic reforms, military conscription and economy
continued to depend on serfdom. -
Maria Theresa implemented
significant reforms to strengthen Austria’s military and bureaucratic
efficiency. She improved the economy of the state, introduced a national education system, and contributed to important reforms in medicine. However, unlike other enlightened despots, Maria Theresa found it hard to
fit into the intellectual sphere of the Enlightenment and did not share fascination with Enlightenment ideals. - Joseph
was a proponent of enlightened despotism but his commitment to modernizing
reforms subsequently engendered significant opposition, which eventually
culminated in a failure to fully implement his programs. Among other accomplishments, he inspired a complete reform of the legal system, ended censorship of the press and
theater, and continued his mother’s reforms in education and medicine.
Key Terms
- serfdom
-
The status of many peasants under feudalism, specifically relating to manorialism. It was a condition of bondage that developed primarily during the High Middle Ages in Europe and lasted in some countries until the mid-19th century.
- enlightened despotism
-
Also known as enlightened absolutism or benevolent absolutism, a form of absolute monarchy or despotism inspired by the Enlightenment. The monarchs who embraced it followed the participles of rationality. Some of them fostered education and allowed religious tolerance, freedom of speech, and the right to hold private property.
They held that royal power emanated not from divine right but from a social contract whereby a despot was entrusted with the power to govern in lieu of any other governments. - Encyclopédie
-
A general encyclopedia
published in France between 1751 and 1772, with later supplements, revised
editions, and translations. It had many writers, known as the Encyclopédistes.It is most famous for representing the thought of the Enlightenment.
Enlightened Despotism
Major thinkers of the Age of Enlightenment are credited for the development of government theories critical to the creation and evolution of the modern civil-society-driven democratic state. Enlightened despotism, also called enlightened absolutism, was among the first ideas resulting from the political ideals of the Enlightenment.
The concept was formally described by the German historian Wilhelm Roscher in 1847 and remains controversial among scholars.
Enlightened despots held that royal power emanated not from divine right but from a social contract whereby a despot was entrusted with the power to govern in lieu of any other governments. In effect, the monarchs of enlightened absolutism strengthened their authority by improving the lives of their subjects. This philosophy implied that the sovereign knew the interests of his or her subjects better than they themselves did. The monarch taking responsibility for the subjects precluded their political participation. The difference between a despot and an enlightened despot is based on a broad analysis of the degree to which they embraced the Age of Enlightenment. However, historians debate the actual implementation of enlightened despotism. They distinguish between the “enlightenment” of the ruler personally versus that of his or her regime.
Frederick the Great
Enlightened despotism was defended in an essay by Frederick the Great, who ruled Prussia from 1740 to 1786.
He was an enthusiast of French ideas and invited the prominent French Enlightenment philosopher Voltaire to live at his palace.
With the help of French experts, Frederick organized a system of indirect taxation, which provided the state with more revenue than direct taxation.
One of Frederick’s greatest achievements included the control of grain prices, whereby government storehouses would enable the civilian population to survive in needy regions, where the harvest was poor. Frederick modernized the Prussian bureaucracy and civil service and pursued religious policies throughout his realm that ranged from tolerance to segregation.
He was largely non-practicing and tolerated all faiths in his realm, although Protestantism became the favored religion and Catholics were not chosen for higher state positions. While he protected and encouraged trade by Jewish citizens of the Empire, he repeatedly expressed strong anti-Semitic sentiments. He also encouraged immigrants of various nationalities and faiths to come to Prussia. Some critics, however, point out his oppressive measures against conquered Polish subjects after some Polish land fell under the control of the Prussian Empire. Following the common interest among enlightened despots, Frederick supported arts, philosophers that he favored, and complete freedom of the press and literature.
Catherine the Great
Catherine II of Russia was the most renowned and the longest-ruling female leader of Russia, reigning from 1762 until her death in 1796. An admirer of Peter the Great, she continued to modernize Russia along Western European lines but her enlightened despotism manifested itself mostly with her commitment to arts, sciences, and the modernization of Russian education. The Hermitage Museum, which now occupies the whole Winter Palace, began as Catherine’s personal collection. She wrote comedies, fiction, and memoirs, while cultivating Voltaire, Diderot, and d’Alembert—all French encyclopedists who later cemented her reputation in their writings. The leading European economists of her day became foreign members of the Free Economic Society, established on her suggestion in Saint Petersburg in 1765. She also recruited Western European scientists. Within a few months of her accession in 1762, having heard the French government threatened to stop the publication of the famous French Encyclopédie on account of its irreligious spirit, Catherine proposed to Diderot that he should complete his great work in Russia under her protection. She believed a ‘new kind of person’ could be created by instilling Russian children with Western European education. She continued to investigate educational theory and practice of other countries and while she introduced some educational reforms, she failed to establish a national school system.
The Smolny Institute, the first Russian institute for “Noble Maidens” and the first European state higher education institution for women, painting by S.F. Galaktionov, 1823.
Catherine established the Smolny Institute for Noble Girls to educate females. At first, the Institute only admitted young girls of the noble elite, but eventually it began to admit girls of the petit-bourgeoisie, as well. The girls who attended the Smolny Institute, Smolyanki, were often accused of being ignorant of anything that went on in the world outside the walls of the Smolny buildings. Within the walls of the Institute, they were taught impeccable French, musicianship, dancing, and complete awe of the Monarch.
Although Catherine refrained from putting most democratic principles into practice, she issued codes addressing some modernization trends, including dividing the country into provinces and districts, limiting the power of nobles, creating a middle estate, and a number of economic reforms. However, military conscription and economy continued to depend on serfdom, and the increasing demands of the state and private landowners led to increased levels of reliance on serfs.
Maria Theresa
Maria Theresa was the only female ruler of the Habsburg dominions and the last of the House of Habsburg.
She implemented significant reforms to strengthen Austria’s military and bureaucratic efficiency. She doubled the state revenue between 1754 and 1764, though her attempt to tax clergy and nobility was only partially successful. Nevertheless, her financial reforms greatly improved the economy. In 1760, Maria Theresa created the council of state, which served as a committee of expert advisors. It lacked executive or legislative authority but nevertheless showed the difference between the autocratic form of government. In medicine, her decision to have her children inoculated after the smallpox epidemic of 1767 was responsible for changing Austrian physicians’ negative view of vaccination. Austria outlawed witch burning and torture in 1776. It was later reintroduced, but the progressive nature of these reforms remains noted. Education was one of the most notable reforms of Maria Theresa’s rule. In a new school system based on that of Prussia, all children of both genders from the ages were required to attend school from the ages of 6 to 12, although the law turned out to be very difficult to execute.
However, Maria Theresa found it hard to fit into the intellectual sphere of the Enlightenment. For example, she believed that religious unity was necessary for a peaceful public life and explicitly rejected the idea of religious tolerance.
She regarded both the Jews and Protestants as dangerous to the state and actively tried to suppress them. As a young monarch who fought two dynastic wars, she believed that her cause should be the cause of her subjects, but in her later years she would believe that their cause must be hers.
Joseph II of Austria
Maria Theresa’s oldest son, Joseph II, Holy Roman Emperor from 1765 to 1790 and ruler of the Habsburg lands from 1780 to 1790, was at ease with Enlightenment ideas. Joseph was a proponent of enlightened despotism, but his commitment to modernizing reforms engendered significant opposition, which eventually culminated in a failure to fully implement his programs.
Joseph inspired a complete reform of the legal system, abolished brutal punishments and the death penalty in most instances, and imposed the principle of complete equality of treatment for all offenders. He ended censorship of the press and theater. In 1781–82, he extended full legal freedom to serfs. The landlords, however, found their economic position threatened and eventually reversed the policy. To equalize the incidence of taxation, Joseph ordered an appraisal of all the lands of the empire to impose a single egalitarian tax on land. However, most of his financial reforms were repealed shortly before or after Joseph’s death in 1790.
To produce a literate citizenry, elementary education was made compulsory for all boys and girls and higher education on practical lines was offered for a select few. Joseph created scholarships for talented poor students and allowed the establishment of schools for Jews and other religious minorities. In 1784, he ordered that the country change its language of instruction from Latin to German, a highly controversial step in a multilingual empire. Joseph also attempted to centralize medical care in Vienna through the construction of a single, large hospital, the famous Allgemeines Krankenhaus, which opened in 1784. Centralization, however, worsened sanitation problems, causing epidemics and a 20% death rate in the new hospital, but the city became preeminent in the medical field in the next century.
Joseph II is plowing the field near Slawikowitz in rural southern Moravia on 19 August 1769.
Joseph II was one of the first rulers in Central Europe. He attempted to abolish serfdom but his plans met with resistance from the landholders. His Imperial Patent of 1785 abolished serfdom on some territories of the Empire, but under the pressure of the landlords did not give the peasants ownership of the land or freedom from dues owed to the landowning nobles. It did give them personal freedom. The final emancipation reforms in the Habsburg Empire were introduced in 1848.
Probably the most unpopular of all his reforms was his attempted modernization of the highly traditional Catholic Church. Calling himself the guardian of Catholicism, Joseph II struck vigorously at papal power. He tried to make the Catholic Church in his empire the tool of the state, independent of Rome.
Joseph was very friendly to Freemasonry, as he found it highly compatible with his own Enlightenment philosophy, although he apparently never joined the Lodge himself. In 1789, he issued a charter of religious toleration for the Jews of Galicia, a region with a large Yiddish-speaking traditional Jewish population. The charter abolished communal autonomy whereby the Jews controlled their internal affairs. It promoted Germanization and the wearing of non-Jewish clothing.
21.2: Frederick the Great and Prussia
21.2.1: The Hohenzollerns
The Hohenzollern family split into two branches, the Catholic Swabian branch and the Protestant Franconian branch. The latter
transformed from a minor German princely
family into one of the most important dynasties in Europe.
Learning Objective
Explain who the Hohenzollerns were and the progression of their relationship with and status within the Holy Roman Empire.
Key Points
-
The House of Hohenzollern is a dynasty of
Hohenzollern, Brandenburg, Prussia, the German Empire, and Romania. The family
arose in the area around the town of Hechingen in Swabia during the 11th
century. The family split into two branches,
the Catholic Swabian branch and the Protestant Franconian branch, which later
became the Brandenburg-Prussian branch. -
The
Margraviate of Brandenburg was a major principality of the Holy Roman Empire
from 1157 to 1806. It played a pivotal
role in the history of Germany and Central Europe.
The House of Hohenzollern came to the throne of Brandenburg in 1415. Frederick
VI of Nuremberg was officially recognized as Margrave and Prince-elector
Frederick I of Brandenburg at the Council of Constance in 1415. -
When
Duke of Prussia
Albert Frederick died in 1618 without having had a son, his son-in-law John
Sigismund, at the time the prince-elector of the Margraviate of
Brandenburg, inherited the Duchy of Prussia. He then ruled both territories in
a personal union that came to be known as Brandenburg-Prussia. Prussia lay
outside the Holy Roman Empire and the electors of Brandenburg held it as a fief
of the Polish–Lithuanian Commonwealth to which the electors paid homage. -
The
electors of Brandenburg spent the next two centuries attempting to gain lands
to unite their separate territories and form one geographically
contiguous domain. In the second half of the 17th century, Frederick William, the
“Great Elector,” developed Brandenburg-Prussia into a major power.
The electors succeeded in acquiring full sovereignty over Prussia in
1657. -
In return for aiding Emperor Leopold I during
the War of the Spanish Succession, Frederick William’s son, Frederick III, was
allowed to elevate Prussia to the status of a kingdom. In 1701, Frederick
crowned himself Frederick I, King of Prussia. Prussia, unlike Brandenburg, lay
outside the Holy Roman Empire. Legally,
Brandenburg was still part of the Holy Roman Empire so the Hohenzollerns continued to use the additional
title of Elector of Brandenburg for the remainder of the empire’s run. -
The feudal designation of the Margraviate of
Brandenburg ended with the dissolution of the Holy Roman Empire in 1806, which
made the Hohenzollerns de jure as well as de facto sovereigns
over it. It became part of
the German Empire in 1871 during the Prussian-led unification of Germany.
Key Terms
- personal union
-
The combination of two or more states that have the same monarch while their boundaries, laws, and interests remain distinct. It differs from a federation in that each constituent state has an independent government, whereas a unitary state is united by a central government. Its ruler does not need to be a hereditary monarch.
- fief
-
The central element of feudalism, consisting of heritable property or rights granted by an overlord to a vassal who held it in fealty (or “in fee”) in return for a form of feudal allegiance and service, usually given by the personal ceremonies of homage and fealty. The fees were often lands or revenue-producing real property held in feudal land tenure.
- The House of Hohenzollern
-
A dynasty of Hohenzollern, Brandenburg, Prussia, the German Empire, and Romania. The family arose in the area around the town of Hechingen in Swabia during the 11th century and took their name from the Hohenzollern Castle. The family split into two branches, the Catholic Swabian branch and the Protestant Franconian branch, which later became the Brandenburg-Prussian branch.
- The Margraviate of Brandenburg
-
A major principality of the Holy Roman Empire from 1157 to 1806. Also known as the March of Brandenburg, it played a pivotal role in the history of Germany and Central Europe. Its ruling margraves were established as prestigious prince-electors in the Golden Bull of 1356, allowing them to vote in the election of the Holy Roman Emperor.
- the Golden Bull of 1356
-
A decree issued by the Imperial Diet at Nuremberg and Metz headed by the Emperor Charles IV, which fixed, for a period of more than four hundred years, important aspects of the constitutional structure of the Holy Roman Empire.
House of Hohenzollern
The House of Hohenzollern is a dynasty of Hohenzollern, Brandenburg, Prussia, the German Empire, and Romania. The family arose in the area around the town of Hechingen in Swabia during the 11th century and took their name from the Hohenzollern Castle. The first ancestor of the Hohenzollerns was mentioned in 1061, but the family split into two branches, the Catholic Swabian branch and the Protestant Franconian branch, which later became the Brandenburg-Prussian branch. The Swabian branch ruled the principalities of Hohenzollern-Hechingen and Hohenzollern-Sigmaringen (both fiefs of the Holy Roman Empire) until 1849 and ruled Romania from 1866 to 1947. The cadet Franconian branch of the House of Hohenzollern was founded by Conrad I, Burgrave of Nuremberg (1186-1261). Beginning in the 16th century, this branch of the family became Protestant and decided on expansion through marriage and the purchase of surrounding lands. The family supported the Hohenstaufen and Habsburg rulers of the Holy Roman Empire during the 12th to 15th centuries and was rewarded with several territorial grants. In the first phase, the family gradually added to their lands, at first with many small acquisitions in the Franconian region of Germany (Ansbach in 1331 and Kulmbach in 1340). In the second phase, the family expanded further with large acquisitions in the Brandenburg and Prussian regions of Germany and current Poland (Margraviate of Brandenburg in 1417 and Duchy of Prussia in 1618). These acquisitions eventually transformed the Hohenzollerns from a minor German princely family into one of the most important dynasties in Europe.
Margraviate of Brandenburg
The Margraviate of Brandenburg was a major principality of the Holy Roman Empire from 1157 to 1806. Also known as the March of Brandenburg, it played a pivotal role in the history of Germany and Central Europe. Its ruling margraves were established as prestigious prince-electors in the Golden Bull of 1356, allowing them to vote in the election of the Holy Roman Emperor. The state thus became additionally known as Electoral Brandenburg or the Electorate of Brandenburg. The House of Hohenzollern came to the throne of Brandenburg in 1415. Frederick VI of Nuremberg was officially recognized as Margrave and Prince-elector Frederick I of Brandenburg at the Council of Constance in 1415.
Portrait of Frederick I, Elector of Brandenburg, also called Frederick VI of Nuremberg
In 1411 Frederick VI, Burgrave of Nuremberg was appointed governor of Brandenburg in order to restore order and stability. At the Council of Constance in 1415, King Sigismund elevated Frederick to the rank of Elector and Margrave of Brandenburg as Frederick I.
Frederick made Berlin his residence, although he retired to his Franconian possessions in 1425. He granted governance of Brandenburg to his eldest son John the Alchemist while retaining the electoral dignity for himself. The next elector, Frederick II, forced the submission of Berlin and Cölln, setting an example for the other towns of Brandenburg. He reacquired the Neumark from the Teutonic Knights and began its rebuilding. Brandenburg accepted the Protestant Reformation in 1539. The population has remained largely Lutheran since, although some later electors converted to Calvinism. At the end of the Thirty Years’ War in 1648, Brandenburg was recognized as the possessor of territories, which were more than 100 kilometers from the borders of Brandenburg and formed the nucleus of the later Prussian Rhineland.
Brandenburg-Prussia
When Duke of Prussia Albert Frederick died in 1618 without having had a son, his son-in-law John Sigismund, at the time the prince-elector of the Margraviate of Brandenburg, inherited the Duchy of Prussia. He then ruled both territories in a personal union that came to be known as Brandenburg-Prussia. Prussia lay outside the Holy Roman Empire and the electors of Brandenburg held it as a fief of the Polish–Lithuanian Commonwealth to which the electors paid homage.
The electors of Brandenburg spent the next two centuries attempting to gain lands to unite their separate territories (the Mark Brandenburg, the territories in the Rhineland and Westphalia, and Ducal Prussia) and form one geographically contiguous domain. In the Peace of Westphalia ending the Thirty Years’ War in 1648, Brandenburg-Prussia acquired Farther Pomerania and made it the Province of Pomerania. In the second half of the 17th century, Frederick William, the “Great Elector,” developed Brandenburg-Prussia into a major power. The electors succeeded in acquiring full sovereignty over Prussia in 1657.
Kingdom of Prussia
In return for aiding Emperor Leopold I during the War of the Spanish Succession, Frederick William’s son, Frederick III, was allowed to elevate Prussia to the status of a kingdom. In 1701, Frederick crowned himself Frederick I, King of Prussia. Prussia, unlike Brandenburg, lay outside the Holy Roman Empire, within which only the emperor and the ruler of Bohemia could call themselves king. As king was a more prestigious title than prince-elector, the territories of the Hohenzollerns became known as the Kingdom of Prussia, although their power base remained in Brandenburg. Legally, Brandenburg was still part of the Holy Roman Empire, ruled by the Hohenzollerns in personal union with the Prussian kingdom over which they were fully sovereign. For this reason, the Hohenzollerns continued to use the additional title of Elector of Brandenburg for the remainder of the empire’s run. However, by this time the emperor’s authority over the empire had become merely nominal. The various territories of the empire acted more or less as de facto sovereign states and only acknowledged the emperor’s overlordship over them in a formal way. For this reason, Brandenburg soon came to be treated as de facto part of the Prussian kingdom rather than a separate entity.
From 1701 to 1946, Brandenburg’s history was largely that of the state of Prussia, which established itself as a major power in Europe during the 18th century. King Frederick William I of Prussia, the “Soldier-King,” modernized the Prussian Army, while his son Frederick the Great achieved glory and infamy with the Silesian Wars and Partitions of Poland. The feudal designation of the Margraviate of Brandenburg ended with the dissolution of the Holy Roman Empire in 1806, which made the Hohenzollerns de jure as well as de facto sovereigns over it. It was replaced with the Province of Brandenburg in 1815 following the Napoleonic Wars. Brandenburg, along with the rest of Prussia, became part of the German Empire in 1871 during the Prussian-led unification of Germany.
21.2.2: Frederick the Great
In his youth, Frederick the Great was a sensitive man with great appreciation for intellectual development, arts, and education. Despite his father’s fears, this did not prevent him from becoming a brilliant military strategist during his later reign as King of Prussia.
Learning Objective
Describe elements of Frederick II’s upbringing and his transformation into a Prussian leader
Key Points
-
Frederick,
the son of Frederick William I and his wife Sophia Dorothea of Hanover, was
born in Berlin in 1712. He was brought up by Huguenot governesses and tutors and learned French
and German simultaneously. In spite of his father’s desire that his education
be entirely religious and pragmatic, the young Frederick preferred music, literature, and
French culture, which clashed with his father’s militarism. -
Frederick found an ally in his sister,
Wilhelmine, with whom he remained close for life. At age 16, he formed an
attachment to the king’s 13-year-old page, Peter Karl Christoph Keith. Margaret
Goldsmith, a biographer of Frederick’s, suggests the attachment was of a sexual
nature and as a result Keith was sent away and Frederick temporarily relocated. -
When
he was 18, Frederick plotted to flee to England with his close friend Hans Hermann von Katte and other junior
army officers. Frederick and Katte were subsequently arrested and imprisoned in
Küstrin. Because they were army officers who had tried to flee Prussia for
Great Britain, Frederick William leveled an accusation of treason against the
pair. The king forced
Frederick to watch the decapitation of Katte. -
Frederick married
Elisabeth Christine of Brunswick-Bevern, a Protestant relative of the Austrian
Habsburgs, in 1733. He had little in common with his bride and resented the
political marriage. Once Frederick secured the throne in 1740 after his
father’s death, he immediately separated from his wife. -
Prince Frederick was 28 years old when he acceded to the throne of Prussia. His goal was to modernize and unite
his vulnerably disconnected lands, which he largely succeeded at through
aggressive military and foreign policies. Contrary to his father’s fears, Frederick proved himself a courageous soldier and an extremely skillful
strategist.
Key Terms
- The Prince
-
A 16th-century political treatise by the Italian diplomat and political theorist Niccolò Machiavelli. Machiavelli’s ideas on how to accrue honor and power as a leader had a profound impact on political leaders throughout the modern West.
Although the work advises princes how to tyrannize, Machiavelli is generally thought to have preferred some form of free republic. - Anti-Machiavel
-
A 1740 essay by Frederick the Great consisting of a chapter-by-chapter rebuttal of The Prince, the 16th-century book by Niccolò Machiavelli, and Machiavellianism in general.
Frederick’s argument is essentially moral in nature. His own views reflect a largely Enlightenment ideal of rational and benevolent statesmanship: the king, Frederick contends, is charged with maintaining the health and prosperity of his subjects. - enlightened absolutism
-
Also known as enlightened
despotism or benevolent absolutism, a form of absolute monarchy or
despotism inspired by the Enlightenment. The monarchs who embraced it
followed the participles of rationality. Some of them fostered education and allowed religious tolerance, freedom of speech, and the right to hold private
property. They held that royal power emanated not from divine right but from a
social contract whereby a despot was entrusted with the power to govern in lieu of any other governments.
Frederick the Great: Early Childhood
Frederick, the son of Frederick William I and his wife, Sophia Dorothea of Hanover, was born in Berlin in 1712. His birth was particularly welcomed by his grandfather, Frederick I, as his two previous grandsons both died in infancy. With the death of Frederick I in 1713, Frederick William became King of Prussia, thus making young Frederick the crown prince.
The new king wished for his sons and daughters to be educated not as royalty but as simple folk. He had been educated by a Frenchwoman, Madame de Montbail, who later became Madame de Rocoulle, and wanted her to educate his children. Frederick was brought up by Huguenot governesses and tutors and learned French and German simultaneously. In spite of his father’s desire that his education be entirely religious and pragmatic, the young Frederick, with the help of his tutor Jacques Duhan, secretly procured a 3,000-volume library of poetry, Greek and Roman classics, and French philosophy to supplement his official lessons.
Frederick William I, popularly dubbed the Soldier-King, possessed a violent temper and ruled Brandenburg-Prussia with absolute authority. As Frederick grew, his preference for music, literature, and French culture clashed with his father’s militarism, resulting in frequent beatings and humiliation from his father.
Crown Prince
Frederick found an ally in his sister Wilhelmine, with whom he remained close for life. At age 16, he formed an attachment to the king’s 13-year-old page, Peter Karl Christoph Keith. Margaret Goldsmith, a biographer of Frederick’s, suggests the attachment was of a sexual nature. As a result, Keith was sent away to an unpopular regiment near the Dutch frontier, while Frederick was temporarily sent to his father’s hunting lodge in order “to repent of his sin.” Around the same time, he became close friends with Hans Hermann von Katte.
When he was 18, Frederick plotted to flee to England with Katte and other junior army officers. Frederick and Katte were subsequently arrested and imprisoned in Küstrin. Because they were army officers who had tried to flee Prussia for Great Britain, Frederick William leveled an accusation of treason against the pair. The king briefly threatened the crown prince with the death penalty, then considered forcing Frederick to renounce the succession in favor of his brother, Augustus William, although either option would have been difficult to justify to the Imperial Diet (general assembly) of the Holy Roman Empire. The king forced Frederick to watch the decapitation of Katte at Küstrin, leaving the crown prince to faint right before the fatal blow was struck.
Frederick was granted a royal pardon and released from his cell, although he remained stripped of his military rank. Instead of returning to Berlin, he was forced to remain in Küstrin and began rigorous schooling in statecraft and administration. Tensions eased slightly when Frederick William visited Küstrin a year later and Frederick was allowed to visit Berlin on the occasion of his sister Wilhelmine’s marriage to Margrave Frederick of Bayreuth in 1731. The crown prince returned to Berlin after finally being released from his tutelage at Küstrin a year later.
A number of royal family members were considered candidates for marriage, but Frederick eventually married Elisabeth Christine of Brunswick-Bevern, a Protestant relative of the Austrian Habsburgs, in 1733. He had little in common with his bride and resented the political marriage as an example of the Austrian interference that had plagued Prussia since 1701. Once Frederick secured the throne in 1740 after his father’s death,
he immediately separated from his wife and prevented Elisabeth from visiting his court in Potsdam, granting her instead Schönhausen Palace and apartments at the Berliner Stadtschloss.
In later years, Frederick would pay his wife formal visits only once a year.
Recent major biographers are unequivocal that Frederick was homosexual and that his sexuality was central to his life and character.
Frederick as Crown Prince by Antoine Pesne, 1739.
Frederick would come to the throne with an exceptional inheritance: an army of 80,000 men. By 1770, after two decades of punishing war alternating with intervals of peace, Frederick doubled the size of the huge army, which during his reign would consume 86% of the state budget.
Becoming the Leader
Frederick was restored to the Prussian Army as colonel. When Prussia provided a contingent of troops to aid Austria during the War of the Polish Succession, Frederick studied under Prince Eugene of Savoy during the campaign against France on the Rhine. Frederick William, weakened by gout brought about by the campaign and seeking to reconcile with his heir, granted Frederick Schloss Rheinsberg in Rheinsberg, north of Neuruppin. In Rheinsberg, Frederick assembled a small number of musicians, actors, and other artists. He spent his time reading, watching dramatic plays, and making and listening to music, and regarded this time as one of the happiest of his life.
The works of Niccolò Machiavelli, such as The Prince, were considered a guideline for the behavior of a king in Frederick’s age. In 1739, Frederick finished his Anti-Machiavel, an idealistic refutation of Machiavelli. Instead of promoting more democratic principles of the Enlightenment, Frederick was a proponent of enlightened absolutism. It was written in French and published anonymously in 1740, but Voltaire distributed it in Amsterdam to great popularity.
Frederick’s years dedicated to the arts instead of politics ended upon the 1740 death of Frederick William and his inheritance of the Kingdom of Prussia.
Prince Frederick was 28 years old when he acceded to the throne of Prussia.
His goal was to modernize and unite his vulnerably disconnected lands, and he largely succeeded through aggressive military and foreign policies. Contrary to his father’s fears, Frederick proved himself a courageous soldier and an extremely skillful strategist. In fact, Napoleon Bonaparte viewed the Prussian king as the greatest tactical genius of all time. After the Seven Years’ War, the Prussian military acquired a formidable reputation across Europe. Esteemed for their efficiency and success in battle, Frederick’s army became a model emulated by other European powers, most notably Russia and France. Frederick was also an influential military theorist whose analysis emerged from his extensive personal battlefield experience and covered issues of strategy, tactics, mobility and logistics. Even the later military reputation of Prussia under Bismarck and Moltke rested on the weight of mid-eighteenth century military developments and the territorial expansion of Frederick the Great. Despite his dazzling success as a military commander, however, Frederick was not a fan of protracted warfare.
21.2.3: Prussia Under Frederick the Great
Frederick the Great significantly modernized Prussian economy, administration, judicial system, education, finance, and agriculture, but never attempted to change the social order based on the dominance of the landed nobility.
Learning Objective
Analyze Frederick the Great’s domestic reforms and his relationship with the Junker class
Key Points
-
Frederick the Great helped transform
Prussia from a European backwater to an economically strong and politically
reformed state. During his reign, the effects of the Seven Years’ War and the
gaining of Silesia greatly changed the economy. -
Frederick organized a
system of indirect taxation, which provided the state with more revenue than
direct taxation. He also followed Johann Ernst Gotzkowsky’s recommendations in the field
of toll levies and import restrictions and protected Prussian industries
with high tariffs and minimal restrictions on domestic trade. -
Frederick gave his state a modern
bureaucracy, reformed the judicial
system, and made it possible for men not of noble stock to become judges and
senior bureaucrats. He also allowed freedom of speech, the press, and
literature, and abolished most uses of judicial torture. He also reformed the currency system and thus stabilized prices. However, he did not reform the existing social order. -
At the time, Prussia’s education system was seen
as one of the best in Europe. Frederick laid the basic foundations of what
would eventually became a Prussian primary education system. In 1763, he issued
a decree for the first Prussian general school law based on the
principles developed by Johann Julius Hecker. -
Frederick was keenly interested in land use, especially
draining swamps and opening new farmland for colonizers who would increase the
kingdom’s food supply. The resulting program created
60,000 hectares (150,000 acres) of new
farmland, but also eliminated vast swaths of natural habitat. -
While Frederick was largely non-practicing and tolerated all faiths in his
realm, Protestantism became the favored religion and Catholics were not chosen
for higher state positions. His attitudes towards Catholics and Jews were very selective and thus in some cases oppressive, while in others relatively tolerant.
Key Terms
- Freemason
-
A member of fraternal organizations that trace their origins to the local fraternities of stonemasons, which from the end of the 14th century regulated the qualifications of stonemasons and their interactions with authorities and clients. There is no clear mechanism by which these local trade organizations became the fraternal organizations gathering members of similar ideological and intellectual interests, but the rituals and passwords known from operative lodges around the turn of the 17th–18th centuries show continuity with the rituals developed in the later 18th century by members who did not practice the physical craft.
- Seven Years’ War
-
A world war fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents, and affected Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other. For the first time, aiming to curtail Britain and Prussia’s ever-growing might, France formed a grand coalition of its own, which ended with failure as Britain rose as the world’s predominant power, altering the European balance of power.
- Junkers
-
The members of the landed nobility in Prussia. They owned great estates that were maintained and worked by peasants with few rights. They were an important factor in Prussian and, after 1871, German military, political, and diplomatic leadership.
Frederick the Great and the Modernization of Prussia
As King of Prussia from 1740 until 1786, Frederick the Great helped transform Prussia from a European backwater to an economically strong and politically reformed state.
During his reign, the effects of the Seven Years’ War and the gaining of Silesia greatly changed the economy.
The conquest of Silesia gave Prussia’s fledgling industries access to raw materials and fertile agricultural lands.
With the help of French experts, he organized a system of indirect taxation, which provided the state with more revenue than direct taxation. He also commissioned Johann Ernst Gotzkowsky,
a Prussian merchant with a successful trade in trinkets, silk, taft, and porcelain, to promote the trade and open
a silk factory that employed 1,500 people. Frederick followed Gotzovsky’s recommendations in the fields of toll levies and import restrictions. He also protected Prussian industries with high tariffs and minimal restrictions on domestic trade.
In 1763, when Gotzkowsky went bankrupt during a financial crisis, Frederick took over his porcelain factory. The factory was eventually turned into
the Royal Porcelain Factory in Berlin (Königliche Porzellan-Manufaktur, or KPM), which still operates today. In 1781, Frederick decided to make coffee a royal monopoly. Disabled soldiers were employed to spy on citizens sniffing in search of illegally roasted coffee, much to the annoyance of general population.
Frederick also gave his state a modern bureaucracy whose mainstay until 1760 was the able War and Finance Minister Adam Ludwig von Blumenthal, succeeded in 1764 by his nephew Joachim, who ran the ministry to the end of the reign and beyond.
He reformed the judicial system and made it possible for men not of noble stock to become judges and senior bureaucrats. He also allowed freedom of speech, the press and literature, and abolished most uses of judicial torture, except the flogging of soldiers as punishment for desertion. The death penalty could only be carried out with a warrant signed by the King himself, and Frederick signed a handful of these warrants per year.
At the time, Prussia’s education system was seen as one of the best in Europe. Frederick laid the basic foundations of what would eventually became a Prussian primary education system. In 1763, he issued a decree for the first Prussian general school law based on the principles developed by Johann Julius Hecker. In 1748, Hecker had founded the first teacher’s seminary in Prussia. The decree expanded the existing schooling system significantly and required that all young citizens, both girls and boys, be educated by mainly municipality-funded schools from the age of 5 to 13 or 14. Prussia was among the first countries in the world to introduce tax-funded and generally compulsory primary education, although it took several decades before universal education was successfully enacted.
The circulation of depreciated money kept prices high. To revalue the thaler, the Mint Edict of May 1763 was proposed. This stabilized the rates of depreciated coins that would not be accepted and provided for payment of taxes in currency of pre-Seven Years’ War value. Prussia used a thaler containing 1/14th of a Cologne mark of silver. Many other rulers soon followed the steps of Frederick in reforming their own currencies, which resulted in a shortage of ready money, thus lowering prices.
An important aspect of Frederick’s efforts is the absence of social order reform. In his modernization of military and administration, he relied on the class of Junkers, the Prussian land-owning nobility. Under his rule, they continued to hold their privileges, including the right to hold serfs. Frederick’s attempts to protect the peasantry from cruel treatment and oppression by landlords and lower their labor obligations never really succeeded because of the economic, political, and military influence the Junkers exercised. As the bulwark of the ruling House of Hohenzollern, the Junkers controlled the Prussian army, leading in political influence and social status, and owned immense estates, especially in the north-eastern half of Germany.
Agriculture
Frederick was keenly interested in land use, especially draining swamps and opening new farmland for colonizers who would increase the kingdom’s food supply. He called it “peopling Prussia.” About a thousand new villages were founded in his reign that attracted 300,000 immigrants from outside Prussia. Using improved technology enabled him to create new farmland through a massive drainage program in the country’s Oderbruch marshland. This strategy created roughly 150,000 acres of new farmland, but also eliminated vast swaths of natural habitat, destroyed the region’s biodiversity, and displaced numerous native plant and animal communities. Frederick saw this project as the “taming” and “conquering” of nature, which, in its wild form, he regarded as “useless” and “barbarous” (an attitude that reflected his Enlightenment-era, rationalist sensibilities). He presided over the construction of canals for bringing crops to market and introduced new crops, especially potato and turnip, to the country.
Control of grain prices was of Frederick’s greatest achievements in that it allowed populations to survive in areas where harvests were poor.
Frederick also loved animals and founded the first veterinary school in Germany. Unusual for his time and aristocratic background, he criticized hunting as cruel, rough, and uneducated.
Der König überall by Robert Müller, Berlin, 1886.
Frederick the Great inspects the potato harvest outside Neustettin (now Szczecinek, Poland), Eastern Pomerania. He introduced new crops, especially the potato and the turnip, to the country. and because of it he was sometimes called Der Kartoffelkönig (the Potato King).
Religious Policies
While Frederick was largely non-practicing (in contrast to his devoutly Calvinist father) and tolerated all faiths in his realm, Protestantism became the favored religion and Catholics were not chosen for higher state positions. Frederick was known to be more tolerant of Jews and Catholics than many neighboring German states, although he expressed strong anti-Semitic sentiments and, in territories taken over from Poland, persecuted Polish Roman Catholic churches by confiscating goods and property, exercising strict control of churches, and interfering in church administration.
Like many leading figures in the Age of Enlightenment, Frederick was a Freemason and his membership legitimized the group and protected it against charges of subversion.
Frederick retained Jesuits as teachers in Silesia, Warmia, and the Netze District after their suppression by Pope Clement XIV. Just like Catherine II, he recognized the educational skills the Jesuits had as an asset for the nation and was interested in attracting a diversity of skills to his country, whether from Jesuit teachers, Huguenot citizens, or Jewish merchants and bankers.
As Frederick made more wasteland arable, Prussia looked for new colonists to settle the land. To encourage immigration, he repeatedly emphasized that nationality and religion were of no concern to him. This policy allowed Prussia’s population to recover very quickly from the considerable losses it suffered during Frederick’s wars.
The Flute Concert of Sanssouci by Adolph Menzel, 1852, depicts Frederick playing the flute in his music room at Sanssouci,
his favorite residence in Potsdam. C. P. E. Bach accompanies him on the harpsichord.
Additionally to reforming efforts,
Frederick was a patron of music as well as a gifted musician who played the transverse flute.
He composed more than 100 sonatas for the flute as well as four symphonies. His court musicians included C. P. E. Bach, Johann Joachim Quantz, Carl Heinrich Graun and Franz Benda. A meeting with Johann Sebastian Bach in 1747 in Potsdam led to Bach’s writing The Musical Offering.
21.2.4: The War of Austrian Succession
Frederick the Great’s 1740 invasion of resource-rich and strategically located Silesia, marked the onset of the War of Austrian Succession and aimed to unify the disconnected lands under Frederick’s rule.
Learning Objective
Evaluate Frederick the Great’s actual goals against his stated rationale for the War of Austrian Succession
Key Points
-
In
1713, Charles VI of the Habsburg dynasty issued an edict known as the
Pragmatic Sanction, which aimed to ensure that the Habsburg hereditary
possessions could be inherited by a daughter. The Pragmatic
Sanction did not affect the office of Holy Roman Emperor because the
Imperial crown was elective, not hereditary, although successive elected
Habsburg rulers headed the Holy Roman Empire since 1438. -
In
1740, Charles VI died and his daughter Maria Theresa succeeded him, but not as Holy Roman Emperor. The plan was for her to succeed to the hereditary
domains and her husband, Francis Stephen, to be elected Holy Roman
Emperor. -
Hoping to unify his disconnected lands and thus
desiring the prosperous, resource-rich, and strategically located Austrian
province of Silesia, Frederick declined to endorse the Pragmatic Sanction. He
disputed the succession of Maria Theresa to the Habsburg lands while
simultaneously making his own claim on Silesia. Accordingly, the War of
Austrian Succession began on December 16, 1740, when Frederick invaded and
quickly occupied the province. Politically, he used
the 1537 Treaty of Brieg as a pretext for the invasion. -
The
War of the Austrian Succession (1740–1748) escalated and eventually involved
most of the powers of Europe. Austria was supported by Great Britain and the Dutch
Republic, the traditional enemies of France, as well as the Kingdom of Sardinia
and the Electorate of Saxony. France and Prussia were allied with the
Electorate of Bavaria. - The
Prussian army proved to be a powerful force and ultimately Prussia claimed
victory in the First
Silesian War (1740–1742). Peace terms of the 1742 Treaty of Breslau gave Prussia all of Silesia and
Glatz County with the Austrians retaining only a portion of Upper Silesia
called “Austrian or Czech Silesia.” -
Frederick
renewed his alliance with the French and preemptively
invaded Bohemia in 1744, thus beginning the Second Silesian War (1744–1745).
Frederick’s victories on the battlefields of Bohemia and Silesia again
forced his enemies to seek peace terms. Under the terms of the 1745 Treaty of
Dresden, Austria was forced to adhere to the terms of
the Treaty of Breslau, but Frederick
recognized the election of Maria Theresa’s husband, Francis I, as the
Holy Roman Emperor.
Key Terms
- Pragmatic Sanction
-
An edict issued by Charles VI in 1713 to ensure that the Habsburg hereditary possessions could be inherited by a daughter. The Head of the House of Habsburg ruled the Archduchy of Austria, the Kingdom of Hungary, the Kingdom of Croatia, the Kingdom of Bohemia, the Italian territories awarded to Austria by the Treaty of Utrecht, and the Austrian Netherlands. The edict did not affect the office of Holy Roman Emperor because the Imperial crown was elective, not hereditary, although successive elected Habsburg rulers headed the Holy Roman Empire since 1438.
- War of Austrian Succession
-
A war (1740–1748) that involved most of the powers of Europe over the question of Maria Theresa’s succession to the realms of the House of Habsburg. The war included King George’s War in North America, the War of Jenkins’ Ear (which formally began in October 1739), the First Carnatic War in India, the Jacobite rising of 1745 in Scotland, and the First and Second Silesian Wars.
- personal union
-
The combination of two or more states with the same monarch but distinct boundaries, laws, and interests. It differs from a federation in that each constituent state has an independent government, whereas a unitary state is united by a central government. The ruler does not need to be a hereditary monarch.
Background
In 1713, Charles VI of the Habsburg dynasty issued an edict known as the Pragmatic Sanction. It aimed to ensure that the Habsburg hereditary possessions could be inherited by a daughter. The Head of the House of Habsburg ruled the Archduchy of Austria, the Kingdom of Hungary, the Kingdom of Croatia, the Kingdom of Bohemia, the Italian territories awarded to Austria by the Treaty of Utrecht (Duchy of Milan, Kingdom of Naples and Kingdom of Sicily), and the Austrian Netherlands. However, the Pragmatic Sanction did not affect the office of Holy Roman Emperor because the Imperial crown was elective, not hereditary, although successive elected Habsburg rulers headed the Holy Roman Empire since 1438.
In 1740, Charles VI died and his daughter Maria Theresa succeeded him as Queen of Hungary, Croatia and Bohemia, Archduchess of Austria, and Duchess of Parma. She was not, however, a candidate for the title of Holy Roman Emperor, which had never been held by a woman. The plan was for her to succeed to the hereditary domains and her husband, Francis Stephen, to be elected Holy Roman Emperor.
Also in 1740, Frederick the Great of the Hohenzollern dynasty took the title of King of Prussia upon his father’s death. As such, Frederick was also Elector of Brandenburg because the two remained in personal union since the early 17th century. Legally, Brandenburg was still part of the Holy Roman Empire but the Hohenzollerns were fully sovereign rulers of the Prussian Kingdom. Theoretically, this positioned Frederick as a sovereign king of Prussia but under the authority of the Holy Roman Emperor as the ruler of Brandenburg. In reality, by the 18th century Emperor’s authority over the Empire had
become merely nominal. The various territories of the Empire acted more or less
as de facto sovereign states and only acknowledged the Emperor’s overlordship over them in a formal way. For this reason, Brandenburg
soon came to be treated as de facto part of the Prussian
kingdom rather than a separate entity.
Frederick the Great and Silesia
Hoping to unify his disconnected lands and thus desiring the prosperous, resource-rich, and strategically located Austrian province of Silesia, Frederick declined to endorse the Pragmatic Sanction.
He disputed the succession of Maria Theresa to the Habsburg lands while simultaneously making his own claim on Silesia. Accordingly, the War of Austrian Succession began on December 16, 1740, when Frederick invaded and quickly occupied the province. He was worried that if he did not move to occupy the region, Augustus III, King of Poland and Elector of Saxony, would seek to connect his own disparate lands through Silesia. Politically, Frederick used the 1537 Treaty of Brieg as a pretext for the invasion. Under the treaty, the Hohenzollerns of Brandenburg were to inherit the Duchy of Brieg, an autonomous region of Silesia. However, the 1537 agreement had been rejected by the Bohemian king Ferdinand I of Habsburg soon after it was reached and never came into effect.
The Pragmatic Sanction, Act of Emperor Charles VI
Since their marriage in 1708, Charles and his wife Elizabeth Christine had not had children, and since 1711 Charles had been the sole surviving male member of the House of Habsburg. Charles’s elder brother Joseph I had died without male issue, making accession of a female a very plausible contingency. Charles VI needed to take extraordinary measures to avoid a succession dispute. He was, indeed, ultimately succeeded by his elder daughter Maria Theresa (born 1717). Her accession in 1740 still resulted in the outbreak of the War of the Austrian Succession.
The War of the Austrian Succession (1740–1748) escalated and eventually involved most of the powers of Europe. It included King George’s War in North America, the War of Jenkins’ Ear (formally began in 1739), the First Carnatic War in India, the Jacobite rising of 1745 in Scotland, and the war over Silesia (First and Second Silesian Wars). Austria was supported by Great Britain and the Dutch Republic, the traditional enemies of France, as well as the Kingdom of Sardinia and the Electorate of Saxony. France and Prussia were allied with the Electorate of Bavaria.
Silesian Wars
Frederick occupied Silesia except for three fortresses at Glogau, Brieg and Breslau. The first real battle he faced in Silesia was the Battle of Mollwitz in April 1741, which was the first time Frederick would command an army and later saw as his “school.” In early September 1741, the French entered the war against Austria and together with their allies, the Electorate of Bavaria, marched on Prague. With Prague under threat, the Austrians pulled their army out of Silesia to defend Bohemia. When Frederick pursued them into Bohemia and blocked their path to Prague, the Austrians attacked him in May 1742. The Prussian Cavalry proved to be a powerful force and ultimately Prussia claimed victory. Frederick forced the Austrians to seek peace with him in the First Silesian War (1740–1742). Peace terms of the Treaty of Breslau between the Austrians and the Prussians negotiated in 1742 gave Prussia all of Silesia and Glatz County with the Austrians retaining only a portion of Upper Silesia called “Austrian or Czech Silesia.” Prussian possession of Silesia gave the kingdom control over the navigable Oder River.
Attack of the Prussian Infantry at the Battle of Hohenfriedberg by Carl Röchling 1913).
On June 4, 1745, Frederick trapped a joint force of Saxons and Austrians that had crossed the mountains to invade Silesia. After allowing them to cross the mountains, Frederick then pinned the enemy force down and defeated them at the Battle of Hohenfriedberg. The battle was one of Prussia’s great victories during the Second Silesian War.
Frederick strongly suspected that the Austrians (who had subdued Bavaria but were still at war with France) would resume war with Prussia in an attempt to recover Silesia. Accordingly, he renewed his alliance with the French and preemptively invaded Bohemia in 1744. Thus the Second Silesian War (1744–1745) began. Frederick’s stunning victories on the battlefields of Bohemia and Silesia again forced his enemies to seek peace terms. Under the terms of the Treaty of Dresden, signed in December 1745, Austria was forced to adhere to the terms of the Treaty of Breslau giving Silesia to Prussia. Frederick, on the other hand, recognized the election of Maria Theresa’s husband/consort—Francis I—as the Holy Roman Emperor.
21.3: The Holy Roman Empire
21.3.1: The Structure of the Holy Roman Empire
Although the Habsburgs held the title of Holy Roman Emperor for nearly four centuries, the title was not hereditary and their power over the decentralized empire was limited and separate from their reign over the territories under the Habsburg rule.
Learning Objective
Describe the structure of the Holy Roman Empire, focusing on its relation to the Habsburg dynasty and the lands under their rule
Key Points
-
The Holy Roman Empire was a multi-ethnic
complex of territories in central Europe that developed during the Early Middle
Ages and continued until its dissolution in 1806. The German
prince-electors, the highest-ranking noblemen of the empire, usually elected
one of their peers to be the emperor. The empire evolved into a decentralized, limited elective monarchy
composed of hundreds of sub-units, and the power of the emperor was limited. -
The Habsburgs held the title of Holy Roman
Emperor between 1438 and 1740 and again from 1745 to 1806. Although one family held onto the title for centuries, the Holy
Roman Emperor was elected and the position never became hereditary. This
contrasted with the power that the Habsburgs held over territories under their
rule, which did not overlap with the Holy Roman Empire. -
The
various Habsburg possessions never really formed a single country—each province
was governed according to its own particular customs. Serious attempts at centralization began under Maria
Theresa and her son Joseph II, but many of these were abandoned. The
Holy Roman Empire was also not a centralized state but its fragmentation was
much more dramatic. -
The division between the positions of the Holy
Roman Emperor and the Emperor of the Austrian Monarchy is best illustrated by
the circumstances around the War of the Austrian Succession. At its end, Maria Theresa was recognized as the head of
the Austrian Monarchy, but it was her husband, Francis I who was eventually granted
the title of Holy Roman Emperor. -
At the turn of the nineteenth century, the Holy
Roman Empire saw significant administrative changes. In 1804, the Holy Roman Emperor
Francis II, who was also ruler of the lands of the Habsburg Monarchy, founded
the Empire of Austria. In doing so, he
created a formal overarching structure for the Habsburg Monarchy as he foresaw
either the end of the Holy Roman Empire or the eventual accession as Holy Roman
Emperor of Napoleon. -
In
1805, the leaders of some imperial territories proclaimed their
independence and signed a treaty with France.
Eventually, Francis II agreed to the Treaty of Pressburg (1805),
which in practice meant the dissolution of the Holy Roman Empire. In 1806, the
Confederation of the Rhine was established, putting an end to the Holy
Roman Empire.
Key Terms
- Confederation of the Rhine
-
A confederation of client states of the First French Empire formed initially from 16 German states by Napoleon after he defeated Austria and Russia in the Battle of Austerlitz. The Treaty of Pressburg,in effect led to its creation. It lasted from 1806 to 1813 and its members were German princes from the Holy Roman Empire.
- Imperial Recess
-
A resolution passed by the Reichstag (Imperial Diet) of the Holy Roman Empire in 1803 and ratified by the Emperor Francis II. It proved to be the last significant law enacted by the Empire before its dissolution in 1806.
The law secularized over 70 ecclesiastical states and abolished 45 imperial cities. - War of the Austrian Succession
-
A 1740–1748 war that involved most of the powers of Europe over the question of Maria Theresa’s succession to the realms of the House of Habsburg. The war included King George’s War in North America, the War of Jenkins’ Ear (which formally began in 1739), the First Carnatic War in India, the Jacobite rising of 1745 in Scotland, and the First and Second Silesian Wars.
- Treaty of Pressburg
-
An 1805 treaty between Napoleon and Holy Roman Emperor Francis II as a consequence of the French victories over the Austrians at Ulm and Austerlitz. It was signed in Pressburg (now Bratislava), at that time in Hungary, by Johann I Josef, Prince of Liechtenstein and the Hungarian Count Ignaz Gyulai for Austria and Charles Maurice de Talleyrand for France.
The Holy Roman Empire
The Holy Roman Empire was a multi-ethnic complex of territories in central Europe that developed during the Early Middle Ages and continued until its dissolution in 1806. The term Holy Roman Empire was not used until the 13th century and the office of Holy Roman Emperor was traditionally elective, although frequently controlled by dynasties. The German prince-electors, the highest-ranking noblemen of the empire, usually elected one of their peers to be the emperor and he would later be crowned by the Pope (the tradition of papal coronations was discontinued in the 16th century). In time, the empire evolved into a decentralized, limited elective monarchy composed of hundreds of sub-units, principalities, duchies, counties, free imperial cities, and other domains. The power of the emperor was limited and while the various princes, lords, bishops and cities of the empire were vassals who owed the emperor their allegiance, they also possessed an extent of privileges that gave them de facto independence within their territories.
The Habsburg Dynasty and the Holy Roman Empire
The Habsburgs held the title of Holy Roman Emperor between 1438 and 1740 and again from 1745 to 1806. Although one family held the title for centuries, the Holy Roman Emperor was elected and the position never became hereditary. This contrasted with the power that the Habsburgs held over territories under their rule, which did not overlap with the Holy Roman Empire. From the 16th century until the formal establishment of the Austrian Empire in 1804, those lands were unofficially called the Habsburg or Austrian Monarchy. They changed over the centuries, but the core always consisted of the Hereditary Lands (most of the modern states of Austria and Slovenia, as well as territories in northeastern Italy and southwestern Germany); the Lands of the Bohemian Crown; and the Kingdom of Hungary. Many other lands were also under Habsburg rule at one time or another.
The various Habsburg possessions never really formed a single country—each province was governed according to its own particular customs. Until the mid 17th century, not all of the provinces were even necessarily ruled by the same person—junior members of the family often ruled portions of the Hereditary Lands as private apanages. Serious attempts at centralization began under Maria Theresa and especially her son Joseph II in the mid to late 18th century, but many of these were abandoned following large-scale resistance to Joseph’s more radical reform attempts.
The Holy Roman Empire was also a decentralized state; in fact, its fragmentation was much more dramatic than that of the Habsburg Monarchy. It was divided into dozens—eventually hundreds—of individual entities governed by kings, dukes, counts, bishops, abbots and other rulers, collectively known as princes. There were also some areas ruled directly by the Emperor. At no time could the Emperor simply issue decrees and govern autonomously over the Empire. His power was severely restricted by the various local leaders. The Emperors were unable to gain much control over the lands that they formally owned. Instead, to secure their own position from the threat of being deposed, they were forced to grant more and more autonomy to local rulers.
The division between the positions of the Holy Roman Emperor and the Emperor of the Austrian Monarchy is best illustrated by the circumstances around the War of the Austrian Succession.
The war began under the pretext that Maria Theresa was ineligible to succeed to the Habsburg thrones of her father, Charles VI, because the existing law precluded royal inheritance by a woman. At the end, Maria Theresa was recognized as the head of the Austrian Monarchy while her husband, Francis I, was eventually granted the title of Holy Roman Emperor. When Francis died in 1765, Maria Theresa continued to rule the Habsburg lands, but her son, Joseph II, secured the title of the Holy Roman Emperor. However, he gained the rule over the hereditary territories of the Habsburgs only after his mother’s death fifteen years later.
The End of the Holy Roman Empire and the Austrian Empire
At the turn of the nineteenth century, the Holy Roman Empire underwent significant changes. In 1803, the Imperial Recess was declared, which reduced the number of ecclesiastical states from 81 to only 3 and the free imperial cities from 51 to 6. In 1804, the Holy Roman Emperor Francis II, who was also ruler of the lands of the Habsburg Monarchy, founded the Empire of Austria comprising all his lands. In doing so, he created a formal overarching structure for the Habsburg Monarchy as he foresaw either the end of the Holy Roman Empire or the eventual accession as Holy Roman Emperor of Napoleon, who had earlier that year adopted the title of an Emperor of the French. In 1805, the leaders of some imperial territories proclaimed their independence and signed a treaty with France, becoming French allies. Eventually, Francis II agreed to the humiliating Treaty of Pressburg (1805), which in practice meant the dissolution of the long-lived Holy Roman Empire and a reorganization under a Napoleonic imprint of the German territories lost in the process into a precursor state of what became modern Germany. In 1806, the Confederation of the Rhine was established, comprising 16 sovereigns and countries. This confederation, under French influence, put an end to the Holy Roman Empire.
The Austrian Empire in 1812
The Austrian Empire was a multinational empire and one of Europe’s great powers. Geographically it was the second largest country in Europe after the Russian Empire. It was also the third most populous after Russia and France, as well as the largest and strongest country in the German Confederation.
21.3.2: The Pragmatic Sanction
The Pragmatic Sanction of 1713 was an edict issued by Charles VI to ensure that the Habsburg hereditary possessions could be inherited by a daughter, but it was contested after Charles’ death in 1740, resulting in the War of Austrian Succession.
Learning Objective
Explain the contents of the Pragmatic Sanction and its intended purpose
Key Points
-
The Pragmatic
Sanction was an edict issued by Charles VI on April 19, 1713, to
ensure that the Habsburg hereditary possessions could be inherited by a
daughter. It did not affect the office of Holy
Roman Emperor because the Imperial crown was elective, not hereditary, although successive elected Habsburg rulers headed the Holy Roman
Empire since 1438. -
In 1703, Charles and
Joseph, the sons of Leopold, signed the Mutual Pact of Succession, granting
succession rights to the daughters of Joseph and Charles in case of complete
extinction of the male line, but favoring Joseph’s daughters over Charles’s
because Joseph was older. -
Charles soon expressed a
wish to amend this pact to give his own future daughters precedence
over his nieces. Securing the right to succeed for his own daughters, who were
not even born yet, became Charles’s obsession. The
Pragmatic Sanction of 1713 was the first such document to be publicly announced and as
such required formal acceptance by the estates of the realms it concerned. -
For
10 years, Charles VI labored with the support of his closest advisor Johann
Christoph von Bartenstein to have his sanction accepted by the courts of
Europe and by Habsburg’s hereditary territories. All the major empires and
states agreed to recognize the sanction, but some Habsburg territories, including Hungary and Bohemia, did not initially accept it. -
After
Charles VI died, Prussia and Bavaria contested the claims of Maria Theresa on
his Austrian lands. The refusal to accept the Sanction of 1713 resulted in the
War of the Austrian Succession. -
Maria
Theresa’s husband was elected Holy Roman Emperor as Francis I in 1745. The
Treaty of Aix-la-Chapelle in 1748 finally recognized Maria Theresa’s rule
over the Habsburg hereditary lands. In accordance with tradition, Maria
Theresa held the title of the Holy Roman Empress as wife of the Emperor.
Key Terms
- the Mutual Pact of Succession
-
A succession device secretly signed by Archdukes Joseph and Charles of Austria, the future Emperors of the Holy Roman Empire, in 1703. It stipulated that the claim to the Spanish realms was to be assumed by Charles, while the right of succession to the rest of the Habsburg dominions would rest with his elder brother Joseph. The pact also specified they would both be succeeded by their respective heirs male. Should one of them fail to have a son, the other would succeed him in all his realms. However, should both brothers die leaving no sons, the daughters of the elder brother (Joseph) would have absolute precedence over the daughters of the younger brother (Charles), and the eldest daughter of Joseph would ascend all the Habsburg thrones.
- The Pragmatic Sanction
-
An edict issued by Charles VI in
1713 to ensure that the Habsburg hereditary possessions could be inherited
by a daughter. The Head of the House of Habsburg ruled the Archduchy of
Austria, the Kingdom of Hungary, the Kingdom of Croatia, the Kingdom of Bohemia,
the Italian territories awarded to Austria by the Treaty of Utrecht, and the
Austrian Netherlands. The edict did not affect the office of Holy Roman
Emperor because the Imperial crown was elective, not hereditary, although
successive elected Habsburg rulers headed the Holy Roman Empire since
1438. - Treaty of Aix-la-Chapelle
-
A 1748 treaty, sometimes called the Treaty of Aachen, that ended the War of the Austrian Succession. It was signed 1748 by Great Britain, France, and the Dutch Republic. Two implementation treaties were signed at Nice in 1748 and 1749 by Austria, Spain, Sardinia, Modena, and Genoa.
- War of the Austrian Succession
-
A war (1740–1748) that involved
most of the powers of Europe over the question of Maria Theresa’s
succession to the realms of the House of Habsburg. The war included King
George’s War in North America, the War of Jenkins’ Ear (which formally
began in October 1739), the First Carnatic War in India, the Jacobite
rising of 1745 in Scotland, and the First and Second Silesian Wars.
The Pragmatic Sanction of 1713
The Pragmatic Sanction was an edict issued by Charles VI on April 19, 1713, to ensure that the Habsburg hereditary possessions could be inherited by a daughter. The Head of the House of Habsburg ruled the Archduchy of Austria, the Kingdom of Hungary, the Kingdom of Croatia, the Kingdom of Bohemia, the Italian territories awarded to Austria by the Treaty of Utrecht (Duchy of Milan, Kingdom of Naples and Kingdom of Sicily), and the Austrian Netherlands. The Pragmatic Sanction did not affect the office of Holy Roman Emperor because the Imperial crown was elective, not hereditary, although successive elected Habsburg rulers headed the Holy Roman Empire since 1438.
The Pragmatic Sanction of 1713, Act of Emperor Charles VI.
Because Charles VI had no male heirs and earlier arrangements favored his brother’s daughters, he needed to take extraordinary measures to avoid a succession dispute. Charles was ultimately succeeded by his elder daughter Maria Theresa (born 1717). Despite the promulgation of the Pragmatic Sanction, however, her accession in 1740 resulted in the outbreak of the War of the Austrian Succession.
The Mutual Pact of Succession
In 1700, the senior (oldest, first-in-line) branch of the House of Habsburg became extinct with the death of Charles II of Spain. The War of the Spanish Succession ensued, with Louis XIV of France claiming the crowns of Spain for his grandson Philip and Leopold I (Holy Roman Emperor) claiming them for his son Charles. In 1703, Charles and Joseph, the sons of Leopold, signed the Mutual Pact of Succession, granting succession rights to the daughters of Joseph and Charles in case of complete extinction of the male line, but favoring Joseph’s daughters over Charles’s because Joseph was older.
In 1705, Leopold I died and was succeeded by his elder son, Joseph I. Six years later, Joseph I died leaving behind two daughters, Archduchesses Maria Josepha and Maria Amalia. Charles succeeded Joseph according to the Pact, and Maria Josepha became his heir presumptive. However, Charles soon expressed a wish to amend the Pact to give his own future daughters precedence over his nieces. Securing the right to succeed for his own daughters, who were not even born yet, became Charles’s obsession. The previous succession laws had also forbidden the partition of the Habsburg dominions and provided for succession by females, but they had been mostly hypothetical.
On April 19, 1713, the Emperor announced the changes in a secret session of the council. The Pragmatic Sanction was the first such document to be publicly announced and as such required formal acceptance by the estates of the realms it concerned.
Recognition and Failure
For 10 years, Charles VI labored with the support of his closest advisor Johann Christoph von Bartenstein to have his sanction accepted by the courts of Europe and by Habsburg’s hereditary territories. All the major empires and states agreed to recognize the sanction. Hungary, which had an elective kingship, had accepted the house of Habsburg as hereditary kings in the male line. It was agreed that if the Habsburg male line became extinct, Hungary would once again have an elective monarchy. This was also the rule in the Kingdom of Bohemia. Maria Theresa, Charles’ daughter who succeeded her father following his death in 1740, still gained the throne of Hungary (the Hungarian Parliament voted its own Pragmatic Sanction in 1723). Croatia was one of the crown lands that supported the Sanction of 1713, which eventually resulted in Maria Theresa making significant contributions to Croatian matters.
After Charles VI died, Prussia and Bavaria contested the claims of Maria Theresa on his Austrian lands. The refusal to accept the Sanction of 1713 resulted in the War of the Austrian Succession, in which Austria lost resource-rich and strategically located Silesia to Prussia as well as
the Duchy of Parma, Piacenza and Guastalla. The elective office of Holy Roman Emperor was filled by Joseph I’s son-in-law Charles Albert of Bavaria, marking the first time in several hundred years that the position was not held by a Habsburg. As Emperor Charles VII, he lost his own country, Bavaria, to the Austrian army of his wife’s cousin Maria Theresa and soon died. His son, Maximilian III Joseph, Elector of Bavaria, renounced claims on Austria in exchange for the return of his paternal duchy of Bavaria. Maria Theresa’s husband was elected Holy Roman Emperor as Francis I in 1745. The Treaty of Aix-la-Chapelle in 1748 finally recognized Maria Theresa’s rule over the Habsburg hereditary lands. In accordance with the tradition, Maria Theresa held the title of the Holy Roman Empress as wife of the Emperor. She lost the title with her husband’s death in 1765, although she remained the ruler of the Habsburg lands until her death fifteen years later.
21.3.3: Empress Maria-Theresa
Maria Theresa introduced reforms that improved her empire’s economy, military, education, public health, and administration but left the feudal social order intact.
Learning Objective
Analyze Empress Maria-Theresa’s reforms and policies
Key Points
-
Maria Theresa (1717 – 1780) was the only female
ruler of the Habsburg dominions and the last of the House of Habsburg. She was
the sovereign of Austria, Hungary, Croatia, Bohemia, Transylvania, Mantua,
Milan, Lodomeria and Galicia, the Austrian Netherlands, and Parma. By marriage,
she was Duchess of Lorraine, Grand Duchess of Tuscany, and Holy Roman Empress. -
Maria Theresa was a devout Roman Catholic and
believed that religious unity was necessary for a peaceful public life.
Consequently, she explicitly rejected the idea of religious tolerance. -
Maria Theresa implemented significant reforms to
strengthen Austria’s military, financial, and bureaucratic efficiency. However, she did
not manage to change her lands’ deeply feudal social order based on privileged landlords and oppressive forced labor of the peasantry. - Maria
Theresa invested in reforms that advanced what today would be defined as public health. Her initiatives included the study of infant mortality, countering wasteful and unhygienic burial customs, and inoculation of children. -
Wishing to improve Austria’s bureaucracy, Maria Theresa reformed education in 1775. In
a new school system based on the Prussian one, all children of both genders
had to attend school from the ages of 6 to 12. Education reform was not immediately effective.
Key Terms
- Jansenist
-
An advocate of a Catholic theological movement, primarily in France, that emphasized original sin, human depravity, the necessity of divine grace, and predestination. The movement originated from the posthumously published work of the Dutch theologian Cornelius Jansen, who died in 1638. Through the 17th and into the 18th centuries, it was a distinct movement within the Catholic Church and was opposed by many in the Catholic hierarchy, especially the Jesuits.
- the Pragmatic Sanction of 1713
-
An edict issued by Charles VI in
1713 to ensure that the Habsburg hereditary possessions could be inherited
by a daughter. The Head of the House of Habsburg ruled the Archduchy of
Austria, the Kingdom of Hungary, the Kingdom of Croatia, the Kingdom of
Bohemia, the Italian territories awarded to Austria by the Treaty of Utrecht,
and the Austrian Netherlands. The edict did not affect the office of Holy Roman
Emperor because the Imperial crown was elective, not hereditary, although
successive elected Habsburg rulers headed the Holy Roman Empire since
1438. - the War of Austrian Succession
-
A war (1740–1748) that involved
most of the powers of Europe over the question of Maria Theresa’s
succession to the realms of the House of Habsburg. The war included King
George’s War in North America, the War of Jenkins’ Ear (which
formally began in October 1739), the First Carnatic War in India, the
Jacobite rising of 1745 in Scotland, and the First and Second
Silesian Wars.
Maria Theresa
Maria Theresa (1717 – 1780) was the only female ruler of the Habsburg dominions and the last of the House of Habsburg. She was the sovereign of Austria, Hungary, Croatia, Bohemia, Transylvania, Mantua, Milan, Lodomeria and Galicia, the Austrian Netherlands and Parma. By marriage, she was Duchess of Lorraine, Grand Duchess of Tuscany and Holy Roman Empress. Although her father Charles VI ensured that his daughter, the first woman in the dynasty, would succeed him as the ruler of the Habsburg lands (the Pragmatic Sanction of 1713), the title of Holy Roman Emperor was neither hereditary nor ever held by a woman. The refusal of Prussia and Bavaria to accept Maria Theresa’s rule in 1740 after her father’s death resulted in the War of Austrian Succession (1740-48). In its aftermath, Maria Theresa was recognized as the ruler of the Habsburg lands. However, her title of Holy Roman Empress meant that she was in fact the wife of the Emperor, Francis I, who secured the title as one of Austria’s gains in the same war.
Although Maria Theresa was an absolutist conservative, this was tempered by pragmatism and she implemented a number of overdue reforms, which were responses to the challenges to her lands but not ideologically framed in the Age of Enlightenment.
Maria Theresa by Martin van Meytens, 1742, the National Gallery of Slovenia
After several diplomatic failures and military defeats in the 1730s, Austria seemed to be declining or even on the verge of collapse. After her forty-year reign, Maria Theresa left a revitalized empire that influenced the rest of Europe through the 19th century.
Religion
Maria Theresa was a devout Roman Catholic and believed that religious unity was necessary for a peaceful public life. Consequently, she explicitly rejected the idea of religious toleration but never allowed the Church to interfere with what she considered to be prerogatives of a monarch and kept Rome at arm’s length. She controlled the selection of archbishops, bishops, and abbots. Her approach to religious piety differed from that of her predecessors, as she was influenced by Jansenist ideas. The empress actively supported conversion to Roman Catholicism by securing pensions to the converts. She tolerated Greek Catholics and emphasized their equal status with Roman Catholics. Convinced by her advisors that the Jesuits posed a danger to her monarchical authority, she hesitantly issued a decree that removed them from all the institutions of the monarchy. Though she eventually gave up trying to convert her non-Catholic subjects to Roman Catholicism, Maria Theresa regarded both the Jews and Protestants as dangerous to the state and actively tried to suppress them. The empress was arguably the most anti-Semitic monarch of her time yet like many of her contemporaries, she supported Jewish commercial and industrial activity.
Administrative and State Reforms
Maria Theresa implemented significant reforms to strengthen Austria’s military and bureaucratic efficiency. She employed Count Friedrich Wilhelm von Haugwitz, who modernized the empire by creating a standing army of 108,000 men paid for with 14 million gulden extracted from each crown-land. The central government was responsible for the army, although Haugwitz instituted taxation of the nobility for the first time. Under Haugwitz, she centralized administration, a task previously left to the nobility and church, along Prussian models with permanent civil service. She also oversaw the unification of the Austrian and Bohemian chancellories in May 1749 and doubled the state revenue between 1754 and 1764, though her attempt to tax clergy and nobility was only partially successful. However, these financial reforms greatly improved the economy.
In 1760, Maria Theresa created the council of state, which served as a committee of experienced people who advised her. The council lacked executive or legislative authority, but nevertheless was distinguishable from the form of government employed by Frederick II of Prussia. Unlike the latter, Maria Theresa was not an autocrat who acted as her own minister. Prussia would adopt this form of government only after 1807. In 1776, Austria outlawed witch burning and torture. It was later reintroduced, but the progressive nature of these reforms remains noted.
Despite all these reformist efforts, Maria Theresa did not change her lands’ deeply feudal social order based on privileged landlords and oppressive forced labor of the peasantry.
Public Health
Maria Theresa invested in reforms that advanced what today would be defined as public health. She recruited Gerard van Swieten, who founded the Vienna General Hospital, revamped Austria’s educational system, and served as the Empress’s personal physician. After calling in van Swieten, Maria Theresa asked him to study the problem of infant mortality in Austria. Following his recommendation, she made a decree that autopsies would be mandatory for all hospital deaths in Graz, Austria’s second largest city. This law – still in effect today – combined with the relatively stable population of Graz, resulted in one of the most important and complete autopsy records in the world. Maria Theresa banned the creation of new burial grounds without prior government permission, thus countering wasteful and unhygienic burial customs. Her decision to have her children inoculated after the smallpox epidemic of 1767 was responsible for changing Austrian physicians’ negative view of inoculation.
Education
Aware of the inadequacy of bureaucracy in Austria and wishing to improve it, Maria Theresa reformed education in 1775. In a new school system based on the Prussian one, all children of both genders had to attend school between ages 6 an 12. Education reform was met with much hostility. Maria Theresa crushed the dissent by ordering the arrest of those who opposed. The reforms, however, were not as successful as expected since no funding was offered from the state, education in most schools remained substandard, and in many parts of the empire forcing parents to send their children to school was ineffective (particularly in the countryside, children were seen as valuable labor force and schooling as a way to take them away from work). The empress permitted non-Catholics to attend university and allowed the introduction of secular subjects such as law, which influenced the decline of theology as the main foundation of university education.
Educational reform also included that of Vienna University by Swieten from 1749, the founding of the Theresianum (1746) as a civil service academy, and other new military and foreign service academies.
Maria Theresa as a widow in 1773, by Anton von Maron
Maria Theresa was devastated by her husband’s (Francis I) death. Their eldest son, Joseph, became Holy Roman Emperor. Maria Theresa abandoned all ornamentation, had her hair cut short, painted her rooms black, and dressed in mourning for the rest of her life. She completely withdrew from court life, public events, and theater. She described her state of mind shortly after Francis’s death: “I hardly know myself now, for I have become like an animal with no true life or reasoning power.”
21.3.4: Joseph II and Domestic Reform
As a proponent of enlightened absolutism, Joseph II
introduced a series of reforms that affected nearly every realm of life in his
empire, but his commitment to modernization engendered significant opposition,
which eventually led to a failure to fully implement his
programs.
Learning Objective
Contrast Joseph’s domestic reforms with those of his mother
Key Points
-
Joseph II became the absolute ruler over the most extensive realm
of Central Europe in 1780. Deeply interested in the ideals of the
Enlightenment, he was always positive that the rule of reason would produce the
best possible results in the shortest time. He issued edicts, 6,000 in all,
plus 11,000 new laws designed to regulate and reorder every aspect of the empire.
He intended to improve his subjects’ lives but strictly in accordance with his
own criteria. -
Josephinism is notable for the very wide range of reforms
designed to modernize the creaky empire in an era when France and Prussia were
rapidly advancing. However, it elicited grudging compliance at best and more
often vehement opposition from all sectors in every part of his empire. -
In 1781, Joseph issued the Serfdom Patent, which aimed to abolish
aspects of the traditional serfdom system of the Habsburg lands through
the establishment of basic civil liberties for the serfs. It was enforced
differently in all the various Habsburg lands but serfdom was abolished in the
Empire only in 1848. -
Joseph continued education and public health reforms initiated by
his mother. Elementary education was made compulsory and higher education was
offered for a select few. Joseph created scholarships for talented poor
students and allowed the establishment of schools for Jews and other religious
minorities. In 1784, he ordered that the country change its language of
instruction from Latin to German, a highly controversial step in a multilingual
empire. He also attempted to centralize medical care in Vienna. -
Probably the most unpopular of all his reforms was his attempt to
modernize the highly traditional Catholic Church and make the Catholic Church
in his empire the tool of the state, independent of Rome. -
Joseph’s enlightened despotism included also the Patent
of Toleration, enacted in 1781, and the Edict of Tolerance in 1782. The
Patent granted religious freedom to the Lutherans, Calvinists, and Serbian
Orthodox and the Edict extended religious freedom to the Jewish population.
Key Terms
- the Patent of Toleration
-
An edict issued in 1781 by the Holy
Roman Emperor, Joseph II of Austria. It extended religious freedom to
non-Catholic Christians living in Habsburg lands, including Lutherans,
Calvinists, and the Eastern Orthodox. Specifically, these members of minority
faiths were now legally permitted to hold “private religious
exercises” in clandestine churches. - Josephinism
-
The collective domestic policies of Joseph II,
Holy Roman Emperor (1765–1790). During the ten years in which Joseph was
the sole ruler of the Habsburg Monarchy (1780–1790), he attempted to
legislate a series of drastic reforms to remodel Austria in the form of the
ideal Enlightened state. This provoked severe resistance from powerful forces
within and outside of his empire. - the
Edict of Tolerance -
An edict issued in 1782 by Joseph
II of Austria that extended religious freedom and some civil rights to the
Jewish population in the Habsburg empire. It allowed Jewish children to
attend schools and universities and adults to engage in certain
professions as well as eliminated previous restrictions, including forcing the
Jewish population to wear gold stars. - enlightened despotism
-
Also known as enlightened
absolutism or benevolent absolutism: a form of absolute monarchy or
despotism inspired by the Enlightenment. The monarchs who embraced it
followed the participles of rationality. Some of them fostered education,
allowed religious tolerance, freedom of speech, and the right to hold private
property. They held that royal power emanated not from divine right but from a
social contract whereby a despot was entrusted with the power to govern in lieu of any other governments. - the
Serfdom Paten -
A 1781 decree that aimed to abolish
aspects of the traditional serfdom system of the Habsburg lands through the
establishment of basic civil liberties for the serfs. Issued by the enlightened
absolutist emperor Joseph II, it diminished the long-established mastery of the
landlord, allowing the serf to independently choose marriage partners, pursue
career choices, and move between estates.
Joseph II
Joseph II was Holy Roman
Emperor from 1765 to 1790 and ruler of the Habsburg lands from 1780 to
1790. He was the eldest son of Maria Theresa and her husband, Francis I
and thus the first ruler in the Austrian dominions of the House of Lorraine,
styled Habsburg-Lorraine. As women were
never elected to be Holy Roman Emperor, Joseph took the title after his
father’s death in 1765 yet it was his mother who remained the ruler of the
Habsburg lands. However, Maria Theresa, devastated after her husband’s death
and always relying on the help of advisors, declared Joseph to be her new
co-ruler the same year. From then on, mother and son had frequent ideological
disagreements. Joseph often threatened to resign as co-regent and emperor. When
Maria Theresa died in 1780, Joseph became the absolute ruler over the most
extensive realm of Central Europe. There was no parliament to deal with and
Joseph, deeply interested in the ideals of the Enlightenment, was always
positive that the rule of reason would produce the best possible results in the
shortest time. He issued edicts, 6,000 in all, plus 11,000 new laws designed to
regulate and reorder every aspect of the empire. He intended to improve his
subjects’ lives but strictly in accordance with his own criteria. This made him
one of the most committed enlightened despots.
Josephinism
Josephinism (or
Josephism), as his policies were called, is notable for the very wide range of
reforms designed to modernize the creaky empire in an era when France and
Prussia were rapidly advancing. However, it elicited grudging compliance at
best and more often vehement opposition from all sectors in every part of his
empire. Joseph set about building a rational, centralized, and uniform
government for his diverse lands but with himself as supreme autocrat. He
expected government servants to all be dedicated agents of Josephinism and
selected them without favor for class or ethnic origins. Promotion was solely
by merit. To impose uniformity, he made German the compulsory language of
official business throughout the Empire. Joseph’s enlightened despotism and his
resulting commitment to modernizing reforms subsequently engendered significant
opposition, which eventually culminated in an ultimate failure to fully
implement his programs.
Tax, Land, and Legal Reform
To equalize the incidence
of taxation, Joseph ordered a fresh appraisal of the value of all properties in
the empire. His goal was to impose a single and egalitarian tax on land and
thus modernize the relationship of dependence between the landowners and
peasantry, relieve some of the tax burden on the peasantry, and increase state
revenues. Joseph looked on the tax and land reforms as being interconnected and
strove to implement them at the same time. The various commissions he
established to formulate and carry out the reforms met resistance among the
nobility, the peasantry, and some officials.
In 1781, Joseph issued the
Serfdom Patent, which aimed to abolish aspects of the traditional serfdom
system of the Habsburg lands through the establishment of basic civil
liberties for the serfs. It was enforced differently in all the various Habsburg
lands. The nobility in Bohemia refused to enact its provisions, while the
Transylvanian nobles simply refused to notify the peasants in their region
about this emancipation document. The Hungarian estates claimed that their
peasants were not serfs, but “tenants in fee simple, who were fully informed as
to their rights and duties by precise contracts” and continued to restrict
these “tenants.” In contrast, the peasants of the German-speaking provinces
were actually aided by the Patent. The Patent granted the serfs some legal
rights in the Habsburg monarchy, but it did not affect the financial dues and
the physical corvée (unpaid labor) that the serfs legally owed to their
landlords, which it practice meant that it did not abolish serfdom but rather
expanded selected rights of serfs. Joseph II recognized the importance of
further reforms, continually attempting to destroy the economic subjugation
through related laws, such as his Tax Decree of 1789. This new law would have
finally realized Emperor Joseph II’s ambition to modernize Habsburg society,
allowing for the end of corvée and the beginning of lesser tax obligations.
Joseph’s latter reforms were withdrawn upon his death and the final
emancipation reforms in the Empire were introduced only in 1848.
Joseph II is plowing the field near Slawikowitz in rural southern Moravia in 1769.
Despite the attempts to improve the fate of the peasantry, Joseph’s land reforms met with the resistance of the landed nobility and serfdom was not abolished in the Empire until 1848.
Joseph inspired a complete reform of the legal system, abolished brutal punishments and the death penalty in most instances, and imposed the principle of complete equality of treatment for all offenders. He ended censorship of the press and theater.
Education and Public Health
Joseph continued education
and public health reforms initiated by his mother. To produce a literate
citizenry, elementary education was made compulsory for all boys and girls and
higher education on practical lines was offered for a select few.
Joseph created scholarships for talented poor students and allowed the
establishment of schools for Jews and other religious minorities. In 1784, he
ordered that the country change its language of instruction from Latin to
German, a highly controversial step in a multilingual empire.
By the 18th century,
centralization was the trend in medicine because more and better educated
doctors were requesting improved facilities. Cities lacked the budgets to fund
local hospitals and the monarchy wanted to end costly epidemics and
quarantines. Joseph attempted to centralize medical care in Vienna through the
construction of a single, large hospital, the famous Allgemeines Krankenhaus,
which opened in 1784. Centralization, however, worsened sanitation problems causing
epidemics and a 20% death rate in the new hospital, but the city became
preeminent in the medical field in the next century.
Religion
Probably the most
unpopular of all his reforms was his attempt to modernize the highly
traditional Catholic Church and make the Catholic Church in his empire the tool
of the state, independent of Rome. Clergymen were deprived of the tithe and
ordered to study in seminaries under government supervision, while bishops had
to take a formal oath of loyalty to the crown. As a man of the Enlightenment,
he ridiculed the contemplative monastic orders, which he considered
unproductive. Accordingly, he suppressed a third of the monasteries (over 700
were closed) and reduced the number of monks and nuns from 65,000 to 27,000.
Marriage was defined as a civil contract outside the jurisdiction of the
Church. Joseph also sharply cut the number of holy days to be observed in the
Empire and forcibly simplified the manner in which the Mass (the central
Catholic act of worship) was celebrated. Opponents of the reforms blamed them
for revealing Protestant tendencies, with the rise of Enlightenment rationalism
and the emergence of a liberal class of bourgeois officials.
Joseph’s enlightened
despotism included also the Patent of Toleration, enacted in 1781, and the
Edict of Tolerance in 1782. The Patent granted religious freedom to the
Lutherans, Calvinists, and Serbian Orthodox, but it wasn’t until the 1782
Edict of Tolerance that Joseph II extended religious freedom to the Jewish
population. Providing the Jewish subjects of the Empire with the right to
practice their religion came with the assumption that the freedom would
gradually force Jewish men and women into the mainstream German culture. While
it allowed Jewish children to attend schools and universities, adults to
engage in jobs from which there had been excluded, and all Jewish men and women
not to wear gold stars that marked their identity, it also stipulated that the
Jewish languages, the written language Hebrew and the spoken language
Yiddish, were to be replaced by the national language of the country. Official
documents and school textbooks could not be printed in Hebrew.
The Emperor by Anton von Maron, 1774.
Josephinism made many enemies inside the empire—from disaffected ecclesiastical authorities to noblemen. By the later years of his reign, disaffection with his sometimes radical policies was at a high, especially in the Austrian Netherlands and Hungary. Popular revolts and protests—led by nobles, seminary students, writers, and agents of Prussian King Frederick William—stirred throughout the Empire, prompting Joseph to tighten censorship of the press.
21.4: The Seven Years’ War
21.4.1: The Diplomatic Revolution
The diplomatic revolution of 1756 was the reversal of longstanding alliances in Europe between the War of the Austrian Succession and the Seven Years’ War, when Austria went from an ally of Britain to an ally of France and Prussia became an ally of Britain.
Learning Objective
Recall the parties involved in the Diplomatic Revolution and what changed between them as a result of this event
Key Points
-
The War of the Austrian Succession had seen belligerence align on a time-honored basis. France’s traditional enemies,
Great Britain and Austria, had coalesced. Prussia, the leading anti-Austrian
state in Germany, had been supported by France. Neither group, however, found
much reason to be satisfied with its partnership. -
The
collapse of that system and the aligning of France with Austria and of Great
Britain with Prussia constituted what is known as the “diplomatic revolution”
or the “reversal of alliances.” This change in European alliances was a prelude
to the Seven Years’ War, triggered by a
separation of interests between Austria, Britain, and France. -
The War of Austrian Succession
made it clear that Britain no longer viewed Austria as powerful enough to check
French power but was content to build up other states like Prussia. Therefore
Britain and Prussia, in the Westminster Convention of 1756, agreed that Britain
would not aid Austria in a renewed conflict for Silesia if Prussia agreed to
protect Hanover from France. -
In
response to the Westminster Convention, Louis XV’s ministers and
Count Wenzel Anton von Kaunitz of Austria concluded the First Treaty of Versailles (1756). Both sides agreed to remain
neutral and provide 24,000 troops if either got into conflict with a third
party. -
Austria’s actions alerted Frederick, who
decided to strike first by invading Saxony, commencing the Seven Years’ War
(1756–1763). By invading Saxony, Frederick inflamed his enemies. France
and Austria signed a new offensive alliance, the Second Treaty of Versailles
(1757). -
In 1758, the Anglo-Prussian Convention between
Great Britain and the Kingdom of Prussia formalized the alliance between the
two powers. However, the alliance proved to be short-lived.
Key Terms
- the Treaty of Aix-la-Chapelle
-
A 1748 treaty sometimes called the
Treaty of Aachen that ended the War of the Austrian Succession. It was signed in 1748 by Great Britain, France, and the Dutch Republic. Two implementation
treaties were signed at Nice in 1748 and 1749 by Austria, Spain, Sardinia,
Modena, and Genoa. - the Westminster Convention of 1756
-
A 1756 military alliance between Great Britain and Prussia in which the two state agreed that Britain would not aid Austria in a renewed conflict for Silesia if Prussia agreed to protect Hanover from France.
- the Seven Years’ War
-
A world war fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents and affecting Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other.
- diplomatic revolution
-
The reversal of longstanding alliances in Europe between the War of the Austrian Succession and the Seven Years’ War. Austria went from an ally of Britain to an ally of France. Prussia became an ally of Britain. The most influential diplomat involved was Prince Kaunitz of Austria.
- personal union
-
The combination of two or more
states that have the same monarch while their boundaries, laws, and
interests remain distinct. It differs from a federation in that each
constituent state has an independent government, whereas a unitary
state is united by a central government. The ruler does not need to be a
hereditary monarch. - War of Austrian Succession
-
A war (1740–1748) that involved
most of the powers of Europe over the question of Maria Theresa’s
succession to the realms of the House of Habsburg. The war included King
George’s War in North America, the War of Jenkins’ Ear (which formally
began in October 1739), the First Carnatic War in India, the Jacobite
rising of 1745 in Scotland, and the First and Second Silesian Wars.
The Diplomatic Revolution
In the War of the Austrian Succession (1740-1748), Frederick the Great of Prussia seized the prosperous province of Silesia from Austria. Maria Theresa of Austria signed the Treaty of Aix-la-Chapelle in 1748 in order to gain time to rebuild her military forces and forge new alliances. The War of the Austrian Succession had seen the belligerence align on a time-honored basis. France’s traditional enemies, Great Britain and Austria, had coalesced. Prussia, the leading anti-Austrian state in Germany, had been supported by France. Neither group, however, found much reason to be satisfied with its partnership: British subsidies to Austria produced nothing of much help to the British, while the British military effort had not saved Silesia for Austria. Prussia, having secured Silesia, came to terms with Austria in disregard of French interests. Even so, France concluded a defensive alliance with Prussia in 1747 and the maintenance of the Anglo-Austrian alignment after 1748 was deemed essential by some British politicians.
The collapse of that system and the aligning of France with Austria and of Great Britain with Prussia constituted what is known as the “diplomatic revolution” or the “reversal of alliances.” This change in European alliances was a prelude to the Seven Years’ War.
Background
The diplomatic change was triggered by a separation of interests between Austria, Britain, and France. The 1748 Peace of Aix-la-Chapelle, after the War of the Austrian Succession, left Austria aware of the high price it paid for having Britain as an ally. Maria Theresa of Austria defended her claim to the Habsburg throne and had her husband, Francis Stephen, crowned Holy Roman Emperor in 1745. However, she had been forced to relinquish valuable territories in the process. Under British diplomatic pressure, Maria Theresa ceded Parma to Spain and, more importantly, the valuable state of Silesia to Prussia. The acquisition of Silesia further advanced Prussia as a great European power, which now posed an increasing threat to Austria’s German lands and to Central Europe as a whole. The growth of Prussia, dangerous to Austria, was welcomed by the British, who saw it as a means of balancing French power.
British-Prussian Alliance vs. Austrian-French Alliance
The results of the War of Austrian Succession made it clear that Britain no longer viewed Austria as powerful enough to check French power but was content to build up other states like Prussia. Therefore Britain and Prussia, in the Westminster Convention of 1756, agreed that Britain would not aid Austria in a renewed conflict for Silesia if Prussia agreed to protect Hanover (which remained in personal union with Britain) from France. Britain felt that with Prussia’s growing strength, it would be more apt to defend Hanover than Austria. Meanwhile, Austria was determined to reclaim Silesia, so the two allies found themselves with conflicting interests. Maria Theresa, recognizing the futility of renewed alliance with Britain, knew that without a powerful ally (such as France), she could never hope to reclaim Silesia from Frederick the Great.
Maria Theresa sent her foreign policy minister, Count Wenzel Anton von Kaunitz, to France to secure an alliance to enable Austria to reclaim Silesia. Louis XV proved reluctant to agree to any treaty presented by Kaunitz. Only with renewed aggression between France and Britain was Louis convinced to align with Austria. Furthermore, Austria no longer surrounded France, so France no longer saw Austria as an immediate threat. Consequently, it entered into a defensive alliance with Austria. In response to the Westminster Convention, Louis XV’s ministers and Kaunitz concluded the First Treaty of Versailles (1756). Both sides agreed to remain neutral and provide 24,000 troops if either got into conflict with a third party.
Maria Theresa’s diplomats, after securing French neutrality, actively began to establish an anti-Prussian coalition. Austria’s actions alerted Frederick, who decided to strike first by invading Saxony, commencing the Seven Years’ War (1756–1763). Frederick’s actions were meant to scare Russia out of supporting Austria (the two countries had previously entered into a defensive alliance in 1746). However, by invading Saxony, Frederick had inflamed his enemies. Russia, under the direction of Empress Elizabeth, sent an additional 80,000 troops to Austria. A year after the signing of the First Treaty of Versailles, France and Austria signed a new offensive alliance, the Second Treaty of Versailles (1757).
In 1758, the Anglo-Prussian Convention between Great Britain and the Kingdom of Prussia formalized the alliance between the two powers.
However, the alliance proved to be short-lived largely because Britain withdrew financial and military support for Prussia in 1762. The dissolution of the alliance and the pre-eminent rise of Britain left it with no allies by the time the American Revolutionary War broke out.
21.4.2: Events of the Seven Years’ War
The Seven Years’ War was fought between 1756 and 1763. It involved every European great power of the time except the Ottoman Empire, spanned five continents, and affected Europe, the Americas, West Africa, India, and the Philippines.
Learning Objective
Outline the progression of the Seven Years’ War
Key Points
-
The
Seven Years’ War was a world war fought between 1754 and 1763, the main
conflict occurring in the seven-year period from 1756 to 1763. It involved
every European great power of the time except the Ottoman Empire, spanning five
continents and affecting Europe, the Americas, West Africa, India, and the
Philippines. -
Realizing
that war was imminent, Prussia preemptively struck Saxony in 1756 and
quickly overran it. The result caused uproar across Europe. Because of
Prussia’s alliance with Britain, Austria formed an alliance with France. Reluctantly, most of the states of
the empire joined Austria’s cause. The Anglo-Prussian alliance was joined by
smaller German states (especially Hanover, which remained in a personal
union with Britain). - After a series of victories and failures on both sides, by 1763, forces were depleted and the war in
central Europe was essentially a stalemate. Frederick the Great had retaken most of
Silesia and Saxony but not the latter’s capital, Dresden; Catherine the Great ended Russia’s alliance with
Prussia and withdrew from the war; and Austria was facing a severe financial crisis. A peace settlement was reached at the Treaty of
Hubertusburg, ending the war in central Europe. -
In
North America, the French and Indian War (1754–1763) pitted the colonies of
British America against those of New France, with both sides supported by
military units from their parent countries of Great Britain and France as well
as by American Indian allies. -
In
the Fantastic War (1762-63) in South America, Spanish forces conquered the
Portuguese territories of Colonia do Sacramento and Rio Grande de São Pedro and
forced the Portuguese to surrender and retreat. In India, the British eventually eliminated French power. In West Africa,
the British captured Senegal, the island of Gorée, and the French trading post on the Gambia. The loss of
these valuable colonies further weakened the French economy. - Over the course of the war
in colonies, Great Britain gained enormous areas of land and influence. They
captured the French sugar
colonies of Guadeloupe in 1759 and Martinique in 1762 as well as the cities of Havana in Cuba and Manila in the Philippines, both prominent Spanish
colonial cities.
Key Terms
- Treaty of Paris
-
A 1763 treaty signed by the kingdoms of Great Britain, France, and Spain with Portugal in agreement after Great Britain’s victory over France and Spain during the Seven Years’ War. The signing of the treaty formally ended the Seven Years’ War, known as the French and Indian War in the North American theater, and marked the beginning of an era of British dominance outside Europe. Great Britain and France each returned much of the territory that they had captured during the war, but Great Britain gained much of France’s possessions in North America. Additionally, Great Britain agreed to protect Roman Catholicism in the New World. The treaty did not involve Prussia and Austria as they signed a separate agreement, the Treaty of Hubertusburg.
- The Seven Years’ War
-
A world war fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents and affecting Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other.
- Fantastic War
-
The Spanish–Portuguese War between 1762 and 1763 fought as part of the Seven Years’ War. The name refers to the fact that no major battles were fought, even though there were numerous movements of troops and huge losses among the invaders—utterly defeated in the end.
- Second Miracle of the House of Brandenburg
-
Events that led to Russia’s sudden change of alliance during the Seven Years’ War: in January 1762, the Empress Elizabeth of Russia died. Her nephew Peter, a strong admirer of Frederick the Great of Prussia, succeeded her and reversed Elizabeth’s anti-Prussian policy. He negotiated peace with Prussia and signed both an armistice and a treaty of peace and friendship.
- French and Indian War
-
A 1754–1763 war that comprised the North American theater of the worldwide Seven Years’ War of 1756-1763. The war pitted the colonies of British America against those of New France, with both sides supported by military units from their parent countries of Great Britain and France as well as by American Indian allies.
- Treaty of Hubertusburg
-
A 1763 treaty signed by Prussia, Austria, and Saxony. Together with the Treaty of Paris, it marked the end of the Seven Years’ War. The treaty ended the continental conflict with no significant changes in prewar borders. Silesia remained Prussian and Prussia clearly stood among the ranks of the great powers.
- diplomatic revolution
-
The reversal of longstanding alliances in Europe between the War of the Austrian Succession and the Seven Years’ War. Austria went from an ally of Britain to an ally of France. Prussia became an ally of Britain. It was part of efforts to preserve or upset the European balance of power and a prelude to the Seven Years’ War.
Seven Years’ War
The Seven Years’ War was fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents and affecting Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other. For the first time, aiming to curtail Britain and Prussia’s ever-growing might, France formed a grand coalition of its own, which ended as Britain rose as the world’s predominant power, altering the European balance of power.
Conflict between Great Britain and France broke out in 1754–1756 when the British attacked disputed French positions in North America and seized hundreds of French merchant ships. Meanwhile, rising power Prussia was struggling with Austria for dominance within and outside the Holy Roman Empire in Central Europe. In 1756, the major powers shifted their alliances and Prussia allied with Britain while France allied with Austria, a change known as the diplomatic revolution.
In the historiography of some countries, the war is named after combatants in its respective theaters, e.g. the French and Indian War in the United States. In French-speaking Canada, it is known as the War of the Conquest, while it is called the Seven Years’ War in English-speaking Canada (North America, 1754–1763), Pomeranian War (with Sweden and Prussia, 1757–1762), Third Carnatic War (on the Indian subcontinent, 1757–1763), and Third Silesian War (with Prussia and Austria, 1756–1763).
All the participants of the Seven Years’ War: [blue] Great Britain, Prussia, Portugal, with allies; [green] France, Spain, Austria, Russia, Sweden with allies.
The Seven Years’ War is sometimes considered the first true world war. It restructured not only the European political order, but also affected events all around the world, paving the way for the beginning of later British world supremacy in the 19th century, the rise of Prussia in Germany, the beginning of tensions in British North America, as well as a clear sign of France’s eventual turmoil.
Europe
Realizing that war was imminent, Prussia preemptively struck Saxony in 1756 and quickly overran it. The result caused uproar across Europe. Because of Prussia’s alliance with Britain, Austria formed an alliance with France, seeing an opportunity to recapture Silesia (lost in the War of the Austrian Succession). Reluctantly, by following the imperial diet, most of the states of the empire joined Austria’s cause. The Anglo-Prussian alliance was joined by smaller German states (especially Hanover, which remained in a personal union with Britain). Sweden, fearing Prussia’s expansionist tendencies, went to war in 1757 to protect its Baltic dominions. Spain intervened on behalf of France and together they launched an unsuccessful invasion of Portugal in 1762. The Russian Empire was originally aligned with Austria, fearing Prussia’s ambition on the Polish-Lithuanian Commonwealth, but switched sides upon the succession of Tsar Peter III in 1762.
Despite the huge disparity in numbers, 1756 was successful for the Prussian-led forces on the continent.
In 1757, Frederick the Great marched into the Kingdom of Bohemia. Although he won the bloody Battle of Prague and laid siege to the city, he lost the Battle of Kolin, which forced him to lift the siege and withdraw from Bohemia altogether.
Things were looking grim for Prussia now, with the Austrians mobilizing to attack Prussian-controlled soil and a combined French and Reichsarmee (German states) army approaching from the west. However, at the end of 1757, the whole situation in Germany was reversed. After winning the battles of Rossbach and Leuthen, Frederick once again established himself as Europe’s premier general, but the Prussians were now facing the prospect of four major powers attacking on four fronts (France from the west, Austria from the south, Russia from the east, and Sweden from the north).
In 1758, following a failed invasion of Moravia, Frederick ceased his attempts to launch a major invasion of Austrian territory. The Russians invaded East Prussia, where they would remain until 1762.
The years 1759 and 1760 saw several Prussian defeats,
partly because of the Prussian misjudgment of the Russians and partly as a result of good cooperation between the Russian and Austrian forces.
The French planned to invade the British Isles during 1759 but were prevented by two sea defeats. By 1761, forces on both sides were seriously depleted.
In 1762, the Russian Empress Elizabeth died and her successor, Peter III, recalled Russian armies from Berlin and mediated Frederick’s truce with Sweden. He also placed a corps of his own troops under Frederick’s command. This turn of events has become known as “the Second Miracle of the House of Brandenburg.” Frederick was then able to muster a larger army and concentrate it against Austria.
1762 brought two new countries into the war. Britain declared war against Spain and Portugal then joined the conflict on Britain’s side. Spain, aided by the French, launched an invasion of Portugal and succeeded in capturing Almeida. Eventually the Anglo-Portuguese army chased the greatly reduced Franco-Spanish army back to Spain, recovering almost all the lost towns.
By 1763, the war in central Europe was essentially a stalemate. Frederick had retaken most of Silesia and Saxony but not the latter’s capital, Dresden. The Russian emperor was overthrown by his wife, Catherine, who ended Russia’s alliance with Prussia and withdrew from the war. Austria was facing a severe financial crisis and had to decrease the size of its army, which greatly affected its offensive power. In 1763, a peace settlement was reached at the Treaty of Hubertusburg, ending the war in central Europe.
Battle of Leuthen by Carl Röchling, date unknown.
Frederick the Great routed a vastly superior Austrian force at the Battle of Leuthen on December 5, 1757. Frederick always called Leuthen his greatest victory, an assessment shared by many as the Austrian Army was considered a highly professional force.
The French and Indian War
In North America,
the French and Indian War (1754–1763) pitted the colonies of British America against those of New France, with both sides supported by military units from their parent countries of Great Britain and France as well as by American Indian allies. Fighting took place primarily along the frontiers between New France and the British colonies, from Virginia in the south to Newfoundland in the north. British operations in 1755, 1756 and 1757 in the frontier areas of Pennsylvania and New York all failed, due to a combination of poor management, internal divisions, effective Canadian scouts, French regular forces, and Indian warrior allies. In 1755, the British captured Fort Beauséjour on the border separating Nova Scotia from Acadia. The Acadians were expelled and American Indians driven off their land to make way for settlers from New England. Between 1758 and 1760, the British military launched a campaign to capture the Colony of Canada. They succeeded in capturing territory in surrounding colonies and ultimately the city of Quebec (1759). Though the British later lost the Battle of Sainte-Foy west of Quebec (1760), the French ceded Canada in accordance with the Treaty of Paris (1763).
Other Colonies
In the Fantastic War (1762-63) in South America, Spanish forces conquered the Portuguese territories of Colonia do Sacramento and Rio Grande de São Pedro and forced the Portuguese to surrender and retreat. Under the Treaty of Paris (1763), Spain had to return the colony of Sacramento to Portugal, while the vast and rich territory of the so-called “Continent of S. Peter” (the present-day Brazilian state of Rio Grande do Sul) would be retaken from the Spanish army during the undeclared Hispano-Portuguese war of 1763–1777.
In India, the outbreak of the war in Europe renewed the long-running conflict between the French and the British trading companies for influence. The war spread beyond Southern India and into Bengal and eventually eliminated French power in India.
In West Africa in 1758, the British captured Senegal and brought home large amounts of captured goods. This success convinced the British to launch two further expeditions to take the island of Gorée and the French trading post on the Gambia. The loss of these valuable colonies further weakened the French economy.
Over the course of the war in colonies, Great Britain gained enormous areas of land and influence. They lost Minorca in the Mediterranean to the French in 1756 but captured, additionally to territories in Africa and North America, the French sugar colonies of Guadeloupe in 1759 and Martinique in 1762 as well as the Spanish cities of Havana in Cuba and Manila in the Philippines, both prominent Spanish colonial cities. However, expansion into the hinterlands of both cities met with stiff resistance. In the Philippines, the British were confined to Manila until their agreed-upon withdrawal at the war’s end.
21.4.3: A Global War
Although the question of whether the Seven Years’ War was the first world war remains ambiguous, it marked a shift in the European balance of power that shaped the world far beyond Europe.
Learning Objective
Assess the claim that the Seven Years’ War was the first world war
Key Points
-
Because
of its span and global impact, some historians have argued that the Seven
Years’ War was the first world war, almost 160 years before World
War I. However, this label has also been given to various earlier and later conflicts. Regardless, the war restructured not only the European political order, but also events
all around the world. -
Although Frederick the Great’s preemptive
invasion of Saxony in 1756 marks the conventional beginning of the Seven Years’
War, key developments in the colonial rivalry between Britain and France in North America preceded the outbreak of the war in
Europe. -
The
war preceded by events in North America and formally started in Europe soon
turned into a war for colonies outside of North America: the
British-French conflict over trading influences reignited in India and in West
Africa and the British captured several French colonies.
The triple Franco-Spanish invasion of Portugal
in Europe was followed by a Spanish invasion of
Portuguese territories in South America.
Over the course of the war in colonies, Great
Britain gained enormous areas of land and influence. -
While the question of whether the Seven Years’
War was indeed the first world war remains ambiguous, the conflict certainly had global impact and marked a shift in the European balance of power. And as
European empires continued their efforts to colonize territories on other
continents, the impact reached far beyond Europe. - Although the war did not result in major territorial changes in Europe, a new political order emerged. With Britain becoming the main colonial power, Prussia confirming its position as a military, economic, and political European power, and Austria and Russia proving their growing military potential, France lost its influence in Europe.
-
The
war also ended the old system of alliances in Europe.
In the years after the war, European states now saw Britain as a greater threat than France and thus did not rejoin old alliances.
Key Terms
- diplomatic revolution
-
The reversal of longstanding
alliances in Europe between the War of the Austrian Succession and the Seven
Years’ War. Austria went from an ally of Britain to an ally of France. Prussia
became an ally of Britain. It was part of efforts to preserve or upset the
European balance of power and a prelude to the Seven Years’ War. - Second Hundred Years’ War
-
A periodization or historical era term used by some historians to describe the series of military conflicts between Great Britain and France that occurred from about 1689 (or some say 1714) to 1815. It is named after the Hundred Years’ War when the England-France rivalry began in the 14th century. The term appears to have been coined by J. R. Seeley in his influential work The Expansion of England: Two Courses of Lectures (1883).
- The Seven Years’ War
-
A world war fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents and affecting Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other.
- Treaty of Hubertusburg
-
A 1763 treaty signed by Prussia,
Austria, and Saxony. Together with the Treaty of Paris, it marked the end
of the Seven Years’ War. The treaty ended the continental conflict with no
significant changes in prewar borders. Silesia remained Prussian and Prussia
clearly stood among the ranks of the great powers.
Seven Years’ War: The First World War?
The Seven Years’ War was fought between 1754 and 1763, the main conflict occurring in the seven-year period from 1756 to 1763. It involved every European great power of the time except the Ottoman Empire, spanning five continents and affecting Europe, the Americas, West Africa, India, and the Philippines. The conflict split Europe into two coalitions, led by Great Britain on one side and France on the other. For the first time, aiming to curtail Britain and Prussia’s ever-growing might, France formed a grand coalition of its own, which ended in failure as Britain rose as the world’s predominant power, altering the European balance of alliances.
Because of its span and global impact, some historians have argued that the Seven Years’ War was the first world war (almost 160 years before World War I). However, this label has also been given to various earlier conflicts, including the Eighty Years’ War, the Thirty Years’ War, the War of the Spanish Succession and the War of the Austrian Succession, and to later conflicts including the Napoleonic Wars. The term “Second Hundred Years’ War” has been used in order to describe the almost continuous level of worldwide conflict during the entire 18th century, reminiscent of the more famous and compact struggle of the 14th century. The Seven Years’ War influenced many major events around the globe. The war restructured not only the European political order, but also paved the way for the beginning of later British world supremacy in the 19th century, the rise of Prussia in Germany, the beginning of tensions in British North America, and France’s eventual turmoil.
A Global War
Although Frederick the Great’s preemptive invasion of Saxony in 1756 marks the conventional beginning of the Seven Years’ War, key developments in North America preceded the outbreak of the conflict in Europe. The boundary between British and French possessions in North America was largely undefined in the 1750s. France had long claimed the entire Mississippi River basin, which was disputed by Britain. In the early 1750s, the French began constructing a chain of forts in the Ohio River Valley to assert their claim and shield the American Indian population from increasing British influence. The most important French fort planned was intended to occupy a position at “the Forks” where the Allegheny and Monongahela Rivers meet to form the Ohio River (present day Pittsburgh, Pennsylvania). British colonial militia from Virginia were sent to drive them out. Led by George Washington, they ambushed a small French force at Jumonville Glen in 1754. The French retaliated by attacking Washington’s army at Fort Necessity, forcing them to surrender.
News of these events arrived in Europe, where Britain and France unsuccessfully attempted to negotiate a solution. The two nations eventually dispatched regular troops to North America to enforce their claims and engaged in military actions in 1755. Defeated France prepared to attack Hanover, whose prince-elector was also the King of Great Britain and Minorca. Britain concluded a treaty whereby Prussia agreed to protect Hanover. In response, France concluded an alliance with its long-time enemy Austria, an event known as the diplomatic revolution.
The war preceded by events in North America and formally started in Europe soon also turned into a war for colonies outside of North America. In 1757, the British-French conflict over trading influences reignited in India. By 1761, the British effectively eliminated French power in India.
In 1758 in West Africa, the British captured Senegal and brought home large amounts of captured goods. This success convinced them to launch two further expeditions to take the island of Gorée and the French trading post on the Gambia. The loss of these valuable colonies further weakened the French economy.
When the Seven Years’ War between France and Great Britain started in 1756, Spain and Portugal remained neutral, but everything changed when Ferdinand VI died in 1759 and was succeeded by his younger half-brother Charles III of Spain. One of the main objects of Charles’s policy was the survival of Spain as a colonial power and thus as a power to be reckoned with in Europe.
The triple Franco-Spanish invasion of Portugal in Europe (main theater of the war, which absorbed the lion’s share of the Spanish war effort) in 1762 was followed by a Spanish invasion of Portuguese territories in South America (a secondary theater of the war). While the first ended in humiliating defeat, the second represented a stalemate: Portuguese victory in Northern and Western Brazil, Spanish victory in Southern Brazil and Uruguay.
Over the course of the war
in colonies, Great Britain gained enormous areas of land and influence. They
lost Minorca in the Mediterranean to the French in 1756 but captured territories in West Africa and North America, the French sugar
colonies of Guadeloupe in 1759 and Martinique in 1762 as well as Havana in Cuba and Manila in the Philippines, both prominent Spanish
colonial cities.
All the participants of the Seven Years’ War: [blue] Great Britain, Prussia, Portugal, with allies; [green] France, Spain, Austria, Russia, Sweden with allies
Many middle and small states in Europe, unlike in previous wars, tried to steer clear away from the escalating conflict, even though they had interests in the conflict or with the belligerents, like Denmark-Norway. The Dutch Republic, a long-time British ally, kept its neutrality intact. Naples, Sicily, and Savoy sided with the Franco-Spanish alliance. Like Sweden, Russia concluded a separate peace with Prussia before the war formally ended.
Global Impact
While the question of whether the Seven Years’ War was indeed the first world war remains ambiguous, the war had certainly global impact and marked a shift in the European balance of power. And as European empires continued their efforts to colonize territories on other continents, the impact reached far beyond Europe. Faced with the choice of retrieving either New France or its Caribbean island colonies of Guadeloupe and Martinique, France chose the latter to retain these lucrative sources of sugar. France also returned Minorca to the British. Spain lost control of Florida to Great Britain, but it received from the French the Île d’Orléans and all of the former French holdings west of the Mississippi River. In India, the British retained the Northern Circars, but returned all the French trading ports.
When later France went to war with Great Britain during the American Revolution, the British found no support among the European powers. Furthermore, France’s defeat in the Seven Years’ War caused the French to embark upon major military reforms with particular attention being paid to the artillery. The origins of the famed French artillery that played a prominent role in the wars of the French Revolutionary wars and beyond can be traced to military reforms that started in 1763.
The Treaty of Hubertusburg between Austria, Prussia, and Saxony simply restored the status quo of 1748, with Silesia and Glatz reverting to Frederick and Saxony to its own elector. The only concession that Prussia made to Austria was to consent to the election of Archduke Joseph as Holy Roman Emperor. However, Austria’s military performance restored its prestige and the empire secured its position as a major player in the European system. Prussia emerged from the war as a great power whose importance could no longer be challenged. Frederick the Great’s personal reputation was enormously enhanced and after the Seven Years’ War, Prussia become one of the most imitated powers in Europe.
Russia, on the other hand, made one great invisible gain from the war: the elimination of French influence in Poland. Although the war ended in a draw, the performance of the Imperial Russian Army against Prussia improved Russia’s reputation as a factor in European politics, as many had not expected the Russians to hold their own against the Prussians in campaigns fought on Prussian soil.
The war also ended the old system of alliances in Europe. In the years after the war, European states such as Austria, The Dutch Republic, Sweden, Denmark-Norway, Ottoman Empire, and Russia now saw Britain as a greater threat than France and did not revert to previous alliances, while the Prussians were angered by what they considered a British betrayal in 1762. Consequently, when the American War of Independence turned into a global war between 1778–83, Britain found itself opposed by a strong coalition of European powers and lacking any substantial ally.
21.4.4: The Treaty of Paris (1763)
The Treaty of Paris of 1763 between Great Britain, France, and Spain, with Portugal in agreement, formally ended the Seven Years’ War and marked the beginning of an era of British dominance outside Europe.
Learning Objective
Identify the provisions of the Treaty of Paris (1763)
Key Points
-
The Treaty of Paris of
1763 between Great Britain, France,
and Spain, with Portugal in agreement,
formally ended the Seven Years’ War and marked the beginning of an era of British dominance
outside Europe. - During
the war, Great Britain conquered a number French colonies in North America and the Caribbean,
French trading posts in India, and French-controlled territories in West Africa. It also captured the Spanish colonies of Manila and Havana. France captured Minorca and British trading
posts in Sumatra, while Spain captured the border fortress of Almeida in
Portugal and Colonia del Sacramento in South America. - In the treaty, most of these territories were
restored to their original owners, although Britain made considerable gains. - The Treaty of Paris is sometimes noted as
the point at which France gave Louisiana to Spain. The transfer, however,
occurred with the Treaty of Fontainebleau (1762) but was not publicly
announced until 1764. The Treaty of Paris gave Britain the east side of
the Mississippi, with New Orleans remaining in
French hands. - The
Treaty of Hubertusburg was signed five days later by Prussia, Austria, and
Saxony. Together with the Treaty of Paris, it marked the end of the Seven
Years’ War. The treaty ended the continental conflict with no significant
changes in prewar borders.
Key Terms
- Treaty of Fontainebleau
-
A secret agreement of 1762 in which France ceded Louisiana to Spain. The treaty followed the last battle in the French and Indian War in North America, the Battle of Signal Hill in September 1762. Having lost Canada, King Louis XV of France proposed to King Charles III of Spain that France should give Spain “the country known as Louisiana, as well as New Orleans and the island in which the city is situated.” Charles accepted in November 1762.
- Treaty of Hubertusburg
-
A 1763 treaty signed by Prussia,
Austria and Saxony. Together with the Treaty of Paris, it marked the end
of the Seven Years’ War. The treaty ended the continental conflict with no
significant changes in prewar borders. Silesia remained Prussian and Prussia
clearly stood among the ranks of the great powers. - The Treaty of Paris
-
Also known as the Treaty of 1763, signed by the kingdoms of Great Britain, France, and Spain with Portugal in agreement after Great Britain’s victory over France and Spain during the Seven Years’ War. The signing of the treaty formally ended the Seven Years’ War and marked the beginning of an era of British dominance outside Europe.
The Treaty of Paris
The Treaty of Paris, also known as the Treaty of 1763, was signed on February 10, 1763 by the kingdoms of Great Britain, France, and Spain with Portugal in agreement after Great Britain’s victory over France and Spain during the Seven Years’ War. The signing of the treaty formally ended the Seven Years’ War, known as the French and Indian War in the North American theater, and marked the beginning of an era of British dominance outside Europe. The treaty did not involve Prussia and Austria as they signed a separate agreement, the Treaty of Hubertusburg, five days later.
Exchange of Territories
During the war, Great Britain conquered the French colonies of Canada, Guadeloupe, Saint Lucia, Dominica, Grenada, Saint Vincent and the Grenadines, and Tobago, the French trading posts in India, the slave-trading station at Gorée, the Sénégal River and its settlements, and the Spanish colonies of Manila in the Philippines and Havana in Cuba. France captured Minorca and British trading posts in Sumatra, while Spain captured the border fortress of Almeida in Portugal and Colonia del Sacramento in South America.
In the treaty, most of these territories were restored to their original owners, although Britain made considerable gains. France and Spain restored all their conquests to Britain and Portugal. Britain restored Manila and Havana to Spain, and Guadeloupe, Martinique, Saint Lucia, Gorée, and the Indian trading posts to France. In return, France ceded Canada, Dominica, Grenada, Saint Vincent and the Grenadines, and Tobago to Britain. France also ceded the eastern half of French Louisiana to Britain (the area from the Mississippi River to the Appalachian Mountains). In addition, while France regained its trading posts in India, France recognized British clients as the rulers of key Indian native states and pledged not to send troops to Bengal. Britain agreed to demolish its fortifications in British Honduras (now Belize), but retained a logwood-cutting colony there. Although the Protestant British feared Roman Catholics, Great Britain did not want to antagonize France through expulsion or forced conversion. Also, it did not want French settlers to leave Canada to strengthen other French settlements in North America. Consequently, Great Britain decided to protect Roman Catholics living in Canada.
The Treaty of Paris is sometimes noted as the point at which France gave Louisiana to Spain. The transfer, however, occurred with the Treaty of Fontainebleau (1762) but was not publicly announced until 1764. The Treaty of Paris was to give Britain the east side of the Mississippi (including Baton Rouge, Louisiana, which was to be part of the British territory of West Florida) – except for the Île d’Orléans
(historic name for the New Orleans area), which was granted to Spain, along with the territory to the west – the larger portion of Louisiana.
The Mississippi River corridor in modern-day Louisiana was to be reunited following the Louisiana Purchase in 1803 and the Adams-Onís Treaty in 1819.
“A new map of North America,” produced following the Treaty of Paris (1763).
The Anglo-French hostilities ended in 1763 with Treaty of Paris, which involved a complex series of land exchanges, the most important being France’s cession to Spain of Louisiana, and to Great Britain the rest of New France except for the islands of St. Pierre and Miquelon. Faced with the choice of retrieving either New France or its Caribbean island colonies of Guadeloupe and Martinique, France chose the latter to retain these lucrative sources of sugar, writing off New France as an unproductive, costly territory.
The Treaty of Hubertusburg
The Treaty of Hubertusburg was signed on February 15, 1763 by Prussia, Austria, and Saxony. Together with the Treaty of Paris, it marked the end of the Seven Years’ War. The treaty ended the continental conflict with no significant changes in prewar borders. Most notably, Silesia remained Prussian. The Treaty, although it restored the prewar status quo, marked the ascendancy of Prussia as a leading European power. Through the Treaty of Paris, Great Britain emerged as the world’s chief colonial empire, which was its primary goal in the war, and France lost most of its overseas possessions. The phrase “Hubertsburg Peace” is sometimes used as a description for any Treaty which restores the situation that existed before conflict broke out.
21.5: Catherine the Great and Russia
21.5.1: The Triumphs of Tsarina Elizabeth I
Elizabeth’s reign was marked by domestic reforms that continued the efforts of her father, Peter the Great, strengthening Russia’s position as a major participant in the European imperial rivalry.
Learning Objective
Characterize Elizabeth I’s two decades in power
Key Points
-
Elizabeth
(1709 – 1762), the daughter of Peter the Great and his second
wife, Catherine I, was the Empress of Russia from 1741 until her
death in 1762. She came to power as a result of a daring coup that, amazingly, succeeded without bloodshed. -
Elizabeth aimed to continue changes made by Peter the Great. She reconstituted the senate as it had been under his reign,
with the chiefs of the departments of state attending. Her first task after
this was to address the war with Sweden. In 1743, the Treaty of Åbo was signed, with Sweden ceding to Russia all of southern Finland east of the Kymmene River. - The triumphs of Elizabeth’s foreign policy were credited to the diplomatic ability of Aleksey Bestuzhev-Ryumin, the head of foreign affairs. Bestuzhev reconciled the Empress with the courts of Vienna and London;
enabled Russia to assert itself in Poland, Turkey, and Sweden; and isolated the
King of Prussia by forcing him into hostile alliances. All this would have been
impossible without the steady support of Elizabeth. -
The critical event of Elizabeth’s later years
was the Seven Years’ War (1756-1763). Elizabeth regarded the 1756 alliance
between Great Britain and Prussia as utterly subversive of the previous
conventions between Great Britain and Russia and sided against Prussia over a
personal dislike of Frederick the Great. She therefore entered into an alliance
with France and Austria against Prussia. -
A year before the Seven Years’ War formally ended, Elizabeth died. Her Prussophile successor,
Peter III, at once recalled Russian armies from Berlin and mediated Frederick’s
truce with Sweden. This turn of events has become known as “the Second Miracle of
the House of Brandenburg.” -
Elizabeth was renowned throughout and beyond
Russia for her fierce commitment to the arts, particularly music, theater, and
architecture.
Key Terms
- the Second Miracle of the House of Brandenburg
-
Events that led to Russia’s sudden
change of alliance during the Seven Years’ War: in January 1762, the Empress
Elizabeth of Russia died. Her nephew Peter, a strong admirer of Frederick
the Great of Prussia, succeeded her and reversed Elizabeth’s anti-Prussian
policy. He negotiated peace with Prussia and signed both an armistice and a
treaty of peace and friendship. - the Seven Years’ War
-
A world war fought between
1754 and 1763, the main conflict occurring in the seven-year period from 1756
to 1763. It involved every European great power of the time except the
Ottoman Empire, spanning five continents and affecting Europe, the Americas,
West Africa, India, and the Philippines. The conflict split Europe into two
coalitions, led by Great Britain on one side and France on the other. - the Winter Palace
-
From 1732 to 1917, the official residence of the Russian monarchs in Saint Petersburg.
Elizabeth of Russia
Elizabeth Petrovna (1709 – 1762),
the daughter of Peter the Great and his second wife, Catherine I, was the Empress of Russia from 1741 until her death in 1762. After Peter died in 1725, his wife succeeded him as the Empress of Russia but died only two years later. Elizabeth’s half-nephew Peter II (the son of her half-brother from her father’s first marriage) succeeded her mother. After his death in 1730, Elizabeth’s first cousin, Empress Anna (ruled 1730-40), daughter of Peter the Great’s elder brother Ivan V, ruled Russia. During the reign of her cousin, Elizabeth was gathering support in the background but after the death of Empress Anna, the regency of Anna Leopoldovna (Empress Anna’s niece) for the infant Ivan VI was marked by high taxes and economic problems. As the daughter of Peter the Great, Elizabeth enjoyed much support from the Russian guards regiments. She often visited them, marking special events with the officers and acting as godmother to their children.
The guards repaid her kindness when on the night of November 25, 1741, Elizabeth seized power with the help of the Preobrazhensky Regiment. The regiment marched to the Winter Palace and arrested the infant Emperor, his parents, and their own lieutenant-colonel, Count von Munnich. It was a daring coup and, amazingly, succeeded without bloodshed.
Portrait of Elizabeth painted by Vigilius Eriksen in 1757.
Elizabeth
remains one of the most popular Russian monarchs due to her strong opposition to Prussian policies and her decision not to execute a single person during her reign, an unprecedented one at the time.
Domestic and Foreign Policies
The substantial changes made by Peter the Great had not exercised a formative influence on the intellectual attitudes of the ruling classes as a whole, and Elizabeth aimed to change that.
Her domestic policies allowed the nobles to gain dominance in local government while shortening their terms of service to the state. She encouraged Mikhail Lomonosov’s establishment of the University of Moscow and Ivan Shuvalov’s foundation of the Imperial Academy of Arts in Saint Petersburg. She abolished the cabinet council system used under Anna and reconstituted the senate as it had been under Peter the Great, with the chiefs of the departments of state attending. Her first task after this was to address the war with Sweden. In 1743, the Treaty of Åbo, by which Sweden ceded to Russia all of southern Finland east of the Kymmene River, was signed.
This triumph was credited to the diplomatic ability of the new vice chancellor, Aleksey Bestuzhev-Ryumin, the head of foreign affairs. He represented the anti-Franco-Prussian portion of Elizabeth’s council and his object was to bring about an Anglo-Austro-Russian alliance. By sheer tenacity of purpose, Bestuzhev not only extricated his country from the Swedish imbroglio but also reconciled the Empress with the courts of Vienna and London; enabled Russia to assert itself in Poland, Turkey, and Sweden; and isolated the King of Prussia by forcing him into hostile alliances. All this would have been impossible without the steady support of Elizabeth, who trusted him completely in spite of the Chancellor’s many enemies, most of whom were her personal friends. However, in 1758, Chancellor Bestuzhev was removed from office, most likely because he attempted to sow discord between the Empress and her heir and his consort.
Seven Years’ War
The critical event of Elizabeth’s later years was the Seven Years’ War (1756-1763). Elizabeth regarded the 1756 alliance between Great Britain and Prussia as utterly subversive of the previous conventions between Great Britain and Russia and sided against Prussia over a personal dislike of Frederick the Great. She therefore entered into an alliance with France and Austria against Prussia, insisting that the King of Prussia must be rendered harmless to his neighbors for the future by reducing him to the rank of Prince-Elector. During the first six years of the war, Elizabeth focused on diplomatic (both covert and overt) and military efforts that aimed to deprive Frederick the Great and Prussia of their position as a the major European ruler and power. However,Elizabeth died in 1762, a year before the war formally ended.
Her Prussophile successor, Peter III, at once recalled Russian armies from Berlin and mediated Frederick’s truce with Sweden. He also placed a corps of his own troops under Frederick’s command. This turn of events has become known as “the Second Miracle of the House of Brandenburg.”
Arts and Culture
Elizabeth was renowned throughout and beyond Russia for her fierce commitment to the arts, particularly music, theater, and architecture. The Empress had a longstanding love of theater and had a stage erected in the palace to enjoy the countless performances she sanctioned. Although many domestic and foreign works were shown, the French plays quickly became the most popular. Music also gained importance in Russia under Elizabeth. Many attribute its popularity to Elizabeth’s relationship with Alexei Razumovsky, a Ukrainian Cossack and the supposed husband of the Empress, who reportedly relished music. Elizabeth turned her court into “the country’s leading musical center.” She spared no expense, importing leading musical talents from Germany, France, and Italy. The Empress also spent exorbitant sums of money on the grandiose baroque projects of her favorite architect, Bartolomeo Rastrelli. The Winter Palace and the Smolny Convent in Saint Petersburg are among the chief monuments of her reign.
Although the original construction of the Palace started under Peter the Great, Elizabeth commissioned an entirely new scheme (of the current structure) and oversaw the construction but died before its completion.
The Convent, built when Elizabeth considered becoming a nun, was one of the many religious buildings erected at her behest, using the nation’s funds rather than those of the church. The Convent was one of many buildings erected for religious purposes under Elizabeth’s rule.
The Winter Palace, from Palace Square
During the reign of Elizabeth, Rastrelli, still working to his original plan, devised an entirely new scheme in 1753 on a colossal scale—the present Winter Palace. The expedited completion of the palace became a matter of honor to the Empress, who regarded the palace as a symbol of national prestige. Work on the building continued throughout the year, even in the severest months of the winter. The deprivation to both the Russian people and the army caused by the ongoing Seven Years’ War were not permitted to hinder the progress.
21.5.2: The Brief Reign of Peter III
Peter III’s decision to turn Russia from an enemy to an ally of Prussia and his domestic reforms did not convince the Russian nobility to support the unpopular emperor.
Learning Objective
Recall the events of Peter III’s time as tsar
Key Points
-
Peter III was
emperor of Russia for six months in 1762. It was his aunt, Empress
Elizabeth, that chose him as her successor. Elizabeth invited her young
nephew to Saint Petersburg, where he was received into the Orthodox Church and
proclaimed heir in 1742. -
Empress Elizabeth arranged for Peter to marry
his second cousin, Sophia Augusta Frederica (later Catherine the Great). They married in 1745 but the union was unhappy. The traditionally held view of Peter as a person of weak character and
many vices is mainly drawn from the memoirs of his wife and successor. -
After
Peter succeeded to the Russian throne, the pro-Prussian emperor withdrew
Russian forces from the Seven Years’ War and concluded a peace treaty with
Prussia. Russia thus switched from an enemy of Prussia to an ally. The
decision proved to be extremely unpopular in his own court and greatly
contributed to Peter’s quick demise. -
One of Peter’s most widely debated reforms was a
manifesto that exempted the nobility from obligatory state and military service
(established by Peter the Great) and gave them freedom to travel abroad. Although the exemption from the obligatory
service was welcomed by the Russian elites, the overall reform did not
convince them to support their emperor, who was generally considered as taking
little interest in Russia and its matters. - Catherine staged a coup and had her husband arrested, forcing him to
sign a document of abdication and leaving no one to dispute her accession to the
throne. On July 17, eight days after the coup and just six months after his
accession to the throne, Peter III died at the hands of Alexei Orlov.
Key Terms
- the Second Miracle of the
House of Brandenburg -
Events that led to Russia’s sudden
change of alliance during the Seven Years’ War: in January 1762, the Empress
Elizabeth of Russia died. Her nephew Peter, a strong admirer of Frederick
the Great of Prussia, succeeded her and reversed Elizabeth’s anti-Prussian
policy. He negotiated peace with Prussia and signed both an armistice and a
treaty of peace and friendship. - the Seven Years’ War
-
A world war fought between 1754 and
1763, the main conflict occurring in the seven-year period from 1756 to 1763.
It involved every European great power of the time except the Ottoman Empire,
spanning five continents and affecting Europe, the Americas, West Africa,
India, and the Philippines. The conflict split Europe into two coalitions, led
by Great Britain on one side and France on the other. - casus belli
-
A Latin expression meaning “an act or event that provokes or is used to justify war” (literally, “a case of war”).
Peter III
Peter III (1728 – 1762) was emperor of Russia for six months in 1762, chosen by his unmarried, childless aunt, Empress Elizabeth, as her successor. Young Peter of Holstein-Gottorp lost his mother, Elizabeth’s sister Anna, at three months old and his father at the age of 11. Elizabeth invited her young nephew to Saint Petersburg, where he was received into the Orthodox Church and proclaimed heir in 1742.
Empress Elizabeth arranged for Peter to marry his second cousin, Sophia Augusta Frederica (later Catherine the Great). The young princess formally converted to Russian Orthodoxy and took the name Ekaterina Alexeievna (Catherine). They married in 1745 but the union was unhappy. The traditionally held view of Peter as a person of weak character with many vices is mainly drawn from the memoirs of his wife and successor. She described him in extremely negative terms and this image of Peter has dominated in historical works, although some recent biographers painted a more positive picture of Peter’s character and rule.
Peter III
by Alexei Antropov, 1762
Peter III’s temperament became quite unbearable for those who resided in the palace. He would announce trying drills in the morning to male servants, who later joined Catherine in her room to sing and dance until late hours. Catherine became pregnant with her second child, Anna, who only lived to four months, in 1759. Due to various rumors of Catherine’s promiscuity, Peter was led to believe he was not the child’s biological father, but Catherine angrily dismissed his accusation. She spent much of this time alone in her own private boudoir to hide away from Peter’s abrasive personality.
Reign
After Peter succeeded to the Russian throne, the pro-Prussian emperor withdrew Russian forces from the Seven Years’ War and concluded a peace treaty with Prussia, an event known as the Second Miracle of the
House of Brandenburg. It’s sometimes simply called the Miracle of the House of Brandenburg, which also refers to a surprising development during the Seven Years’ War, when Russia and Austria failed to follow up their victory over Frederick the Great at the Battle of Kunersdorf in 1759) He gave up Russian conquests in Prussia and offered 12,000 troops to make an alliance with Frederick the Great (1762). Russia thus switched from an enemy of Prussia to an ally — Russian troops withdrew from Berlin and marched against the Austrians. This dramatically shifted the balance of power in Europe. Frederick recaptured southern Silesia and subsequently forced Austria to the negotiating table. The decision proved to be extremely unpopular in his own court and greatly contributed to Peter’s quick demise.
As Duke of Holstein-Gottorp, Peter planned war against Denmark to restore parts of Schleswig to his Duchy. He focused on making alliances with Sweden and England to ensure that they would not interfere on Denmark’s behalf, while Russian forces gathered at Kolberg in Russian-occupied Pomerania. Alarmed at the Russian troops concentrating near their borders, unable to find any allies to resist Russian aggression, and short of money to fund a war, the government of Denmark threatened in late June to invade the free city of Hamburg in northern Germany to force a loan from it. Peter considered this a casus belli and prepared for open warfare against Denmark, but lost his throne before starting the war.
One of Peter’s most widely debated reforms was a manifesto that exempted the nobility from obligatory state and military service (established by Peter the Great) and gave them freedom to travel abroad. The manifesto obliged nobles to educate their children and ostracized the nobility considered lazy and unproductive. Although the exemption from the obligatory service was welcomed by the Russian elites, the overall reform did not convince them to support their emperor, who was generally considered as taking little interest in Russia and its matters. A case of Peter’s religious policies serves as a demonstrative example of how the pro-Prussian emperor was perceived in Russia. His pro-Lutheran stand has been interpreted by some recent biographers as the introduction of religious freedom, while Peter’s contemporaries (and many historians) saw it as an anti-Orthodox attitude proving Peter’s lack of understanding of his own empire.
Overthrow
In July 1762, barely six months after becoming emperor, Peter took a holiday with his Holstein-born courtiers and relatives to Oranienbaum, leaving his wife in Saint Petersburg. On the night of July 8, Catherine the Great received the news that one of her co-conspirators had been arrested by her estranged husband and that all they had been planning had to take place at once. She left the palace and departed for the Ismailovsky regiment, where Catherine delivered a speech asking the soldiers to protect her from her husband. Catherine left with the regiment to go to the Semenovsky Barracks where the clergy was waiting to ordain her as the sole occupant of the Russian throne. She had her husband arrested and forced him to sign a document of abdication, leaving no one to dispute her accession to the throne. On July 17, eight days after the coup and just six months after his accession to the throne, Peter III died at the hands of Alexei Orlov. Historians find no evidence for Catherine’s complicity in the supposed assassination.
21.5.3: From German Princess to Russian Tsarina
Born to the family of impoverished German aristocracy, Catherine the Great’s fate was decided when she was chosen
to become wife of her second cousin, the prospective tsar Peter III, whom she eventually overthrew to become the Empress of Russia in 1762.
Learning Objective
Detail Catherine the Great’s journey from German Princess to sole ruler of Russia
Key Points
-
Catherine
II of Russia reigned Russia from 1762 until her death in 1796. Born Sophia
Augusta Fredericka to Christian August, Prince of Anhalt-Zerbst, and
Princess Johanna Elisabeth of Holstein-Gottorp in Stettin, Pomerania, her fate was decided after she was chosen to become wife of her second cousin, the prospective tsar Peter of
Holstein-Gottorp (as Peter III). - Catherine spared
no effort to ingratiate herself not only with the Empress, but also with her
husband and with the Russian people. She applied herself to learning the
language and wrote that when she came to Russia she decided to do whatever
was required of her to become qualified to wear the crown. -
Although Sophia’s father, a devout German
Lutheran, opposed his daughter’s conversion to Eastern Orthodoxy, in 1744 the
Russian Orthodox Church received Princess Sophia as a member with the new name
Catherine and the (artificial) patronymic Alekseyevna (daughter of Aleksey). On
the following day, the formal betrothal took place in Saint Petersburg. -
Count Andrei Shuvalov, chamberlain to Catherine,
is credited as the source of rumors regarding the
monarch’s intimate affairs. These rumor led many, including Peter, to believe that her two children were not fathered by her husband. -
After the death of Empress Elizabeth in 1762,
Peter succeeded to the throne as Emperor Peter III and Catherine became empress
consort. The tsar’s eccentricities and policies, including a great admiration for
Frederick the Great of Prussia, alienated the same groups that Catherine cultivated. - Catherine staged a coup and had her husband arrested, then forced him to sign a document of abdication,
leaving no one to dispute her accession to the throne. Eight days
after the coup and just six months after his accession to the throne, Peter III
died at the hands of Alexei Orlov. Historians find no evidence for Catherine’s
complicity in the supposed assassination.
Key Terms
- enlightened despotism
-
Also known as enlightened
absolutism or benevolent absolutism: a form of absolute monarchy or
despotism inspired by the Enlightenment. The monarchs who embraced it
followed the participles of rationality. Some of them fostered education, and allowed religious tolerance, freedom of speech, and the right to hold private
property. They held that royal power emanated not from divine right but from a social
contract whereby a despot was entrusted with the power to govern through a
social contract in lieu of any other governments. - the Seven Years’ War
-
A world war fought between
1754 and 1763, the main conflict occurring in the seven-year period from 1756
to 1763. It involved every great European power of the time except the Ottoman
Empire, spanning five continents and affecting Europe, the Americas, West
Africa, India, and the Philippines. The conflict split Europe into two
coalitions, led by Great Britain on one side and France on the other.
Early Life
Catherine II of Russia (1729 – 1796) was the longest-ruling female leader of Russia, reigning from 1762 until her death in 1796 at the age of 67.
Born Sophia Augusta Fredericka to
Christian August, Prince of Anhalt-Zerbst, and Princess Johanna Elisabeth of Holstein-Gottorp in Stettin, Pomerania, she received education chiefly from a French governess and from tutors. Although Sophia was born a princess, her family had very little money. She came to power based on her mother’s relations to wealthy members of royalty.
The choice of Sophia as wife of her second cousin, the prospective tsar Peter of Holstein-Gottorp (as Peter III), was a result of diplomatic arrangements, most notably by Peter’s aunt, Empress Elizabeth. Catherine first met Peter at the age of 10. Based on her writings, she found him detestable when they met, which did not change after the two got married. Empress Elizabeth appreciated and liked Sophia, who upon her arrival in Russia in 1744 spared no effort to ingratiate herself not only with the Empress, but also with her husband and with the Russian people. She applied herself to learning the language with such zeal that she rose at night and walked about her bedroom barefoot, repeating her lessons (she mastered the language but she retained a foreign accent). This led to a severe attack of pneumonia in March 1744. In her memoirs, she wrote that when she came to Russia she decided to do whatever was required of her to become qualified to wear the crown.
Young Catherine soon after her arrival in Russia, by Louis Caravaque, ca. 1745.
The choice of Sophia as wife of her second cousin, the prospective tsar Peter of Holstein-Gottorp, resulted from diplomatic management in which Count Lestocq, Peter’s aunt (the ruling Russian Empress Elizabeth), and Frederick the Great of Prussia took part. Lestocq and Frederick wanted to strengthen the friendship between Prussia and Russia to weaken Austria’s influence and ruin the Russian chancellor Bestuzhev, on whom Empress Elizabeth relied and who acted as a known partisan of Russo-Austrian co-operation.
Conversion and Marriage
Although Sophia’s father, a devout German Lutheran, opposed his daughter’s conversion to Eastern Orthodoxy, in 1744 the Russian Orthodox Church received Princess Sophia as a member with the new name Catherine and the (artificial) patronymic Alekseyevna (daughter of Aleksey). On the following day, the formal betrothal took place in Saint Petersburg. Sophia was 16 and her father did not travel to Russia for the wedding. The newlyweds settled in the palace of Oranienbaum, which remained the residence of the “young court” for many years to come.
Count Andrei Shuvalov, chamberlain to Catherine, is credited as the source of information rumors regarding the monarchs’ intimate affairs. Peter was believed to have taken a mistress (Elizabeth Vorontsova), while Catherine carried on liaisons with Sergei Saltykov, Grigory Grigoryevich Orlov, Alexander Vasilchikov, Grigory Potemkin, Stanisław August Poniatowski, Alexander Vasilchikov, and others. Some of these men eventually became her trusted political or military advisors. She also became friends with Princess Ekaterina Vorontsova-Dashkova, the sister of her husband’s mistress, who introduced her to several powerful political groups that opposed her husband.
Peter III’s temperament became quite unbearable for those who resided in the palace. He would announce trying drills in the morning to male servants, who later joined Catherine in her room to sing and dance until late hours. In 1754, Catherine and Peter welcomed a son, the future tsar Paul I. There is considerable speculation as to the actual paternity of Paul. It is suggested that his mother had engaged in an affair—to which Empress Elizabeth consented—with a young officer named Serge Saltykov and that he was Paul’s father. However, Peter never gave any indication that he believed Paul was not his son. He also did not take any interest in parenthood, but Empress Elizabeth,certainly did. She removed young Paul from his mother by ordering the midwife to take the baby and follow her. Catherine was not to see her child for another month and then only briefly during the churching ceremony. Six months later Elizabeth let Catherine see the child again. Paul had in effect become a ward of the state and in a larger sense, the property of the state, to be brought up by Elizabeth as she believed he should be — as a true heir and great-grandson of her father, Peter the Great. Catherine became pregnant with her second child, Anna, who died as an infant in 1757. Due to the rumors of Catherine’s promiscuity, Peter was led to believe he was not the child’s biological father.
The Coup
After the death of Empress Elizabeth in 1762, Peter succeeded to the throne as Emperor Peter III and Catherine became empress consort. The imperial couple moved into the new Winter Palace in Saint Petersburg. The tsar’s eccentricities and policies, including a great admiration for Frederick the Great of Prussia, alienated the same groups that Catherine cultivated. Furthermore, Peter intervened in a dispute between his Duchy of Holstein and Denmark over the province of Schleswig, which many at his court saw as a step towards unnecessary war. Peter’s shift in the official position of Russia from the enemy to the ally of Prussia during the Seven Years’ War eroded much of his support among the nobility. Domestic reforms, including a manifesto that exempted the nobility from obligatory state and military service (established by Peter the Great), did not convince the Russian elites to support their emperor.
In July 1762, barely six months after becoming emperor, Peter took a holiday with his Holstein-born courtiers and relatives in Oranienbaum, leaving his wife in Saint Petersburg. On the night of July 8, Catherine received the news that one of her co-conspirators had been arrested by her estranged husband and that all they had been planning had to take place at once. She left the palace and departed for the Ismailovsky regiment, where Catherine delivered a speech asking the soldiers to protect her from her husband. She left with the regiment to go to the Semenovsky Barracks where the clergy was waiting to ordain her as the sole occupant of the Russian throne. She had her husband arrested and forced him to sign a document of abdication, leaving no one to dispute her accession to the throne. On July 17—eight days after the coup and just six months after his accession to the throne—Peter III died at the hands of Alexei Orlov. Historians find no evidence for Catherine’s complicity in the supposed assassination.
Catherine, though not descended from any previous Russian emperor of the Romanov Dynasty (she descended from the Rurik Dynasty, which preceded the Romanovs), succeeded her husband as empress regnant. She followed the precedent established when Catherine I (born in the lower classes in the Swedish East Baltic territories) succeeded her husband Peter the Great in 1725. Historians debate Catherine’s technical status, some seeing her as a regent or as a usurper, tolerable only during the minority of her son, Grand Duke Paul. In the 1770s, a group of nobles connected with Paul considered a new coup to depose Catherine and transfer the crown to Paul, whose power they envisaged restricting in a kind of constitutional monarchy. However, the plan failed and Catherine reigned until her death.
The period of Catherine’s rule, the Catherinian Era, is often considered the Golden Age of the Russian Empire and Russian nobility. She enthusiastically supported the ideals of the Enlightenment, thus earning the status of an enlightened despot. As such, she believed that strengthening her authority had to occur by improving the lives of her subjects. This philosophy of enlightened despotism implied that the sovereign knew the interests of his or her subjects better than they themselves did. The monarch taking responsibility for the subjects precluded their political participation. Catherine presided over the age of the Russian Enlightenment and sought contact with and inspiration from the major philosophers of the era. In one of her letters to Dennis Diderot, she referred to how she saw her responsibility as the empress:
You philosophers are lucky men. You write on paper and paper is patient. Unfortunate Empress that I am, I write on the susceptible skins of living beings.
Catherine II of Russia visits Mikhail Lomonosov in 1764. 1884 painting by Ivan Feodorov.
As a patron of the arts and an advocate of Enlightenment ideals, she presided over the age of the Russian Enlightenment, In this painting, she is visiting
Mikhail Lomonosov, a Russian polymath, scientist and writer, who made important contributions to literature, education, and science. Among his discoveries was the atmosphere of Venus and the Law of Mass Conservation in chemical reactions. He was also a poet and influenced the formation of the modern Russian literary language.
21.5.4: Catherine’s Domestic Policies
Catherine the Great enthusiastically supported the ideals of the Enlightenment, thus earning the status of an enlightened despot, although her reforms benefited a small number of her subjects and did not change the oppressive system of Russian serfdom.
Learning Objective
Evaluate Catherine the Great’s domestic policies and to what extent she can be considered an enlightened despot
Key Points
-
The period of Catherine’s rule (1762-1796), the
Catherinian Era, is often considered the Golden Age of the Russian
Empire and Russian nobility. She enthusiastically supported the ideals
of the Enlightenment, thus earning the status of an enlightened despot. -
An
admirer of Peter the Great, Catherine continued to modernize Russia along
Western European lines. However, military conscription and economy continued to
depend on serfdom, and the increasing demands of the state and private
landowners led to increased levels of reliance on serfs. Consequently, the unrest intensified and more than fifty
peasant revolts occurred between 1762 and 1769. These culminated in Pugachev’s
Rebellion, the largest peasant revolt in Russia’s history. -
Catherine believed a “new kind of person” could
be created by inculcating Russian children with European education. However,
despite the experts’ recommendations to establish a general system of education
for all Russian Orthodox subjects from the age of 5 to 18, excluding
serfs, only modest action was taken. An estimated 62,000 pupils were educated in some 549 state institutions near the end of Catherine’s reign, a minuscule number of people compared to the size of the Russian population. -
Catherine converted to the Russian Orthodoxy as
part of her immersion in the Russian matters but personally
remained largely indifferent to religion. Her religious policies
aimed to control populations and religious institutions in the
multi-religious empire and were not an expression of religious freedom. -
Catherine did not advocate democratic reforms but addressed some
modernization trends, including dividing the country into provinces and
districts,
further increasing the power of the landed oligarchs, and issuing the Charter of the Towns, which distributed all people into six groups
as a way to limit the power of nobles and create a middle estate. -
Catherine had a reputation as a patron of the
arts, literature, and education. She cultivated and corresponded with French encyclopedists but did not support a
free-thinking spirit among her own subjects as much as among famous French
philosophers.
Key Terms
- enlightened despotism
-
Also known as enlightened
absolutism or benevolent absolutism, a form of absolute monarchy or
despotism inspired by the Enlightenment. The monarchs who embraced it
followed the participles of rationality. Some of them fostered education and allowed religious tolerance, freedom of speech, and the right to hold private
property. They held that royal power emanated not from divine right but from a social
contract whereby a despot was entrusted with the power to govern through a
social contract in lieu of any other governments. - Pugachev’s Rebellion
-
A 1773-75 revolt in a series of popular rebellions that took place in Russia after Catherine II seized power in 1762. It began as an organized insurrection of Cossacks against a background of profound peasant unrest and war with the Ottoman Empire.
It was the largest peasant revolt in Russia’s history. - Hermitage Museum
-
A museum of art and culture in Saint Petersburg, Russia. One of the largest and oldest museums in the world, it was founded in 1764 by Catherine the Great and has been open to the public since 1852. Its collections, of which only a small part is on permanent display, comprise over three million items.
- Cossacks
-
A group of predominantly East Slavic-speaking people who became known as members of democratic, self-governing, semi-military communities, predominantly located in Ukraine and in Russia. They inhabited sparsely populated areas and islands in the lower Dnieper, Don, Terek, and Ural river basins and played an important role in the historical and cultural development of both Russia and Ukraine.
- the Smolny Institute
-
Russia’s first educational establishment for women, established under Catherine the Great’s rule, that continued to function under the personal patronage of the Russian Empress until just before the 1917 revolution.
Catherine II: Enlightened Despot
The
period of Catherine’s rule (1762-1796), the Catherinian Era, is often considered the Golden
Age of the Russian Empire and the Russian nobility. She enthusiastically
supported the ideals of the Enlightenment, thus earning the status of an
enlightened despot. As such, she believed that strengthening her authority had
to occur by improving the lives of her subjects. This philosophy of
enlightened despotism implied that the sovereign knew the interests of his or
her subjects better than they themselves did. The monarch taking responsibility
for the subjects precluded their political participation.
Portrait of Empress Catherine the Great by Russian painter Fyodor Rokotov, 1763.
Catherine reformed the administration of Russian guberniyas and many new cities and towns were founded on her orders. An admirer of Peter the Great, she continued to modernize Russia along Western European lines although her reforms did not benefit the masses and military conscription and economy continued to depend on serfdom.
Serfdom
An admirer of Peter the Great, Catherine continued to modernize Russia along Western European lines. However, military conscription and economy continued to depend on serfdom, and the increasing demands of the state and private landowners led to increased levels of reliance on serfs.
Catherine confirmed the authority of the nobles over the serfs in return for the nobles’ political cooperation.
This was one of the chief reasons behind ongoing rebellions.
The unrest intensified as the 18th century wore on, with more than fifty peasant revolts occurring between 1762 and 1769. These culminated in Pugachev’s Rebellion, when,between 1773 and 1775, Yemelyan Pugachev rallied the peasants and Cossacks and promised the serfs land of their own and freedom from their lords.
In the 18th century, the peasantry in Russia were no longer bound to the land, but tied to their owners, which made Russian serfdom more similar to slavery than any other system of forced labor that existed at the time in Europe. A landowner could punish his serfs at his discretion and under Catherine the Great gained the ability to sentence his serfs to hard labor in Siberia, a punishment normally reserved for convicted criminals. The only thing a noble could not do to his serfs was to kill them. The life of a serf belonged to the state. Historically, when the serfs faced problems they could not solve (such as abusive masters), they appealed to the autocrat. They continued doing so during Catherine’s reign though she signed legislation prohibiting the practice. While she eliminated some ways for people to become serfs, culminating in a 1775 manifesto that prohibited a serf who had once been freed from becoming a serf again, she also restricted the freedoms of many peasants. During her reign, Catherine gave away many state-owned peasants to become private serfs (owned by a landowner).
Pugachev launched the rebellion in mid-September 1773. He had a substantial force composed of Cossacks, Russian peasants, factory serfs, and non-Russians. Despite some victories, by late 1774 the tide was turning, and the Russian army’s victory at Tsaritsyn left 9,000 to 10,000 rebels dead. By early September, the rebellion was crushed. Pugachev was betrayed by his own Cossacks when he tried to flee and he was beheaded and dismembered in 1775 in Moscow.
Education
Catherine believed a “new kind of person” could be created by inculcating Russian children with European education. However, despite the experts’ recommendations to establish a general system of education for all Russian Orthodox subjects from the age of 5 to 18, excluding serfs, only modest action was taken. The Moscow Foundling Home (Moscow Orphanage), charged with admitting destitute and extramarital children, was created to experiment with new educational theories. However, due to extremely high mortality rates, it failed to serve that purpose. Shortly after the Moscow Foundling Home, Catherine established the Smolny Institute for Noble Girls to educate females. The girls who attended the Smolny Institute, Smolyanki, were often accused of being ignorant of anything that went on outside the walls of the Smolny buildings. Within the walls of the Institute, they were taught impeccable French, musicianship, dancing, and complete awe of the Monarch.
The Smolny Institute, the first Russian Institute for Noble Maidens and the first European state higher education institution for women, by S.F. Galaktionov, 1823.
The building was commissioned from Giacomo Quarenghi by the Society for Education of Noble Maidens and constructed in 1806–08 to house the Smolny Institute for Noble Maidens, established at the urging of Ivan Betskoy and in accordance with a decree of Catherine in 1764. The establishment of the institute was a significant step in making education available for females in Russia.
Catherine introduced some educational reforms despite the lack of a national school system. The remodelling of the Cadet Corps in 1766 initiated many educational reforms. The Corps began to take children from a very young age and educate them until the age of 21, and the curriculum was broadened from the professional military curriculum to include the sciences, philosophy, ethics, history, and international law. In 1786, the Russian Statute of National Education was promulgated. The statute established a two-tier network of high schools and primary schools in guberniya capitals that were free of charge, open to all of the free classes (not serfs), and co-educational. Two years after the implementation of Catherine’s program, a member of the National Commission inspected the institutions established. Throughout Russia, the inspectors encountered a patchy system. While the nobility put up appreciable amounts of money for these institutions, they preferred to send their children to private, more prestigious institutions. Also, the townspeople tended to turn against the junior schools and their pedagogical methods. An estimated 62,000 pupils were educated in some 549 state institutions near the end of Catherine’s reign, a minuscule number of people compared to the size of the Russian population.
Religion
Catherine converted to the Russian Orthodoxy as part of her immersion in the Russian matters but personally remained largely indifferent to religion. Her religious policies largely aimed to control populations and religious institutions in the multi-religious empire. She nationalized all of the church lands to help pay for her wars, largely emptied the monasteries, and forced most of the remaining clergymen to survive as farmers or from fees for services. However, in her anti-Ottoman policy, she promoted the protection and fostering of Christians under Turkish rule. Although she placed strictures on Roman Catholics in the Polish parts of her empire, Russia also provided an asylum to the Jesuits following their suppression in most of Europe in 1773.
Catherine took many approaches to Islam during her reign but her pro-Islam policies were all an attempt to control Muslim populations in the empire. After the Toleration of All Faiths Edict of 1773, Muslims were permitted to build mosques and practice freely. In 1785, Catherine approved the subsidization of new mosques and new town settlements for Muslims. By building new settlements with mosques placed in them, Catherine attempted to ground many of the nomadic people who wandered through southern Russia. In 1786, she assimilated the Islamic schools into the Russian public school system to be regulated by the government. The plan was another attempt to force nomadic people to settle.
Russia often treated Judaism as a separate entity and Jews were under a separate legal and bureaucratic system. After the annexation of Polish territories, the Jewish population in the empire grew significantly. Catherine levied additional taxes on the followers of Judaism, but if a family converted to the Orthodox faith that additional tax was lifted. In 1785, she declared Jewish populations to be officially foreigners, with foreigners’ rights. Catherine’s decree also denied them the rights of Orthodox or naturalized citizens of Russia. Taxes doubled again for those of Jewish descent in 1794 and Catherine officially declared that Jews bore no relation to Russians.
Administration and Intellectual Life
Catherine did not advocate democratic reforms but addressed some of the modernization trends. In 1775, she decreed a Statute for the Administration of the Provinces of the Russian Empire. The statute sought to efficiently govern Russia by increasing population and dividing the country into provinces and districts. In 1785, she conferred on the nobility the Charter to the Nobility, increasing further the power of the landed oligarchs. Nobles in each district elected a Marshal of the Nobility, who spoke on their behalf to the monarch on issues of concern to them, mainly economic ones. In the same year, Catherine issued the Charter of the Towns, which distributed all people into six groups as a way to limit the power of nobles and create a middle estate.
Catherine had a reputation as a patron of the arts, literature, and education. The Hermitage Museum, which now occupies the whole Winter Palace, began as Catherine’s personal collection.
Within a few months of her accession in 1762, having heard the French government threatened to stop the publication of the famous French Encyclopédie on account of its irreligious spirit, Catherine proposed to Diderot that he should complete his great work in Russia under her protection.
She wrote comedies, fiction, and memoirs while cultivating the French encyclopedists, who later cemented her reputation in their writings. Catherine enlisted Voltaire to her cause,and corresponded with him for 15 years, from her accession to his death in 1778. During Catherine’s reign, Russians imported and studied the classical and European influences that inspired the Russian Enlightenment. She also became a great patron of Russian opera. However, she did not support a free-thinking spirit among her own subjects as much as among the famous French philosophers. When Alexander Radishchev published his Journey from St. Petersburg to Moscow in 1790 (one year after the start of the French Revolution) and warned of uprisings because of the deplorable social conditions of the peasants held as serfs, Catherine exiled him to Siberia.
Chapter 20: The Protestant Reformation
20.1: Protestantism
20.1.1: Discontent with the Roman Catholic Church
The Protestant Reformation was the schism within Western Christianity initiated by Martin Luther, John Calvin, and other early Protestants.
Learning Objective
Explain the main motivating factors behind the Protestant Reformation
Key Points
- The Reformation began as an attempt to reform the Roman Catholic Church, by priests who opposed what they perceived as false doctrines and ecclesiastic malpractice.
- Following the breakdown of monastic institutions and scholasticism in late medieval Europe, accentuated by the Avignon Papacy, the Papal Schism, and the failure of the Conciliar movement, the 16th century saw a great cultural debate about religious reforms and later fundamental religious values. John Wycliffe and Jan Hus were early opponents of papal authority, and their work and views paved the way for the Reformation.
- Martin Luther was a seminal figure of the Protestant Reformation who strongly disputed the sale of indulgences. His Ninety-Five Theses criticized many of the doctrines and practices of the Catholic Church.
- The Roman Catholic Church responded with a Counter-Reformation spearheaded by the new order of the Society of Jesus (Jesuits), specifically organized to counter the Protestant movement.
Key Terms
- the Western Schism
-
A split within the Catholic Church from 1378 to 1418, when several men simultaneously claimed to be the true pope.
- Conciliar movement
-
A reform movement in the 14th-, 15th-, and 16th-century Catholic Church that held that supreme authority in the church resided with an Ecumenical council, apart from, or even against, the pope. The movement emerged in response to the Western Schism between rival popes in Rome and Avignon.
- indulgences
-
In Catholic theology, a remission of the punishment that would otherwise be inflicted for a previously forgiven sin as a natural consequence of having sinned. They are granted for specific good works and prayers in proportion to the devotion with which those good works are performed or prayers recited.
- Council of Trent
-
Council of the Roman Catholic Church set up in Trento, Italy, in direct response to the Reformation.
- ecclesiastic
-
One who adheres to a church-based philosophy.
- doctrine
-
List of beliefs and teachings by the church.
The Protestant Reformation, often referred to simply as the Reformation, was a schism from the Roman Catholic Church initiated by Martin Luther and continued by other early Protestant reformers in Europe in the 16th century.
Although there had been significant earlier attempts to reform the Roman Catholic Church before Luther—such as those of Jan Hus, Geert Groote, Thomas A Kempis, Peter Waldo, and John Wycliffe—Martin Luther is widely acknowledged to have started the Reformation with his 1517 work The Ninety-Five Theses.
Luther began by criticizing the selling of indulgences, insisting that the pope had no authority over purgatory and that the Catholic doctrine of the merits of the saints had no foundation in the gospel. The Protestant position, however, would come to incorporate doctrinal changes such as sola scriptura (by the scripture alone) and sola fide (by faith alone). The core motivation behind these changes was theological, though many other factors played a part, including the rise of nationalism, the Western Schism that eroded faith in the papacy, the perceived corruption of the Roman Curia, the impact of humanism, and the new learning of the Renaissance that questioned much traditional thought.
Roots of Unrest
Following the breakdown of monastic institutions and scholasticism in late medieval Europe, accentuated by the Avignon Papacy, the Papal Schism, and the failure of the Conciliar movement, the 16th century saw a great cultural debate about religious reforms and later fundamental religious values. These issues initiated wars between princes, uprisings among peasants, and widespread concern over corruption in the Church, which sparked many reform movement within the church.
These reformist movements occurred in conjunction with economic, political, and demographic forces that contributed to a growing disaffection with the wealth and power of the elite clergy, sensitizing the population to the financial and moral corruption of the secular Renaissance church.
The major individualistic reform movements that revolted against medieval scholasticism and the institutions that underpinned it were humanism, devotionalism, and the observantine tradition. In Germany, “the modern way,” or devotionalism, caught on in the universities, requiring a redefinition of God, who was no longer a rational governing principle but an arbitrary, unknowable will that could not be limited. God was now a ruler, and religion would be more fervent and emotional. Thus, the ensuing revival of Augustinian theology, stating that man cannot be saved by his own efforts but only by the grace of God, would erode the legitimacy of the rigid institutions of the church meant to provide a channel for man to do good works and get into heaven.
Humanism, however, was more of an educational reform movement with origins in the Renaissance’s revival of classical learning and thought. A revolt against Aristotelian logic, it placed great emphasis on reforming individuals through eloquence as opposed to reason. The European Renaissance laid the foundation for the Northern humanists in its reinforcement of the traditional use of Latin as the great unifying language of European culture. Since the breakdown of the philosophical foundations of scholasticism, the new nominalism did not bode well for an institutional church legitimized as an intermediary between man and God. New thinking favored the notion that no religious doctrine can be supported by philosophical arguments, eroding the old alliance between reason and faith of the medieval period laid out by Thomas Aquinas.
The great rise of the burghers (merchant class) and their desire to run their new businesses free of institutional barriers or outmoded cultural practices contributed to the appeal of humanist individualism. To many, papal institutions were rigid, especially regarding their views on just price and usury. In the north, burghers and monarchs were united in their frustration for not paying any taxes to the nation, but collecting taxes from subjects and sending the revenues disproportionately to the pope in Italy.
Early Attempts at Reform
The first of a series of disruptive and new perspectives came from John Wycliffe at Oxford University, one of the earliest opponents of papal authority influencing secular power and an early advocate for translation of the Bible into the common language. Jan Hus at the University of Prague was a follower of Wycliffe and similarly objected to some of the practices of the Roman Catholic Church. Hus wanted liturgy in the language of the people (i.e. Czech), married priests, and to eliminate indulgences and the idea of purgatory.
Hus spoke out against indulgences in 1412 when he delivered an address entitled Quaestio magistri Johannis Hus de indulgentiis. It was taken literally from the last chapter of Wycliffe’s book, De ecclesia, and his treatise, De absolutione a pena et culpa. Hus asserted that no pope or bishop had the right to take up the sword in the name of the Church; he should pray for his enemies and bless those that curse him; man obtains forgiveness of sins by true repentance, not money. The doctors of the theological faculty replied, but without success. A few days afterward, some of Hus’s followers burnt the papal bulls. Hus, they said, should be obeyed rather than the Church, which they considered a fraudulent mob of adulterers and Simonists.
In response, three men from the lower classes who openly called the indulgences a fraud were beheaded. They were later considered the first martyrs of the Hussite Church. In the meantime, the faculty had condemned the forty-five articles and added several other theses, deemed heretical, that had originated with Hus. The king forbade the teaching of these articles, but neither Hus nor the university complied with the ruling, requesting that the articles should first be proven to be un-scriptural. The tumults at Prague had stirred up a sensation; papal legates and Archbishop Albik tried to persuade Hus to give up his opposition to the papal bulls, and the king made an unsuccessful attempt to reconcile the two parties.
Hus was later condemned and burned at the stake despite promise of safe-conduct when he voiced his views to church leaders at the Council of Constance (1414–1418). Wycliffe, who died in 1384, was also declared a heretic by the Council of Constance, and his corpse was exhumed and burned.
Jan Hus burned at the stake
Execution of Jan Hus at the Council of Constance in 1415. His death led to a radicalization of the Bohemian Reformation and to the Hussite Wars in the Crown of Bohemia.
The Creation of New Protestant Churches
The Reformation led to the creation of new national Protestant churches. The largest of the new church’s groupings were the Lutherans (mostly in Germany, the Baltics, and Scandinavia) and the Reformed churches (mostly in Germany, France, Switzerland, the Netherlands, and Scotland).
Response from the Catholic Church to the Reformation
The Roman Catholic Church responded with a Counter-Reformation initiated by the Council of Trent and spearheaded by the new order of the Society of Jesus (Jesuits), specifically organized to counter the Protestant movement. In general, Northern Europe, with the exception of most of Ireland, turned Protestant. Southern Europe remained Roman Catholic, while Central Europe was a site of fierce conflict escalating to full-scale war.
Council of Trent by Pasquale Cati
Painting representing the artist’s depiction of The Council of Trent. It met for twenty-five sessions between December 13, 1545, and December 4, 1563, in Trento (then the capital of the Prince-Bishopric of Trent in the Holy Roman Empire), apart from the ninth to eleventh sessions held in Bologna during 1547.
20.1.2: Luther and Protestantism
Martin Luther was a seminal figure in the Protestant Reformation; he strongly disputed the claim that freedom from God’s punishment for sin could be purchased with money, famously argued in his Ninety-five Theses of 1517.
Learning Objective
Describe Luther’s criticisms of the Catholic Church
Key Points
- Martin Luther was a German professor of theology, composer, priest, monk and seminal figure in the Protestant Reformation.
- Luther strongly disputed the claim that freedom from God’s punishment for sin could be purchased with money, called indulgences, which he argued in his Ninety-five Theses of 1517.
- When confronted by the church for his critiques, he refused to renounce his writings and was excommunicated by the pope and deemed an outlaw by the emperor.
- Luther’s translation of the Bible into the vernacular made it more accessible to the laity, an event that had a tremendous impact on both the church and German culture.
Key Terms
- Ninety-five Theses
-
A list of propositions for an academic disputation written by Martin Luther in 1517. They advanced Luther’s positions against what he saw as abusive practices by preachers selling plenary indulgences, which were certificates that would reduce the temporal punishment for sins committed by the purchaser or their loved ones in purgatory.
- excommunication
-
An institutional act of religious censure used to deprive, suspend, or limit membership in a religious community or to restrict certain rights within it.
- indulgences
-
A way to reduce the amount of punishment one has to undergo for sins, usually through the saying of prayers or good works, which during the middle ages included paying for church buildings or other projects.
Overview
Martin Luther (November 10, 1483–February 18, 1546) was a German professor of theology, composer, priest, monk and seminal figure in the Protestant Reformation. Luther came to reject several teachings and practices of the Roman Catholic Church. He strongly disputed the claim that freedom from God’s punishment for sin could be purchased with money, proposing an academic discussion of the practice and efficacy of indulgences in his Ninety-five Theses of 1517. His refusal to renounce all of his writings at the demand of Pope Leo X in 1520 and the Holy Roman Emperor Charles V at the Diet of Worms in 1521 resulted in his excommunication by the pope and condemnation as an outlaw by the emperor.
Luther taught that salvation and, subsequently, eternal life are not earned by good deeds but are received only as the free gift of God’s grace through the believer’s faith in Jesus Christ as redeemer from sin. His theology challenged the authority and office of the pope by teaching that the Bible is the only source of divinely revealed knowledge from God, and opposed priestly intervention for the forgiveness of sins by considering all baptized Christians to be a holy priesthood. Those who identify with these, and all of Luther’s wider teachings, are called Lutherans, though Luther insisted on Christian or Evangelical as the only acceptable names for individuals who professed Christ.
His translation of the Bible into the vernacular (instead of Latin) made it more accessible to the laity, an event that had a tremendous impact on both the church and German culture. It fostered the development of a standard version of the German language, added several principles to the art of translation, and influenced the writing of an English translation, the Tyndale Bible. His hymns influenced the development of singing in Protestant churches. His marriage to Katharina von Bora, a former nun, set a model for the practice of clerical marriage, allowing Protestant clergy to marry.
In two of his later works, Luther expressed antagonistic views toward Jews, writing that Jewish homes and synagogues should be destroyed, their money confiscated, and their liberty curtailed. Condemned by virtually every Lutheran denomination, these statements and their influence on antisemitism have contributed to his controversial status.
Portrait of Martin Luther
Martin Luther (1528) by Lucas Cranach the Elder.
Personal Life
Martin Luther was born to Hans Luther and his wife Margarethe on November 10, 1483, in Eisleben, Saxony, then part of the Holy Roman Empire. Hans Luther was ambitious for himself and his family, and he was determined to see Martin, his eldest son, become a lawyer.
In 1501, at the age of nineteen, Martin entered the University of Erfurt. In accordance with his father’s wishes, he enrolled in law school at the same university that year, but dropped out almost immediately, believing that law represented uncertainty. Luther sought assurances about life and was drawn to theology and philosophy, expressing particular interest in Aristotle, William of Ockham, and Gabriel Biel.
He was deeply influenced by two tutors, Bartholomaeus Arnoldi von Usingen and Jodocus Trutfetter, who taught him to be suspicious of even the greatest thinkers and to test everything himself by experience. Philosophy proved to be unsatisfying, offering assurance about the use of reason but no assurance about loving God, which to Luther was more important. Reason could not lead men to God, he felt, and he thereafter developed a love-hate relationship with Aristotle over the latter’s emphasis on reason. For Luther, reason could be used to question men and institutions, but not God. Human beings could learn about God only through divine revelation, he believed, and scripture therefore became increasingly important to him.
Luther dedicated himself to the Augustinian order, devoting himself to fasting, long hours in prayer, pilgrimage, and frequent confession. In 1507, he was ordained to the priesthood, and in 1508, von Staupitz, first dean of the newly founded University of Wittenberg, sent for Luther to teach theology. He was made provincial vicar of Saxony and Thuringia by his religious order in 1515. This meant he was to visit and oversee eleven monasteries in his province.
Start of the Reformation
In 1516, Johann Tetzel, a Dominican friar and papal commissioner for indulgences, was sent to Germany by the Roman Catholic Church to sell indulgences to raise money to rebuild St. Peter’s Basilica in Rome. Roman Catholic theology stated that faith alone, whether fiduciary or dogmatic, cannot justify man; justification rather depends only on such faith as is active in charity and good works. The benefits of good works could be obtained by donating money to the church.
On October 31, 1517, Luther wrote to his bishop, Albert of Mainz, protesting the sale of indulgences. He enclosed in his letter a copy of his “Disputation of Martin Luther on the Power and Efficacy of Indulgences,” which came to be known as the Ninety-five Theses. Historian Hans Hillerbrand writes that Luther had no intention of confronting the church, but saw his disputation as a scholarly objection to church practices, and the tone of the writing is accordingly “searching, rather than doctrinaire.” Hillerbrand writes that there is nevertheless an undercurrent of challenge in several of the theses, particularly in Thesis 86, which asks, “Why does the pope, whose wealth today is greater than the wealth of the richest Crassus, build the basilica of St. Peter with the money of poor believers rather than with his own money?”
The first thesis has become famous: “When our Lord and Master Jesus Christ said, ‘Repent,’ he willed the entire life of believers to be one of repentance.” In the first few theses Luther develops the idea of repentance as the Christian’s inner struggle with sin rather than the external system of sacramental confession.
In theses 41–47 Luther begins to criticize indulgences on the basis that they discourage works of mercy by those who purchase them. Here he begins to use the phrase, “Christians are to be taught…” to state how he thinks people should be instructed on the value of indulgences. They should be taught that giving to the poor is incomparably more important than buying indulgences, that buying an indulgence rather than giving to the poor invites God’s wrath, and that doing good works makes a person better while buying indulgences does not.
Luther objected to a saying attributed to Johann Tetzel that “As soon as the coin in the coffer rings, the soul from purgatory springs.” He insisted that, since forgiveness was God’s alone to grant, those who claimed that indulgences absolved buyers from all punishments and granted them salvation were in error. Luther closes the Theses by exhorting Christians to imitate Christ even if it brings pain and suffering, because enduring punishment and entering heaven is preferable to false security.
It was not until January 1518 that friends of Luther translated the Ninety-five Theses from Latin into German and printed and widely copied it, making the controversy one of the first to be aided by the printing press. Within two weeks, copies of the theses had spread throughout Germany; within two months, they had spread throughout Europe.
Ninety-five Theses
1517 Nuremberg printing of the Ninety-five Theses as a placard, now in the Berlin State Library.
Excommunication and Later Life
On June 15, 1520, the pope warned Luther, with the papal bull Exsurge Domine, that he risked excommunication unless he recanted forty-one sentences drawn from his writings, including the Ninety-five Theses, within sixty days. That autumn, Johann Eck proclaimed the bull in Meissen and other towns. Karl von Miltitz, a papal nuncio, attempted to broker a solution, but Luther, who had sent the pope a copy of On the Freedom of a Christian in October, publicly set fire to the bull and decretals at Wittenberg on December 10, 1520, an act he defended in Why the Pope and his Recent Book are Burned and Assertions Concerning All Articles. As a consequence, Luther was excommunicated by Pope Leo X on January 3, 1521, in the bull Decet Romanum Pontificem.
The enforcement of the ban on the Ninety-five Theses fell to the secular authorities. On April 18, 1521, Luther appeared as ordered before the Diet of Worms. This was a general assembly of the estates of the Holy Roman Empire that took place in Worms, a town on the Rhine. It was conducted from January 28 to May 25, 1521, with Emperor Charles V presiding. Prince Frederick III, Elector of Saxony, obtained a safe conduct for Luther to and from the meeting.
Johann Eck, speaking on behalf of the empire as assistant of the Archbishop of Trier, presented Luther with copies of his writings laid out on a table and asked him if the books were his, and whether he stood by their contents. Luther confirmed he was their author, but requested time to think about the answer to the second question. He prayed, consulted friends, and gave his response the next day:
Unless I am convinced by the testimony of the Scriptures or by clear reason (for I do not trust either in the pope or in councils alone, since it is well known that they have often erred and contradicted themselves), I am bound by the Scriptures I have quoted and my conscience is captive to the Word of God. I cannot and will not recant anything, since it is neither safe nor right to go against conscience. May God help me. Amen.
Over the next five days, private conferences were held to determine Luther’s fate. The emperor presented the final draft of the Edict of Worms on May 25, 1521, which declared Luther an outlaw, banned his literature, and required his arrest: “We want him to be apprehended and punished as a notorious heretic.” It also made it a crime for anyone in Germany to give Luther food or shelter, and permitted anyone to kill Luther without legal consequence.
By 1526, Luther found himself increasingly occupied in organizing a new church, later called the Lutheran Church, and for the rest of his life would continue building the Protestant movement.
An apoplectic stroke on February 18, 1546, deprived him of his speech, and he died shortly afterwards, at 2:45 a.m., aged sixty-two, in Eisleben, the city of his birth. He was buried in the Castle Church in Wittenberg, beneath the pulpit.
20.1.3: Calvinism
Calvinism is a major branch of Protestantism that follows the theological tradition and forms of Christian practice of John Calvin and is characterized by the doctrine of predestination in the salvation of souls.
Learning Objective
Compare and contrast Calvinism with Lutheranism
Key Points
- Calvinism is a major branch of Protestantism that follows the theological tradition and forms of Christian practice of John Calvin and other Reformation-era theologians.
- Calvin’s theological critiques mostly broke with the Roman Catholic Church, but he differed from Luther on certain theological points, such as the idea that Christ died only for the elect instead of all humanity, like Luther believed.
- Calvin’s “Ordinances” of 1541 involved a collaboration of church affairs with the Geneva city council and consistory to bring morality to all areas of life. Geneva became the center of Protestantism.
- Protestantism also spread into France, where the Protestants were derisively nicknamed “Huguenots,” and this touched off decades of warfare in France.
- Calvin’s Institutes of the Christian Religion (1536–1559) was one of the most influential theologies of the era and was written as an introductory textbook on the Protestant faith.
Key Terms
- predestination
-
The doctrine that all events have been willed by God, usually with reference to the eventual fate of the individual soul.
- Five Points of Calvinism
-
The basic theological tenets of Calvinism.
- Huguenots
-
A name for French Protestants, originally a derisive term.
Overview
Calvinism is a major branch of Protestantism that follows the theological tradition and forms of Christian practice of John Calvin and other Reformation-era theologians.
Calvinists broke with the Roman Catholic Church but differed from Lutherans on the real presence of Christ in the Eucharist, theories of worship, and the use of God’s law for believers, among other things. Calvinism can be a misleading term because the religious tradition it denotes is and has always been diverse, with a wide range of influences rather than a single founder. The movement was first called Calvinism by Lutherans who opposed it, and many within the tradition would prefer to use the word Reformed. While the Reformed theological tradition addresses all of the traditional topics of Christian theology, the word Calvinism is sometimes used to refer to particular Calvinist views on soteriology (the saving of the soul from sin and death) and predestination, which are summarized in part by the Five Points of Calvinism. Some have also argued that Calvinism as a whole stresses the sovereignty or rule of God in all things, including salvation. An important tenet of Calvinism, which differs from Lutheranism, is that God only saves the “elect,” a predestined group of individuals, and that these elect are essentially guaranteed salvation, but everyone else is damned.
John Calvin
A portrait of John Calvin, one of the major figures in the Protestant Reformation, by Holbein.
Origins and Rise of Calvinism
First-generation Reformed theologians include Huldrych Zwingli (1484–1531), Martin Bucer (1491–1551), Wolfgang Capito (1478–1541), John Oecolampadius (1482–1531), and Guillaume Farel (1489–1565). These reformers came from diverse academic backgrounds, but later distinctions within Reformed theology can already be detected in their thought, especially the priority of scripture as a source of authority. Scripture was also viewed as a unified whole, which led to a covenantal theology of the sacraments of baptism and the Lord’s Supper as visible signs of the covenant of grace. Another Reformed distinctive present in these theologians was their denial of the bodily presence of Christ in the Lord’s Supper. Each of these theologians also understood salvation to be by grace alone, and affirmed a doctrine of particular election (the teaching that some people are chosen by God for salvation). Martin Luther and his successor Philipp Melanchthon were undoubtedly significant influences on these theologians, and to a larger extent later Reformed theologians. The doctrine of justification by faith alone was a direct inheritance from Luther.
Following the excommunication of Luther and condemnation of the Reformation by the pope, the work and writings of John Calvin were influential in establishing a loose consensus among various groups in Switzerland, Scotland, Hungary, Germany, and elsewhere. After the expulsion of Geneva’s bishop in 1526, and the unsuccessful attempts of the Berne reformer Guillaume (William) Farel, Calvin was asked to use the organizational skill he had gathered as a student of law to discipline the “fallen city.” His “Ordinances” of 1541 involved a collaboration of church affairs with the city council and consistory to bring morality to all areas of life. After the establishment of the Geneva academy in 1559, Geneva became the unofficial capital of the Protestant movement, providing refuge for Protestant exiles from all over Europe and educating them as Calvinist missionaries. These missionaries dispersed Calvinism widely, and formed the French Huguenots in Calvin’s own lifetime, as well as caused the conversion of Scotland under the leadership of the cantankerous John Knox in 1560. The faith continued to spread after Calvin’s death in 1563, and had reached as far as Constantinople by the start of the 17th century.
Calvin’s Institutes of the Christian Religion (1536–1559) was one of the most influential theologies of the era. The book was written as an introductory textbook on the Protestant faith for those with some previous knowledge of theology, and covered a broad range of theological topics, from the doctrines of church and sacraments to justification by faith alone and Christian liberty. It vigorously attacked the teachings Calvin considered unorthodox, particularly Roman Catholicism, to which Calvin says he had been “strongly devoted” before his conversion to Protestantism.
Controversies in France
Protestantism spread into France, where the Protestants were derisively nicknamed “Huguenots,” and this touched off decades of warfare in France, after initial support by Henry of Navarre was lost due to the “Night of the Placards” affair. Many French Huguenots, however, still contributed to the Protestant movement, including many who emigrated to the English colonies.
Though he was not personally interested in religious reform, Francis I (1515–1547) initially maintained an attitude of tolerance arising from his interest in the humanist movement. This changed in 1534 with the Affair of the Placards. In this act, Protestants denounced the mass in placards that appeared across France, even reaching the royal apartments. The issue of religious faith having been thrown into the arena of politics, Francis was prompted to view the movement as a threat to the kingdom’s stability. This led to the first major phase of anti-Protestant persecution in France, in which the Chambre Ardente (“Burning Chamber”) was established within the Parliament of Paris to handle the rise in prosecutions for heresy. Several thousand French Protestants fled the country during this time, most notably John Calvin, who settled in Geneva.
Calvin continued to take an interest in the religious affairs of his native land and, from his base in Geneva, beyond the reach of the French king, regularly trained pastors to lead congregations in France. Despite heavy persecution by Henry II, the Reformed Church of France, largely Calvinist in direction, made steady progress across large sections of the nation, in the urban bourgeoisie and parts of the aristocracy, appealing to people alienated by the obduracy and the complacency of the Catholic establishment.
Interior of a Calvinist Church
Calvinism has been known at times for its simple, unadorned churches and lifestyles, as depicted in this painting by Emanuel de Witte c.1661.
Calvinist Theology
The “Five Points of Calvinism” summarize the faith’s basic tenets, although some historians contend that it distorts the nuance of Calvin’s own theological positions.
The Five Points:
- “Total depravity” asserts that as a consequence of the fall of man into sin, every person is enslaved to sin. People are not by nature inclined to love God, but rather to serve their own interests and to reject the rule of God. Thus, all people by their own faculties are morally unable to choose to follow God and be saved because they are unwilling to do so out of the necessity of their own natures.
- “Unconditional election” asserts that God has chosen from eternity those whom he will bring to himself not based on foreseen virtue, merit, or faith in those people; rather, his choice is unconditionally grounded in his mercy alone. God has chosen from eternity to extend mercy to those he has chosen and to withhold mercy from those not chosen. Those chosen receive salvation through Christ alone. Those not chosen receive the just wrath that is warranted for their sins against God.
- “Limited atonement” asserts that Jesus’s substitutionary atonement was definite and certain in its purpose and in what it accomplished. This implies that only the sins of the elect were atoned for by Jesus’s death. Calvinists do not believe, however, that the atonement is limited in its value or power, but rather that the atonement is limited in the sense that it is intended for some and not all. All Calvinists would affirm that the blood of Christ was sufficient to pay for every single human being IF it were God’s intention to save every single human being.
- “Irresistible grace” asserts that the saving grace of God is effectually applied to those whom he has determined to save (that is, the elect) and overcomes their resistance to obeying the call of the gospel, bringing them to a saving faith. This means that when God sovereignly purposes to save someone, that individual certainly will be saved. The doctrine holds that this purposeful influence of God’s Holy Spirit cannot be resisted.
- “Perseverance of the saints” asserts that since God is sovereign and his will cannot be frustrated by humans or anything else, those whom God has called into communion with himself will continue in faith until the end.
20.1.4: The Anabaptists
The Anabaptists were a group of radical religious reformists formed in Switzerland who suffered violent persecution by both Roman Catholics and Protestants.
Learning Objective
Explain why the Anabaptists were ostracized by much of Europe
Key Points
- Anabaptists are Christians who believe in delaying baptism until the candidate confesses his or her faith in Christ, as opposed to being baptized as an infant.
- Anabaptists were heavily persecuted during the 16th century and into the 17th century by both Protestants and Roman Catholics, including being drowned and burned at the stake.
- Anabaptists were often in conflict with civil society because part of their belief was to follow scripture at all costs, no matter the wishes of secular authority.
- Continuing persecution in Europe was largely responsible for the mass emigrations to North America by Amish, Hutterites, and Mennonites, some of the major branches of Anabaptists.
Key Terms
- Magisterial Protestants
-
A phrase that names the manner in which the Lutheran and Calvinist reformers related to secular authorities, such as princes, magistrates, or city councils; opposed to the Radical Protestants.
- infant baptism
-
The practice of baptizing infants or young children, sometimes contrasted with what is called “believer’s baptism,” which is the religious practice of baptizing only individuals who personally confess faith in Jesus.
- Ulrich Zwingli
-
A leader of the Reformation in Switzerland who clashed with the Anabaptists.
Overview
Anabaptism is a Christian movement that traces its origins to the Radical Reformation in Europe. Some consider this movement to be an offshoot of European Protestantism, while others see it as distinct.
Anabaptists are Christians who believe in delaying baptism until the candidate confesses his or her faith in Christ, as opposed to being baptized as an infant. The Amish, Hutterites, and Mennonites are direct descendants of the movement. Schwarzenau Brethren, Bruderhof, and the Apostolic Christian Church are considered later developments among the Anabaptists.
The name Anabaptist means “one who baptizes again.” Their persecutors named them this, referring to the practice of baptizing persons when they converted or declared their faith in Christ, even if they had been “baptized” as infants. Anabaptists required that baptismal candidates be able to make a confession of faith that was freely chosen, and so rejected baptism of infants. The early members of this movement did not accept the name Anabaptist, claiming that infant baptism was not part of scripture and was therefore null and void. They said that baptizing self-confessed believers was their first true baptism. Balthasar Hubmaier wrote:
I have never taught Anabaptism…But the right baptism of Christ, which is preceded by teaching and oral confession of faith, I teach, and say that infant baptism is a robbery of the right baptism of Christ.
Anabaptists were heavily persecuted during the 16th century and into the 17th century because of their views on the nature of baptism and other issues, by both Magisterial Protestants and Roman Catholics.
Anabaptists were persecuted largely because of their interpretation of scripture that put them at odds with official state church interpretations and government. Most Anabaptists adhered to a literal interpretation of the Sermon on the Mount, which precluded taking oaths, participating in military actions, and participating in civil government. Some who practiced re-baptism, however, felt otherwise, and complied with these requirements of civil society. They were thus technically Anabaptists, even though conservative Amish, Mennonites, and Hutterites, and some historians, tend to consider them as outside of true Anabaptism.
Spread of the Anabaptists 1525–1550 in Central Europe
After starting in Switzerland, Anabaptism spread to Tyrol (modern-day Austria), South Germany, Moravia, the Netherlands, and Belgium.
Origins
Anabaptism in Switzerland began as an offshoot of the church reforms instigated by Ulrich Zwingli. As early as 1522 it became evident that Zwingli was on a path of reform preaching when he began to question or criticize such Catholic practices as tithes, the mass, and even infant baptism. Zwingli had gathered a group of reform-minded men around him, with whom he studied classical literature and the scriptures. However, some of these young men began to feel that Zwingli was not moving fast enough in his reform. The division between Zwingli and his more radical disciples became apparent in an October 1523 disputation held in Zurich. When the discussion of the mass was about to be ended without making any actual change in practice, Conrad Grebel stood up and asked “what should be done about the mass?” Zwingli responded by saying the council would make that decision. At this point, Simon Stumpf, a radical priest from Hongg, answered, saying, “The decision has already been made by the Spirit of God.”
This incident illustrated clearly that Zwingli and his more radical disciples had different expectations. To Zwingli, the reforms would only go as fast as the city council allowed them. To the radicals, the council had no right to make that decision, but rather the Bible was the final authority on church reform. Feeling frustrated, some of them began to meet on their own for Bible study. As early as 1523, William Reublin began to preach against infant baptism in villages surrounding Zurich, encouraging parents to not baptize their children.
The council ruled in this meeting that all who refused to baptize their infants within one week should be expelled from Zurich. Since Conrad Grebel had refused to baptize his daughter Rachel, born on January 5, 1525, the council decision was extremely personal to him and others who had not baptized their children. Thus, when sixteen of the radicals met on Saturday evening, January 21, 1525, the situation seemed particularly dark.
At that meeting Grebel baptized George Blaurock, and Blaurock in turn baptized several others immediately. These baptisms were the first “re-baptisms” known in the movement. This continues to be the most widely accepted date posited for the establishment of Anabaptism.
Anabaptism then spread to Tyrol (modern-day Austria), South Germany, Moravia, the Netherlands, and Belgium.
Persecutions
Roman Catholics and Protestants alike persecuted the Anabaptists, resorting to torture and execution in attempts to curb the growth of the movement. The Protestants under Zwingli were the first to persecute the Anabaptists, with Felix Manz becoming the first martyr in 1527. On May 20, 1527, Roman Catholic authorities executed Michael Sattler. King Ferdinand declared drowning (called the third baptism) “the best antidote to Anabaptism.” The Tudor regime, even the Protestant monarchs (Edward VI of England and Elizabeth I of England), persecuted Anabaptists, as they were deemed too radical and therefore a danger to religious stability. The persecution of Anabaptists was condoned by ancient laws of Theodosius I and Justinian I that were passed against the Donatists, which decreed the death penalty for any who practiced re-baptism. Martyrs Mirror, by Thieleman J. van Braght, describes the persecution and execution of thousands of Anabaptists in various parts of Europe between 1525 and 1660. Continuing persecution in Europe was largely responsible for the mass emigrations to North America by Amish, Hutterites, and Mennonites.
Burning of an Anabaptist
The burning of a 16th-century Dutch Anabaptist, Anneken Hendriks, who was charged by the Spanish Inquisition with heresy.
20.1.5: The Anglican Church
Beginning with Henry VIII in the 16th century, the Church of England broke away from the authority of the pope and the Catholic Church.
Learning Objective
Describe the key developments of the English Reformation, distinguishing it from the wider reformation movement in Europe.
Key Points
- The English Reformation was associated with the wider process of the European Protestant Reformation, though based on Henry VIII’s desire for an annulment of his marriage, it was at the outset more of a political affair than a theological dispute.
- Having been refused an annulment by the pope, Henry summoned parliament to deal with annulment, and the breaking with Rome proceeded.
- After Henry’s death his son Edward VI was crowned, and the reformation continued with the destruction and removal of decor and religious features, which changed the church forever.
- From 1553, under the reign of Henry’s Roman Catholic daughter, Mary I, the Reformation legislation was repealed, and Mary sought to achieve reunion with Rome.
- During Elizabeth I’s reign, support for her father’s idea of reforming the church continued with some minor adjustments. In this way, Elizabeth and her advisors aimed at a church that found a middle ground.
Key Terms
- Puritans
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Group of English Protestants in the 16th and 17th centuries founded by some exiles from the clergy shortly after the accession of Elizabeth I of England.
- annulment
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Legal term for declaring a marriage null and void. Unlike divorce, it is usually retroactive, meaning that this kind of marriage is considered to be invalid from the beginning, almost as if it had never taken place. They are closely associated with the Catholic Church, which does not permit divorce, teaching that marriage is a lifelong commitment that cannot be dissolved through divorce.
- nationalism
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A belief, creed, or political ideology that involves an individual identifying with, or becoming attached to, one’s nation. In Europe, people were generally loyal to the church or to a local king or leader.
- Canon Law
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The body of laws and regulations made by ecclesiastical authority (church leadership), for the government of a Christian organization or church and its members.
Overview
The English Reformation was a series of events in 16th-century England by which the Church of England broke away from the authority of the pope and the Roman Catholic Church. The English Reformation was, in part, associated with the wider process of the European Protestant Reformation, a religious and political movement that affected the practice of Christianity across most of Europe during this period. Many factors contributed to the process—the decline of feudalism and the rise of nationalism, the rise of the common law, the invention of the printing press and increased circulation of the Bible, and the transmission of new knowledge and ideas among scholars, the upper and middle classes, and readers in general. However, the various phases of the English Reformation, which also covered Wales and Ireland, were largely driven by changes in government policy, to which public opinion gradually accommodated itself.
Role of Henry VIII and Royal Marriages
Henry VIII ascended the English throne in 1509 at the age of seventeen. He made a dynastic marriage with Catherine of Aragon, widow of his brother, Arthur, in June 1509, just before his coronation on Midsummer’s Day. Unlike his father, who was secretive and conservative, the young Henry appeared the epitome of chivalry and sociability. An observant Roman Catholic, he heard up to five masses a day (except during the hunting season). Of “powerful but unoriginal mind,” he let himself be influenced by his advisors from whom he was never apart, by night or day. He was thus susceptible to whoever had his ear.
This contributed to a state of hostility between his young contemporaries and the Lord Chancellor, Cardinal Thomas Wolsey. As long as Wolsey had his ear, Henry’s Roman Catholicism was secure; in 1521, he defended the Roman Catholic Church from Martin Luther’s accusations of heresy in a book he wrote—probably with considerable help from the conservative Bishop of Rochester, John Fisher—entitled The Defence of the Seven Sacraments, for which he was awarded the title “Defender of the Faith” by Pope Leo X. Wolsey’s enemies at court included those who had been influenced by Lutheran ideas, among whom was the attractive, charismatic Anne Boleyn.
Anne arrived at court in 1522 from years in France, where she had been educated by Queen Claude of France. Anne served as maid of honor to Queen Catherine. She was a woman of “charm, style and wit, with will and savagery which made her a match for Henry.” By the late 1520s, Henry wanted his marriage to Catherine annulled. She had not produced a male heir who survived into adulthood, and Henry wanted a son to secure the Tudor dynasty.
Henry claimed that this lack of a male heir was because his marriage was “blighted in the eyes of God”; Catherine had been his late brother’s wife, and it was therefore against biblical teachings for Henry to have married her—a special dispensation from Pope Julius II had been needed to allow the wedding to take place. Henry argued that this had been wrong and that his marriage had never been valid. In 1527 Henry asked Pope Clement VII to annul the marriage, but the pope refused. According to Canon Law the pope cannot annul a marriage on the basis of a canonical impediment previously dispensed. Clement also feared the wrath of Catherine’s nephew, Holy Roman Emperor Charles V, whose troops earlier that year had sacked Rome and briefly taken the pope prisoner.
Portrait of Henry VIII (1491–1547)
Portrait by Hans Holbein the Younger, 1539–1540.
In 1529 the king summoned parliament to deal with annulment, thus bringing together those who wanted reform but disagreed what form it should take; it became known as the Reformation Parliament. There were common lawyers who resented the privileges of the clergy to summon laity to their courts, and there were those who had been influenced by Lutheran evangelicalism and were hostile to the theology of Rome; Thomas Cromwell was both.
Cromwell was a lawyer and a member of Parliament—a Protestant who saw how Parliament could be used to advance the Royal Supremacy, which Henry wanted, and to further Protestant beliefs and practices Cromwell and his friends wanted.
The breaking of the power of Rome proceeded little by little starting in 1531. The Act in Restraint of Appeals, drafted by Cromwell, declared that clergy recognized Henry as the “sole protector and Supreme Head of the Church and clergy of England.” This declared England an independent country in every respect.
Meanwhile, having taken Anne to France on a pre-nuptial honeymoon, Henry married her in Westminster Abbey in January 1533.
Henry maintained a strong preference for traditional Catholic practices and, during his reign, Protestant reformers were unable to make many changes to the practices of the Church of England. Indeed, this part of Henry’s reign saw trials for heresy of Protestants as well as Roman Catholics.
The Reformation during Edward VI
When Henry died in 1547, his nine-year-old son, Edward VI, inherited the throne. Under King Edward VI, more Protestant-influenced forms of worship were adopted. Under the leadership of the Archbishop of Canterbury, Thomas Cranmer, a more radical reformation proceeded. Cranmer introduced a series of religious reforms that revolutionized the English church from one that—while rejecting papal supremacy—remained essentially Catholic to one that was institutionally Protestant. All images in churches were to be dismantled. Stained glass, shrines, and statues were defaced or destroyed. Roods, and often their lofts and screens, were cut down and bells were taken down. Vestments were prohibited and either burned or sold. Chalices were melted down or sold. The requirement of the clergy to be celibate was lifted. Processions were banned and ashes and palms were prohibited.
A new pattern of worship was set out in the Book of Common Prayer (1549 and 1552). These were based on the older liturgy but influenced by Protestant principles. Cranmer’s formulation of the reformed religion, finally divesting the communion service of any notion of the real presence of God in the bread and the wine, effectively abolished the mass. The publication of Cranmer’s revised prayer book in 1552, supported by a second Act of Uniformity, “marked the arrival of the English Church at protestantism.” The prayer book of 1552 remains the foundation of the Church of England’s services. However, Cranmer was unable to implement all these reforms once it became clear in the spring of 1553 that King Edward, upon whom the whole Reformation in England depended, was dying.
Catholic Restoration
From 1553, under the reign of Henry’s Roman Catholic daughter, Mary I, the Reformation legislation was repealed, and Mary sought to achieve reunion with Rome. Her first Act of Parliament was to retroactively validate Henry’s marriage to her mother and so legitimize her claim to the throne.
After 1555, the initial reconciling tone of the regime began to harden. The medieval heresy laws were restored and 283 Protestants were burned at the stake for heresy. Full restoration of the Catholic faith in England to its pre-Reformation state would take time. Consequently, Protestants secretly ministering to underground congregations were planning for a long haul, a ministry of survival. However, Mary died in November 1558, childless and without having made provision for a Catholic to succeed her, undoing her work to restore the Catholic Church in England.
Elizabeth I
Following Mary’s death, her half-sister Elizabeth inherited the throne. One of the most important concerns during Elizabeth’s early reign was religion. Elizabeth could not be Catholic, as that church considered her illegitimate, being born of Anne Boleyn. At the same time, she had observed the turmoil brought about by Edward’s introduction of radical Protestant reforms. Communion with the Catholic Church was again severed by Elizabeth. Chiefly she supported her father’s idea of reforming the church, but she made some minor adjustments. In this way, Elizabeth and her advisors aimed at a church that included most opinions.
Two groups were excluded in Elizabeth’s Church of England. Roman Catholics who remained loyal to the pope were not tolerated. They were, in fact, regarded as traitors because the pope had refused to accept Elizabeth as Queen of England. Roman Catholics were given the hard choice of being loyal either to their church or their country. For some priests it meant life on the run, and in some cases death for treason.
The other group not tolerated were people who wanted reform to go much further, and who finally gave up on the Church of England. They could no longer see it as a true church. They believed it had refused to obey the Bible, so they formed small groups of convinced believers outside the church. One of the main groups that formed during this time was the Puritans. The government responded with imprisonment and exile to try to crush these “separatists.”
20.1.6: The French Wars of Religion
The French Wars of Religion (1562–98) is the name of a period of fighting between French Catholics and Protestants (Huguenots).
Learning Objective
Discuss how the patterns of warfare that took place in France affected the Huguenots
Key Points
- Protestant ideas were first introduced to France during the reign of Francis I, who firmly opposed Protestantism, but continued to try and seek a middle course until the later stages of his regime.
- As the Huguenots gained influence and displayed their faith more openly, Roman Catholic hostility to them grew, spurning eight civil wars from 1562 to 1598.
- The wars were interrupted by breaks in peace that only lasted temporarily as the Huguenots’ trust in the Catholic throne diminished, and the violence became more severe and Protestant demands became grander.
- One of the most infamous events of the wars was the St. Bartholomew’s Day Massacre in 1572, when thousands of Huguenots were killed by Catholics.
- The pattern of warfare followed by brief periods of peace continued for nearly another quarter-century. The proclamation of the Edict of Nantes, and the subsequent protection of Huguenot rights, finally quelled the uprisings.
Key Terms
- Edict of Nantes
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Issued on April 13, 1598, by Henry IV of France; granted the Huguenots substantial rights in a nation still considered essentially Catholic.
- Huguenots
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Members of the Protestant Reformed Church of France during the 16th and 17th centuries; inspired by the writings of John Calvin.
- Real Presence
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A term used in various Christian traditions to express belief that in the Eucharist, Jesus Christ is really present in what was previously just bread and wine, and not merely present in symbol.
Overview
The French Wars of Religion (1562–1598) is the name of a period of civil infighting and military operations primarily between French Catholics and Protestants (Huguenots). The conflict involved the factional disputes between the aristocratic houses of France, such as the House of Bourbon and the House of Guise, and both sides received assistance from foreign sources.
The exact number of wars and their respective dates are the subject of continued debate by historians; some assert that the Edict of Nantes in 1598 concluded the wars, although a resurgence of rebellious activity following this leads some to believe the Peace of Alais in 1629 is the actual conclusion. However, the Massacre of Vassy in 1562 is agreed to have begun the Wars of Religion; up to a hundred Huguenots were killed in this massacre. During the wars, complex diplomatic negotiations and agreements of peace were followed by renewed conflict and power struggles.
Between 2,000,000 and 4,000,000 people were killed as a result of war, famine, and disease, and at the conclusion of the conflict in 1598, Huguenots were granted substantial rights and freedoms by the Edict of Nantes, though it did not end hostility towards them. The wars weakened the authority of the monarchy, already fragile under the rule of Francis II and then Charles IX, though the monarchy later reaffirmed its role under Henry IV.
Introduction of Protestantism
Protestant ideas were first introduced to France during the reign of Francis I (1515–1547) in the form of Lutheranism, the teachings of Martin Luther, and circulated unimpeded for more than a year around Paris. Although Francis firmly opposed heresy, the difficulty was initially in recognizing what constituted it; Catholic doctrine and definition of orthodox belief was unclear. Francis I tried to steer a middle course in the developing religious schism in France.
Calvinism, a form of Protestant religion, was introduced by John Calvin, who was born in Noyon, Picardy, in 1509, and fled France in 1536 after the Affair of the Placards. Calvinism in particular appears to have developed with large support from the nobility. It is believed to have started with Louis Bourbon, Prince of Condé, who, while returning home to France from a military campaign, passed through Geneva, Switzerland, and heard a sermon by a Calvinist preacher. Later, Louis Bourbon would become a major figure among the Huguenots of France. In 1560, Jeanne d’Albret, Queen regnant of Navarre, converted to Calvinism possibly due to the influence of Theodore de Beze. She later married Antoine de Bourbon, and their son Henry of Navarre would be a leader among the Huguenots.
Affair of the Placards
Francis I continued his policy of seeking a middle course in the religious rift in France until an incident called the Affair of the Placards. The Affair of the Placards began in 1534 when Protestants started putting up anti-Catholic posters. The posters were extreme in their anti-Catholic content—specifically, the absolute rejection of the Catholic doctrine of “Real Presence.” Protestantism became identified as “a religion of rebels,” helping the Catholic Church to more easily define Protestantism as heresy. In the wake of the posters, the French monarchy took a harder stand against the protesters. Francis I had been severely criticized for his initial tolerance towards Protestants, and now was encouraged to repress them.
Tensions Mount
King Francis I died on March 31, 1547, and was succeeded to the throne by his son Henry II. Henry II continued the harsh religious policy that his father had followed during the last years of his reign. In 1551, Henry issued the Edict of Châteaubriant, which sharply curtailed Protestant rights to worship, assemble, or even discuss religion at work, in the fields, or over a meal.
An organized influx of Calvinist preachers from Geneva and elsewhere during the 1550s succeeded in setting up hundreds of underground Calvinist congregations in France. This underground Calvinist preaching (which was also seen in the Netherlands and Scotland) allowed for the formation of covert alliances with members of the nobility and quickly led to more direct action to gain political and religious control.
As the Huguenots gained influence and displayed their faith more openly, Roman Catholic hostility to them grew, even though the French crown offered increasingly liberal political concessions and edicts of toleration. However, these measures disguised the growing tensions between Protestants and Catholics.
The Eight Wars of Religion
These tensions spurred eight civil wars, interrupted by periods of relative calm, between 1562 and 1598. With each break in peace, the Huguenots’ trust in the Catholic throne diminished, and the violence became more severe and Protestant demands became grander, until a lasting cessation of open hostility finally occurred in 1598.
The wars gradually took on a dynastic character, developing into an extended feud between the Houses of Bourbon and Guise, both of which—in addition to holding rival religious views—staked a claim to the French throne. The crown, occupied by the House of Valois, generally supported the Catholic side, but on occasion switched over to the Protestant cause when it was politically expedient.
St. Bartholomew’s Day Massacre
One of the most infamous events of the Wars of Religion was the St. Bartholomew’s Day Massacre of 1572, when Catholics killed thousands of Huguenots in Paris. The massacre began on the night of August 23, 1572 (the eve of the feast of Bartholomew the Apostle), two days after the attempted assassination of Admiral Gaspard de Coligny, the military and political leader of the Huguenots. The king ordered the killing of a group of Huguenot leaders, including Coligny, and the slaughter spread throughout Paris and beyond. The exact number of fatalities throughout the country is not known, but estimates are that between about 2,000 and 3,000 Protestants were killed in Paris, and between 3,000 and 7,000 more in the French provinces. Similar massacres took place in other towns in the weeks following. By September 17, almost 25,000 Protestants had been massacred in Paris alone. Outside of Paris, the killings continued until October 3. An amnesty granted in 1573 pardoned the perpetrators.
The massacre also marked a turning point in the French Wars of Religion. The Huguenot political movement was crippled by the loss of many of its prominent aristocratic leaders, as well as many re-conversions by the rank and file, and those who remained were increasingly radicalized.
St. Bartholomew Massacre painting by François Dubois, a Huguenot painter
Born circa 1529 in Amiens, Dubois settled in Switzerland. Although Dubois did not witness the massacre, he depicts Admiral Coligny’s body hanging out of a window at the rear to the right. To the left rear, Catherine de’ Medici is shown emerging from the Château du Louvre to inspect a heap of bodies.
War of the Three Henrys
The War of the Three Henrys (1587–1589) was the eighth and final conflict in the series of civil wars in France known as the Wars of Religion. It was a three-way war fought between:
- King Henry III of France, supported by the royalists and the politiques;
- King Henry of Navarre, leader of the Huguenots and heir-presumptive to the French throne, supported by Elizabeth I of England and the Protestant princes of Germany; and
- Henry of Lorraine, Duke of Guise, leader of the Catholic League, funded and supported by Philip II of Spain.
The war began when the Catholic League convinced King Henry III to issue an edict outlawing Protestantism and annulling Henry of Navarre’s right to the throne. For the first part of the war, the royalists and the Catholic League were uneasy allies against their common enemy, the Huguenots. Henry of Navarre sought foreign aid from the German princes and Elizabeth I of England.
Henry III successfully prevented the junction of the German and Swiss armies. The Swiss were his allies, and had come to invade France to free him from subjection, but Henry III insisted that their invasion was not in his favor, but against him, forcing them to return home.
In Paris, the glory of repelling the German and Swiss Protestants all fell to the Duke of Guise. The king’s actions were viewed with contempt. People thought that the king had invited the Swiss to invade, paid them for coming, and sent them back again. The king, who had really performed the decisive part in the campaign, and expected to be honored for it, was astounded that public voice should thus declare against him. The Catholic League had put its preachers to good use.
Open war erupted between the royalists and the Catholic League. Charles, Duke of Mayenne, Guise’s younger brother, took over the leadership of the league. At the moment it seemed that he could not possibly resist his enemies. His power was effectively limited to Blois, Tours, and the surrounding districts. In these dark times the King of France finally reached out to his cousin and heir, the King of Navarre. Henry III declared that he would no longer allow Protestants to be called heretics, while the Protestants revived the strict principles of royalty and divine right. As on the other side ultra-Catholic and anti-royalist doctrines were closely associated, so on the side of the two kings the principles of tolerance and royalism were united.
In July 1589, in the royal camp at Saint-Cloud, a Dominican monk named Jacques Clément gained an audience with the King and drove a long knife into his spleen. Clément was killed on the spot, taking with him the information of who, if anyone, had hired him. On his deathbed, Henri III called for Henry of Navarre, and begged him, in the name of statecraft, to become a Catholic, citing the brutal warfare that would ensue if he refused. He named Henry Navarre as his heir, who became Henry IV.
Edict of Nantes
Fighting continued between Henry IV and the Catholic League for almost a decade. The warfare was finally quelled in 1598 when Henry IV recanted Protestantism in favor of Roman Catholicism, issued as the Edict of Nantes. The edict established Catholicism as the state religion of France, but granted the Protestants equality with Catholics under the throne and a degree of religious and political freedom within their domains. The edict simultaneously protected Catholic interests by discouraging the founding of new Protestant churches in Catholic-controlled regions. With the proclamation of the Edict of Nantes, and the subsequent protection of Huguenot rights, pressures to leave France abated.
In offering general freedom of conscience to individuals, the edict gave many specific concessions to the Protestants, such as amnesty and the reinstatement of their civil rights, including the right to work in any field or for the state and to bring grievances directly to the king. This marked the end of the religious wars that had afflicted France during the second half of the 16th century.
20.1.7: The Witch Trials
Between the 15th and 18th centuries in Europe, many people were accused of and put on trial for practicing witchcraft.
Learning Objective
Demonstrate how natural events and pandemics contributed to the hysteria surrounding the witch trials of the 16th through 18th centuries
Key Points
- In early modern Europe, there was widespread hysteria that malevolent Satanic witches were operating as an organized threat to Christianity. Those who were accused of witchcraft were portrayed as being Devil worshipers.
- In medieval Europe, the Black Death was a turning point in peoples’ views of witches. The death of a large percentage of the European population was believed by many Christians to have been caused by their enemies.
- The peak of the witch hunt was during the European wars of religion, peaking between about 1580 and 1630.
- Over the entire duration of the trials, which spanned three centuries, an estimated total of 40,000–100,000 people were executed.
- The Witch Trials of Trier in Germany was perhaps the biggest witch trial in European history. It led to the death of about 386 people, and was perhaps the biggest mass execution in Europe during peacetime.
- While the witch trials had begun to fade out across much of Europe by the mid-17th century, they became more prominent in the American colonies.
- An estimated 75% to 85% of those accused in the early modern witch trials were women, and there is certainly evidence of misogyny on the part of those persecuting witches.
Key Term
- Johannes Kepler
-
A German mathematician, astronomer, astrologer, and key figure in the 17th century scientific revolution.
The witch trials in the early modern period were a series of witch hunts between the 15th and 18th centuries, when across early modern Europe, and to some extent in the European colonies in North America, there was a widespread hysteria that malevolent Satanic witches were operating as an organized threat to Christendom. Those accused of witchcraft were portrayed as being worshippers of the Devil, who engaged in sorcery at meetings known as Witches’ Sabbaths. Many people were subsequently accused of being witches and were put on trial for the crime, with varying punishments being applicable in different regions and at different times.
In early modern European tradition, witches were stereotypically, though not exclusively, women. European pagan belief in witchcraft was associated with the goddess Diana and dismissed as “diabolical fantasies” by medieval Christian authors.
Background to the Witch Trials
During the medieval period, there was widespread belief in magic across Christian Europe. The medieval Roman Catholic Church, which then dominated a large swath of the continent, divided magic into two forms—natural magic, which was acceptable because it was viewed as merely taking note of the powers in nature that were created by God, and demonic magic, which was frowned upon and associated with demonology.
It was also during the medieval period that the concept of Satan, the Biblical Devil, began to develop into a more threatening form. Around the year 1000, when there were increasing fears that the end of the world would soon come in Christendom, the idea of the Devil had become prominent.
In the 14th and 15th centuries, the concept of the witch in Christendom underwent a relatively radical change. No longer were witches viewed as sorcerers who had been deceived by the Devil into practicing magic that went against the powers of God. Instead they became all-out malevolent Devil-worshippers, who had made pacts with him in which they had to renounce Christianity and devote themselves to Satanism. As a part of this, it was believed that they gained new, supernatural powers that enabled them to work magic, which they would use against Christians.
A Witch feeding her familiars
An image of a witch and her familiar spirits taken from a publication that dealt with the witch trials of Elizabeth Stile, Mother Dutten, Mother Devell, and Mother Margaret in Windsor, 1579.
While the witch trials only really began in the 15th century, with the start of the early modern period, many of their causes had been developing during the previous centuries, with the persecution of heresy by the medieval Inquisition during the late 12th and the 13th centuries, and during the late medieval period, during which the idea of witchcraft or sorcery gradually changed and adapted. An important turning point was the Black Death of 1348–1350, which killed a large percentage of the European population, and which many Christians believed had been caused by evil forces.
Beginnings of the Witch Trials
While the idea of witchcraft began to mingle with the persecution of heretics even in the 14th century, the beginning of the witch hunts as a phenomenon in its own right became apparent during the first half of the 15th century in southeastern France and western Switzerland, in communities of the Western Alps, in what was at the time Burgundy and Savoy.
Here, the cause of eliminating the supposed Satanic witches from society was taken up by a number of individuals; Claude Tholosan for instance had tried over two hundred people, accusing them of witchcraft in Briançon, Dauphiné, by 1420.
While early trials fall still within the late medieval period, the peak of the witch hunt was during the period of the European wars of religion, between about 1580 and 1630. Over the entire duration of the phenomenon of some three centuries, an estimated total of 40,000 to 100,000 people were executed.
The Trials of 1580–1630
The height of the European witch trials was between 1560 and 1630, with the large hunts first beginning in 1609. During this period, the biggest witch trials were held in Europe, notably the Trier witch trials (1581–1593), the Fulda witch trials (1603–1606), the Basque witch trials (1609–1611), the Würzburg witch trial (1626–1631), and the Bamberg witch trials (1626–1631).
The Witch Trials of Trier in Germany was perhaps the biggest witch trial in European history. The persecutions started in the diocese of Trier in 1581 and reached the city itself in 1587, where they were to lead to the deaths of about 368 people, and as such it was perhaps the biggest mass execution in Europe during peacetime.
The Examination of a Witch by Matteson
1853 painting by Thompkins H. Matteson, American painter.
In Denmark, the burning of witches increased following the reformation of 1536. Christian IV of Denmark, in particular, encouraged this practice, and hundreds of people were convicted of witchcraft and burned. In England, the Witchcraft Act of 1542 regulated the penalties for witchcraft. In the North Berwick witch trials in Scotland, over seventy people were accused of witchcraft on account of bad weather when James VI of Scotland, who shared the Danish king’s interest in witch trials, sailed to Denmark in 1590 to meet his betrothed, Anne of Denmark.
The sentence for an individual found guilty of witchcraft or sorcery during this time, and in previous centuries, typically included either burning at the stake or being tested with the “ordeal of cold water” or judicium aquae frigidae. Accused persons who drowned were considered innocent, and ecclesiastical authorities would proclaim them “brought back,” but those who floated were considered guilty of practicing witchcraft, and burned at the stake or executed in an unholy fashion.
Decline of the Trials
While the witch trials had begun to fade out across much of Europe by the mid-17th century, they continued to a greater extent on the fringes of Europe and in the American colonies. The clergy and intellectuals began to speak out against the trials from the late 16th century. Johannes Kepler in 1615 could only by the weight of his prestige keep his mother from being burned as a witch. The 1692 Salem witch trials were a brief outburst of witch hysteria in the New World at a time when the practice was already waning in Europe.
Witch Trials and Women
An estimated 75% to 85% of those accused in the early modern witch trials were women, and there is certainly evidence of misogyny on the part of those persecuting witches, evident from quotes such as “[It is] not unreasonable that this scum of humanity, [witches], should be drawn chiefly from the feminine sex” (Nicholas Rémy, c. 1595) or “The Devil uses them so, because he knows that women love carnal pleasures, and he means to bind them to his allegiance by such agreeable provocations.” In early modern Europe, it was widely believed that women were less intelligent than men and more susceptible to sin.
Nevertheless, it has been argued that the supposedly misogynistic agenda of works on witchcraft has been greatly exaggerated, based on the selective repetition of a few relevant passages of the Malleus Maleficarum. Many modern scholars argue that the witch hunts cannot be explained simplistically as an expression of male misogyny, as indeed women were frequently accused by other women, to the point that witch hunts, at least at the local level of villages, have been described as having been driven primarily by “women’s quarrels.” Especially at the margins of Europe, in Iceland, Finland, Estonia, and Russia, the majority of those accused were male.
Barstow (1994) claimed that a combination of factors, including the greater value placed on men as workers in the increasingly wage-oriented economy, and a greater fear of women as inherently evil, loaded the scales against women, even when the charges against them were identical to those against men. Thurston (2001) saw this as a part of the general misogyny of the late medieval and early modern periods, which had increased during what he described as “the persecuting culture” from what it had been in the early medieval period. Gunnar Heinsohn and Otto Steiger in a 1982 publication speculated that witch hunts targeted women skilled in midwifery specifically in an attempt to extinguish knowledge about birth control and “repopulate Europe” after the population catastrophe of the Black Death.
20.2: The Thirty Years’ War
20.2.1: Religious Divide in the Holy Roman Empire
The Thirty Years’ War was a series of wars between various Protestant and Catholic states in the fragmented Holy Roman Empire between 1618 and 1648.
Learning Objective
Understand the origins of the Thirty Years’ War
Key Points
- The Holy Roman Empire was a fragmented collection of largely independent states, which, after the Protestant Reformation in the 16th century, was divided between Catholic and Protestant rulership.
- The Peace of Augsburg ended early conflict between German Lutherans and Catholics and established a principle in which princes were guaranteed the right to select either Lutheranism or Catholicism within the domains they controlled.
- Although the Peace of Augsburg created a temporary end to hostilities, it did not resolve the underlying religious conflict, which was made yet more complex by the spread of Calvinism throughout Germany in the years that followed.
- The war began when the newly elected Holy Roman Emperor, Ferdinand II, tried to impose religious uniformity on his domains, forcing Roman Catholicism on its peoples, and the Protestant states banded together to revolt against him.
Key Terms
- Ferdinand II
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His rule coincided with the Thirty Years’ War and his aim, as a zealous Catholic, was to restore Catholicism as the only religion in the empire and suppress Protestantism.
- Peace of Augsburg
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A treaty between Charles V and the forces of Lutheran princes on September 25, 1555, which officially ended the religious struggle between the two groups and allowed princes in the Holy Roman Empire to choose which religion would reign in their principality.
Overview
The Thirty Years’ War was a series of wars in Central Europe between 1618 and 1648. It was one of the longest and most destructive conflicts in European history, resulting in millions of casualties.
Initially a war between various Protestant and Catholic states in the fragmented Holy Roman Empire, it gradually developed into a more general conflict involving most of the great powers. These states employed relatively large mercenary armies, and the war became less about religion and more of a continuation of the France-Habsburg rivalry for European political pre-eminence. In the 17th century, religious beliefs and practices were a much larger influence on an average European. In that era, almost everyone was vested on one side of the dispute or another.
The war began when the newly elected Holy Roman Emperor, Ferdinand II, tried to impose religious uniformity on his domains, forcing Roman Catholicism on its peoples. The northern Protestant states, angered by the violation of their rights to choose granted in the Peace of Augsburg, banded together to form the Protestant Union. Ferdinand II was a devout Roman Catholic and relatively intolerant when compared to his predecessor, Rudolf II. His policies were considered heavily pro-Catholic.
The Holy Roman Empire
The Holy Roman Empire was a fragmented collection of largely independent states. The position of the Holy Roman Emperor was mainly titular, but the emperors, from the House of Habsburg, also directly ruled a large portion of imperial territory (lands of the Archduchy of Austria and the Kingdom of Bohemia), as well as the Kingdom of Hungary. The Austrian domain was thus a major European power in its own right, ruling over some eight million subjects. Another branch of the House of Habsburg ruled over Spain and its empire, which included the Spanish Netherlands, southern Italy, the Philippines, and most of the Americas. In addition to Habsburg lands, the Holy Roman Empire contained several regional powers, such as the Duchy of Bavaria, the Electorate of Saxony, the Margraviate of Brandenburg, the Electorate of the Palatinate, Landgraviate of Hesse, the Archbishopric of Trier, and the Free Imperial City of Nuremberg.
Peace of Augsburg
After the Protestant Reformation, these independent states became divided between Catholic and Protestant rulership, giving rise to conflict. The Peace of Augsburg (1555), signed by Charles V, Holy Roman Emperor, ended the war between German Lutherans and Catholics. The Peace established the principle Cuius regio, eius religio (“Whose realm, his religion”), which allowed Holy Roman Empire state princes to select either Lutheranism or Catholicism within the domains they controlled, ultimately reaffirming the independence they had over their states. Subjects, citizens, or residents who did not wish to conform to a prince’s choice were given a period in which they were free to emigrate to different regions in which their desired religion had been accepted.
Although the Peace of Augsburg created a temporary end to hostilities, it did not resolve the underlying religious conflict, which was made yet more complex by the spread of Calvinism throughout Germany in the years that followed. This added a third major faith to the region, but its position was not recognized in any way by the Augsburg terms, to which only Catholicism and Lutheranism were parties.
Religion in the Holy Roman Empire, 1618
Religion in the Holy Roman Empire on the eve of the Thirty Years’ War. Blues indicate Catholic regions and red/orange indicate Protestant (including Lutheran, Calvinist, Hussite, and Reform).
Tension Mount
Religious tensions remained strong throughout the second half of the 16th century. The Peace of Augsburg began to unravel—some converted bishops refused to give up their bishoprics, and certain Habsburg and other Catholic rulers of the Holy Roman Empire and Spain sought to restore the power of Catholicism in the region. This was evident from the Cologne War (1583–1588), in which a conflict ensued when the prince-archbishop of the city, Gebhard Truchsess von Waldburg, converted to Calvinism. As he was an imperial elector, this could have produced a Protestant majority in the college that elected the Holy Roman Emperor, a position that Catholics had always held.
At the beginning of the 17th century, the Rhine lands and those south to the Danube were largely Catholic, while the north was dominated by Lutherans, and certain other areas, such as west-central Germany, Switzerland, and the Netherlands, were dominated by Calvins. Minorities of each creed existed almost everywhere, however. In some lordships and cities, the numbers of Calvinists, Catholics, and Lutherans were approximately equal.
Much to the consternation of their Spanish ruling cousins, the Habsburg emperors who followed Charles V (especially Ferdinand I and Maximilian II, but also Rudolf II and his successor, Matthias) were content to allow the princes of the empire to choose their own religious policies. These rulers avoided religious wars within the empire by allowing the different Christian faiths to spread without coercion. This angered those who sought religious uniformity. Meanwhile, Sweden and Denmark, both Lutheran kingdoms, sought to assist the Protestant cause in the Empire, and wanted to gain political and economic influence there as well.
By 1617, it was apparent that Matthias, Holy Roman Emperor and King of Bohemia, would die without an heir, with his lands going to his nearest male relative, his cousin Archduke Ferdinand II of Austria, heir-apparent and Crown Prince of Bohemia.
War Breaks Out
Ferdinand II, educated by the Jesuits, was a staunch Catholic who wanted to impose religious uniformity on his lands. This made him highly unpopular in Protestant Bohemia. The population’s sentiments notwithstanding, the added insult of the nobility’s rejection of Ferdinand, who had been elected Bohemian Crown Prince in 1617, triggered the Thirty Years’ War in 1618, when his representatives were thrown out of a window and seriously injured. The so-called Defenestration of Prague provoked open revolt in Bohemia, which had powerful foreign allies. Ferdinand was upset by this calculated insult, but his intolerant policies in his own lands had left him in a weak position. The Habsburg cause in the next few years would seem to suffer unrecoverable reverses. The Protestant cause seemed to wax toward a quick overall victory.
The war can be divided into four major phases: The Bohemian Revolt, the Danish intervention, the Swedish intervention, and the French intervention.
Ferdinand II
Ferdinand II, Holy Roman Emperor and King of Bohemia, whose aim, as a zealous Catholic, was to restore Catholicism as the only religion in the empire and suppress Protestantism, and whose actions helped precipitate the Thirty Years’ War.
20.2.2: Bohemian Period
The Bohemian Revolt (1618–1620) was an uprising of the Bohemian estates against the rule of the Habsburg dynasty, in particular Emperor Ferdinand II, which triggered the Thirty Years’ War.
Learning Objective
Describe the events surrounding the Defenestration of Prague
Key Points
- Since 1526, the Kingdom of Bohemia had been governed by Catholic Habsburg kings who were tolerant of their largely Protestant subjects.
- Toward the end his reign, Emperor Matthias, realizing he would die without an heir, arranged for his lands to go to his nearest male relative, the staunchly Catholic Archduke Ferdinand II of Austria.
- Protestants in Bohemia were wary of Ferdinand reversing the religious tolerance and freedom formerly established by the Peace of Augsburg.
- In 1618, Ferdinand’s royal representatives were thrown out of a window and seriously injured in the so-called Defenestration of Prague, which provoked open Protestant revolt in Bohemia.
- The dispute culminated after several battles in the final Battle of White Mountain, where the Protestants suffered a decisive defeat. This started re-Catholicization of the Czech lands, but also triggered the Thirty Years’ War, which spread to the rest of Europe and devastated vast areas of central Europe, including the Czech lands.
Key Terms
- defenestration
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The act of throwing someone out of a window.
- Bohemian Revolt
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An uprising of the Bohemian estates against the rule of the Habsburg dynasty.
Background
In 1555, the Peace of Augsburg had settled religious disputes in the Holy Roman Empire by enshrining the principle of Cuius regio, eius religio, allowing a prince to determine the religion of his subjects. Since 1526, the Kingdom of Bohemia had been governed by Habsburg kings who did not force their Catholic religion on their largely Protestant subjects. In 1609, Rudolf II, Holy Roman Emperor and King of Bohemia (1576–1612), increased Protestant rights. He was increasingly viewed as unfit to govern, and other members of the Habsburg dynasty declared his younger brother, Matthias, to be family head in 1606. Upon Rudolf’s death, Matthias succeeded in the rule of Bohemia.
Without heirs, Emperor Matthias sought to assure an orderly transition during his lifetime by having his dynastic heir (the fiercely Catholic Ferdinand of Styria, later Ferdinand II, Holy Roman Emperor) elected to the separate royal thrones of Bohemia and Hungary. Ferdinand was a proponent of the Catholic Counter-Reformation, and not well-disposed to Protestantism or Bohemian freedoms. Some of the Protestant leaders of Bohemia feared they would be losing the religious rights granted to them by Emperor Rudolf II in his Letter of Majesty (1609). They preferred the Protestant Frederick V, Elector of the Palatinate (successor of Frederick IV, the creator of the Protestant Union). However, other Protestants supported the stance taken by the Catholics, and in 1617 Ferdinand was duly elected by the Bohemian Estates to become the Crown Prince and, automatically upon the death of Matthias, the next King of Bohemia.
The Defenestration of Prague
The king-elect then sent two Catholic councillors (Vilem Slavata of Chlum and Jaroslav Borzita of Martinice) as his representatives to Hradčany castle in Prague in May 1618. Ferdinand had wanted them to administer the government in his absence. On May 23, 1618, an assembly of Protestants seized them and threw them (and also secretary Philip Fabricius) out of the palace window, which was some sixty-nine feet off the ground. Remarkably, though injured, they survived. This event, known as the Defenestration of Prague, started the Bohemian Revolt. Soon afterward, the Bohemian conflict spread through all of the Bohemian Crown, including Bohemia, Silesia, Upper and Lower Lusatia, and Moravia. Moravia was already embroiled in a conflict between Catholics and Protestants. The religious conflict eventually spread across the whole continent of Europe, involving France, Sweden, and a number of other countries.
Defenestration of Prague
A later woodcut of the Defenestration of Prague in 1618, which triggered the Thirty Years’ War.
Aftermath
Immediately after the defenestration, the Protestant estates and Catholic Habsburgs started gathering allies for war. After the death of Matthias in 1619, Ferdinand II was elected Holy Roman Emperor. At the same time, the Bohemian estates deposed Ferdinand as King of Bohemia (Ferdinand remained emperor, since the titles are separate) and replaced him with Frederick V, Elector Palatine, a leading Calvinist and son-in-law of the Protestant James VI and I, King of Scotland, England, and Ireland.
Because they deposed a properly chosen king, the Protestants could not gather the international support they needed for war. Just two years after the Defenestration of Prague, Ferdinand and the Catholics regained power in the Battle of White Mountain on November 8, 1620. This became known as the first battle in the Thirty Years’ War.
This was a serious blow to Protestant ambitions in the region. As the rebellion collapsed, the widespread confiscation of property and suppression of the Bohemian nobility ensured the country would return to the Catholic side after more than two centuries of Protestant dissent.
There was plundering and pillaging in Prague for weeks following the battle. Several months later, twenty-seven nobles and citizens were tortured and executed in the Old Town Square. Twelve of their heads were impaled on iron hooks and hung from the Bridge Tower as a warning. This also contributed to catalyzing the Thirty Years’ War.
20.2.3: Danish Intervention
After the Bohemian Revolt was suppressed by Ferdinand II, the Danish king, Christian IV, fearing that recent Catholic successes threatened his sovereignty as a Protestant nation, led troops against Ferdinand.
Learning Objective
Analyze the reasons for Denmark getting involved in the war
Key Points
- After the Defenestration of Prague and the ensuing Bohemian Revolt, the Protestants warred with the Catholic League until the former were firmly defeated at the Battle of Stadtlohn in 1623.
- With news of the outcome reaching Frederick V of the Palatinate, the king was forced to sign an armistice with Holy Roman Emperor Ferdinand II, thus ending the “Palatine Phase” of the Thirty Years’ War.
- Peace was short lived; the Danish duchy, under the rule of Christian IV, rallied troops to support the Protestants against Ferdinand.
- Ferdinand received support from Albrecht von Wallenstein, who led troops to defeat Christian IV’s army.
- With another military success for the Catholics, Ferdinand II took back several Protestant holdings and declared the Edict of Restitution in an attempt to restore the religious and territorial situations reached in the Peace of Augsburg.
Key Term
- Edict of Restitution
-
Oassed eleven years into the Thirty Years’ War, this edict was a belated attempt by Ferdinand II to impose and restore the religious and territorial situations reached in the Peace of Augsburg (1555).
Background
After the Defenestration of Prague and the ensuing Bohemian Revolt, the Protestants warred with the Catholic League until the former were firmly defeated at the Battle of Stadtlohn in 1623. After this catastrophe, Frederick V, already in exile in The Hague, and under growing pressure from his father-in-law, James I, to end his involvement in the war, was forced to abandon any hope of launching further campaigns. The Protestant rebellion had been crushed. Frederick was forced to sign an armistice with Holy Roman Emperor Ferdinand II, thus ending the “Palatine Phase” of the Thirty Years’ War.
Dutch Intervention
Peace following the imperial victory at Stadtlohn proved short lived, with conflict resuming at the initiation of Denmark. Danish involvement, referred to as the Low Saxon War, began when Christian IV of Denmark, a Lutheran who also ruled as Duke of Holstein, a duchy within the Holy Roman Empire, helped the Lutheran rulers of neighboring Lower Saxony by leading an army against Ferdinand II’s imperial forces in 1625. Denmark had feared that the recent Catholic successes threatened its sovereignty as a Protestant nation.
Christian IV had profited greatly from his policies in northern Germany. For instance, in 1621, Hamburg had been forced to accept Danish sovereignty. Denmark’s King Christian IV had obtained for his kingdom a level of stability and wealth that was virtually unmatched elsewhere in Europe. Denmark was funded by tolls on the Oresund and also by extensive war reparations from Sweden.
Denmark’s cause was aided by France, which together with Charles I had agreed to help subsidize the war, not the least because Christian was a blood uncle to both the Stuart king and his sister Elizabeth of Bohemia through their mother, Anne of Denmark. Some 13,700 Scottish soldiers under the command of General Robert Maxwell, 1st Earl of Nithsdale, were sent as allies to help Christian IV. Moreover, some 6,000 English troops under Charles Morgan also eventually arrived to bolster the defense of Denmark, though it took longer for them to arrive than Christian had hoped, due partially to the ongoing British campaigns against France and Spain. Thus, Christian, as war-leader of the Lower Saxon Circle, entered the war with an army of only 20,000 mercenaries, some of his allies from England and Scotland, and a national army 15,000 strong, leading them as Duke of Holstein rather than as King of Denmark.
War Ensues
To fight Christian, Ferdinand II employed the military help of Albrecht von Wallenstein, a Bohemian nobleman who had made himself rich from the confiscated estates of his Protestant countrymen. Wallenstein pledged his army, which numbered between 30,000 and 100,000 soldiers, to Ferdinand II in return for the right to plunder the captured territories. Christian, who knew nothing of Wallenstein’s forces when he invaded, was forced to retire before the combined forces of Wallenstein and Tilly. Christian’s mishaps continued when all of the allies he thought he had were forced aside: France was in the midst of a civil war, Sweden was at war with the Polish–Lithuanian Commonwealth, and neither Brandenburg nor Saxony was interested in changes to the tenuous peace in eastern Germany. Moreover, neither of the substantial British contingents arrived in time to prevent Wallenstein’s defeat of Mansfeld’s army at the Battle of Dessau Bridge (1626) or Tilly’s victory at the Battle of Lutter (1626). Mansfeld died some months later of illness, apparently tuberculosis, in Dalmatia.
Wallenstein’s army marched north, occupying Mecklenburg, Pomerania, and Jutland itself, but proved unable to take the Danish capital, Copenhagen, on the island of Zealand. Wallenstein lacked a fleet, and neither the Hanseatic ports nor the Poles would allow the building of an imperial fleet on the Baltic coast. He then laid siege to Stralsund, the only belligerent Baltic port with sufficient facilities to build a large fleet; it soon became clear, however, that the cost of continuing the war would far outweigh any gains from conquering the rest of Denmark. Wallenstein feared losing his northern German gains to a Danish-Swedish alliance, while Christian IV had suffered another defeat in the Battle of Wolgast (1628); both were ready to negotiate.
Negotiations and the Edict of Restitution
Negotiations concluded with the Treaty of Lübeck in 1629, which stated that Christian IV could retain control over Denmark (including the duchies of Sleswick and Holstein) if he would abandon his support for the Protestant German states. Thus, in the following two years, the Catholic powers subjugated more land. At this point, the Catholic League persuaded Ferdinand II to take back the Lutheran holdings that were, according to the Peace of Augsburg, rightfully the possession of the Catholic Church. Enumerated in the Edict of Restitution (1629), these possessions included two archbishoprics, sixteen bishoprics, and hundreds of monasteries. In the same year, Gabriel Bethlen, the Calvinist prince of Transylvania, died. Only the port of Stralsund continued to hold out against Wallenstein and the emperor, having been bolstered by Scottish “volunteers” who arrived from the Swedish army to support their countrymen already there in the service of Denmark.
Christian IV of Denmark
Christian IV receives homage from the countries of Europe as mediator in the Thirty Years’ War. Painting by Grisaille by Adrian van de Venne, 1643.
20.2.4: Swedish Intervention
The Swedish intervention in the Thirty Years’ War, when King Gustav II Adolf of Sweden ordered a full-scale invasion of the Catholic states, was a major turning point of the war.
Learning Objective
Discuss why the Swedish were inclined to join in the war
Key Points
- The Swedish intervention in the Thirty Years’ War, which took place between 1630 and 1635, was a major turning point of the war, often considered to be an independent conflict.
- The king of Sweden, Gustav Adolph, had been well informed of the war between the Catholics and Protestants in the Holy Roman Empire for some time, but did not get involved because of an ongoing conflict with Poland.
- While Sweden was under a truce with Poland, Gustav reformed the Swedish military, leading to an army that became the model for all of Europe.
- From 1630 to 1634, Swedish-led armies drove the Catholic forces back, regaining much of the lost Protestant territory, especially at the key Battle of Breitenfeld.
- By the spring of 1635, the Catholic and the Protestant sides met for negotiations, producing the Peace of Prague (1635), which entailed a delay in the enforcement of the Edict of Restitution for forty years.
Key Terms
- Gustavus Adolphus
-
The king of Sweden from 1611 to 1632, credited with founding the Swedish Empire, who led Sweden to military supremacy during the Thirty Years’ War.
- Pomerania
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A region on the southern shore of the Baltic Sea in Central Europe, split between Germany and Poland.
Overview
The Swedish intervention in the Thirty Years’ War, which took place between 1630 and 1635, was a major turning point of the war, often considered to be an independent conflict. After several attempts by the Holy Roman Empire to prevent the spread of Protestantism in Europe, King Gustav II Adolf of Sweden ordered a full-scale invasion of the Catholic states. Although he was killed in action, his armies successfully defeated their enemies and gave birth to the Swedish Empire after proving their ability in combat. The new European power would last for a hundred years before being overwhelmed by numerous enemies in the Great Northern War.
Background
The king of Sweden, Gustav II Adolph, had been well informed of the war between the Catholics and Protestants in the Holy Roman Empire for some time, but his hands were tied because of the constant enmity of Poland. The Polish royal family, the primary branch of the House of Vasa, had once claimed the throne of Sweden.
Lutheranism was the primary religion of Sweden, and had by then established a firm grip on the country, but it was not solely the result of religious sentiment that Sweden converted. Notably, one of the reasons that Sweden had so readily embraced it was because converting to Lutheranism allowed the crown to seize all the lands in Sweden that were possessed by the Roman Catholic Church. As a result of this seizure and the money that the crown gained, the crown was greatly empowered.
Gustav was concerned about the growing power of the Holy Roman Empire, and like Christian IV before him, was heavily subsidized by Cardinal Richelieu, the chief minister of Louis XIII of France, and by the Dutch.
Sweden’s Army
During this time, and while Sweden was under a truce with Poland, Gustav established a military system that was to become the envy of Europe. He drew up a new military code. The new improvements to Sweden’s military order even pervaded the state by fueling fundamental changes in the economy. The military reforms—among which tight discipline was one of the prevailing principles—brought the Swedish military to the highest levels of military readiness and were to become the standard that European states would strive for.
The severity of discipline was not the only change that took place in the army. Soldiers were to be rewarded for meritorious service. Soldiers who had displayed courage and distinguished themselves in the line of duty were paid generously, in addition to being given pensions. The corp of engineers were the most modern of their age, and in the campaigns in Germany the population repeatedly expressed surprise at the extensive nature of the entrenchment and the elaborate nature of the equipment.
Swedish Intervention
From 1630 to 1634, Swedish-led armies drove the Catholic forces back, regaining much of the lost Protestant territory. During the campaign, Sweden managed to conquer half of the imperial kingdoms, making it the continental leader of Protestantism until the Swedish Empire ended in 1721.
Swedish forces entered the Holy Roman Empire via the Duchy of Pomerania, which had served as the Swedish bridgehead since the Treaty of Stettin (1630). After dismissing Wallenstein in 1630, from fear he was planning a revolt, Ferdinand II became dependent on the Catholic League. Gustavus Adolphus allied with France and Bavaria.
At the Battle of Breitenfeld (1631), Gustavus Adolphus’s forces defeated the Catholic League led by Tilly. A year later, they met again in another Protestant victory, this time accompanied by the death of Tilly. The upper hand had now switched from the Catholic League to the Protestant Union, led by Sweden.
King Gustav of Sweden
The victory of Gustavus Adolphus at the Battle of Breitenfeld (1631).
With Tilly dead, Ferdinand II returned to the aid of Wallenstein and his large army. Wallenstein marched to the south, threatening Gustavus Adolphus’s supply chain. Gustavus Adolphus knew that Wallenstein was waiting for the attack and was prepared, but found no other option. Wallenstein and Gustavus Adolphus clashed in the Battle of Lützen (1632), where the Swedes prevailed, but Gustavus Adolphus was killed.
Ferdinand II’s suspicion of Wallenstein resumed in 1633, when Wallenstein attempted to arbitrate the differences between the Catholic and Protestant sides. Ferdinand II may have feared that Wallenstein would switch sides, and arranged for his arrest after removing him from command. One of Wallenstein’s soldiers, Captain Devereux, killed him when he attempted to contact the Swedes in the town hall of Eger (Cheb) on February 25, 1634. The same year, the Protestant forces, lacking Gustav’s leadership, were smashed at the First Battle of Nördlingen by the Spanish-Imperial forces commanded by Cardinal-Infante Ferdinand.
Peace of Prague
By the spring of 1635, all Swedish resistance in the south of Germany had ended. After that, the imperialist and the Protestant German sides met for negotiations, producing the Peace of Prague (1635), which entailed a delay in the enforcement of the Edict of Restitution for forty years and allowed Protestant rulers to retain secularized bishoprics held by them in 1627. This protected the Lutheran rulers of northeastern Germany, but not those of the south and west. Initially after the Peace of Prague, the Swedish armies were pushed back by the reinforced imperial army north into Germany.
The treaty also provided for the union of the army of the emperor and the armies of the German states into a single army of the Holy Roman Empire. Finally, German princes were forbidden from establishing alliances amongst themselves or with foreign powers, and amnesty was granted to any ruler who had taken up arms against the emperor after the arrival of the Swedes in 1630.
This treaty failed to satisfy France, however, because of the renewed strength it granted the Habsburgs. France then entered the conflict, beginning the final period of the Thirty Years’ War. Sweden did not take part in the Peace of Prague, and it joined with France in continuing the war.
20.2.5: Swedish-French Intervention
No longer able to tolerate the encirclement of two major Habsburg powers on its borders, Catholic France entered the Thirty Years’ War on the side of the Protestants to counter the Habsburgs and bring the war to an end.
Learning Objective
Identify the reasons why France was invested in the events of the Thirty Years’ War
Key Points
- France, though Roman Catholic, was a rival of the Holy Roman Empire and Spain because they considered the Habsburgs too powerful since they held a number of territories on France’s eastern border.
- Cardinal Richelieu, the chief minister of King Louis XIII of France, made the decision to enter into direct war against the Habsburgs in 1634, but France suffered military defeats early on, losing territory to the Holy Roman Empire.
- The tide of the war turned clearly toward France and against Spain in 1640, starting with the siege and capture of the fort at Arras.
- After the Peace of Prague, the Swedes reorganized the Royal Army and reentered the war, winning important battles against the imperial army.
- In 1648, the Swedes and the French defeated the imperial army at the Battle of Zusmarshausen, and the Spanish at Lens, and later won the Battle of Prague, which became the last action of the Thirty Years’ War.
Key Terms
- Vulgate Bible
-
A late 4th century Latin translation of the Bible that became, during the 16th century, the Catholic church’s officially promulgated Latin version of the Bible.
- Gustavus Adolphus
-
The king of Sweden from 1611 to 1632, who led Sweden to military supremacy during the Thirty Years’ War, helping to determine the political as well as the religious balance of power in Europe.
France’s Opposition to the Holy Roman Empire
France, though Roman Catholic, was a rival of the Holy Roman Empire and Spain. Cardinal Richelieu, the chief minister of King Louis XIII of France, considered the Habsburgs too powerful because they held a number of territories on France’s eastern border, including portions of the Netherlands. Richelieu had already begun intervening indirectly in the war in January 1631, when the French diplomat Hercule de Charnacé signed the Treaty of Bärwalde with Gustavus Adolphus, by which France agreed to support the Swedes with 1,000,000 livres each year in return for a Swedish promise to maintain an army in Germany against the Habsburgs. The treaty also stipulated that Sweden would not conclude a peace with the Holy Roman Emperor without first receiving France’s approval.
France Enters the War
After the Swedish rout at Nördlingen in September 1634 and the Peace of Prague in 1635, in which the Protestant German princes sued for peace with the German emperor, Sweden’s ability to continue the war alone appeared doubtful, and Richelieu made the decision to enter into direct war against the Habsburgs. France declared war on Spain in May 1635, and on the Holy Roman Empire in August 1636, opening offensives against the Habsburgs in Germany and the Low Countries. France aligned its strategy with the allied Swedes in Wismar (1636) and Hamburg (1638).
Early French military efforts were met with disaster, and the Spanish counter-attacked, invading French territory. The imperial general Johann von Werth and Spanish commander Cardinal-Infante Ferdinand ravaged the French provinces of Champagne, Burgundy, and Picardy, and even threatened Paris in 1636. Then, the tide began to turn for the French. The Spanish army was repulsed by Bernhard of Saxe-Weimar. Bernhard’s victory in the Battle of Compiègne pushed the Habsburg armies back towards the borders of France. Then widespread fighting ensued until 1640, with neither side gaining an advantage.
However, the war reached a climax and the tide of the war turned clearly toward France and against Spain in 1640, starting with the siege and capture of the fort at Arras. The French conquered Arras from the Spanish following a siege that lasted from June 16 to August 9, 1640. When Arras fell, the way was opened for the French to take all of Flanders. The ensuing French campaign against the Spanish forces in Flanders culminated with a decisive French victory at Rocroi in May 1643.
Continued Swedish War Efforts
After the Peace of Prague, the Swedes reorganized the Royal Army under Johan Banér and created a new one, the Army of the Weser, under the command of Alexander Leslie. The two army groups moved south in the spring of 1636, re-establishing alliances on the way, including a revitalized one with Wilhelm of Hesse-Kassel. The two Swedish armies combined and confronted the imperialists at the Battle of Wittstock. Despite the odds being stacked against them, the Swedish army won. This success largely reversed many of the effects of their defeat at Nördlingen, albeit not without creating some tensions between Banér and Leslie.
After the battle of Wittstock, the Swedish army regained the initiative in the German campaign. In the Second Battle of Breitenfeld, in 1642, outside Leipzig, the Swedish Field Marshal Lennart Torstenson defeated an army of the Holy Roman Empire led by Archduke Leopold Wilhelm of Austria and his deputy, Prince-General Ottavio Piccolomini, Duke of Amalfi. The imperial army suffered 20,000 casualties. In addition, the Swedish army took 5,000 prisoners and seized forty-six guns, at a cost to themselves of 4,000 killed or wounded. The battle enabled Sweden to occupy Saxony and impressed on Ferdinand III the need to include Sweden, and not only France, in any peace negotiations.
Final Battles
Over the next four years, fighting continued, but all sides began to prepare for ending the war. In 1648, the Swedes (commanded by Marshal Carl Gustaf Wrangel) and the French (led by Turenne and Condé) defeated the imperial army at the Battle of Zusmarshausen, and the Spanish at Lens. However, an imperial army led by Octavio Piccolomini managed to check the Franco-Swedish army in Bavaria, though their position remained fragile. The Battle of Prague in 1648 became the last action of the Thirty Years’ War. The general Hans Christoff von Königsmarck, commanding Sweden’s flying column, entered the city and captured Prague Castle (where the event that triggered the war—the Defenestration of Prague—had taken place thirty years before). There, they captured many valuable treasures, including the Codex Gigas, which contains the Vulgate Bible as well as many historical documents all written in Latin, and is still today preserved in Stockholm as the largest extant medieval manuscript in the world. However, they failed to conquer the right-bank part of Prague and the old city, which resisted until the end of the war. These results left only the imperial territories of Austria safely in Habsburg hands.
The Swedish siege of Prague in 1648
In 1648, the Swedish army entered Prague and captured Prague Castle, where the catalyst of the war, the Defenestration of Prague, had taken place thirty years before.
20.2.6: The Peace of Westphalia
The Peace of Westphalia was a series of peace treaties signed between May and October 1648 in the Westphalian cities of Osnabrück and Münster that ended the Thirty Years’ War.
Learning Objective
Describe the terms of the Peace of Westphalia
Key Points
- The end of the Thirty Years’ War was not brought about by one treaty, but instead by a group of treaties, collectively named the Peace of Westphalia.
- The treaties did not restore peace throughout Europe, but they did create a basis for national self-determination.
- Along with several territorial adjustments, the terms of the Peace of Westphalia included a return to the principles in the Peace of Augsburg of 1555, in which each prince would have the right to determine the religion of his own state.
- The treaty also extended that tolerance to allow the minority religion of the territory to practice freely.
- The Peace of Westphalia established important political precedents for state sovereignty, inter-state diplomacy, and balance of power in Europe.
Key Terms
- fief
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An estate of land, especially one held on condition of feudal service.
- letters of marque
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A government license authorizing a person (known as a privateer) to attack and capture enemy vessels and bring them before admiralty courts for condemnation and sale.
- Imperial Diet
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The legislative body of the Holy Roman Empire, theoretically superior to the emperor himself.
Overview
Over a four-year period, the warring parties of the Thirty Years’ War (the Holy Roman Empire, France, and Sweden) were actively negotiating at Osnabrück and Münster in Westphalia. The end of the war was not brought about by one treaty, but instead by a group of treaties, collectively named the Peace of Westphalia. The three treaties involved were the Peace of Münster (between the Dutch Republic and the Kingdom of Spain), the Treaty of Münster (between the Holy Roman Emperor and France and their respective allies), and the Treaty of Osnabrück (between the Holy Roman Empire and Sweden and their respective allies).
The Ratification of the Treaty of Münster, 1648
The Treaty of Münster between the Holy Roman Emperor and France was one of three treaties that made up the Peace of Westphalia.
These treaties ended both the Thirty Years’ War (1618–1648) in the Holy Roman Empire and the Eighty Years’ War (1568–1648) between Spain and the Dutch Republic, with Spain formally recognizing the independence of the Dutch Republic.
The peace negotiations involved a total of 109 delegations representing European powers, including Holy Roman Emperor Ferdinand III, Philip IV of Spain, the Kingdom of France, the Swedish Empire, the Dutch Republic, the princes of the Holy Roman Empire, and sovereigns of the free imperial cities.
The Terms of the Peace Settlement
Along with ending open warfare between the belligerents, the Peace of Westphalia established several important tenets and agreements:
- The power taken by Ferdinand III in contravention of the Holy Roman Empire’s constitution was stripped and returned to the rulers of the Imperial States.
- All parties would recognize the Peace of Augsburg of 1555, in which each prince would have the right to determine the religion of his own state, the options being Catholicism, Lutheranism, and now Calvinism. This affirmed the principle of cuius regio, eius religio (Whose realm, his religion).
- Christians living in principalities where their denomination was not the established church were guaranteed the right to practice their faith in public during allotted hours and in private at their will.
- General recognition of the exclusive sovereignty of each party over its lands, people, and agents abroad, and responsibility for the warlike acts of any of its citizens or agents. Issuance of unrestricted letters of marque and reprisal to privateers was forbidden.
There were also several territorial adjustments brought about by the peace settlements. For example, the independence of Switzerland from the empire was formally recognized. France came out of the war in a far better position than any of the other participants. France retained the control of the Bishoprics of Metz, Toul, and Verdun near Lorraine, received the cities of the Décapole in Alsace and the city of Pignerol near the Spanish Duchy of Milan. Sweden received Western Pomerania, Wismar, and the Prince-Bishoprics of Bremen and Verden as hereditary fiefs, thus gaining a seat and vote in the Imperial Diet of the Holy Roman Empire. Barriers to trade and commerce erected during the war were also abolished, and a degree of free navigation was guaranteed on the Rhine.
The Holy Roman Empire in 1648
After the Peace of Westphalia, each prince of a given Imperial State would have the right to determine the religion of his own state, the options being Catholicism, Lutheranism, and Calvinism.
Impact and Legacy
The treaty did not entirely end conflicts arising out of the Thirty Years’ War. Fighting continued between France and Spain until the Treaty of the Pyrenees in 1659. Nevertheless, it did settle many outstanding European issues of the time. Some of the principles developed at Westphalia, especially those relating to respecting the boundaries of sovereign states and non-interference in their domestic affairs, became central to the world order that developed over the following centuries, and remain in effect today. Many of the imperial territories established in the Peace of Westphalia later became the sovereign nation-states of modern Europe.
The Peace of Westphalia established the precedent of peaces established by diplomatic congress, and a new system of political order in central Europe, later called Westphalian sovereignty, based upon the concept of co-existing sovereign states. Inter-state aggression was to be held in check by a balance of power. A norm was established against interference in another state’s domestic affairs. As European influence spread across the globe, these Westphalian principles, especially the concept of sovereign states, became central to international law and to the prevailing world order.
Europe in 1648
A simplified map of Europe in 1648, showing the new borders established after the Peace of Westphalia.