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The Language of Eichmann in Jerusalem. Nazi German and Other Forms of German in the 1961 Trial
(2024)
The Eichmann trial granted the German language a degree of audibility unprecedented in the short history of the State of Israel, with the defendant, the judges, prosecutors, and witnesses frequently resorting to speaking in German. Drawing on archival materials, protocols, footage, and press reports, this article shows how the Eichmann trial brought to the surface several historical tensions around the postwar status of the German language. The various forms of German heard in the courtroom challenged notions of German as a Nazi language and contributed to a gradual mitigation of its status as a tainted language. The article concludes by reassessing Hannah Arendt’s 1963 Eichmann in Jerusalem and specifically her postulate that Eichmann’s language faithfully reflected his mindset. It is argued that Arendt’s understanding of Eichmann’s language echoed prewar ideas on German’s distinctive power.
This article explores the connection between genocide, language and language consciousness by tracing the strange biography of one Yiddish neologism: shabreven. During the Holocaust, the word came to mean both ›looting‹ and ›taking ownerless property‹. It stoked moral and etymological debate among Yiddish speakers in the Warsaw ghetto, while also occupying a prominent position in postwar Polish and Zionist discourses. The term shifted between different semantic, ethical and cultural fields, navigating a delicate balance between various meanings and norms. The discussions around this term help to shed light on key questions: What were the motivations for the study of Holocaust Yiddish neologisms? How did this early postwar Yiddish philological discourse differ from its parallel in German? Shabreven became both a symbol of the genocidal collapse of language and a tool for regaining victim agency in speech.
How have Jewish intellectuals reflected on the German language both in relation to and in the aftermath of the ›catastrophe‹? This essay explores one perspective, that of H.G. Adler (Prague, 1910 – London, 1988), a scholar, author, and survivor of the Shoah. Adler’s relationship to and reflections on the German language offer insights into the experience of persecution and survival as well as into the memory and representation of the Holocaust. His vast body of work testifies to both the possibility and the necessity of writing ›after Auschwitz‹, and indeed to the necessity of writing in German after the Holocaust. A survivor of Theresienstadt, Auschwitz, and two satellite camps of Buchenwald (Niederorschel and Langenstein-Zwieberge), Adler went on to write in various forms, from the analytic to the poetic, about National Socialism, antisemitism, and life and death in the concentration and extermination camp system. His scholarly work made an important contribution to establishing the international and interdisciplinary field of Holocaust Studies, and his poetry and novels bear witness to his own personal experiences in the camps, albeit not in a directly autobiographical form.
Few of Hannah Arendt’s declarations have had as enduringly a controversial legacy as the one she gave in her famous 1964 West German television conversation with Günter Gaus, proclaiming uncompromised loyalty to her first language – German – despite Hitler. The statement was misconstrued as a privileging of the language of the perpetrators and expressing a bias against Eastern European Jews. In conversation with the recent ›Taytsh turn‹ (Saul Zaritt) in Yiddish Studies, this article focuses instead on two Yiddish newspaper articles published by Arendt in 1942 and 1944 and explores what I call a ›Taytsh move‹ in Arendtʼs language politics. Taytsh, an alternative name for the Yiddish language meaning, literally, German, foregrounds (Jewish) cultures’ inherent translational mode and interconnectivity with the world that makes and sustains these cultures. Arendt reactivated the inherent unbordered nature of languages – with an awareness of the dangers of monolingualism; for the sake of overcoming reductive constructions of Jewishness and modern identity; against the atomizing forces of fascism.
Access Activism. The Politicization of Wheelchairs and Wheelchair Users in the Twentieth Century
(2022)
For millions of disabled people around the world the wheelchair has been one of the most important technological innovations of the twentieth century. From its inception as a relatively cumbersome, heavy machine, designed principally for indoor use, the wheelchair has evolved into a sophisticated and highly technical mode of transport. Wheelchairs are, at least in the Global North, relatively widely used and universally recognizable – so recognizable that they have become the cultural symbol to represent all disabled people. Wheelchairs are often viewed with trepidation: as machines that disable, confine, and deprive their occupant of independence – as medical devices that doctors prescribe only to the sick, the wounded or the elderly. Such definitions and perceptions infiltrate the public lives of wheelchair users, cause considerable macro and micro political difficulties, and consequently disable users in a myriad of different ways.
I first came across Harlan Lane’s work towards the end of my PhD, which I was undertaking at University College London, UK. My dissertation was on the construction of ›difference‹ in the British Empire, particularly the differences ascribed to race and gender. Using nineteenth-century medical missionaries as a way in, I had started to think about differences evoked by health, disability, and the body. In particular, I noted the way in which missionaries used the language of disability as a discourse of racialisation. The African and Indian colonial subjects they encountered were described throughout missionary literature as ›deaf to the Word‹, ›blind to the light‹ and ›too lame‹ to walk alone. I have two d/Deaf cousins, one of whom is the sign language sociolinguist Nick Palfreyman, and around about this time Nick had started to familiarise me with some of the issues surrounding Deaf politics. Becoming interested and wanting to know more, I began to learn British Sign Language (BSL) and contemplate the connections between the historical work I was doing and contemporary struggles of Deaf politics and disability politics (I was particularly interested in DPAC – Disabled People Against Cuts – given the contemporary climate of austerity in the UK). As I did so I became acquainted with the work of Harlan Lane. Here, although acutely aware of my own positionality as a white, British, hearing woman, I have taken up the challenge set by the editors of this special issue to re-read his work twelve years on from my initial encounter with it, using the insights into postcolonial study I have gained through my historical work.
This article builds on the writing of former asylum inmates in the United States to analyze life on asylum wards between 1890 and 1950. Although published accounts of inmates’ experiences in American asylums have their own limitations as primary sources, they are nevertheless very revealing not only of the day-to-day life of institution inmates, but also of the ways in which former asylum inmates made sense of their experiences. The article relies upon insights from Disability Studies and Mad Studies to analyze life on the wards, work and socialization, relations among inmates, clandestine communication channels, and the formation of informal support groups, such as ›suicide clubs‹ in institutions. ›Mad writers‹ were almost equally women and men. They were white, and often well educated. They used the social and economic advantages that many of them had to create a public space from which they could critique the United States’ burgeoning asylum system. These accounts also laid the groundwork for later twentieth-century mad people’s movements.
Bis Ende 2015 werden 50 Prozent aller Chinesen über einen Internetzugang verfügen. Die Möglichkeiten für eine größer werdende Anzahl von Chinesen, online zu kommunizieren und zu konsumieren, hat eine Reihe von Wissenschaftlerinnen und Wissenschaftlern dazu inspiriert, sich mit Themen wie Zensur, Überwachung und Nutzung von sozialen Medien zu beschäftigen. Ein Großteil dieser Forschung baut auf der Prämisse einer antagonistischen Beziehung zwischen Staat und Gesellschaft auf. Allerdings weiß man bisher nur wenig darüber, welche Auswirkungen die staatlich geförderten und internetbasierten Kommunikationskanäle zwischen Regierungsbeamten und chinesischen Bürgern auf die Transformation der autoritären Einparteienherrschaft in China haben. Der vorliegende Artikel beschäftigt sich mit dieser Frage, indem er Chinas E-Government-Strategie einerseits zu globalen Entwicklungen in Beziehung setzt, andererseits im Kontext der sich verändernden Anreize untersucht, die politische Reformen in China in den vergangenen zwei Jahrzehnten ermöglicht haben. Es wird gezeigt, dass die Bemühungen der chinesischen Einparteienregierung, die Interaktion zwischen Staat und Gesellschaft zu digitalisieren, großes Potenzial dafür birgt, das Wesen des chinesischen Staates zu verändern. Allerdings stellen diese Veränderungen keinen Paradigmenwechsel dahingehend dar, wie China regiert wird. Der wichtigste Aspekt dieser Veränderungen ist, dass sie die Möglichkeit bieten, das oftmals als „Diktatoren-Dilemma“ bezeichnete Problem zu lösen: Menschen in nichtdemokratischen Regierungssystemen haben Angst davor, den Herrschenden gegenüber ihre Meinung auszudrücken, und entziehen so dem Staat eine wichtige Informationsgrundlage. Es wird gezeigt, dass die Entwicklung hochintegrierter E-Government-Plattformen, wie sie sich die Technokraten der Kommunistischen Partei Chinas vorstellen, bestehender institutioneller Logik folgt und dringende Probleme zu lösen vermag. So wird die Chance darauf erhöht, dass diese Plattformen nachhaltig eingeführt werden.
Picture agencies are mediators between photographers and editorial staffs; they play a crucial role in producing mass media visibility. However, their part in the system of the visual propaganda of the Nazi state is largely unexplored. This article features a controversial case, the American Associated Press and its German subsidiary. By submitting to the Schriftleitergesetz (Editorial Control Law) in 1935, the German AP GmbH (LLC) followed its German counterparts in the process of Gleichschaltung (forcible coordination). Until the United States entered the war in December 1941, AP supplied the Nazi press with American pictures. This service proved to be of particular relevance for propaganda. AP was also allowed to continue its photographic reporting in the Reich. AP pictures taken under the aegis of the Propaganda Ministry, the Wehrmacht and the SS were ubiquitous in the Nazi press. Moreover, the New York headquarters supplied the North American press with these same pictures, where they were published either as news photos or as propaganda images.
Modeled after the Soviet propaganda magazine SSSR na stroike (›USSR in Construction‹, published 1930–1941, 1949), the Japanese overseas propaganda photo magazine FRONT (1942–1945) provided visual propaganda for the so-called ›Greater East Asia Co-Prosperity Sphere‹, a concept that was proclaimed in 1940 and served to disguise Japan’s quest for hegemony in Asia. Employing the aesthetics of Russian Constructivism and Socialist Realism of SSSR na stroike, FRONT created a visual aesthetic that could be termed Japanese Co-Prosperity Realism. Its dynamic and modernistic design was a transculturally inspired practice by Japanese photographers, graphic designers, journalists and producers of visual media, some of whom had been left-wing intellectuals or had lived and worked in the Soviet Union. In a comparative perspective, this paper carves out the political, cultural and gendered semantics of the (in)visibility of power, political religion and ethnic diversity that such aesthetics entailed. It explores some of the shifting backgrounds against which photographic techniques were enacted, from their avant-garde beginnings to their application in authoritarian regimes.