We’ve been
looking at the critics of Thomas Nagel’s recent book Mind
and Cosmos. Having examined the
objections raised by Brian
Leiter and Michael Weisberg, Elliott
Sober, Alva
Noë, and John
Dupré, I want to turn now to some interesting remarks made by Eric
Schliesser in a series of posts on Nagel over at the New APPS blog. Schliesser’s comments concern, first, the
way the scientific revolution is portrayed by Nagel’s critics, and second, the
role the Principle of Sufficient Reason plays in Nagel’s book. Most recently, in response to my own series
of posts, Schliesser has also commented on the
status of naturalism in contemporary philosophy. Let’s look at each of these sets of remarks
in turn.
Showing posts sorted by relevance for query mind-body. Sort by date Show all posts
Showing posts sorted by relevance for query mind-body. Sort by date Show all posts
Monday, December 24, 2012
Tuesday, June 11, 2013
Body movin’, mind thinkin’
The human body is the best picture of
the human soul.
Ludwig
Wittgenstein, Philosophical
Investigations
We recall that John B. Watson did not
claim that quite all thought was incipient speech; it was all incipient twitching of muscles, and mostly of speech muscles.
W. V. Quine,
“Mind and Verbal Dispositions”
We're getting down computer action
Do the robotic satisfaction
Do the robotic satisfaction
Beastie
Boys, “Body Movin’”
To perceive
a human being behaving in certain
characteristic ways just is to perceive him as thinking. There are two
ways to read such a claim: Quine’s and Watson’s reductionist way, and
Wittgenstein’s anti-reductionist way.
The Beastie Boys, of course, were putting forward a
computational-functionalist variation on Quinean behaviorism. (OK, not really. Just pretend.
It’s a better quote than any I could have gleaned from a functionalist
philosopher.)
Sunday, January 11, 2009
Computers, minds, and Aristotle
The recently published Philosophy of Computing and Information: 5 Questions, edited by Luciano Floridi, is a collection of quasi-interviews with prominent philosophers, cognitive scientists, and computer scientists. (The same five questions were sent to each of the contributors, who were asked to respond to them either question-by-question or in the form of an informal essay. Hence my label “quasi-interviews.”) Several of the contributions are particularly interesting from an Aristotelian point of view.As readers of The Last Superstition know, I argue there that the “computationalist” view that the mind should be thought of as “software” run by the “hardware” of the brain is either incoherent or (if it is to be made coherent) implicitly committed to a broadly Aristotelian metaphysics. And in neither case can it vindicate a materialist conception of human nature. One reason for this is that the key concepts required to spell out this position – “software,” “program,” “information,” “algorithm,” and so forth (all of which are somehow to be understood as purely physical properties alongside mass, electric charge, and the like, if the materialist is going to make hay out of the view) – are suffused with intentionality, the “directedness” of a thing toward something beyond itself. Now on at least one common interpretation of the computationalist view, intentionality is among the features of the mind the view is supposed to explain – in which case it cannot coherently appeal to notions which presuppose the existence of intentionality. Even those versions of computationalism which do not claim to explain intentionality face the problem that nothing like intentionality is supposed to exist at the level of physics, at least given the mechanistic conception of nature materialists are implicitly committed to. As Jerry Fodor puts it in Psychosemantics:
“I suppose that sooner or later the physicists will complete the catalogue they’ve been compiling of the ultimate and irreducible properties of things. When they do, the likes of spin, charm, and charge will perhaps appear on their list. But aboutness surely won’t; intentionality simply doesn’t go that deep.” (p. 97)
Hence the notions in question are simply not available to a consistent materialist. And if a materialist nevertheless digs in his heels and insists that “information,” “algorithms,” and the like really are somehow intrinsic to the physical world, then he will in effect have conceded that something like Aristotelian final causes exist after all, and thus abandoned materialism. For if purely physical processes embody genuine “information,” follow “algorithms,” etc., then that entails that of their nature (by virtue of their form, as Aristotelians would say) they point beyond themselves as toward a goal, after the manner of a final cause. (“Information” is information about something; an “algorithm” has an inherent end the rules it embodies are meant to lead to; and so on.) Materialists fail to see this because, like most modern philosophers, they have only the vaguest idea of what Aristotelian formal and final causes are, and labor under all sorts of crude misconceptions (e.g. that for a physical process to have a final cause is for it to seek a goal in something like a conscious way).
For the details, see The Last Superstition (especially pp. 235-47). It was interesting, though, to see that at least one contributor to Philosophy of Computing and Information seems to have come to something like the conclusion I defend in the book. Specifically, the neuroscientist Valentino Braitenberg says:
“The concept of information, properly understood, is fully sufficient to do away with popular dualistic schemes invoking spiritual substances distinct from anything in physics. This is Aristotle redivivus, the concept of matter and form united in every object of this world, body and soul, where the latter is nothing but the formal aspect of the former. The very term ‘information’ clearly demonstrates its Aristotelian origin in its linguistic root.” (Floridi, p. 16)
In other words, to describe some physical process as inherently embodying “information,” while it does rule out dualism of the Cartesian sort, nevertheless is not consistent with the crude materialist claim that “matter is all that exists”; for it is implicitly to accept something like Aristotle’s notion of formal cause (precisely, I would add, because it is implicitly to accept something like his notion of final cause). As I have put it in earlier posts, the neural processes underlying e.g. a given action are merely the material-cum-efficient causal side of an event of which the thoughts and intentions of the agent are the formal-cum-final causes, to allude to all of the famous Aristotelian four causes. (I develop the point a little bit in this review of the psychologist Jerome Kagan’s An Argument for Mind.)
To be sure, Braitenberg’s own claims are only suggestive, and I do not claim he would accept everything I say about this issue in my book (much less everything, or anything, else I say there!) But he clearly sees that the standard materialist assumptions are faulty, as do some other contributors to the Floridi volume. Brian Cantwell-Smith’s chapter, which is among the more lengthy and philosophically substantial contributions, is very good on the deep conceptual problems underlying much work done in this area. Key concepts are ill-defined, and unjustified slippage between or conflation of various possible senses of crucial theoretical terms (including “computation” itself) is rife. But the key problem, as he sees, is what he calls the “300-year rift between matter and mattering” that opened up with Descartes (p. 46) – that is to say, the early moderns’ conception of matter as inherently devoid of meaning or significance. Cantwell-Smith calls for a new metaphysics to “heal” this rift (being apparently unaware of, or at least not reconsidering as Braitenberg does, the old Aristotelian metaphysics the rejection of which was precisely what opened up the rift in the first place).
In his own chapter, Hubert Dreyfus, summarizing themes that have long characterized his work, also criticizes “Descartes’ understanding of the world as a set of meaningless facts to which the mind assigned what Descartes called values” (p. 80). Attempts to find some computational mechanism by means of which the brain assigns significance or meaning to the world always end up surreptitiously presupposing significance or meaning, and attempts to avoid this result tend to lead to a vicious regress. (This, as Dreyfus argues, is what ultimately underlies the well-known “frame problem” in Artificial Intelligence research and the “binding problem” in neuroscience.) As is well-known, Dreyfus makes good use of the work of writers like Heidegger and Merleau-Ponty in criticizing AI, and in particular the notion that we can make sense of the idea of a world inherently devoid of significance for us. But this phenomenological point does not answer the metaphysical question of how and why the world, and ourselves as part of the world, have significance or meaning in the first place. For that – as I argue in The Last Superstition – we need to turn to the Aristotelian tradition, to the concepts of formal and final causation rejection of which set modern thought, and modern civilization, on its long intellectual and moral downward slide.
Friday, August 28, 2015
The comedy keeps coming
Stop me if
you’ve heard this one before, but while
we’re on the subject of humor, here’s another mistake that is often made in
discussions of it: failing to identify precisely which aspect of the phenomenon of humor a theory is (or is best
interpreted as) trying to explain. For
instance, this is sometimes manifest in lists of the various “theories of
humor” put forward by philosophers over the centuries.
Wednesday, August 22, 2012
The metaphysics of bionic implants
Take a look
at the classic title sequence
of The Six Million Dollar Man. Oscar Goldman (the bionic man’s superior in
the Office of Scientific Intelligence) says the following in the famous
voiceover:
Gentlemen, we can rebuild him. We have the technology. We have the capability to make the world's
first bionic man. Steve Austin will be
that man. Better than he was before. Better, stronger, faster.
Now that raises
an interesting philosophical question. Aquinas
holds that:
[T]here exists in everything the
natural desire of preserving its own nature; which would not be preserved were
it to be changed into another nature. Consequently,
no creature of a lower order can ever covet the grade of a higher nature; just
as an ass does not desire to be a horse: for were it to be so upraised, it
would cease to be itself. (Summa Theologiae I.63.3)
Now, Steve
Austin loses an arm, an eye, and his legs.
They are replaced with artificial parts which allow him to surpass his
previous levels of strength, speed, and visual distance perception. Still, they are artificial. His normal human organs are not restored;
instead, he becomes a cyborg. We might even suppose that he likes being one
-- certainly to every teenage boy, and to some of us middle-aged types, the
idea sure seems pretty cool. So, is the bionic man a counterexample to
Aquinas’s claim? For isn’t a cyborg --
being “stronger, faster” than an ordinary human being -- also “better” than an
ordinary human being? And doesn’t the fact
that someone might plausibly desire to be a cyborg show that a thing could
desire to be another kind of thing?
Saturday, March 24, 2012
Scruton on “neuroenvy”
We’ve had several occasions (e.g. here, here, and here) to examine the fallacies committed by those who suppose that contemporary neuroscience has radically altered our understanding of human nature, and even undermined our commonsense conception of ourselves as conscious, rational, freely choosing agents. In a recent Spectator essay, Roger Scruton comments on the fad for neuroscientific pseudo-explanations within the humanities, labeling it “neuroenvy.”
Tuesday, June 23, 2015
There’s no such thing as “natural atheology”
In his brief
and (mostly) tightly argued book God,
Freedom, and Evil, Alvin Plantinga writes:
[S]ome theologians and theistic
philosophers have tried to give successful arguments or proofs for the existence of God. This
enterprise is called natural theology…
Other philosophers, of course, have presented arguments for the falsehood of theistic beliefs; these philosophers
conclude that belief in God is demonstrably irrational or unreasonable. We might call this enterprise natural
atheology. (pp. 2-3)
Cute,
huh? Actually (and with all due respect
for Plantinga), I’ve always found the expression “natural atheology” pretty
annoying, even when I was an atheist. The
reason is that, given what natural theology as traditionally understood is
supposed to be, the suggestion that there is a kind of bookend subject matter
called “natural atheology” is somewhat inept.
(As we will see, though, Plantinga evidently does not think of natural theology in a traditional way.)
Friday, March 3, 2017
Supervenience on the hands of an angry God
In his book Physicalism, or Something Near Enough, Jaegwon Kim puts forward the
following characterization of the materialist supervenience thesis:
I take
supervenience as an ontological thesis involving the idea of
dependence – a sense of dependence that justifies saying that a mental property
is instantiated in a given organism at a time because, or in virtue of the
fact that, one of its physical “base” properties is instantiated by the
organism at that time. Supervenience, therefore, is not a mere claim of
covariation between mental and physical properties; it includes a claim of
existential dependence of the mental on the physical. (p. 34)
Tuesday, December 2, 2014
Progressive dematerialization
In the
Aristotelian-Thomistic (A-T) tradition, it is the intellect, rather than
sentience, that marks the divide between the corporeal and the
incorporeal. Hence A-T arguments against
materialist theories of the mind tend to focus on conceptual thought rather
than qualia (i.e. the subjective or “first-person” features of a conscious
experience, such as the way red looks or the way pain feels) as that aspect of
the mind which cannot in principle be reduced to brain activity or the like. Yet Thomistic writers also often speak even
of perceptual experience (and not just of abstract thought) as involving an
immaterial element. And they need not
deny that qualia-oriented arguments like the “zombie
argument,” Frank Jackson’s “knowledge
argument,” Thomas Nagel’s “bat
argument,” etc. draw blood against materialism. So what exactly is going on here?
Tuesday, August 23, 2011
Development versus decay
A reader asks an interesting question: You write often of the loss of Aristotelian metaphysics (specifically as adopted and developed by St. Thomas) and all the modern philosophical "problems" that have arisen as a result. Discussions of God's existence, the mind-body relation, ethics, etc. all become "problematic" when we remove formal and final causality. I find this amazingly effective in answering modern arguments because it is often their metaphysical presuppositions that cause problems in the first place.
My question is: were the concepts of final and formal causality present in the Patristic era? As I understand it, most of the Church Fathers were only marginally (if at all?) influenced by Aristotle, and were typically more dependent on Platonic or Neo-platonic metaphysics. Does this mean that up until the time of Aquinas, when Aristotle is "rediscovered" in the West, that Christian philosophy was incoherent because it depended more on a Platonic metaphysics than an Aristotelian metaphysics?
Monday, January 31, 2011
Bühler? Bühler?
Psychologist Karl Bühler distinguished three main functions of language, to which his student, the philosopher Karl Popper, added a fourth. Popper discusses this distinction in several places, most notably in The Self and Its Brain, and at greater length in Knowledge and the Body-Mind Problem: A Defense of Interaction. I think it is very useful. (I am no Popperian, but I find that Popper’s work is always interesting. The Self and Its Brain – a gigantic volume co-written with John Eccles – is unjustly neglected by contemporary philosophers of mind, and a great book to dip into now and again when one is looking for something different from the same old same old.)
The four functions are as follows:
Sunday, August 23, 2009
Rothbard revisited
I called attention in a recent post to Prof. Gerard Casey’s reply to a critique of Murray Rothbard that I had posted some years ago at the old Right Reason blog. What follows is a response to Casey. (If they have not already done so, interested readers are urged to read both my original piece and Casey’s reply before proceeding, since I will not be recapitulating everything already said.)The main point of my original piece was to show that, whatever one thinks of his writings on economics, Rothbard was a bad philosopher and therefore unjustified in the stridency with which he asserted some very extreme positions in moral and political philosophy and attacked those who disagreed with those positions. As I emphasized in that piece, the issue is not whether there might be some way or other to salvage this or that Rothbardian claim. The point is rather that Rothbard’s own arguments for his positions in ethics and political philosophy are extremely bad.
Casey begins his defense of Rothbard’s philosophical abilities by saying that “it is not all that difficult to find examples of fallacious, contentious or less-than-perfectly articulated arguments in the works of philosophers who, by general consensus, are far from being mediocre. One could instance David Hume’s treatment of infinite divisibility in A Treatise on Human Understanding, or cite J. S. Mills’ [sic] erstwhile proof of the principle of utility in Chapter IV of his Utilitarianism, or select Aquinas’s Third Way in the Summa Theologiae which, according to some critics, exhibits modal, quantifier shift, and scope fallacies!”
The comparison of Rothbard to Hume, Mill, and Aquinas might seem too risible to be worth responding to. But presumably Casey means to suggest, not that Rothbard was in their rank as a thinker, but only that these eminent philosophers vividly illustrate that an occasional lapse into fallacy does not entail that one has no talent as a philosopher. Fair enough. But I did not claim that Rothbard was a bad philosopher merely because he committed a fallacy here or there. I claimed he was a bad philosopher because his philosophical arguments were as a matter of course crude, superficial, and unoriginal even when otherwise interesting, that his most central philosophical positions maintained a crude and fallacious quality even when developed and restated over the course of several years, and that his absurd confidence in them was in any event out of all proportion to their actual merit. I focused on one of Rothbard’s key arguments in particular as an illustration, but I emphasized that the point was that the kinds of faults it exhibited could easily be found elsewhere in his writings. These faults cannot be attributed to the thinkers Casey mentions.
There are other problems with Casey’s examples in any event. The trouble with the Hume example is that it does not concern something central to Hume’s philosophy, whereas my Rothbard example concerned, again, his key argument in ethics and political philosophy. And contrary to popular belief (and as I show in my forthcoming book Aquinas) Aquinas’s Third Way in fact commits none of the fallacies Casey mentions. (This is yet another instance in which ignorance of the metaphysical assumptions underlying Aquinas’s theistic arguments has led modern commentators badly to misinterpret them.) To be sure, the Mill example is stronger, since the principle of utility is certainly central to Mill’s moral philosophy; and Casey could have added Berkeley’s “master argument” to the list too (though some would defend even Mill and Berkeley from the charge of fallacy). Still, Berkeley gave other and more interesting arguments for his immaterialism, and Mill’s body of significant philosophical work extends well beyond this one argument for utilitarianism, indeed well beyond ethics altogether. Similarly, Hume’s reputation, and Aquinas’s, are well-established apart from the arguments in question. (As my regular readers know, I do think Hume is quite overrated. But I do not deny that he was nevertheless an important philosopher.)
The trouble with Rothbard is that he has no generally recognized body of serious work in philosophy to which one could appeal, in defense of his philosophical significance, in the face of an attack on some particular argument. His handful of arguments in moral and political philosophy just are his philosophical oeuvre; if they are especially bad, his general badness as a philosopher is undeniable. (“But who ever thought Rothbard was a serious philosopher in the first place?” you ask. Well, Rothbardians think he was; indeed, they regard him as a kind of “renaissance man,” and their absurd overestimation of his significance in the history of thought is comparable to Objectivists’ overestimation of Ayn Rand’s significance.)
But let’s move on to the details of Casey’s reply. In my original piece, I set out four main lines of criticism of Rothbard, and Casey’s paper is divided into sections corresponding to each of them, which he labels “Feser’s First Criticism,” “Feser’s Second Criticism,” etc. (with some sub-sections responding to particular issues arising in the course of dealing with each line of criticism). For ease of exposition I will respond to Casey section by section, each section of what follows corresponding to one of his sections or sub-sections. Hopefully this will make our exchange easier to follow that it otherwise would be.
FIRST CRITICISM:
Casey notes that I object that the principle of self-ownership doesn’t follow from the premises Rothbard seems to adduce in support of it, and he concedes that it does not follow from them. But this is irrelevant, Casey says, because Rothbard was not trying to argue for the principle of self-ownership in the first place; he intended it instead as an axiom. Hence my objection is (Casey holds) misdirected.
Now it is true that Rothbard sometimes refers to the thesis of self-ownership as an “axiom.” Still, there are two problems with Casey’s line of defense. First of all, if Rothbard seriously intended the principle of self-ownership as an axiom, then that surely only bolsters my claim that he was a bad philosopher. For the principle of self-ownership is extremely controversial; whether or not it is true, there are many people – including intelligent, rational, and well-informed people – who do not believe that it is. It is in this respect very different from other principles often put forward as axiomatic – the principle of non-contradiction, for example – which have a “self-evident” character and which very few people have ever seriously denied. Hence it is neither at all prima facie plausible to suggest that the thesis of self-ownership be taken as axiomatic, nor wise as a strategy for convincing people to accept a political philosophy that is extremely controversial (as anarcho-capitalism is) to base it on an equally controversial first principle. Even a non-philosopher can see this. Surely a non-mediocre philosopher would have seen it too.
Secondly, in dealing with this first criticism, Casey does not quote in their entirety the relevant passages from For a New Liberty and “Justice and Property Rights.” I do quote the entire For a New Liberty passage toward the beginning of my original piece. The reader who goes back and takes a look at it will see that Rothbard does indeed clearly give an argument – let’s call it the “reductio argument,” since he tries to reduce the denial of self-ownership to absurdity – in defense of the thesis of self-ownership.
Now it is also true, as Casey says, that it is a logical solecism to argue for an axiom or first principle. But given the textual evidence, what follows from this is not that Rothbard didn’t argue for the principle, but that since he did argue for what he claimed was an “axiom,” he was even more muddleheaded than I let on in my original piece. This judgment is given further support by another passage from For a New Liberty where Rothbard asks of what he calls the “nonaggression axiom,” “how is this axiom arrived at? What is its groundwork or support?” and suggests that “there are three broad types of foundation for the libertarian axiom… the emotivist, the utilitarian, and the natural rights viewpoint” (p. 26). How can an axiom be “arrived at” or given a “foundation”? And even if there is some sense in which it can (see below) how is it even intelligible to suggest that that foundation might in theory be utilitarian or emotivist? (Obviously Rothbard himself rejected utilitarian and emotivist approaches; the point is that if some moral principle really is axiomatic, the very idea of an emotivist or utilitarian “foundation” for it cannot even arise in the first place. For if a principle is emotive in content then it is non-cognitive and therefore cannot be an axiom; and if it is supported by utilitarian considerations, then those considerations are logically prior to it and, again, it is therefore not axiomatic.)
Furthermore (and as the passage just quoted indicates) while Rothbard sometimes speaks of self-ownership as axiomatic, he also often speaks instead of the “nonaggression axiom” as what is fundamental to libertarianism, where the “nonaggression axiom” rules out the initiation of violence or the threat of violence against another person or his property. This is evidently a different principle from the self-ownership principle, though there is obviously a connection between them. Indeed, Rothbard treats the principle of self-ownership as a justification for the nonaggression principle: the reason you should not initiate violence against others is that they own themselves. But if the nonaggression principle is itself justified only by reference to the self-ownership principle, in what sense is it “axiomatic”? And if it is not axiomatic – if Rothbard’s reference to the “nonaggression axiom” is not meant seriously (given that the nonaggression principle is actually something he thinks needs to be justified by reference to some other principle) – then the fact that he sometimes refers to the principle of self-ownership as an “axiom” does not show that he really believed it to be strictly axiomatic either.
Hence, either Rothbard was not serious about treating self-ownership and/or nonaggression as axiomatic – that is, he was using “axiom” in some loose, popular sense and not a technical philosophical sense – or, again, he was serious about it, and thus was simply muddleheaded in raising the question of what “foundation” one ought to give such principles. Either way, Casey’s first line of defense fails.
SECOND CRITICISM:
Now Casey also suggests, in the next section of his article, that what I have called Rothbard’s “reductio argument” be understood, not as a direct argument for the thesis of self-ownership, but rather as an indirect defense of the sort that tries to show that anyone who denies self-ownership must be led into a performative self-contradiction. This would be an application of what is known as the method of “retortion,” and it is sometimes deployed in defense of axioms, as Aristotle deploys it in defense of the principle of non-contradiction. So, while a direct argument for an axiom would be a solecism, an indirect defense of the retortion sort is perfectly legitimate; and this, Casey claims, is what Rothbard was up to.
But there are three problems with Casey’s suggestion that the “reductio argument” was intended as an application of the method of retortion. First, while Rothbard deploys the “reductio argument” in For a New Liberty, where he makes much of the idea that libertarianism rests on an “axiom” of non-aggression or (alternatively) self-ownership, he also deploys versions of the same argument in both “Justice in Property Rights” and The Ethics of Liberty, where, interestingly, the “axiom” idea does not play a role. But if this argument was not intended as an application of the retortion strategy in the latter two works (since there is no talk there of an “axiom” of self-ownership), but rather as a direct argument for self-ownership, then we have good reason to think it was intended as a direct argument in For a New Liberty as well (where, as we have seen, Rothbard’s use of the term “axiom” is very slippery in any event).
Moreover, even if Rothbard shifted strategies between For a New Liberty and the later works – that is, even if he intended his argument as an application of the retortion strategy in the earlier work but not in the later works – that would hardly help Casey’s defense. For it would constitute a tacit admission on Rothbard’s own part that the “axiom” approach is implausible and should be abandoned. And in that case, Casey’s appeal to the “axiom” interpretation as a way of rescuing Rothbard’s arguments from my criticisms would be undermined.
Second, the retortion interpretation of what I have called Rothbard’s “reductio argument” is implausible even apart from these textual considerations. For the “reductio argument” goes well beyond the appeal to performative self-contradiction that is central to the retortion strategy, making reference as it does to various empirical economic claims.
Third, even if Rothbard really did for all that intend the “reductio argument” as an exercise in retortion, it is still a very bad argument, for all the reasons set out in my original piece. Indeed, given all the problems outlined in that piece, it is an even worse argument if interpreted as an exercise in retortion, since the whole point of retortion arguments is to provide a crisp and conclusive proof that will close off any further debate.
In my original piece, I noted that Rothbard fails to consider and respond to a number of obvious alternatives to self-ownership that a critic might put forward. Casey considers each of these in turn:
The “no one owns anybody” alternative:
Rothbard argued that “since ownership signifies range of control, [the claim that no one owns anybody, not even himself] would mean that no one would be able to do anything, and the human race would quickly vanish.” In response, I pointed out that “while having ownership of something does imply having a range of control over it, having a range of control over it doesn’t imply ownership … Animals have a range of control over their environment, but since ownership is a moral category implying the having of certain rights, and animals (by Rothbard’s own admission) have no rights, it follows that they have no ownership of anything. And of course, their lack of ownership of anything hasn’t caused animals as a whole to ‘vanish,’ ‘quickly’ or otherwise.”
Casey suggests that I am interpreting Rothbard uncharitably here, and that he intended the claim that “ownership signifies range of control” not as a conditional – in which case he would be guilty of affirming the consequent (since from “If I own x, then I have a range of control over x” it doesn’t follow that “If I have a range of control over x, then I own x”) – but rather as a technical definition and thus a biconditional. In particular, for Casey, what Rothbard is saying in the passage in question is that “the term ‘own’ in the context of one’s body” entails by definition “the right to control one’s body free of coercive interference.”
One problem with this move is that it simply does not fit the textual evidence. In the passage in question, Rothbard doesn’t say that “ownership of one’s body signifies the right to a range of control over it” but rather merely that “ownership signifies range of control.” That is to say, in this particular passage Rothbard is evidently concerned with ownership in general and not merely with self-ownership; and he is not making the (normative) point that ownership entails a right, but rather the (descriptive) point that it entails certain practical abilities such as the ability to feed, clothe, and shelter oneself.
Another, related problem is that Casey’s proposal entirely strips Rothbard’s argument of whatever force it might have had. If Rothbard is saying that the rejection of self-ownership would entail the practical impossibility of doing what is necessary to stay alive, then he is making an interesting claim that, if true, would constitute very strong grounds for endorsing the thesis of self-ownership. But if he is saying only that the rejection of self-ownership would entail the rejection of a “right to control one’s body free of coercive interference,” then he is not saying anything his critic doesn’t already know. The critic can say “Yes, of course denying self-ownership entails denying such a right. But so what? Since I deny self-ownership, I’m quite happy to deny also that there is such a right. What you need to show is that denying self-ownership would also entail something that I would not want to accept – such as the extinction of the human race. And your merely definitional point does nothing at all to show that.”
The “God owns us” alternative:
In response to my point that Rothbard fails even to consider the possible objection that it is God, rather than we, who own us, Casey points out that I myself once asserted in my book On Nozick that “someone might respond that God owns us, so that we cannot own ourselves … But self-ownership is no more inconsistent with belief in God than private property is.” He then says that “Professor Feser is entirely within his rights to change his mind on the matter of self-ownership, if that is what he has in fact done, but he would surely not wish to have it held against his competence as a philosopher that he once endorsed a position that is substantially the same as that put forward by Rothbard.”
But this is weak even as an ad hominem. There is no inconsistency between what I said in On Nozick and what I said in criticism of Rothbard. For my criticism of Rothbard was not that there is no way to reconcile self-ownership with God’s ownership of us. My criticism of Rothbard was rather that he did not even address the issue in the first place, even though it is (as Casey himself acknowledges) an objection that many theists might naturally suppose (whether correctly or incorrectly) has force against the thesis of self-ownership. (Why Casey thinks Rothbard himself held “substantially the same position” as the one I took in On Nozick is something he does not tell us.) Nor is it any good to say, as Casey does, that Rothbard should not be expected to address every possible criticism, since the objection at hand is hardly an obscure one, raising as it does an issue that goes back at least to Locke. Moreover, Rothbard was famously on friendlier terms with theists than many other contemporary libertarians have been, and in other contexts more sensitive to their concerns than (say) a Rand or a Nozick would have been. There is simply no excuse for his having failed to address this issue.
Moreover, to say that self-ownership can be reconciled with God’s ownership of us does not entail that a radically libertarian conception of self-ownership can be reconciled with it. For example, Locke, who claims both that God owns us and also that there is nevertheless a sense in which we own ourselves, denies, on theological grounds, that our self-ownership rights can possibly be absolute. In particular, for Locke, they cannot be strong enough to allow either suicide or the selling of oneself into slavery. (See my book Locke for detailed discussion of this issue.) And since Casey raises the question of my current views on this matter, I should note for the record that they have indeed changed: I would now say that the standard contemporary libertarian conception of self-ownership is not compatible either with classical natural law theory or with theism. (Some of the reasons for this judgment are given here, and my current views on self-ownership are developed in my essay “Classical Natural Law Theory, Property Rights, and Taxation,” forthcoming in Social Philosophy and Policy.)
The various “partial ownership of others” alternatives:
Casey’s treatment of these alternatives is brief, and can be found on page 9 of his essay. Go read it if you haven’t already, because since I’m not even clear what his argument is supposed to be, I fear I might misrepresent it if I try to summarize it.
In response to my criticism of Rothbard here, Casey says that “ownership implies the right to dispose of one’s possessions in any way one chooses, subject to the limitations of not infringing upon the rights of others. To the extent that one cannot so dispose, to that extent one is not an owner.” I can only speculate that his point is that talk of “partial ownership” in my proposed alternatives is therefore somehow suspect: one either owns something or one doesn’t. But Casey himself uses the qualifier “to that extent,” which appears implicitly to acknowledge that ownership can be partial. And that it can be partial is in any case obvious from everyday experience. For example, you and your roommate might buy a car together and come to some agreement as to who can drive it and when. True, to the extent that you can’t drive it just whenever you want, “you are not an owner,” but only to that extent; and this is just a roundabout way of saying that you and your roommate are each partial owners, rather than either being a complete owner. So, I am not clear how what Casey says is supposed to be a problem for my criticism of Rothbard.
Casey also suggests that Rothbard’s assertion of “the absurdity of ‘proclaiming that every man is entitled to own a part of everyone else, yet is not entitled to own himself’” shows that there is something inherently fishy in the very idea of everyone having partial ownership of everyone else. For that idea too entails (Casey claims) “the peculiar situation of people being able to own all or some of other people but not able to own themselves.” Again, I am not at all clear what Casey is talking about. The “partial ownership of others” scenarios in question do not involve “people being able to own all or some of other people but not able to own themselves.” Rather, they involve people who do own themselves at least partially while also having partial ownership of others. Hence the absurdity Rothbard thinks he sees in the scenario he describes is not even relevant to the cases I was describing. Casey seems to be just insisting dogmatically that ownership is all-or-nothing, when whether this is the case or not is precisely (part of) what is in question.
THIRD CRITICISM:
One of Rothbard’s claims was that to assert a right of ownership over others entails asserting that those others are subhuman. In response, I pointed out that some defenders of slavery would deny this, and insist that recognizing the full humanity of others is consistent with claiming a right to keep them as slaves. Once again, I am not clear about what Casey’s reply to this objection is supposed to be. It seems to me he does little more than simply re-assert Rothbard’s position. He does say that any claim on the part of some to have ownership rights over others would have to be “grounded in some significant difference between the two groups. Accidental differences of height or weight, or hair colour or language will obviously not suffice to ground such a right in one group of human beings as against another.” True enough. But it doesn’t follow that the difference in question would entail that the one group is less human than the other. For example, a would-be slave owner might try to argue that while he and his prospective slave are both human, the (alleged) fact that the slave has a much lower degree of intelligence shows that he is more like a human child than a human adult and thus cannot be trusted to run his life for himself. To answer such a would-be slave owner, then, one must do more than merely point out that slaves are human.
For what it is worth, classical natural law theory would absolutely rule out chattel slavery, not on the grounds of the sort of radical self-ownership Rothbard affirms, but rather on the ground that each human being has a natural end to which all other ends – including those of a would-be slave owner, but including also his own contingent ends – are subordinate. That is to say, since I am ordered by nature to certain ends, I cannot be turned away from them by some other human being, as if I were his property; but neither do I have a natural right to do just whatever I feel like doing with myself, as if I were, in some strong sense, my own property. Libertarians often claim that the only way to show that chattel slavery is wrong is to affirm (their understanding of) self-ownership. But in fact, the actual, natural law reasons why chattel slavery is wrong also entail that libertarianism is wrong. (Classical natural law theory does allow that some lesser forms of servitude – a life-long work arrangement as punishment for a crime, say, or as a way of paying off a debt – can in principle be legitimate, but in practice are too fraught with moral hazard to be justifiable.)
Here as elsewhere, though, the issue is not whether Rothbard’s position is or is not correct or defensible. The point is that Rothbard’s own arguments for his position are subject to obvious objections that he does not even consider.
FOURTH CRITICISM:
Rothbard asserted that “allowing Class A to own Class B means that the former is allowed to exploit, and therefore to live parasitically, at the expense of the latter. But this parasitism itself violates the basic economic requirements for life: production and exchange.” In response, I pointed out that “animals do not engage in ‘production and exchange,’ certainly not in the laissez-faire economics sense intended by Rothbard, but they are obviously alive.”
In defense of Rothbard, Casey says: “Rothbard is clearly not saying that those who do not engage in production and exchange are not alive. If he had claimed this, there would be some point to Feser’s animal counterexample.” Well, of course Rothbard wasn’t saying that, but neither was I claiming that he was. The question isn’t whether those who don’t engage in production and exchange in Rothbard’s sense will instantly die. The question is whether life could continue over time without production and exchange. Rothbard is evidently claiming that it could not; as Casey puts it, “Rothbard’s point, if I understand it correctly, is an economic one to the effect that production and exchange are substantive human activities that are essential to human survival.” But that Rothbard is wrong is obvious from the animal example. Animals don’t ‘produce’ or ‘exchange’ things in the economic sense, and yet they are able to sustain themselves in existence. Human beings could do the same if they needed to, hunter-gatherer style. To be sure, this wouldn’t be a very satisfying way of life for us civilized people, but that’s beside the point. Rothbard is trying to show that unless you accept his conception of self-ownership, you are logically committed to a system that would make continued human life impossible. And he simply fails to come anywhere close to showing that. Indeed, it is obvious that he fails to show it – the animal counterexample is hardly that difficult to come up with – which was exactly my point. Here, as elsewhere, Rothbard makes preposterously bold claims without even bothering to address obvious possible objections.
There are also obvious difficulties with Rothbard’s claim that the “parasitism” of one group living off another is inconsistent with the system of production and exchange. One problem is that it obviously isn’t true: By Rothbard’s own anarcho-capitalist lights, the history of the human race is largely a history of “parasites” (e.g. governments) living off of the wealth generated by those who produce and exchange. If such “parasitism” is incompatible with a system of production and exchange, how has this system been able to survive so long, “parasites” and all?
Of course, Rothbard might claim that, even if this is possible as a practical matter, there is no economic principle that could justify it. But (a critic might ask) since it is practically possible, how could any economic principle that ruled it out itself be justified? Wouldn’t the centuries-long empirical, practical success of such a “parasitic” system falsify any such economic principle? Alternatively, Rothbard might hold that such parasitism is ruled out by a moral rather than economic principle. But if so, it cannot be the principle of self-ownership that rules it out, because that would make the argument in question – which is intended to establish self-ownership – a circular one.
Moreover, it has to be a moral principle strong enough to rule out, not just slavery – which, as we have seen above, there is ample moral reason to reject in any case – but all forms of “parasitism,” since Rothbard’s claim seems to be that parasitism as such is incompatible with production and exchange. But such a principle would therefore entail that children, elderly parents, the infirm, etc. – all of whom are “parasites” in Rothbard’s sense, since they live “at the expense” of others without producing or exchanging – have no right to our assistance. Some Rothbardians would no doubt try to fudge this obscene consequence by claiming that we have in many cases “consented” to help such people, so that our obligations to them are contractual and thus compatible with the system of production and exchange. This is not only ad hoc and implausible – such a libertarian reduction of all human relationships to economic ones is, for my money, as preposterous and repulsive as the Marxist version – but clearly won’t cover every case even by the Rothbardian’s own lights. Fetuses resulting from unplanned pregnancies and cripples without friends, families, marketable skills, or a nearby charity are just out of luck in a Rothbardian “society.” (Indeed, for Rothbard, unwanted unborn children must be regarded as “coercive parasites” – which, from a classical natural law theory point of view, is pretty much a reductio ad absurdum of his entire moral and political philosophy.)
Any moral principle strong enough to get Rothbard what he needs in order to salvage the argument in question would, then, be either question-begging or prima facie highly implausible. But again, whether such a principle could ultimately be defended is not what is at issue. The point is that the potential problems with Rothbard’s position should be obvious, and yet he failed even to consider them.
So, Casey’s defense of Rothbard fails. Indeed, our consideration of it has indicated that Rothbard may have been an even worse philosopher than I let on in my original post. Which is saying something.
Monday, July 20, 2009
Hitting the metaphysical snooze button
One of the major themes of The Last Superstition is the significance of the early modern philosophers’ replacement of the classical teleological conception of nature with an anti-teleological or mechanistic conception. Another major theme is how utterly oblivious most contemporary intellectuals are to the nature and consequences of this revolution – about the motivations that lay behind it, its true relationship to modern science, the surprising feebleness of the arguments used to justify it, and the new and intractable problems it opened up. Most of all, they show little awareness of the deep conceptual problems inherent in the attempt to give a thoroughly mechanistic account of the world, as contemporary naturalism seeks to do. (I argue in the book that the very program is incoherent, so that naturalism, as usually understood anyway, is demonstrably false. I also provide positive arguments to show that a teleological conception of nature is rationally unavoidable – as are the theism and natural law conception of morality that the Aristotelian-Thomistic tradition derives from it.)What is remarkable is how, just over a half-century ago, the problematic character of the modern mechanistic understanding of nature was as evident to many prominent intellectuals as it is utterly invisible to their descendants. Nor am I referring merely to Neo-Scholastics and other Thomists. In the book I quote a lengthy passage from the September 1948 Atlantic Monthly in which the then-prominent empiricist philosopher W. T. Stace – not someone with a religious or Aristotelian ax to grind – described the early moderns’ replacement of a teleological conception of the world with a mechanistic one as “the greatest revolution in human history, far outweighing in importance any of the political revolutions whose thunder has reverberated through the world,” and one which in his view necessarily undermined the foundations of morality. Moreover, he realized that this revolution was purely philosophical in character, not scientific, despite its often being conflated with (and thereby deriving an unearned prestige from) the discoveries of early modern science.
Stace thought the meaninglessness of human existence entailed by this picture of the world was something we would have to try to learn to live with. (Good luck with that.) But other thinkers of the day saw that the problems with the mechanistic conception of nature went well beyond its unhappy moral implications. They saw that it was philosophically inadequate, that it simply did not do justice to what we know about the world – indeed, to what we know about the world in part through modern science itself. They often also saw that the criticisms the early moderns had made of their medieval predecessors were superficial and unfair – and again, I’m speaking of non-Aristotelian and non-Thomistic writers here, not those with a Scholastic or Catholic stake in the controversy.
Take, for example, Alfred North Whitehead. In Science and the Modern World, based on his 1925 Lowell Lectures, he judges that the mathematical-cum-mechanistic conception of the natural world, for all its undoubted practical benefits in allowing for the prediction and control of events, is as a metaphysical theory “quite unbelievable,” the outcome of mistaking “high abstractions” for “concrete realities” (pp. 54-55). Groundlessly treating the idealizations of quantitative empirical science as if they constituted an exhaustive description of the natural order has generated an endless “oscillation” of modern philosophy between the three equally unacceptable extremes of Cartesian dualism, materialism, and idealism, as philosophers hopelessly try to make sense of the place of mind in a mechanistic world (p. 55).
Confusing the abstract and concrete is only half the problem, though, in Whitehead’s view. The other half is the difficulty the anti-teleological mechanistic revolution opened up for the understanding of causation and inductive reasoning. As I discuss at length in TLS, for the Scholastics, the main way in which final causality manifests itself in the natural world is as the concomitant of efficient causality. If some cause A regularly generates some effect or range of effects B – if fire regularly generates heat, ice cubes regularly cause the surrounding air or water to grow cooler, and so forth – this can only be because there is something in the nature of A by virtue of which it “points to” or “aims at” B specifically, as to a goal or natural end. If there is no such “pointing” or “aiming” in A – that is to say, if the generation of B is not the final cause of A – then the fact that A is an efficient cause of B, the fact that it reliably generates B specifically rather than C, D, E, or no effect at all, becomes unintelligible. This is, from an Aristotelian-Thomistic point of view, precisely why efficient causation became so problematic in modern philosophy: the denial of formal and final causes (i.e. the denial that things have natures in virtue of which they are directed toward certain ends) was bound to result in the skeptical puzzles of David Hume. (Actually, the problem of causation goes back, naturally enough, to Ockham and the early nominalists; in his “originality” as in so many other ways, Hume is vastly overrated.)
Whitehead takes a similar view, arguing that the problem of induction is generated by a mechanistic conception of matter on which for any material particular, “there is no inherent reference to any other times, past or future” (p. 51). Hence, “if the cause in itself discloses no information as to the effect, so that the first invention of it must be entirely arbitrary, it follows at once that science is impossible, except in the sense of establishing entirely arbitrary connections which are not warranted by anything intrinsic to the natures either of causes or effects. Some variant of Hume’s philosophy has generally prevailed among men of science. But scientific faith has risen to the occasion, and has tacitly removed the philosophic mountain.” (p. 4)
By “faith” having “risen to the occasion,” what Whitehead means is that in the absence of any objective, intelligible connection between causes and effects, the scientific enterprise can have no rational foundation, so that scientists who embrace the mechanistic philosophy of nature and the Humeanism that is its sequel in effect carry out their work on the basis of a groundless commitment. Contrary to the standard caricature of the moderns vs. medievals dispute as a conflict between sober rationality and blind faith, Whitehead regards the moderns as the fideists and the medievals, whose Aristotelian metaphysics made nature intelligible through and through, as the partisans of “unbridled rationalism” (p. 9). Indeed, “the clergy were in principle rationalists, whereas the men of science were content with a simple faith in the order of nature… This attitude satisfied the Royal Society but not the Church. It also satisfied Hume and has satisfied subsequent empiricists.” (p. 51)
“Accordingly,” Whitehead says, “we must recur to the method of the school-divinity as explained by the Italian medievalists” if we are to avoid skepticism about induction (p. 44); in particular, we must return to something like the Scholastic idea that universal natures can be abstracted from particulars. Of course, Whitehead himself was no Aristotelian or Thomist, putting forward as he did his own novel process metaphysics. But he saw that something had to be put in place of the inadequate mechanistic philosophy of nature of the moderns, and that there were at least elements in the medieval picture that it replaced – in particular its acknowledgement that teleology is an objective feature of the world – that needed to be revived.
Another writer of this period who perceived the inadequacies of the mechanistic revolution is E. A. Burtt, whose The Metaphysical Foundations of Modern Physical Science (first published in 1924, revised in 1932) is a classic study of the history of that revolution, and essential reading for anyone who wants to understand it. One of Burtt’s themes is the way in which the mind-body problem and the problem of skepticism are natural outcomes of the mechanistic view of nature, which so radically divorces the common sense “manifest image” from the “scientific image” (to borrow Wilfrid Sellars’ language) that there seems no way in principle to bring them back together again. Another theme is the way in which the moderns insisted on forcing reality to fit their method rather than making their method fit reality, and how such “wishful thinking” and “uncritical confidence” underlay their wholesale chucking-out of Scholasticism in favor of a new, purely quantificational conception of nature.
I quote Burtt at some length in TLS and won’t repeat the quotes here. Another writer who briefly made some of the same points was Basil Willey, who tells us in The Seventeenth Century Background (1934) that “this [modern] science has achieved what it has achieved precisely by abstracting from the whole of ‘reality’ those aspects which are amenable to its methods. There is no point in denying that only thus can ‘scientific’ discovery be made. What we need to remember, however, is that we have to do here with a transference of interests rather than with the mere ‘exantlation’ of new truth or the mere rejection of error.” (p. 23) In other words, the fact that a science which focuses only on those aspects of nature which can be analyzed in mechanistic-cum-mathematical terms succeeds mightily in uncovering those aspects (as modern science undeniably has) tells us absolutely nothing about whether nature has any other – non-mechanistic, non-mathematically-quantifiable – aspects. The early moderns by no means disproved the metaphysics of the Scholastics; they simply changed the subject. “Galileo typifies the direction of modern interests, in this instance, not in refuting St. Thomas, but in taking no notice of him.” (p. 25)
Then there is R. G. Collingwood, who in the thirties, in his lectures on The Idea of Nature (and as Marjorie Grene reminds us in her 1964 essay “Biology and Teleology”), saw contemporary biology moving back in the direction of something like Aristotle’s understanding of teleology, apart from which the internal development of an organism is unintelligible (whatever one says about the Darwinian explanation of adaptation, which is an independent question). Grene herself thought Collingwood’s prediction “startling,” certainly from the perspective of 1964, though she sympathized with his view that irreducible biological teleology was real, and presented some considerations in its defense. (Grene’s essay is available in her collection The Understanding of Nature: Essays in the Philosophy of Biology.)
Of course, the reason Grene found Collingwood’s prediction startling was that by the mid-1960s few were decrying the crude mechanism of modern philosophy of nature, certainly within academic philosophy and Anglo-American intellectual life in general. To be sure, Great Books advocates like Mortimer Adler and Robert M. Hutchins had been calling for renewed attention to writers like Aquinas throughout the thirties, forties, and fifties, as had Neo-Thomists like Maritain and Gilson. And even into the early sixties, books like Floyd Matson’s The Broken Image – now totally forgotten (though it received a nice blurb from no less than F. A. Hayek) – decried what the mechanistic revolution had done to our conception of human nature and political science. But these attitudes were getting further and further from the mainstream, and by the end of the sixties were entirely passé. Though modern intellectuals seemed for a thirty-year period mid-century to be waking from their dogmatic slumbers vis-à-vis the mechanistic revolution of the early moderns, they eventually hit the metaphysical snooze button, rolled over, and went back to sleep.
Why? Good question. No doubt the reasons are complex, but I would conjecture that the dominant factor within Anglo-American academic philosophy was the influx of European intellectuals into American universities during the thirties and forties, as they fled Nazi tyranny. In philosophy, a great many of these people were beholden to logical positivism and related ideas, and their crude scientism was passed on to their students – students who by the 1960s were dominating the field. In light of the work of Quine, Kuhn, and other critics of positivist dogmas, this scientism would eventually be softened somewhat. But these critiques were generally internal, and did not challenge scientism at the most fundamental level (despite their having resulted in recent decades in a revival of metaphysics as a sub-field within analytic philosophy). In particular, they did nothing to restore awareness of the problematic character of the mechanistic conception of nature inherited from the early moderns.
Or at least, nothing until recently. Fortunately, the alarm clock seems to be ringing once again. As I note in TLS, a return to notions surprisingly similar to the Aristotelian-Thomistic ideas of formal and final cause (even if not always under those labels) can be seen in various areas of contemporary philosophy, and in writers who have no particular interest in A-T metaphysics as such nor any theological ax to grind. To take just a few examples: In philosophy of science and general metaphysics, there is the “new essentialism” of philosophers like Brian Ellis, Nancy Cartwright, Crawford Elder, and George Molnar; in philosophy of biology there is a renewed respect for teleology in the work of writers like Andre Ariew and J. Scott Turner; in philosophy of action there are defenses of the irreducibly teleological nature of action by writers like Scott Sehon and G. F. Schueler; in ethics there is the neo-Aristotelian biological conception of the good defended by thinkers like Philippa Foot and Michael Thompson; and a general trend toward “non-reductionist” forms of naturalism can be seen in philosophy of mind and other sub-disciplines within philosophy.
Again, not all of these writers would see in their views a return to Aristotelian themes, nor would most (or even any) of them support the use to which Thomists would put those views. But however inadvertently and piecemeal, these trends do in fact constitute a revival, sometimes under novel language, of some of the metaphysical ideas of the Scholastics. And of course there are yet other contemporary analytic philosophers whose work is self-consciously Thomistic or Scholastic – for example, John Haldane, David Oderberg, Gyula Klima, Christopher F. J. Martin, James Ross, and other writers sometimes characterized (though not always by themselves) as “analytical Thomists.”
Willey writes: “As T. E. Hulme and others have pointed out, it is almost insuperably difficult to become critically conscious of one’s own habitual assumptions; ‘doctrines felt as facts’ can only be seen to be doctrines, and not facts, after great efforts of thought, and usually only with the aid of a first-rate metaphysician.” (p. 12) The lazy naturalism and scientism that inform most contemporary intellectual life, and which underlie the New Atheism, are precisely such “doctrines felt as facts,” prejudices to which most secularists do not even realize there is any rational alternative. Even with the metaphysical alarm clock ringing once more, today’s dogmatic slumberers may just hit the snooze button yet again. But maybe not. We live in hope.
I quote Burtt at some length in TLS and won’t repeat the quotes here. Another writer who briefly made some of the same points was Basil Willey, who tells us in The Seventeenth Century Background (1934) that “this [modern] science has achieved what it has achieved precisely by abstracting from the whole of ‘reality’ those aspects which are amenable to its methods. There is no point in denying that only thus can ‘scientific’ discovery be made. What we need to remember, however, is that we have to do here with a transference of interests rather than with the mere ‘exantlation’ of new truth or the mere rejection of error.” (p. 23) In other words, the fact that a science which focuses only on those aspects of nature which can be analyzed in mechanistic-cum-mathematical terms succeeds mightily in uncovering those aspects (as modern science undeniably has) tells us absolutely nothing about whether nature has any other – non-mechanistic, non-mathematically-quantifiable – aspects. The early moderns by no means disproved the metaphysics of the Scholastics; they simply changed the subject. “Galileo typifies the direction of modern interests, in this instance, not in refuting St. Thomas, but in taking no notice of him.” (p. 25)
Then there is R. G. Collingwood, who in the thirties, in his lectures on The Idea of Nature (and as Marjorie Grene reminds us in her 1964 essay “Biology and Teleology”), saw contemporary biology moving back in the direction of something like Aristotle’s understanding of teleology, apart from which the internal development of an organism is unintelligible (whatever one says about the Darwinian explanation of adaptation, which is an independent question). Grene herself thought Collingwood’s prediction “startling,” certainly from the perspective of 1964, though she sympathized with his view that irreducible biological teleology was real, and presented some considerations in its defense. (Grene’s essay is available in her collection The Understanding of Nature: Essays in the Philosophy of Biology.)
Of course, the reason Grene found Collingwood’s prediction startling was that by the mid-1960s few were decrying the crude mechanism of modern philosophy of nature, certainly within academic philosophy and Anglo-American intellectual life in general. To be sure, Great Books advocates like Mortimer Adler and Robert M. Hutchins had been calling for renewed attention to writers like Aquinas throughout the thirties, forties, and fifties, as had Neo-Thomists like Maritain and Gilson. And even into the early sixties, books like Floyd Matson’s The Broken Image – now totally forgotten (though it received a nice blurb from no less than F. A. Hayek) – decried what the mechanistic revolution had done to our conception of human nature and political science. But these attitudes were getting further and further from the mainstream, and by the end of the sixties were entirely passé. Though modern intellectuals seemed for a thirty-year period mid-century to be waking from their dogmatic slumbers vis-à-vis the mechanistic revolution of the early moderns, they eventually hit the metaphysical snooze button, rolled over, and went back to sleep.
Why? Good question. No doubt the reasons are complex, but I would conjecture that the dominant factor within Anglo-American academic philosophy was the influx of European intellectuals into American universities during the thirties and forties, as they fled Nazi tyranny. In philosophy, a great many of these people were beholden to logical positivism and related ideas, and their crude scientism was passed on to their students – students who by the 1960s were dominating the field. In light of the work of Quine, Kuhn, and other critics of positivist dogmas, this scientism would eventually be softened somewhat. But these critiques were generally internal, and did not challenge scientism at the most fundamental level (despite their having resulted in recent decades in a revival of metaphysics as a sub-field within analytic philosophy). In particular, they did nothing to restore awareness of the problematic character of the mechanistic conception of nature inherited from the early moderns.
Or at least, nothing until recently. Fortunately, the alarm clock seems to be ringing once again. As I note in TLS, a return to notions surprisingly similar to the Aristotelian-Thomistic ideas of formal and final cause (even if not always under those labels) can be seen in various areas of contemporary philosophy, and in writers who have no particular interest in A-T metaphysics as such nor any theological ax to grind. To take just a few examples: In philosophy of science and general metaphysics, there is the “new essentialism” of philosophers like Brian Ellis, Nancy Cartwright, Crawford Elder, and George Molnar; in philosophy of biology there is a renewed respect for teleology in the work of writers like Andre Ariew and J. Scott Turner; in philosophy of action there are defenses of the irreducibly teleological nature of action by writers like Scott Sehon and G. F. Schueler; in ethics there is the neo-Aristotelian biological conception of the good defended by thinkers like Philippa Foot and Michael Thompson; and a general trend toward “non-reductionist” forms of naturalism can be seen in philosophy of mind and other sub-disciplines within philosophy.
Again, not all of these writers would see in their views a return to Aristotelian themes, nor would most (or even any) of them support the use to which Thomists would put those views. But however inadvertently and piecemeal, these trends do in fact constitute a revival, sometimes under novel language, of some of the metaphysical ideas of the Scholastics. And of course there are yet other contemporary analytic philosophers whose work is self-consciously Thomistic or Scholastic – for example, John Haldane, David Oderberg, Gyula Klima, Christopher F. J. Martin, James Ross, and other writers sometimes characterized (though not always by themselves) as “analytical Thomists.”
Willey writes: “As T. E. Hulme and others have pointed out, it is almost insuperably difficult to become critically conscious of one’s own habitual assumptions; ‘doctrines felt as facts’ can only be seen to be doctrines, and not facts, after great efforts of thought, and usually only with the aid of a first-rate metaphysician.” (p. 12) The lazy naturalism and scientism that inform most contemporary intellectual life, and which underlie the New Atheism, are precisely such “doctrines felt as facts,” prejudices to which most secularists do not even realize there is any rational alternative. Even with the metaphysical alarm clock ringing once more, today’s dogmatic slumberers may just hit the snooze button yet again. But maybe not. We live in hope.
Thursday, June 17, 2010
Stoljar on intentionality
Daniel Stoljar’s new book Physicalism is a very useful overview of its subject. However, its brief treatment of intentionality (and of some other topics too) evinces a deep misunderstanding of dualism, a misunderstanding that seems to be very common in contemporary philosophy of mind.Stoljar begins his discussion with the following characterization of intentionality:
The intentionality of a mental state is its aboutness. When I think of Vienna or believe that the computer is on the desk or fear that the planet will get hotter, I instantiate mental states which are in a hard to define sense about Vienna, or the computer on the desk or planet Earth. The idea is that mental states (and speech acts) have a property rather like signs, sentences, and gestures; that is, they are about or represent things other than themselves. (p. 200)
So far so good; at least, that is an accurate characterization of what modern philosophers, whether physicalists, dualists, or idealists, tend to mean by “intentionality.” (Whether they are right to think of it this way is a question I will return to later.) Stoljar then suggests that the reason intentionality is philosophically problematic is that it is supposed to involve a relation that might hold between a thinker and something else, and yet lacks three key features one would expect such a relation to have. First, if I bear a relation to something else, one would expect that that something else exists; and yet I can think about something that does not exist (e.g. Valhalla). Second, if I bear a relation to something else, one would expect that there is some particular thing I bear it to; but I can think about a man without there being some man in particular I am thinking of. Third, if I bear a relation to some thing A and A = B, then one would expect that I thereby bear that relation to B; but if I am thinking about Vienna, then even though Vienna is the birthplace of Schubert, it doesn’t follow that I am thinking about the birthplace of Schubert, about whom I may know nothing. (To use the technical jargon, ascriptions of intentional mental states are often non-extensional or intensional, insofar as we cannot always substitute co-referring expressions salve veritate; that is to say, intentionality-with-a-t is often – though, it is important to note, not always – associated with intensionality-with-an-s.)
Now, Stoljar acknowledges that these features of intentionality are philosophically puzzling. But he claims that they pose no special difficulty for physicalism. In particular, they give us no reason to favor dualism over physicalism, for they are as problematic on the former view as on the latter. Says Stoljar: “[S]uppose classical dualism is true and I am some sort of complex of an ordinary physical object and soul; it is still impossible for me to stand in a relation to things that don’t exist! In sum, the paradoxes of intentionality will remain whether physicalism is true or not, hence they do not concern physicalism.” (p. 201)
There are two problems with this. First, it does not get to the heart of the problem of intentionality. Second, it rests on a misunderstanding of dualism. Let’s take them in order.
Consider the following dialogue:
Policeman: Ma’am, some bad news, I’m afraid. Your son just robbed a liquor store. Caught him red-handed with the cash tucked in the glove compartment, along with a few bottles of Tanqueray, vermouth, and tipsy olives that he tossed in the back seat.
Mom: Oh dear. I suppose he’s in trouble for being under 21. Or was he speeding in the getaway car?
Policeman: Well, there is that, I guess. But here’s the main thing: He robbed a liquor store.
Stoljar reminds me a little bit of Mom. Yes, the “paradoxes of intentionality” that he calls attention to are important. But it is intentionality itself, and not the “paradoxes,” that is of the greatest interest. Even if the objects I thought about always existed, or were always particular, or never generated non-extensional contexts – that is to say, even if intentionality exhibited none of the “paradoxical” features in question – the “aboutness” of my thoughts would remain. And it is that “aboutness” that the dualist takes to pose the chief difficulty for physicalism.
There are at least two ways to see how – a commonsense way and a more technical way. The commonsense way is this. Consider the word “cup” as you might write it in ink. Now consider a set of splotches that forms after your ink bottle leaks overnight, among which there are three right next to each other that by chance look vaguely like this: CUP. The set of splotches looks like the word, but it isn’t. The word has meaning, the splotches do not. But this has nothing to do with the physical properties of either. The ink is the same in both cases, as are the shapes. We can even imagine a case where your penmanship is bad enough and/or the splotches are distinct enough that their appearance is indistinguishable from the word “cup” that you’ve written. In general, it is not the intrinsic physical properties of letters, words, and sentences, whether written or spoken, that give them the meaning they have. Rather, their meaning derives from the conventions established by language users. It is an accident of history that the sequence of shapes cup has meaning and the sequence of shapes - ( ^ does not. Intrinsically, the first sequence is as meaningless as the second. But what is true of ink splotches and sounds seems no less true of all other physical phenomena. They all seem obviously devoid of meaning until someone decides to use them to convey meaning. As John Searle puts it, words, sentences, and the like, considered as material objects, have only “derived intentionality.” We are able to impart meaning to them by virtue of having thoughts with “original intentionality” – your thought about a cup represents or means cup without anyone having to form a convention of using it to mean that. But if neural processes are as devoid of original intentionality as ink marks, sounds, and the like, then it is hard to see how thoughts could be identified with neural processes, or claimed to supervene upon them. And the same is true of any other purported physicalistic basis for mental phenomena.
Now, there are various things a physicalist might want to say in response to this, but the point is that the problem intentionality is claimed to pose for physicalism here can obviously be stated in a way that makes no reference to the “paradoxes of intentionality.” If the commonsense point just made constitutes a difficulty for physicalism, it would do so even if the paradoxes in question did not exist.
The more technical way of making the point is to emphasize that the conception of “the physical” that physicalism typically presupposes is a mechanistic one – that is to say, one which (as I have discussed ad nauseam, e.g. here) takes matter to be devoid of any immanent or intrinsic final causality or teleology of the sort affirmed by the Aristotelian-Scholastic tradition the early moderns sought to overthrow. For the Scholastics, efficient causes in the natural order inherently “point to” or are “directed at” their effects, and in sweeping aside immanent final causality the moderns rejected the claim that any natural phenomenon inherently and irreducibly “points to” or is “directed at” anything at all. Intrinsically, the natural world is for them comprised instead of “nothing but” meaningless, purposeless particles in motion or the like. (Descartes, Locke, Boyle, Newton, and other early mechanists did of course think of ends or goals being imposed on the world by God, but precisely because they were mechanists opposed to Aristotelianism and Scholasticism, they saw the resulting purposes or meanings as extrinsic to the world rather than inherent. See the great many posts on this theme that I’ve written over the last several months, as well as the discussions in The Last Superstition and Aquinas.)
Now, if intentionality involves something “pointing to” or being “directed at” or “about” something beyond itself, and the mechanistic conception of matter underlying physicalism holds that there is no such thing in nature as something inherently and irreducibly being “directed at” or “pointing to” something else, then it seems at the very least difficult to see how intentionality could possibly be something material or physical. I had reason to make this point in my recent post on Chomsky. But though Stoljar quotes the same passage from Jerry Fodor that I cited there, he does not see (as Fodor does, though Fodor does not make explicit reference to the anti-Aristotelian mechanistic revolution) that it is the moderns’ own conception of matter, rather than the “paradoxes of intentionality,” that generates the difficulty.
Again, the point is not that the physicalist might not have a good response to points like the ones I’ve been making – I don’t think so, but that’s another issue. The point is rather that it misses the point to address the problem of intentionality as if the paradoxes Stoljar calls attention to were at the heart of it, and as if it had nothing to do with the nature of “the physical.” Both the commonsense point and the technical point (as I have called them) show that the problem has very much to do with the nature of the physical, and nothing essentially to do with the paradoxes.
But how, the physicalist might still ask, does dualism fare any better? For as Stoljar suggests, wouldn’t any objection to a physicalist account of intentionality apply mutatis mutandis to any dualist alternative? Or as Clayton Littlejohn once objected in a remark in Victor Reppert's combox: “It seems like causal pathways in an immaterial substance would have the same content fixation problems as causal pathways in a physical substance.”
As I have said, this sort of objection seems increasingly common in contemporary philosophy of mind, but it is deeply confused. What dualist ever said anything about “causal pathways in an immaterial substance”? Stoljar and Littlejohn seem to think that what the dualist means by an immaterial substance or soul is something that is just like a material substance – and in particular, something with distinct and causally interrelated parts – only not material, but instead “made out of” some other kind of “stuff” (“ectoplasm” maybe). In short, a kind of ghostly machine, but a machine all the same. But that is precisely what dualists – whether of a Platonic, Thomistic, or Cartesian stripe – do not think the soul is. For dualists have typically held that the soul is simple or non-composite, and thus not “made out of” causally interrelated parts of any sort. That its activities cannot be modeled on those of a material substance is the whole point.
How should we think of it, then? For the Cartesian, the essence of the soul is thought, and that is the entirety of its essence. Descartes does not say: “Gee, it’s hard to see how intentionality could be explained in terms of causal relations between physical parts. I therefore postulate an immaterial substance with immaterial parts whose causal relations are capable of generating thought and intentionality.” That would imply that in addition to thought, a soul has of its nature the various parts in question and their characteristic interrelations. And that is just what Descartes denies. A Cartesian immaterial substance doesn’t generate thinking. It is thinking, and that is all that it is. For that reason, and contrary to what Stoljar assumes, the Cartesian conception of intentionality cannot possibly be open to the same objections raised against physicalism. To say “Maybe a Cartesian immaterial substance – that is to say, something which just is its activity of thinking – could, like a physical substance, exist in the absence of intentional mental states” is just incoherent. A physicalist might want to raise some other objection to the Cartesian view, but Stoljar’s tu quoque is not open to him.
Now, for the Thomistic or hylemorphic dualist, the soul is to be understood, not as pure thought, but rather as the substantial form of the living human body. And qua form, it is not a complete substance in the first place, much less a material or quasi-material one. (Talk of the soul as an “immaterial substance” is thus for the Thomist at least misleading, though he does hold that the soul subsists beyond the death of the body as an incomplete substance.) Here too, though, talk of interrelated quasi-material parts, “causal pathways,” and the like is completely out of place. But for the Thomist, the Cartesian’s talk of inner “representations” is out of place too; as I have discussed elsewhere (e.g. here and here) the “representationalist” conception of the mind is an essentially modern one that the ancients and medievals generally would have rejected. As a consequence, the ancients and medievals would reject too the essentially modern way of framing the issue of intentionality that I have, for the sake of argument, been following up to now in this post. For instance, if a broadly Aristotelian-Thomistic conception of nature is correct, then natural phenomena really do have intrinsic final causes after all, so that (for example) material efficient causes inherently “point beyond” themselves to their effects. It would follow that a thought’s “pointing beyond” itself cannot be what makes it immaterial; and indeed, that is not the sort of argument the ancients and medievals gave for the mind’s immateriality. (Nor did they argue from “qualia” – that too, as I have noted many times before, is a very modern sort of argument for dualism, and presupposes a mechanistic approach to nature.) The ancients and medievals focused instead on such features of our thoughts as their universality and determinacy, which they took to be essentially incompatible with thought’s having any material organ. (See here, here, chapter 4 of Aquinas and chapter 7 of Philosophy of Mind.)
But that is a gigantic topic of its own. Suffice it for present purposes to note that with respect to Thomistic dualism no less than the Cartesian version, contemporary physicalists would do well to try better to “know their enemy” before dismissing him.
Saturday, November 17, 2012
Nagel and his critics, Part III
In the previous installment in this series of posts on Thomas Nagel’s Mind and Cosmos, I looked at some objections to Nagel raised by Brian Leiter and Michael Weisberg. I want now to turn to Elliot Sober’s review in Boston Review. To his credit, and unlike Leiter and Weisberg, Sober is careful to acknowledge that:
Nagel’s main goal in this book is not
to argue against materialistic reductionism, but to explore the consequences of
its being false. He has argued against
the -ism elsewhere, and those who know their Nagel will be able to fill in the
details.
Sober then
goes on to offer a brief summary of the relevant positions Nagel has defended
in earlier works like his articles “What Is It Like to Be a Bat?” and “The
Psychophysical Nexus.” As I emphasized in
my previous post, keeping these earlier arguments in mind is crucial to giving the
position Nagel develops in Mind and
Cosmos a fair reading. Unfortunately,
however, having reminded his readers of these earlier arguments of Nagel’s,
Sober immediately goes on to ignore them.
Tuesday, August 28, 2012
Think, McFly, think!
As
Aristotelians and Thomists use the term, intellect
is that faculty by which we grasp abstract concepts (like the concepts man and mortal), put them together into judgments (like the judgment that all men are mortal), and reason logically
from one judgment to another (as when we reason from all men are mortal and Socrates
is a man to the conclusion that Socrates
is mortal). It is to be distinguished
from imagination, the faculty by
which we form mental images (such as a visual mental image of what your mother
looks like, an auditory mental image of what your favorite song sounds like, a
gustatory mental image of what pizza tastes like, and so forth); and from sensation, the faculty by which we
perceive the goings on in the external material world and the internal world of
the body (such as a visual experience of the computer in front of you, the
auditory experience of the cars passing by on the street outside your window,
the awareness you have of the position of your legs, etc.).
Thursday, February 21, 2013
Noë on the origin of life etc.
UC Berkeley
philosopher (and atheist)
Alva Noë is, as
we saw not too long ago, among the more perceptive and interesting critics
of Thomas Nagel’s Mind and Cosmos. In a
recent brief follow-up post, Noë revisits the controversy over Nagel’s
book, focusing on the question of the origin of life. Endorsing some remarks made by philosopher of
biology Peter Godfrey-Smith, Noë holds that while we have a good idea of how
species originate, there is no plausible existing scientific explanation of how
life arose in the first place:
This is probably not, I would say,
due to the fact that the relevant events happened a long time ago. Our problem isn't merely historical in nature,
that is. If that were all that was at
stake, then we might expect that, now at least, we would be able to make life
in a test tube. But we can't do that. We don't know how.
Monday, December 29, 2014
Causality, pantheism, and deism
Agere sequitur esse (“action follows being” or “activity follows existence”) is a basic principle of Scholastic metaphysics. The idea is that the way a thing acts or behaves reflects what it is. But suppose that a thing doesn’t truly act or behave at all. Would it not follow, given the principle in question, that it does not truly exist? That would be too quick. After all, a thing might be capable of acting even if it is not in fact doing so. (For example, you are capable of leaving this page and reading some other website instead, even if you do not in fact do so.) That would seem enough to ensure existence. A thing could hardly be said to have a capacity if it didn’t exist. But suppose something lacks even the capacity for acting or behaving. Would it not follow in that case that it does not truly exist?
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