Councils and Councillors of Henry IV, 1399–1413

1964 ◽  
Vol 14 ◽  
pp. 35-65 ◽  
Author(s):  
J.L. Kirby

The one important, indeed invaluable, source for the history of the council in the early-fifteenth century is the Proceedings and Ordinances of the Privy Council of England, 10 Richard II–33 Henry VIII, edited by Sir Nicholas Harris Nicolas and published by the Record Commission in seven volumes in the years 1834 to 1837, but in so far as the title of this work implies a formal and continuous record of proceedings it is misleading, for, unlike parliament, the council left no regular account of its activities. The Rolls of Parliament, even though their account of the proceedings is one-sided, official and incomplete, do at least record such bare facts as the dates of meeting, the names of the Speakers, and usually the dates of adjournment; but there are no similar rolls for the council. The phrase ‘privy council’ in Nicolas's title is also something of an anachronism, at least for the early part of the period covered. At this time the future privy council was generally known simply as the council or the king's council, although it was sometimes called the continual council to distinguish it from the larger body known to contemporaries as the great council. This distinctionis usually made in official records, but chroniclers often referred indifferently to either body as the council, and the differences are not now always apparent to us.

Author(s):  
Michael H. Gelting

One sentence in the Prologue of the Law of Jutland (1241) has caused much scholarlydiscussion since the nineteenth century. Did it say that “the law which the king givesand the land adopts, he [i.e. the king] may not change or abolish without the consentof the land, unless he [i.e. the king] is manifestly contrary to God” – or “unless it [i.e.the law] is manifestly contrary to God”? In this article it is argued that scholarly conjectures about the original sense of the text at this point have paid insufficient attentionto the textual history of the law-book.On the basis of Per Andersen’s recent study of the early manuscripts of the Lawof Jutland, it is shown that the two earliest surviving manuscripts both have a readingthat leaves little doubt that the original text stated that the king could not change thelaw without the consent of the land unless the law was manifestly contrary to God. Theequivocal reading that has caused the scholarly controversy was introduced by a conservativerevision of the law-book (known as the AB text), which is likely to have originatedin the aftermath of the great charter of 1282, which sealed the defeat of the jurisdictionalpretensions of King Erik V. A more radical reading, leaving no doubt that the kingwould be acting contrary to God in changing the law without consent, occurs in an earlyfourteenth-century manuscript and sporadically throughout the fifteenth century, butit never became the generally accepted text. On the contrary, an official revision of thelaw-book (the I text), probably from the first decade of the fourteenth century, sought toeliminate the ambiguity by adding “and he may still not do it against the will of the land”,thus making it clear that it was the law that might be contrary to God.Due to the collapse of the Danish monarchy in the second quarter of the fourteenthcentury, the I text never superseded the AB text. The two versions coexistedthroughout the fourteenth and fifteenth centuries and soon produced a number ofhybrid versions. One of these gained particular importance, since it was the text thatwas used for the first printed editions of the Law of Jutland in 1504 and 1508. Thus itbecame the standard text of the law-book in the sixteenth century. The early printededitions also included the medieval Latin translation of the Law of Jutland and theLatin glosses to the text. The glosses are known to be the work of Knud Mikkelsen,bishop of Viborg from 1451 to 1478. Based on a close comparison of the three texts, itis argued here that Bishop Knud was also the author of the revised Danish and Latintexts of the law-book that are included in the early printed editions, and that the wholework was probably finished in or shortly after 1466. Bishop Knud included the I text’saddition to the sentence about the king’s legislative powers.An effort to distribute Bishop Knud’s work as a new authoritative text seems tohave been made in 1488, but rather than replacing the earlier versions of the Lawof Jutland, this effort appears to have triggered a spate of new versions of the medievaltext, each of them based upon critical collation of several different manuscripts.In some of these new versions, a further development in the sentence on the king’slegislative power brought the sentence in line with the political realities of the late fifteenthcentury. Instead of having “he” [i.e. the king] as the agent of legal change, theyattribute the initiative to the indefinite personal pronoun man: at the time, any suchinitiative would require the agreement of the Council of the Realm.Only the printing press brought this phase of creative confusion to an end in theearly sixteenth century.Finally, it is argued that the present article’s interpretation of the original senseof this particular passage in the Prologue is in accordance with the nature of Danishlegislation in the period from c.1170 to the 1240s, when most major legislation happenedin response to papal decretals and changes in canon law.


PMLA ◽  
1931 ◽  
Vol 46 (3) ◽  
pp. 694-719 ◽  
Author(s):  
Evelyn May Albright
Keyword(s):  
Henry Iv ◽  

Mr. Ray Heffner's article, “Shakespeare, Hayward, and Essex,” is confused and at times self-contradictory; but the main points which he attempts to maintain against my paper, “Shakespeare's Richard II and the Essex Conspiracy,” seem to be these:1. That the play, founded on Hayward's history of Henry IV, which Essex is said, in Item 5 of the “Analytical abstract of the evidence in support of the charge of treason against the Earl of Essex,” to have witnessed, could not have been the play on the deposition of Richard II which the Essex conspirators are known to have attended in a group on February 7, 1601, the day before the rebellion; and that the performances referred to in this Abstract were not of a play by Shakespeare, nor acted by his company, but of an unknown play, performed perhaps by Essex's own actors at his house on some unknown occasion, which Mr. Heffner dates first as necessarily “after February, 1599,” later, as “in February, 1599,” and, in conclusion, as “in January, 1599.”


1995 ◽  
Vol 58 (1) ◽  
pp. 17-39
Author(s):  
O. Wright

Part 1 of this paper was concerned principally with the various problems that confront any attempt to provide a satisfactory transcription of these two examples. Given the nature of the difficulties encountered, it is clear that any generalizations we might wish to derive from them can only be tentative and provisional. Nevertheless, the paucity of comparable material, which on the one hand renders the interpretative hurdles all the more difficult to surmount, on the other makes the urge to draw at least some conclusions from the material provided by ‘Abd al-Qādir al-Marāghī and Binā'ī well-nigh irresistible. Such conclusions would involve, essentially, an assessment of the extent to which their notations shed light on the musical practice of the period and provide reliable evidence for the history of composition and styles of textsetting. But in any evaluation of this nature it is essential to avoid the temptation to confuse the sources with the speculative editorial interventions that produce the versions presented in part 1 (exs. 26–8 and 30). The area about which least can be said with regard to the naqsh notated by Binā'ī is, therefore, the nature of the text-setting, while with regard to ‘Abd al-Qādir al-Marāghī's notations it is, rather, the first topic we may consider, the relationship between melody and the underlying articulation of the rhythmic cycle.


1987 ◽  
Vol 67 (1) ◽  
pp. 86-96
Author(s):  
Howard L. Blackmore

In 1792 the Society published in Archaeologia an engraving of ‘An antient Mortar at Eridge Green’, with the claim that it was the first gun made in England. Subsequent writers on the history of artillery, while noting the gun's importance as one of the first examples of a wrought-iron cannon or bombard (to give it its correct name), believed that it had been destroyed. In fact, by the date of its publication, the bombard had been removed to Boxted Hall, Suffolk, where it remained unrecognized until its transfer to the Royal Armouries, H. M. Tower of London, in 1979. This article traces the history of the bombard, the method of its construction and concludes that it was probably made in England, in the Weald, during the fifteenth century.


2020 ◽  
Vol 29 ◽  
Author(s):  
Duchowny Aléxia ◽  
Pereira Luíza

El objetivo de este trabajo es identificar la fecha aproximada de la producción del texto del manuscrito Lybro de magyka, la tercera parte de una obra sobre astrología, en espanõl, comprada por Hernando Colón en 1527, que se conserva hoy en la Biblioteca Colombina, Sevilla, bajo la inscripción Ms. 5-2-32. Nuestra hipótesis es que el texto fue escrito entre los siglos XIII y XVI. Por lo tanto, la base teórica está constituida por gramáticas históricas de la lengua española que traen las siguientes características representativas del español medieval que nos permitieran elaborar criterios para el análisis que comprobarían o no la hipótesis inicial: 1) la formación de adverbios con el sufijo -mientre; 2) los masculinos hechos en -a que adoptan concordancia femenina; 3) la aspiración de la f- inicial; 4) el cambio de la copulativa et para y; 4) el adverbio suso. Los resultados permiten observar que la lengua del manuscrito fecha probablemente de finales del siglo XIV o del siglo XV, lo que se encuentra de acuerdo con las hipótesis de autoría propuestas por los trabajos acerca del Lybro de magyka hasta el momento. Así, el presente estudio contribuye para la reconstrucción de la historia del códice y para los estudios acerca de la lengua española. The objective of this work is to identify the approximate date of the production of the text of the manuscript Lybro de magyka, the third part of a work on astrology, in Spanish, purchased by Hernando Colón in 1527, which is preserved today in the Biblioteca Colombina, Seville, Spain, under the registration Ms. 5-2-32. Our hypothesis is that the text was written between the thirteenth and sixteenth centuries, and is a copy of a Catalan translation. Therefore, the theoretical basis is constituted by works of internal and external history of the Spanish language that bring representative characteristics of the medieval Spanish. The characteristics below allow to elaborate criteria for the analysis that would verify or not the initial hypothesis: 1) the formation of adverbs with the suffix -mientre ; 2) the masculine ones made in -a that adopt feminine concordance; 3) the change of the copulative et to y; The results show that the language of the manuscript probably dates from the fifteenth century, which is in accordance with the hypotheses of authorship proposed by the works on the Lybro de Magyka so far. Thus, the present study contributes to the reconstruction of the history of the codex and to the studies about the Spanish language.


2018 ◽  
Vol 38 (1) ◽  
Author(s):  
Josh Brown

The main tendency characterizing the development of language in Lombardy in the fourteenth and fifteenth centuries is the formation of a koiné. The extent to which Milan influenced the Lombard koiné is the subject of ongoing debate. On the one hand, scholars suggest that Milan provided a centralizing force for the “Milanization” of other Lombard vernaculars, similar to what occurred for Piedmont and the Veneto. On the other hand, studies have pointed out that Milan was not a centralizing force for the Lombard koiné and that it remains to be verified whether the prestige of Milanese influenced non-Milanese vernaculars. This paper looks at the extent to which Milan influenced the koiné in fifteenth-century Lombardy. I consider eight linguistic items, previously described as unique to the vernacular of Pavia, to verify their presence or absence in a corpus of religious writings from the fifteenth-century nun Elisabetta of Pavia and whether Milanese items can be identified. I consider aspects of phonology and morphology in Elisabetta’s letters and conclude that her language is best characterized as a pre-koiné. The article concludes by arguing for less emphasis on the role of Milan in histories of the vernacular in Lombardy. This finding has implications for the history of non-literary writing in northern Italy and the importance attributed to capital cities in processes of koineization.


1980 ◽  
Vol 1 (1) ◽  
pp. 111
Author(s):  
Ian Linklater

"Richard II" is the first play in the second Tetralogy or group of plays broadly about the history of England from 1399 to 1415. It is followed by the two parts of Henry IV and climaxes in the so-called English Epic play Henry V. The first Tetralogy, obviously written before, comprises the three parts of Henry VI and culminates in "Richard III" and deals with the period of the Wars of the Roses from 1420 to the accession of Henry Tudor in 1485, which final date marks the beginning of the Tudor Dynasty.


PMLA ◽  
1944 ◽  
Vol 59 (1) ◽  
pp. 26-44
Author(s):  
Ruth Mohl

The literature of the estates of the world, so clearly developed in medieval France and England, was further enriched for the modern reader by the publication in 1936 of the fifteenth-century satire Mum and the Sothsegger. Discovered in the west country, near the locale of Piers Plowman, to which it bears a number of similarities, it reviews the condition of “all kinds of estates,“ from king to peasant, in the eventful last days of Richard II and the early years of the reign of Henry IV. Though a part of the newly discovered manuscript is a fragment of alliterative verse already published under the title Richard the Redeles, the much larger part concerning the case of Mum and the Truthteller was unknown to modern readers and seems to have been largely neglected since its publication. The question of the relation of the two fragments is unsettled, but since in the sixteenth century they were known as one poem under the title of Mum, Sothsegger, since their language and form are identical, and since certain ideas in the two parts are closely related, there is good reason for considering them here together as parts of a single poem.


1995 ◽  
Vol 8 (1) ◽  
pp. 48-86 ◽  
Author(s):  
J B Kaper ◽  
J G Morris ◽  
M M Levine

Despite more than a century of study, cholera still presents challenges and surprises to us. Throughout most of the 20th century, cholera was caused by Vibrio cholerae of the O1 serogroup and the disease was largely confined to Asia and Africa. However, the last decade of the 20th century has witnessed two major developments in the history of this disease. In 1991, a massive outbreak of cholera started in South America, the one continent previously untouched by cholera in this century. In 1992, an apparently new pandemic caused by a previously unknown serogroup of V. cholerae (O139) began in India and Bangladesh. The O139 epidemic has been occurring in populations assumed to be largely immune to V. cholerae O1 and has rapidly spread to many countries including the United States. In this review, we discuss all aspects of cholera, including the clinical microbiology, epidemiology, pathogenesis, and clinical features of the disease. Special attention will be paid to the extraordinary advances that have been made in recent years in unravelling the molecular pathogenesis of this infection and in the development of new generations of vaccines to prevent it.


Geophysics ◽  
1945 ◽  
Vol 10 (1) ◽  
pp. 17-33
Author(s):  
Henry Salvatori

The first major attempt to employ the reflection method in California was made in 1931. The first results were disappointing, but by the early part of 1932 a prospect near Merced was successfully mapped. The correlation method was found to have limited applicability and the dip method was generally adopted. Most of the early work was performed with wide spacing of stations and lines since very close control was not considered necessary to discover the larger structural features which were then of greatest interest. As a result of this early reflection work several important oil fields were discovered among which are the Wilmington and Rio Bravo fields. A brief history of the discovery of these two fields is given and the seismic maps are compared with the later geologic maps compiled from well data.


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