To learn about the perceptual world of infants, researchers measure infants” head movements, eye movements, facial expressions, brain waves, heart rate, and respiration. Using these indicators, psychologists have found that shortly after birth, infants show a distinct preference for the human face over other visual stimuli. Also suggesting that newborns are tuned into the face as a social object is the fact that within 72 hours of birth, they can mimic adults who purse the lips or stick out the tongue-a rudimentary form of imitation. Newborns can distinguish between their mother”s voice and that of another woman. And at two weeks old, nursing infants are more attracted to the body odor of their mother and other breast-feeding females than to that of other women. Taken together, these findings show that infants are equipped at birth with certain senses and reflexes designed to aid their survival.
In 1905 French psychologist Alfred Binet and colleague Théodore Simon devised one of the first tests of general intelligence. The test sought to identify French children likely to have difficulty in school so that they could receive special education. An American version of Binet”s test, the Stanford-Binet Intelligence Scale, is still used today.
In 1905 French psychologist Alfred Binet devised the first major intelligence test for the purpose of identifying slow learners in school. In doing so, Binet assumed that intelligence could be measured as a general intellectual capacity and summarized in a numerical score, or intelligence quotient (IQ). Consistently, testing has revealed that although each of us is more skilled in some areas than in others, a general intelligence underlies our more specific abilities.
Intelligence tests often play a decisive role in determining whether a person is admitted to college, graduate school, or professional school. Thousands of people take intelligence tests every year, but many psychologists and education experts question whether these tests are an accurate way of measuring who will succeed or fail in school and later in life. In this 1998 Scientific American article, psychology and education professor Robert J. Sternberg of Yale University in New Haven, Connecticut, presents evidence against conventional intelligence tests and proposes several ways to improve testing.
Today, many psychologists believe that there is more than one type of intelligence. American psychologist Howard Gardner proposed the existence of multiple intelligence, each linked to a separate system within the brain. He theorized that there are seven types of intelligence: linguistic, logical-mathematical, spatial, musical, bodily-kinesthetic, interpersonal, and intrapersonal. American psychologist Robert Sternberg suggested a different model of intelligence, consisting of three components: analytic (“school smarts,” as measured in academic tests), creative (a capacity for insight), and practical (“street smarts,” or the ability to size up and adapt to situations). Psychologists from all branches of the discipline study the topic of motivation, an inner state that moves an organism toward the fulfillment of some goal. Over the years, different theories of motivation have been proposed. Some theories state that people are motivated by the need to satisfy physiological needs, whereas others state that people seek to maintain an optimum level of bodily arousal (not too little and not too much). Still other theories focus on the ways in which people respond to external incentives such as money, grades in school, and recognition. Motivation researchers study a wide range of topics, including hunger and obesity, sexual desire, the effects of reward and punishment, and the needs for power, achievement, social acceptance, love, and self-esteem.
In 1954 American psychologist Abraham Maslow proposed that all people are motivated to fulfill a hierarchical pyramid of needs. At the bottom of Maslow”s pyramid are needs essential to survival, such as the needs for food, water, and sleep. The need for safety follows these physiological needs. According to Maslow, higher-level needs become important to us only after our more basic needs are satisfied. These higher needs include the need for love and belongingness, the need for esteem, and the need for self-actualization (in Maslow”s theory, a state in which people realize their greatest potential).
The view that the role of sentences in inference gives a more important key to their meaning than their “external” relations to things in the world. The meaning of a sentence becomes its place in a network of inferences that it legitimates. Also, known as its functional role semantics, procedural semantic or conceptual role semantics. As these view bear some relation to the coherence theory of truth, and suffers from the same suspicion that divorces meaning from any clear association with things in the world.
Paradoxes rest upon the assumption that analysis is a relation with concept, then are involving entities of other sorts, such as linguistic expressions, and that in true analysis, analysand and analysandum are one and the same concept. However, these assumptions are explicit in the British philosopher George Edward Moore, but some of Moore”s remarks hint at a solution that a statement of an analysis is a statement partially taken about the concept involved and partly about the verbal expression used to express it. Moore is to suggest that he thinks of a solution of this sort is bound to be right, however, facts to suggest one because he cannot reveal of any way in which the analysis can be as part of the expression.
Elsewhere, the possibility clearly does set of apparent incontrovertible premises giving unacceptable or contradictory conclusions. To solve a paradox will involve showing that either these hidden flaws in the premises, or what the reasoning is erroneous, or that the apparently unacceptable conclusion can, in fact, be tolerable. Paradoxes are therefore important in philosophy, for until one is solved it shows that there is something about our reasoning and our concepts that we do not understand. Famous families of paradoxes include the semantic paradoxes and Zeno's paradoxes. At the beginning of the 20th century, Russell's paradox and other set-theoretic paradoxes of set theory, while the Sorites paradox has led to the investigation of the semantics of vagueness, and fuzzy logic. Paradoxes are under their other titles. Much as there is as much as a puzzle arising when someone says “p but I do not believe that p.” What is said is not contradictory, since (for many instances of p) both parts of it could br. true. But the person nevertheless violates one presupposition of normal practice, namely that you assert something only if you believe it: By adding that you do not believe what you just said you undo the natural significance of the original act saying it.
Furthermore, the moral philosopher and epistemologist Bernard Bolzano (1781-1848), whose logical work was based on a strong sense of there being an ontological underpinning of science and epistemology, lying in a theory of the objective entailments masking up the structure of scientific theories. His ability to challenge wisdom and come up with startling new ideas, as a Christian philosopher whether than from any position of mathematical authority, that for considerations of infinity, Bolzano”s significant work was Paradoxin des Unenndlichen, written in retirement and translated into the English as Paradoxes of the Infinite. Here, Bolzano considered directly the points that had concerned Galileo-the conflicting result that seem to emerge when infinity is studied. Certainly most of the paradoxical statements encountered in the mathematical domain . . . are propositions which either immediately contain the idea of the infinite, or at least in some way or other depends upon that idea for their attempted proof.
Continuing, Bolzano looks at two possible approaches to infinity. One is simply the case of setting up a sequence of numbers, such as the whole numbers, and saying that as it cannot conceivably be said to have a last term, it is inherently infinite-not finite. It is easy enough to show that the whole numbers do not have a point at which they stop, giving a name to that last number whatever it might have been to call it “ultimate.” Then what”s wrong with ultimate + 1? Why is that not a whole number?
The second approach to infinity, which Bolzano ascribes in Paradoses of the Infinite to “some philosophers . . . Taking this approach describe his first conception of infinity as the “bad infinity.” Although the German philosopher Friedrich George Hegal (1770-1831) applies the conceptual form of infinity and points that it is, rather, the basis for a substandard infinity that merely reaches toward the absolute, but never reaches it. In Paradoses of the Infinite, he calls this form of potential infinity as a variable quantity knowing no limit to its growth (a definition adopted, even by many mathematicians) . . . always growing int the infinite and never reaching it. As far as Hegel and his colleagues were concerned, using this uprush, there was no need for a real infinity beyond some unreachable absolute. Instead we deal with a variable quality that is as big as we need it to be, or often in calculus as small as we need it to be, without ever reaching the absolute, ultimate, truly infinite.
Bolzano argues, though, that there is something else, an infinity that does not have this “whatever you need it to be” elasticity. In fact a truly infinite quantity (for example, the length of a straight line unbounded in either direction, meaning: The magnitude of the spatial entity containing all the points determined solely by their abstractly conceivable relation to two fixed points) does not by any means need to be variable, and in an adduced example it is in fact not variable. Conversely, it is quite possible for a quantity merely capable of being taken greater than we have already taken it, and of becoming larger than any pre-assigned (finite) quantity, nevertheless to mean at all times merely finitely, which holds in particular of every numerical quantity 1, 2, 3, 4, 5.
In other words, for Bolzano there could be a true infinity that was not a variable “something” that was only bigger than anything you might specify. Such a true infinity was the result of joining two pints together and extending that line in both directions without stopping. And what is more, he could separate off the demands of calculus, using a finite quality without ever bothering with the slippery potential infinity. Here was both a deeper understanding of the nature of infinity and the basis on which are built in his “safe” infinity free calculus.
This use of the inexhaustible follows on directly from most Bolzano”s criticism of the way that ∞we used as a variable something that would be bigger than anything you could specify, but never quite reached the true, absolute infinity. In Paradoxes of the Infinity Bolzano points out that is possible for a quantity merely capable of becoming larger than any other one pre-assigned (finite) quantity, nevertheless to remain at all times merely finite.
Bolzano intended tis as a criticism of the way infinity was treated, but Professor Jacquette sees it instead of a way of masking use of practical applications like calculus without the need for weasel words about infinity.
By replacing ∞with ¤ we do away with one of the most common requirements for infinity, but is there anything left that map out to the real world? Can we confine infinity to that pure mathematical other world, where anything, however unreal, can be constructed, and forget about it elsewhere? Surprisingly, this seems to have been the view, at least at one point in time, even of the German mathematician and founder of set-theory Georg Cantor (1845-1918), himself, whose comments in 1883, that only the finite numbers are real.
Keeping within the lines of reason, both the Cambridge mathematician and philosopher Frank Plumpton Ramsey (1903-30) and the Italian mathematician G. Peano (1858-1932) have been to distinguish logical paradoxes and that depend upon the notion of reference or truth (semantic notions), such are the postulates justifying mathematical induction. It ensures that a numerical series is closed, in the sense that nothing but zero and its successors can be numbers. In that any series satisfying a set of axioms can be conceived as the sequence of natural numbers. Candidates from set theory include the Zermelo numbers, where the empty set is zero, and the successor of each number is its unit set, and the von Neuman numbers, where each number is the set of all smaller numbers. A similar and equally fundamental complementarity exists in the relation between zero and infinity. Although the fullness of infinity is logically antithetical to the emptiness of zero, infinity can be obtained from zero with a simple mathematical operation. The division of many numbers by zero is infinity, while the multiplication of any number by zero is zero.
With the set theory developed by the German mathematician and logician Georg Cantor. From 1878 to 1807, Cantor created a theory of abstract sets of entities that eventually became a mathematical discipline. A set, as he defined it, is a collection of definite and distinguished objects in thought or perception conceived as a whole.
Cantor attempted to prove that the process of counting and the definition of integers could be placed on a solid mathematical foundation. His method was to repeatedly place the elements in one set into “one-to-one” correspondence with those in another. In the case of integers, Cantor showed that each integer (1, 2, 3, . . . n) could be paired with an even integer (2, 4, 6, . . . n), and, therefore, that the set of all integers was equal to the set of all even numbers.
Amazingly, Cantor discovered that some infinite sets were large than others and that infinite sets formed a hierarchy of greater infinities. After this failed attempt to save the classical view of logical foundations and internal consistency of mathematical systems, it soon became obvious that a major crack had appeared in the seemingly sold foundations of number and mathematics. Meanwhile, an impressive number of mathematicians began to see that everything from functional analysis to the theory of real numbers depended on the problematic character of number itself.
While, in the theory of probability Ramsey was the first to show how a personalised theory could be developed, based on precise behavioural notions of preference and expectation. In the philosophy of language, Ramsey was one of the first thinkers to accept a “redundancy theory of truth,” which hr combined with radical views of the function of many kinds of propositions. Neither generalizations nor causal propositions, nor those treating probability or ethics, describe facts, but each has a different specific function in our intellectual economy.
Ramsey advocates that of a sentence generated by taking all the sentences affirmed in a scientific theory that use some term, e.g., “quark.” Replacing the term by a variable, and existentially quantifying into the result. Instead of saying quarks have such-and-such properties, Ramsey postdated that the sentence as saying that there is something that has those properties. If the process is repeated, the sentence gives the “topic-neutral” structure of the theory, but removes any implications that we know what the term so treated denote. I t leaves open the possibility of identifying the theoretical item with whatever it is that best fits the description provided. Nonetheless, it was pointed out by the Cambridge mathematician Newman that if the process is carried out for all except the logical bones of the theory, then by the Löwenheim-Skolem theorem, the result will be interpretable in any domain of sufficient cardinality, and the content of the theory may reasonably be felt to have been lost.
It seems, that the most taken of paradoxes in the foundations of “set theory” as discovered by Russell in 1901. Some classes have themselves as members: The class of all abstract objects, for example, is an abstract object, whereby, others do not: The class of donkeys is not itself a donkey. Now consider the class of all classes that are not members of themselves, is this class a member of itself, that, if it is, then it is not, and if it is not, then it is.
The paradox is structurally similar to easier examples, such as the paradox of the barber. Such one like a village having a barber in it, who shaves all and only the people who do not have in themselves. Who shaves the barber? If he shaves himself, then he does not, but if he does not shave himself, then he does not. The paradox is actually just a proof that there is no such barber or in other words, that the condition is inconsistent. All the same, it is no too easy to say why there is no such class as the one Russell defines. It seems that there must be some restriction on the kind of definition that are allowed to define classes and the difficulty that of finding a well-motivated principle behind any such restriction.
The French mathematician and philosopher Henri Jules Poincaré (1854-1912) believed those paradoses like those of Russell nd the “barber” were due to such as the im predicative definitions, and therefore proposed banning them. But, it tuns out that classical mathematics required such definitions at too many points for the ban to be easily absolved. Having, in turn, as forwarded by Poincaré and Russell, was that in order to solve the logical and semantic paradoxes it would have to ban any collection (set) containing members that can only be defined by means of the collection taken as a whole. It is, effectively by all occurring principles into which have an adopting vicious regress, as to mark the definition for which involves no such failure. There is frequently room for dispute about whether regresses are benign or vicious, since the issue will hinge on whether it is necessary to reapply the procedure. The cosmological argument is an attempt to find a stopping point for what is otherwise seen as an infinite regress, and, to ban of the predicative definitions.
The investigation of questions that arise from reflection upon sciences and scientific inquiry, are such as called of a philosophy of science. Such questions include, what distinctions in the methods of science? Is there a clear demarcation between scenes and other disciplines, and how do we place such enquires as history, economics or sociology? And scientific theories probable or more in the nature of provisional conjecture? Can the be verified or falsified? What distinguished good from bad explanations? Might there be one unified since, embracing all the special science? For much of the 20th century their questions were pursued in a high abstract and logical framework it being supposed that as general logic of scientific discovery that a general logic of scientific discovery a justification might be found. However, many now take interests in a more historical, contextual and sometimes sociological approach, in which the methods and successes of a science at a particular time are regarded less in terms of universal logical principles and procedure, and more in terms of their availability to methods and paradigms as well as the social context.
In addition, to general questions of methodology, there are specific problems within particular sciences, giving subjects as biology, mathematics and physics.
The intuitive certainty that sparks aflame the dialectic awarenesses for its immediate concerns are either of the truths or by some other in an object of apprehensions, such as a concept. Awareness as such, has to its amounting quality value the place where philosophically understanding of the source of our knowledge are, however, in covering the sensible apprehension of things and pure intuition it is that which stricture sensation into the experience of things accent of its direction that orchestrates the celestial overture into measures in space and time.
The notion that determines how something is seen or evaluated of the status of law and morality especially associated with St Thomas Aquinas and the subsequent scholastic tradition. More widely, any attempt to cement the moral and legal order together with the nature of the cosmos or how the nature of human beings, for which sense it is also found in some Protestant writers, and arguably derivative from a Platonic view of ethics, and is implicit in ancient Stoicism. Law stands above and apart from the activities of human lawmaker, it constitutes an objective set of principles that can be seen true by “natural light” or reason, and (in religion versions of the theory) that express God”s will for creation. Non-religious versions of the theory substitute objective conditions for human flourishing as the source of constraints upon permissible actions and social arrangements. Within the natural law tradition, different views have been held about the relationship between the rule of law about God' s will, for instance the Dutch philosopher Hugo Grothius (1583-1645), similarly takes upon the view that the content of natural law is independent of any will, including that of God, while the German theorist and historian Samuel von Pufendorf (1632-94) takes the opposite view, thereby facing the problem of one horn of the Euthyphro dilemma, that simply states, that its dilemma arises from whatever the source of authority is supposed to be, for in which do we care about the general good because it is good, or do we just call good things that we care about. Wherefore, by facing the problem that may be to assume of a strong form, in which it is claimed that various facts entail values, or a weaker form, from which it confines itself to holding that reason by itself is capable of discerning moral requirements that are supped of binding to all human bings regardless of their desires
Although the morality of people send the ethical amount, from which the same thing, is that there is a usage that restricts morality to systems such as that of the German philosopher and founder of ethical philosophy Immanuel Kant (1724-1804), based on notions such as duty, obligation, and principles of conduct, reserving ethics for more than the Aristotelian approach to practical reasoning based on the notion of a virtue, and generally avoiding the separation of “moral” considerations from other practical considerations. The scholarly issues are complex, with some writers seeing Kant as more Aristotelian and Aristotle as, ore involved in a separate sphere of responsibility and duty, than the simple contrast suggests. Some theorists see the subject in terms of a number of laws (as in the Ten Commandments). The status of these laws may be test they are the edicts of a divine lawmaker, or that they are truths of reason, knowable deductively. Other approaches to ethics (e.g., eudaimonism, situation ethics, virtue ethics) eschew general principles as much as possible, frequently disguising the great complexity of practical reasoning. For Kantian notion of the moral law is a binding requirement of the categorical imperative, and to understand whether they are equivalent at some deep level. Kant's own applications of the notion are not always convincing, as for one cause of confusion in relating Kant's ethics to theories such additional expressivism is that it is easy, but mistaken, to suppose that the categorical nature of the imperative means that it cannot be the expression of sentiment, but must derive from something “unconditional” or “necessary” such as the voice of reason.
For whichever reason, the mortal being makes of its presence to the future of weighing of that which one must do, or that which can be required of one. The term carries implications of that which is owed (due) to other people, or perhaps in onself. Universal duties would be owed to persons (or sentient beings) as such, whereas special duty in virtue of specific relations, such for being the child of someone, or having made someone a promise. Duty or obligation is the primary concept of “deontological” approaches to ethics, but is constructed in other systems out of other notions. In the system of Kant, a perfect duty is one that must be performed whatever the circumstances: Imperfect duties may have to give way to the more stringent ones. In another way, perfect duties are those that are correlative with the right to others, imperfect duties are not. Problems with the concept include the ways in which due needs to be specified (a frequent criticism of Kant is that his notion of duty is too abstract). The concept may also suggest of a regimented view of ethical life in which we are all forced conscripts in a kind of moral army, and may encourage an individualistic and antagonistic view of social relations.
The most generally accepted account of externalism and/or internalism, that this distinction is that a theory of justification is internalist if only if it requiem that all of the factors needed for a belief to be epistemologically justified for a given person be cognitively accessible to that person, internal to his cognitive perceptive, and externalist, if it allows that at least some of the justifying factors need not be thus accessible, so that thy can be external to the believer”s cognitively perceptive, beyond any such given relations. However, epistemologists often use the distinction between internalist and externalist theories of epistemic justification without offering any very explicit explication.
The externalist/internalist distinction has been mainly applied to theories of epistemic justification: It has also been applied in a closely related way to accounts of knowledge and in a rather different way to accounts of belief and thought contents.
The internalist requirement of cognitive accessibility can be interpreted in at least two ways: A strong version of internalism would require that the believer actually be aware of the justifying factor in order to be justified: While a weaker version would require only that he be capable of becoming aware of them by focussing his attentions appropriately, but without the need for any change of position, new information, etc. Though the phrase “cognitively accessible” suggests the weak interpretion, the main intuitive motivation for internalism, viz. the idea that epistemic justification requires that the believer actually have in his cognitive possession a reason for thinking that the belief is true, and would require the strong interpretation.
Perhaps, the clearest example of an internalist position would be a Foundationalist view according to which foundational beliefs pertain to immediately experienced states of mind and other beliefs are justified by standing in cognitively accessible logical or inferential relations to such foundational beliefs. Such a view could count as either a strong or a weak version of internalism, depending on whether actual awareness of the justifying elements or only the capacity to become aware of them is required. Similarly, a coherent view could also be internalist, if both the beliefs or other states with which a justification belief is required to cohere and the coherence relations themselves are reflectively accessible.
It should be carefully noticed that when internalism is construed in this way, it is neither necessary nor sufficient by itself for internalism that the justifying factors literally be internal mental states of the person in question. Not necessary, necessary, because on at least some views, e.g., a direct realist view of perception, something other than a mental state of the believer can be cognitively accessible: Not sufficient, because there are views according to which at least some mental states need not be actual (strong version) or even possible (weak version) objects of cognitive awareness. Also, on this way of drawing the distinction, a hybrid view, according to which some of the factors required for justification must be cognitively accessible while others need not and in general will not be, would count as an externalist view. Obviously too, a view that was externalist in relation to a strong version of internalism (by not requiring that the believer actually be aware of all justifying factors) could still be internalist in relation to a weak version (by requiring that he at least be capable of becoming aware of them).
The most prominent recent externalist views have been versions of reliabilism, whose requirements for justification is roughly that the belief be produced in a way or via a process that makes of objectively likely that the belief is true. What makes such a view externalist is the absence of any requirement that the person for whom the belief is justified have any sort of cognitive access to the relations of reliability in question. Lacking such access, such a person will in general have no reason for thinking that the belief is true or likely to be true, but will, on such an account, nonetheless be epistemically justified in according it. Thus such a view arguably marks a major break from the modern epistemological tradition, stemming from Descartes, which identifies epistemic justification with having a reason, perhaps even a conclusive reason for thinking that the belief is true. An epistemologist working within this tradition is likely to feel that the externalist, than offering a competing account of the same concept of epistemic justification with which the traditional epistemologist is concerned, has simply changed the subject.
The main objection to externalism rests on the intuitive certainty that the basic requirement for epistemic justification is that the acceptance of the belief in question be rational or responsible in relation to the cognitive goal of truth, which seems to require in turn that the believer actually be dialectally aware of a reason for thinking that the belief is true (or, at the very least, that such a reason be available to him). Since the satisfaction of an externalist condition is neither necessary nor sufficient for the existence of such a cognitively accessible reason, it is argued, externalism is mistaken as an account of epistemic justification. This general point has been elaborated by appeal to two sorts of putative intuitive counter-examples to externalism. The first of these challenges the necessity of belief which seem intuitively to be justified, but for which the externalist conditions are not satisfied. The standard examples in this sort are cases where beliefs are produced in some very nonstandard way, e.g., by a Cartesian demon, but nonetheless, in such a way that the subjective experience of the believer is indistinguishable from that of someone whose beliefs are produced more normally. The intuitive claim is that the believer in such a case is nonetheless epistemically justified, as much so as one whose belief is produced in a more normal way, and hence that externalist account of justification must be mistaken.
Perhaps the most striking reply to this sort of counter-example, on behalf of a cognitive process is to be assessed in “normal” possible worlds, i.e., in possible worlds that are actually the way our world is common-seismically believed to be, than in the world which contains the belief being judged. Since the cognitive processes employed in the Cartesian demon cases are, for which we may assume, reliable when assessed in this way, the reliabilist can agree that such beliefs are justified. The obvious, to a considerable degree of bringing out the issue of whether it is or not an adequate rationale for this construal of reliabilism, so that the reply is not merely a notional presupposition guised as having representation.
The correlative way of elaborating on the general objection to justificatory externalism challenges the sufficiency of the various externalist conditions by citing cases where those conditions are satisfied, but where the believers in question seem intuitively not to be justified. In this context, the most widely discussed examples have to do with possible occult cognitive capacities, like clairvoyance. Considering the point in application once, again, to reliabilism, the claim is that to think that he has such a cognitive power, and, perhaps, even good reasons to the contrary, is not rational or responsible and therefore not epistemically justified in accepting the belief that result from his clairvoyance, despite the fact that the reliablist condition is satisfied.
One sort of response to this latter sorts of objection is to “bite the bullet” and insist that such believers are in fact justified, dismissing the seeming intuitions to the contrary as latent internalist prejudice. A more widely adopted response attempts to impose additional conditions, usually of a roughly internalist sort, which will rule out the offending example, while stopping far of a full internalism. But, while there is little doubt that such modified versions of externalism can handle particular cases, as well enough to avoid clear intuitive implausibility, the usually problematic cases that they cannot handle, and also whether there is and clear motivation for the additional requirements other than the general internalist view of justification that externalist are committed to reject.
A view in this same general vein, one that might be described as a hybrid of internalism and externalism holds that epistemic justification requires that there is a justificatorial factor that is cognitively accessible to the believer in question (though it need not be actually grasped), thus ruling out, e.g., a pure reliabilism. At the same time, however, though it must be objectively true that beliefs for which such a factor is available are likely to be true, in addition, the fact need not be in any way grasped or cognitively accessible to the believer. In effect, of the premises needed to argue that a particular belief is likely to be true, one must be accessible in a way that would satisfy at least weak internalism, the internalist will respond that this hybrid view is of no help at all in meeting the objection and has no belief nor is it held in the rational, responsible way that justification intuitively seems to require, for the believer in question, lacking one crucial premise, still has no reason at all for thinking that his belief is likely to be true.
An alternative to giving an externalist account of epistemic justification, one which may be more defensible while still accommodating many of the same motivating concerns, is to give an externalist account of knowledge directly, without relying on an intermediate account of justification. Such a view will obviously have to reject the justified true belief account of knowledge, holding instead that knowledge is true belief which satisfies the chosen externalist condition, e.g., a result of a reliable process (and perhaps, further conditions as well). This makes it possible for such a view to retain internalist account of epistemic justification, though the centrality of that concept to epistemology would obviously be seriously diminished.
Such an externalist account of knowledge can accommodate the commonsense conviction that animals, young children, and unsophisticated adult's posse's knowledge, though not the weaker conviction (if such a conviction does exist) that such individuals are epistemically justified in their beliefs. It is also at least less vulnerable to internalist counter-examples of the sort discussed, since the intuitions involved there pertain more clearly to justification than to knowledge. What is uncertain is what ultimate philosophical significance the resulting conception of knowledge is supposed to have. In particular, does it have any serious bearing on traditional epistemological problems and on the deepest and most troubling versions of scepticism, which seems in fact to be primarily concerned with justification, the an knowledge?`
A rather different use of the terms “internalism” and “externalism” has to do with the issue of how the content of beliefs and thoughts is determined: According to an internalist view of content, the content of such intention states depends only on the non-relational, internal properties of the individual's mind or grain, and not at all on his physical and social environment: While according to an externalist view, content is significantly affected by such external factors and suggests a view that appears of both internal and external elements is standardly classified as an external view.
As with justification and knowledge, the traditional view of content has been strongly internalist in character. The main argument for externalism derives from the philosophy y of language, more specifically from the various phenomena pertaining to natural kind terms, indexicals, etc. that motivate the views that have come to be known as “direct reference” theories. Such phenomena seem at least to show that the belief or thought content that can be properly attributed to a person is dependant on facts about his environment -, e.g., whether he is on Earth or Twin Earth, what is fact pointing at, the classificatory criteria employed by expects in his social group, etc.-not just on what is going on internally in his mind or brain.
An objection to externalist account of content is that they seem unable to do justice to our ability to know the content of our beliefs or thought “from the inside,” simply by reflection. If content is depending on external factors pertaining to the environment, then knowledge of content should depend on knowledge of these factors-which will not in general be available to the person whose belief or thought is in question.
The adoption of an externalist account of mental content would seem to support an externalist account of justification, by way that if part or all of the content of a belief inaccessible to the believer, then both the justifying status of other beliefs in relation to that content and the status of that content ss justifying further beliefs will be similarly inaccessible, thus contravening the internalist requirement for justification. An internalist must insist that there are no justification relations of these sorts, that our internally associable content can either be justified or justly anything else: But such a response appears lame unless it is coupled with an attempt to show that the externalist account of content is mistaken.
The process of moving from a provisional formulation of acceptance of some position to acceptance of others, is that the goal of logic and classical epistemology is to codify kinds of inference, and to provide principles for separating good from bad inherences.
The rule of reference begins by implicating of question through which it is asked “What the tortoise said to Achilles” in the journal “Mind” in 1895. Lewis Carroll raised the Zeno like problem of how a proof ever gets started.” Suppose I have as premise (1) p and (2) p ➞q. Can I infer q? Only, it seems, if I am sure of (3) (p & p p ➞q) ➞q. Can I then infer q? Only, it seems if I am sure that (4) (p & p ➞q & (p & p ➞q) ➞q) ➞q. For each new axiom (N) I need a further axiom (N. + 1) telling me that the set so far implies q, and the regress never stops, usual solution is to trat a system as containing not only axioms but also rules of reference allow only axioms, but also rules of inference, allowing movement from the axiom. The rule modus ponens slows us to pass from the first two premises to q. Carroll”s puzzle shows that it is essential to distinguish two theoretical categories, although there may be choice bout which theses to put in which category.
For the best of all possibilities that explains inference had first been formulated by Princeton philosopher Gilber Harnam. The idea in that when we have an easy to excavate, the idea is that when we have a best explanation of some phenomenon, we are entitled to repose confidence in it simply on that account. Sometimes thought to br. the lynchpin of scientific method, the principle is not easy to formulate and has come under attack, notably since our best current explanation of something may only be the best of a bad lot. There exist cases in which the best explanation is still not all that convincing, so other considerations than pure explanation success seem to play a role.
The philosopher Bas van Fraassen (The Scientific Image, 1980) explicated further in that constructive empiricism divides science into observation statement and theory statement. It holds that the latter are capable of strict truth and falsity, but maintains that the appropriate attitude is not to believe them, but only to accept them ss best as empirically adequate. It is often regarded as a variety of pragmatism or instrumentalism, although more orthodox varieties of those position deny that theoretic statements have truth-value. A related vie is held by the German philosopher Hans Valhinger (1854-1933), who, however, thinks that we ca be sure that theoretical statements are actually false. , In other words, theories are useful because they enable us to cope with what would otherwise be the unmanageable complexity of things. The doctrine bears some affinity to pragmatism, but differs in that Vaihlinger thinks that our useful theories are nevertheless really false.
Lectures published as Pragmatism, became the new name for old ways of thinking (1907) summed up James”s original contributions to the theory called pragmatism, a term first used by the American logician C. S. Peirce. James generalized the pragmatic method, developing it from a critique of the logical basis of the sciences into a basis for the evaluation of all experience. He maintained that the meaning of ideas is found only in terms of their possible consequences. If consequences are lacking, ideas are meaningless. James contended that this is the method used by scientists to define their terms and to test their hypotheses, which, if meaningful, entail predictions. The hypotheses can be considered true if the predicted events take place. On the other hand, most metaphysical theories are meaningless, because they entail no testable predictions. Meaningful theories, James argued, are instruments for dealing with problems that arise in experience.
According to James”s pragmatism, then, truth is that which works. One determines what works by testing propositions in experience. In so doing, one finds that certain propositions become true. As James put it, “Truth is something that happens to an idea” in the process of its verification; it is not a static property. This does not mean, however, that anything can be true. “The true is only the expedient in the way of our thinking, just as “the right” is only the expedient in the way of our behaving,” James maintained. One cannot believe whatever one want to believe, because such self-centered beliefs would not work out.
James was opposed to absolute metaphysical systems and argued against doctrines that describe reality as a unified, monolithic whole. In Essays in Radical Empiricism (1912), he argued for a pluralistic universe, denying that the world can be explained in terms of an absolute force or scheme that determines the interrelations of things and events. He held that the interrelations, whether they serve to hold things together or apart, are just as real as the things themselves.
By the end of his life, James had become world-famous as a philosopher and psychologist. In both fields, he functioned more as an originator of new thought than as a founder of dogmatic schools. His pragmatic philosophy was further developed by American philosopher John Dewey and others; later studies in physics by Albert Einstein made the theories of interrelations advanced by James appear prophetic.
Nevertheless, in science a way of looking at a field, this, however, as accorded through the lines of force whose evident physical reality o of the intervening medium whereby, the task of the philosopher of science has often been posed in terms of demarcating good or scientific theories from bad, unscientific ones wherefore he property of a statement or theory that it is capable of being refuted by experience. It a proper annunciation is accredited within the philosophy falsifiability, wherein scientific theory, as opposed to unfalsifaiability and noticeably psychoanalysis and historical materialism. The philosopher of science Raimund Karl Popper (1902-1994) whose idea was that it could be a positive virtue is a scientific theory that it is bold, conjectural, and goes beyond the evidence, but that it has to be capable of facing possible refutation. If every way that things turn out is compatible with it, then it is no longer a scientific theory, but for instance, an ideology or article of faith. Popper argued that the central virtue of science, as opposed to pseudo-science, is not that it puts forward the hypotheses that are confirmed by evidence. That is, they genuinely face the possibility of test and rejection through not confirming to evidences so gathered, that is to give no accent of te extent in which it is rational to rely upon scientific theory, however, the actual picture of acceptance and rejection of scientific hypotheses is more complex than Popper suggests. As perhaps, the view that everyday attributions of intention beliefs, and, meanings to other persons proceed via tacit use of a theory that enables one to construct of these interpretations as an explanation of their doing.
The view is commonly held along with “functionalism” according to which psychological states are theoretical entities, identified by te network of their causes ad effects. The theory-theory has different implications, depending upon which feature of theories is being stressed. Theories may be thought of as capable of as yielding predication and explanations, as achieved by a process of theorizing as answering to empirical evidence, that its principle describable without them, as liable to be overturned by newer and better theorise, and so on. The main problem with is with our understanding of others as the outcome of a piece of theorising is the non-existence of medium, in which his theory can be couched as the chid learns simultaneously with the minds language.
Our understanding of others is not gained by the tacit use of a “theory,” enabling us to infer what thoughts or intentions explain their action, but by reliving the situation “in their moccasins” or from their point of view, not thereby understanding what they experienced and thought, and therefore expressed. Understanding others is achieved when we can ourselves deliberate as they did, and hear their words if theory are our own. The suggestion is a modern development of the “verstehe,” the tradition associated with the German philosopher, literary critic and historian Wilhelm Dilthey (1833-1911).
In addition, the hypnotise especially associated with the American philosopher of mind J.A. Fodor, who affirmed strongly that mental processing occurs in a language different from one”s ordinary native language, but underlying and explaining our competence with it. The idea is a development of the “Chomskyan” notion if an innate universal grammar, it is a way of drawing three analogies between the workings of the brain or mind and those of a standard computer, since computer programs are linguistically complex sets of instruction whose execution explains the surface behaviour of the computer. As an explanation of ordinary language learning and competence the hypothecs of thought have not found universal favour. It apparently only explains ordinary representational powers by invoking innate things of the same sort, and it invites the image of the learning infant translating the language surrounding and in back into an innate language whose own powers are a mysterious biological given.
In philosophy, the doctrine that all existence is resolvable into matter or into an attribute or effect of matter. According to this doctrine, matter is the ultimate reality, and the phenomenon of consciousness is explained by physicochemical changes in the nervous system. Materialism is thus the antithesis of idealism, in which the supremacy of mind is affirmed and matter is characterized as an aspect or objectification of mind. Extreme or absolute materialism is known as materialistic monism. According to the mind-stuff theory of monism, as expounded by the British metaphysician W. K. Clifford, in his Elements of Dynamic (1879-87), matters and minds are consubstantial, each being merely an aspect of the other. Philosophical materialism is ancient and has had numerous formulations. The early Greek philosophers subscribed to a variant of materialism known as hylozoism, according to which matter and life are identical. Related to hylozoism is the doctrine of hylotheism, in which matter is held to be divine, or the existence of God is disavowed apart from matter. Cosmological materialism is a term used to characterize a materialistic interpretation of the universe.
Antireligious materialism is motivated by a spirit of hostility toward the theological dogmas of organized religion, particularly those of Christianity. Notable among the exponents of antireligious materialism was the 18th-century French philosopher's Denis Diderot, Paul Henri d'Holbach, and Julien Offroy de La Mettrie. According to historical materialism, as set forth in the writings of Karl Marx, Friedrich Engels, and Vladimir Ilich Lenin, in every historical epoch the prevailing economic system by which the necessities of life are produced determines the form of societal organization and the political, religious, ethical, intellectual, and artistic history of the epoch.
In modern times philosophical materialism has been largely influenced by the doctrine of evolution and may indeed be said to have been assimilated in the wider theory of evolution. Supporters of the theory of evolution go beyond the mere antithesis or atheism of materialism and seek positively to show how the diversities and differences in creation are the result of natural as opposed to supernatural processes.
The Philosophy of Mind is the branch of philosophy that considers mental phenomena such as sensation, perception, thought, belief, desire, intention, memory, emotion, imagination, and purposeful action. These phenomena, which can be broadly grouped as thoughts and experiences, are features of human beings; many of them are also found in other animals. Philosophers are interested in the nature of each of these phenomena as well as their relationships to one another and to physical phenomena, such as motion.
Many fields other than philosophy shares an interest in the nature of mind. In religion, the nature of mind is connected with various conceptions of the soul and the possibility of life after death. In many abstract theories of mind there is considerable overlap between philosophy and the science of psychology. Once part of philosophy, psychology split off and formed a separate branch of knowledge in the 19th century. While psychology used scientific experiments to study mental states and events, philosophy uses reasoned arguments and thought experiments in seeking to understand the concepts that underlie mental phenomena. Also influenced by philosophy of mind is the field of artificial intelligence (AI), which endeavors to develop computers that can mimic what the human mind can do. Cognitive science attempts to integrate the understanding of mind provided by philosophy, psychology, AI, and other disciplines. Finally, all of these fields benefit from the detailed understanding of the brain that has emerged through neuroscience in the late 20th century.
Philosophers use the characteristics of inward accessibility, subjectivity, intentionality, goal-directedness, creativity and freedom, and consciousness to distinguish mental phenomena from physical phenomena.
Perhaps the most important characteristic of mental phenomena is that they are inwardly accessible, or available to us through introspection. We each know our own minds-our sensations, thoughts, memories, desires, and fantasies-in a direct sense, by internal reflection. We also know our mental states and mental events in a way that no one else can. In other words, we have privileged access to our own mental states.
Certain mental phenomena, those we generally call experiences, have a subjective nature-that is, they have certain characteristics we become aware of when we reflect. For instance, there is “something it is like” to feel pain, or have an itch, or see something red. These characteristics are subjective in that they are accessible to the subject of the experience, the person who has the experience, but not to others.
Other mental phenomena, which we broadly refer to as thoughts, have a characteristic philosophers call intentionality. Intentional thoughts are about other thoughts or objects, which are represented as having certain properties or for being related to one another in a certain way. The belief that California is west of Nevada, for example, is about California and Nevada and represents the former being west of the latter. Although we have privileged access to our intentional states, many of them do not seem to have a subjective nature, at least not in the way that experiences do.
A number of mental phenomena appear to be connected to one another as elements in an intelligent, goal-directed system. The system works as follows: First, our sense organs are stimulated by events in our environment; next, by virtue of these stimulations, we perceive things about the external world; finally, we use this information, as well as information we have remembered or inferred, to guide our actions in ways that further our goals. Goal-directedness seems to accompany only mental phenomena.
Another important characteristic of mind, especially of human minds, is the capacity for choice and imagination. Rather than automatically converting past influences into future actions, individual minds are capable of exhibiting creativity and freedom. For instance, we can imagine things we have not experienced and can act in ways that no one expects or could predict.
Mental phenomena are conscious, and consciousness may be the closest term we have for describing what is special about mental phenomena. Minds are sometimes referred to as consciousnesses, yet it is difficult to describe exactly what consciousness is. Although consciousness is closely related to inward accessibility and subjectivity, these very characteristics seem to hinder us in reaching an objective scientific understanding of it.
Although philosophers have written about mental phenomena since ancient times, the philosophy of mind did not garner much attention until the work of French philosopher René Descartes in the 17th century. Descartes”s work represented a turning point in thinking about mind by making a strong distinction between bodies and minds, or the physical and the mental. This duality between mind and body, known as Cartesian dualism, has posed significant problems for philosophy ever since.
Descartes believed there are two basic kinds of things in the world, a belief known as substance dualism. For Descartes, the principles of existence for these two groups of things-bodies and minds-are completely different from one another: Bodies exist by being extended in space, while minds exist by being conscious. According to Descartes, nothing can be done to give a body thought and consciousness. No matter how we shape a body or combine it with other bodies, we cannot turn the body into a mind, a thing that is conscious, because being conscious is not a way of being extended.
For Descartes, a person consists of a human body and a human mind causally interacting with one another. For example, the intentions of a human being may cause that person's limbs to move. In this way, the mind can affect the body. In addition, the sense organs of a human being maybe affected by light, pressure, or sound, external sources, which in turn affect the brain, affecting mental states. Thus, the body may affect the mind. Exactly how mind can affect body, and vice versa, is a central issue in the philosophy of mind, and is known as the mind-body problem. According to Descartes, this interaction of mind and body is peculiarly intimate. Unlike the interaction between a pilot and his ship, the connection between mind and body more closely resembles two substances that have been thoroughly mixed together.
In response to the mind-body problem arising from Descartes”s theory of substance dualism, a number of philosophers have advocated various forms of substance monism, the doctrine that there is ultimately just one kind of thing in reality. In the 18th century, Irish philosopher George Berkeley claimed there were no material objects in the world, only minds and their ideas. Berkeley thought that talk about physical objects was simply a way of organizing the flow of experience. Near the turn of the 20th century, American psychologist and philosopher William James proposed another form of substance monism. James claimed that experience is the basic stuff from which both bodies and minds are constructed.
Most philosophers of mind today are substance monists of a third type: They are materialists who believe that everything in the world is basically material, or a physical object. Among materialists, there is still considerable disagreement about the status of mental properties, which are conceived as properties of bodies or brains. Materialists who are property dualists believe that mental properties are an additional kind of property or attribute, not reducible to physical properties. Property dualists have the problem of explaining how such properties can fit into the world envisaged by modern physical science, according to which there are physical explanations for all things.
Materialists who are property monists believe that there is ultimately only one type of property, although they disagree on whether or not mental properties exist in material form. Some property monists, known as reductive materialists, hold that mental properties exist simply as a subset of relatively complex and nonbasic physical properties of the brain. Reductive materialists have the problem of explaining how the physical states of the brain can be inwardly accessible and have a subjective character, as mental states do. Other property monists, known as Eliminative materialists, consider the whole category of mental properties to be a mistake. According to them, mental properties should be treated as discredited postulates of an outmoded theory. Eliminative materialism is difficult for most people to accept, since we seem to have direct knowledge of our own Philosophy of mind concerns itself with a number of specialized problems. In addition to the mind-body problem, important issues include those of personal identity, immortality, and artificial intelligence.
During much of Western history, the mind has been identified with the soul as presented in Christian Theology. According to Christianity, the soul is the source of a person's identity and is usually regarded as immaterial; thus, it is capable of enduring after the death of the body. Descartes”s conception of the mind as a separate, nonmaterial substance fits well with this understanding of the soul. In Descartes's view, we are aware of our bodies only as the cause of sensations and other mental phenomena. Consequently our personal essence is composed more fundamentally of mind and the preservation of the mind after death would constitute our continued existence.
The mind conceived by materialist forms of substance monism does not fit as neatly with this traditional concept of the soul. With materialism, once a physical body is destroyed, nothing enduring remains. Some philosophers think that a concept of personal identity can be constructed that permits the possibility of life after death without appealing to separate immaterial substances. Following in the tradition of 17th-century British philosopher John Locke, these philosophers propose that a person consists of a stream of mental events linked by memory. These link of memory, rather than a single underlying substance, provide the unity of a single consciousness through time. Immortality is conceivable if we think of these memory links as connecting a later consciousness in heaven with an earlier one on earth.
The field of artificial intelligence also raises interesting questions for the philosophy of mind. People have designed machines that mimic or model many aspects of human intelligence, and there are robots currently in use whose behavior is described in terms of goals, beliefs, and perceptions. Such machines are capable of behavior that, were it exhibited by a human being, would surely be taken to be free and creative. As an example, in 1996 an IBM computer named Deep Blue won a chess game against Russian world champion Garry Kasparov under international match regulations. Moreover, it is possible to design robots that have some sort of privileged access to their internal states. Philosophers disagree over whether such robots truly think or simply appear to think and whether such robots should be considered to be conscious.
Philosophy, a speculative world-view which asserts that basic reality is constantly in a process of flux and change. Indeed, reality is identified with pure process. Concepts such as creativity, freedom, novelty, emergence, and growth are fundamental explanatory categories for process philosophy. This metaphysical perspective is to be contrasted with a philosophy of substance, the view that a fixed and permanent reality underlies the changing or fluctuating world of ordinary experience. Whereas substance philosophy emphasizes static being, process philosophy emphasizes dynamically becoming.
Although process philosophy is as old as the 6th-century Bc Greek philosopher, Heraclitus, renewed interest in it was stimulated in the 19th century by the theory of evolution. Key figures in the development of modern process philosophy were the British philosophers's Herbert Spencer, Samuel Alexander, and Alfred North Whitehead, the American philosopher”s Charles S. Peirce and William James, and the French philosopher's Henri Bergson and Pierre Teilhard de Chardin. Whitehead's Process and Reality: An Essay in Cosmology (1929) is generally considered the most important systematic expression of process philosophy.
A contemporary theology has been strongly influenced by process philosophy. The American theologian Charles Hartshorne, for instance, rather than interpreting God as an unchanging absolute, emphasizes God”s sensitive and caring relationship with the world. A personal God enters into relationships in such a way that he is affected by the relationships, and to be affected by relationships is to change. So God too is in the process of growth and development.
Neurophysiology, is the study of how nerve cells, or neurons, receive and transmit information. Two types of phenomena are involved in processing nerve signals: electrical and chemical. Electrical events propagate a signal within a neuron, and chemical processes transmit the signal from one neuron to another neuron or to a muscle cell.
The signals conveying everything that human beings sense and think, and every motion they make, follows nerve pathways in the human body as waves of ions (atoms or groups of atoms that carries electric charges). Australian physiologist Sir John Eccles discovered many of the intricacies of this electrochemical signaling process, particularly the pivotal step in which a signal is conveyed from one nerve cell to another. He shared the 1963 Nobel Prize in physiology or medicine for this work, which he described in a 1965 Scientific American article.
A neuron is a long cell that has a thick central area containing the nucleus; it also has one long process called an axon and one or more short, bushy processes called dendrites. Dendrites receive impulses from other neurons. (The exceptions are sensory neurons, such as those that transmit information about temperature or touch, in which the signal is generated by specialized receptors in the skin.) These impulses are propagated electrically along the cell membrane to the end of the axon. At the tip of the axon the signal is chemically transmitted to an adjacent neuron or muscle cell.
Like all other cells, neurons contain charged ions: potassium and sodium (positively charged) and chlorine (negatively charged). Neurons differ from other cells in that they are able to produce a nerve impulse. A neuron is polarized-that is, it has an overall negative charge inside the cell membrane because of the high concentration of chlorine ions and low concentration of potassium and sodium ions. The concentration of these same ions is exactly reversed outside the cell. This charge differential represents stored electrical energy, sometimes referred to as membrane potential or resting potential. The negative charge inside the cell is maintained by two features. The first is the selective permeability of the cell membrane, which is more permeable to potassium than sodium. The second feature is sodium pumps within the cell membrane that actively pump sodium out of the cell. When depolarization occurs, this charge differential across the membrane is reversed, and a nerve impulse is produced.
Depolarization is a rapid change in the permeability of the cell membrane. When sensory input or any other kind of stimulating current is received by the neuron, the membrane permeability is changed, allowing a sudden influx of sodium ions into the cell. The high concentration of sodium, or action potential, changes the overalls charge within the cell from negative too positively. The locals change in ion concentration triggers similar reactions along the membrane, propagating the nerve impulse. After a brief period called the refractory period, during which the ionic concentration returned to resting potential, the neuron can repeat this process.
Nerve impulses travel at different speeds, depending on the cellular composition of a neuron. Where speed of impulse is important, as in the nervous system, axons are insulated with a membranous substance called myelin. The insulation provided by myelin maintains the ionic charge over long distances. Nerve impulses are propagated at specific points along the myelin sheath; these points are called the nodes of Ranvier. Examples of myelinated axons are those in sensory nerve fibers and nerves connected to skeletal muscles. In non-myelinated cells, the nerve impulse is propagated more diffusely.
When the electrical signal reaches the tip of an axon, it stimulates small presynaptic vesicles in the cell. These vesicles contain chemicals called neurotransmitters, which are released into the microscopic space between neurons (the synaptic cleft). The neurotransmitters attach to specialized receptors on the surface of the adjacent neuron. This stimulus causes the adjacent cell to depolarize and propagate an action potential of its own. The duration of a stimulus from a neurotransmitter is limited by the breakdown of the chemicals in the synaptic cleft and the reuptake by the neuron that produced them. Formerly, each neuron was thought to make only one transmitter, but recent studies have shown that some cells make two or more.
Philosophy of Mind considers mental phenomena such as sensation, perception, thought, belief, desire, intention, memory, emotion, imagination, and purposeful action. These phenomena, which can be broadly grouped as thoughts and experiences, are features of human beings; many of them are also found in other animals. Philosophers are interested in the nature of each of these phenomena as well as their relationships to one another and to physical phenomena, such as motion.
In the 17th century, French philosopher René Descartes proposed that only two substances ultimately exist; mind and body. Yet, if the two are entirely distinct, as Descartes believed, how can one substance interact with the other? How, for example, is the intention of a human mind able to cause movement in the person's limbs? The issue of the interaction between mind and body is known in philosophy as the mind-body problem.
Many fields other than a philosophy share an interest in the nature of mind. In religion, the nature of mind is connected with various conceptions of the soul and the possibility of life after death. In many abstract theories of mind there is considerable overlap between philosophy and the science of psychology. Once part of philosophy, psychology split off and formed a separate branch of knowledge in the 19th century. While psychology used scientific experiments to study mental states and events, philosophy uses reasoned arguments and thought experiments in seeking to understand the concepts that underlie mental phenomena. Also influenced by philosophy of mind is the field of artificial intelligence (AI), which endeavors to develop computers that can mimic what the human mind can do. Cognitive science attempts to integrate the understanding of mind provided by philosophy, psychology, AI, and other disciplines. Finally, all of these fields benefit from the detailed understanding of the brain that has emerged through neuroscience in the late 20th century.
Philosophers use the characteristics of inward accessibility, subjectivity, intentionality, goal-directedness, creativity and freedom, and consciousness to distinguish mental phenomena from physical phenomena.
Perhaps the most important characteristic of mental phenomena is that they are inwardly accessible, or available to us through introspection. We each know our own minds-our sensations, thoughts, memories, desires, and fantasies-in a direct sense, by internal reflection. We also know our mental states and mental events in a way that no one else can. In other words, we have privileged access to our own mental states.
Certain mental phenomena, those we generally call experiences, have a subjective nature-that is, they have certain characteristics we become aware of when we reflect. For instance, there is “something it is like” to feel pain, or have an itch, or see something red. These characteristics are subjective in that they are accessible to the subject of the experience, the person who has the experience, but not to others.
Other mental phenomena, which we broadly refer to as thoughts, have a characteristic philosophers call intentionality. Intentional thoughts are about other thoughts or objects, which are represented as having certain properties or for being related to one another in a certain way. The belief that California is west of Nevada, for example, is about California and Nevada and represents the former for being west of the latter. Although we have privileged access to our intentional states, many of them do not seem to have a subjective nature, at least not in the way that experiences do.
A number of mental phenomena appear to be connected to one another as elements in an intelligent, goal-directed system. The system works as follows: First, our sense organs are stimulated by events in our environment; next, by virtue of these stimulations, we perceive things about the external world; finally, we use this information, as well as information we have remembered or inferred, to guide our actions in ways that further our goals. Goal-directedness seems to accompany only mental phenomena.
Another important characteristic of mind, especially of human minds, is the capacity for choice and imagination. Rather than automatically converting past influences into future actions, individual minds are capable of exhibiting creativity and freedom. For instance, we can imagine things we have not experienced and can act in ways that no one expects or could predict.
Scientists have long considered the nature of consciousness without producing a fully satisfactory definition. In the early 20th century American philosopher and psychologist William James suggested that consciousness is a mental process involving both attention to external stimuli and short-term memory. Later scientific explorations of consciousness mostly expanded upon James”s work. In this article from a 1997 special issue of Scientific American, Nobel laureate Francis Crick, who helped determine the structure of DNA, and fellow biophysicists Christof Koch explains how experiments on vision might deepen our understanding of consciousness.
Mental phenomena are conscious, and consciousness may be the closest term we have for describing what is special about mental phenomena. Minds are sometimes referred to as consciousnesses, yet it is difficult to describe exactly what consciousness is. Although consciousness is closely related to inward accessibility and subjectivity, these very characteristics seem to hinder us in reaching an objective scientific understanding of it.
Although philosophers have written about mental phenomena since ancient times, the philosophy of mind did not garner much attention until the work of French philosopher René Descartes in the 17th century. Descartes”s work represented a turning point in thinking about mind by making a strong distinction between bodies and minds, or the physical and the mental. This duality between mind and body, known as Cartesian dualism, has posed significant problems for philosophy ever since.
In response to the mind-body problem arising from Descartes”s theory of substance dualism, a number of philosophers have advocated various forms of substance monism, the doctrine that there is ultimately just one kind of thing in reality. In the 18th century, Irish philosopher George Berkeley claimed there were no material objects in the world, only minds and their ideas. Berkeley thought that talk about physical objects was simply a way of organizing the flow of experience. Near the turn of the 20th century, American psychologist and philosopher William James proposed another form of substance monism. James claimed that experience is the basic stuff from which both bodies and minds are constructed.
Most philosophers of mind today are substance monists of a third type: They are materialists who believe that everything in the world is basically material, or a physical object. Among materialists, there is still considerable disagreement about the status of mental properties, which are conceived as properties of bodies or brains. Materialists who are property dualists believe that mental properties are an additional kind of property or attribute, not reducible to physical properties. Property dualists have the problem of explaining how such properties can fit into the world envisaged by modern physical science, according to which there are physical explanations for all things.
Materialists who are property monists believe that there is ultimately only one type of property, although they disagree on whether or not mental properties exist in material form. Some property monists, known as reductive materialists, hold that mental properties exist simply as a subset of relatively complex and nonbasic physical properties of the brain. Reductive materialists have the problem of explaining how the physical states of the brain can be inwardly accessible and have a subjective character, as mental states do. Other property monists, known as Eliminative materialists, consider the whole category of mental properties to be a mistake. According to them, mental properties should be treated as discredited postulates of an outmoded theory. Eliminative materialism is difficult for most people to accept, since we seem to have direct knowledge of our own mental phenomena by introspection and because we use the general principles we understand about mental phenomena to predict and explain the behavior of others.
Philosophy of mind concerns itself with a number of specialized problems. In addition to the mind-body problem, important issues include those of personal identity, immortality, and artificial intelligence.
During much of Western history, the mind has been identified with the soul as presented in Christian Theology. According to Christianity, the soul is the source of a person's identity and is usually regarded as immaterial; thus, it is capable of enduring after the death of the body. Descartes”s conception of the mind as a separate, nonmaterial substance fits well with this understanding of the soul. In Descartes's view, we are aware of our bodies only as the cause of sensations and other mental phenomena. Consequently our personal essence is composed more fundamentally of mind and the preservation of the mind after death would constitute our continued existence.
The mind conceived by materialist forms of substance monism does not fit as neatly with this traditional concept of the soul. With materialism, once a physical body is destroyed, nothing enduring remains. Some philosophers think that a concept of personal identity can be constructed that permits the possibility of life after death without appealing to separate immaterial substances. Following in the tradition of 17th-century British philosopher John Locke, these philosophers propose that a person consists of a stream of mental events linked by memory. These link of memory, rather than a single underlying substance, provide the unity of a single consciousness through time. Immortality is conceivable if we think of these memory links as connecting a later consciousness in heaven with an earlier one on earth.
No simple, agreed-upon definition of consciousness exists. Attempted definitions tend to be tautological (for example, consciousness defined as awareness) or merely descriptive (for example, consciousness described as sensations, thoughts, or feelings). Despite this problem of definition, the subject of consciousness has had a remarkable history. At one time the primary subject matter of psychology, consciousness as an area of study suffered an almost total demise, later reemerging to become a topic of current interest.
Most of the philosophical discussions of consciousness arose from the mind-body issues posed by the French philosopher and mathematician René Descartes in the 17th century. Descartes asked: Is the mind, or consciousness, independent of matter? Is consciousness extended (physical) or unextended (nonphysical)? Is consciousness determinative, or is it determined? English philosophers such as John Locke equated consciousness with physical sensations and the information they provide, whereas European philosophers such as Gottfried Wilhelm Leibniz and Immanuel Kant gave a more central and active role to consciousness.
The philosopher who most directly influenced subsequent exploration of the subject of consciousness was the 19th-century German educator Johann Friedrich Herbart, who wrote that ideas had quality and intensity and that they may inhibit or facilitate one another. Thus, ideas may pass from “states of reality” (consciousness) to “states of tendencies” (unconsciousness), with the dividing line between the two states being described as the threshold of consciousness. This formulation of Herbart clearly presages the development, by the German psychologist and physiologist Gustav Theodor Fechner, of the psychophysical measurement of sensation thresholds, and the later development by Sigmund Freud of the concept of the unconscious.
The experimental analysis of consciousness dates from 1879, when the German psychologist Wilhelm Max Wundt started his research laboratory. For Wundt, the task of psychology was the study of the structure of consciousness, which extended well beyond sensations and included feelings, images, memory, attention, duration, and movement. Because early interest focused on the content and dynamics of consciousness, it is not surprising that the central methodology of such studies was introspection; that is, subjects reported on the mental contents of their own consciousness. This introspective approach was developed most fully by the American psychologist Edward Bradford Titchener at Cornell University. Setting his task as that of describing the structure of the mind, Titchener attempted to detail, from introspective self-reports, the dimensions of the elements of consciousness. For example, taste was “dimensionalized” into four basic categories: sweet, sour, salt, and bitter. This approach was known as structuralism.
By the 1920s, however, a remarkable revolution had occurred in psychology that was to essentially remove considerations of consciousness from psychological research for some 50 years: Behaviorism captured the field of psychology. The main initiator of this movement was the American psychologist John Broadus Watson. In a 1913 article, Watson stated, “I believe that we can write a psychology and never use the term”s consciousness, mental states, mind . . . imagery and the like.” Psychologists then turned almost exclusively to behavior, as described in terms of stimulus and response, and consciousness was totally bypassed as a subject. A survey of eight leading introductory psychology texts published between 1930 and the 1950s found no mention of the topic of consciousness in five texts, and in two it was treated as a historical curiosity.
Beginning in the late 1950s, however, interest in the subject of consciousness returned, specifically in those subjects and techniques relating to altered states of consciousness: sleep and dreams, meditation, biofeedback, hypnosis, and drug-induced states. Much of the surge in sleep and dream research was directly fueled by a discovery relevant to the nature of consciousness. A physiological indicator of the dream state was found: At roughly 90-minute intervals, the eyes of sleepers were observed to move rapidly, and at the same time the sleepers” brain waves would show a pattern resembling the waking state. When people were awakened during these periods of rapid eye movement, they almost always reported dreams, whereas if awakened at other times they did not. This and other research clearly indicated that sleep, once considered a passive state, were instead an active state of consciousness.
During the 1960s, an increased search for “higher levels” of consciousness through meditation resulted in a growing interest in the practices of Zen Buddhism and Yoga from Eastern cultures. A full flowering of this movement in the United States was seen in the development of training programs, such as Transcendental Meditation, that were self-directed procedures of physical relaxation and focused attention. Biofeedback techniques also were developed to bring body systems involving factors such as blood pressure or temperature under voluntary control by providing feedback from the body, so that subjects could learn to control their responses. For example, researchers found that persons could control their brain-wave patterns to some extent, particularly the so-called alpha rhythms generally associated with a relaxed, meditative state. This finding was especially relevant to those interested in consciousness and meditation, and a number of “alpha training” programs emerged.
Another subject that led to increased interest in altered states of consciousness was hypnosis, which involves a transfer of conscious control from the subject to another person. Hypnotism has had a long and intricate history in medicine and folklore and has been intensively studied by psychologists. Much has become known about the hypnotic state, relative to individual suggestibility and personality traits; the subject has now largely been demythologized, and the limitations of the hypnotic state are fairly well known. Despite the increasing use of hypnosis, however, much remains to be learned about this unusual state of focused attention.
Finally, many people in the 1960s experimented with the psychoactive drugs known as hallucinogens, which produce disorders of consciousness. The most prominent of these drugs are lysergic acid diethylamide, or LSD; mescaline; and psilocybin; the latter two have long been associated with religious ceremonies in various cultures. LSD, because of its radical thought-modifying properties, was initially explored for its so-called mind-expanding potential and for its psychotomimetic effects (imitating psychoses). Little positive use, however, has been found for these drugs, and their use is highly restricted.
As the concept of a direct, simple linkage between environment and behavior became unsatisfactory in recent decades, the interest in altered states of consciousness may be taken as a visible sign of renewed interest in the topic of consciousness. That persons are active and intervening participants in their behavior has become increasingly clear. Environments, rewards, and punishments are not simply defined by their physical character. Memories are organized, not simply stored. An entirely new area called cognitive psychology has emerged that centers on these concerns. In the study of children, increased attention is being paid to how they understand, or perceive, the world at different ages. In the field of animal behavior, researchers increasingly emphasize the inherent characteristics resulting from the way a species has been shaped to respond adaptively to the environment. Humanistic psychologists, with a concern for self-actualization and growth, have emerged after a long period of silence. Throughout the development of clinical and industrial psychology, the conscious states of persons in terms of their current feelings and thoughts were of obvious importance. The role of consciousness, however, was often deemphasized in favor of unconscious needs and motivations. Trends can be seen, however, toward a new emphasis on the nature of states of consciousness.
Neurophysiology, is the study of how nerve cells, or neurons, receive and transmit information. Two types of phenomena are involved in processing nerve signals: electrical and chemical. Electrical events propagate a signal within a neuron, and chemical processes transmit the signal from one neuron to another neuron or to a muscle cell.
The signals conveying everything that human beings sense and think, and every motions they make, follow nerve pathways in the human body as waves of ions (atoms or groups of atoms that carries electric charges). Australian physiologist Sir John Eccles discovered many of the intricacies of this electrochemical signaling process, particularly the pivotal step in which a signal is conveyed from one nerve cell to another. He shared the 1963 Nobel Prize in physiology or medicine for this work, which he described in a 1965 Scientific American article.
A neuron is a long cell that has a thick central area containing the nucleus; it also has one long process called an axon and one or more short, bushy processes called dendrites. Dendrites receive impulses from other neurons. (The exceptions are sensory neurons, such as those that transmit information about temperature or touch, in which the signal is generated by specialized receptors in the skin.) These impulses are propagated electrically along the cell membrane to the end of the axon. At the tip of the axon the signal is chemically transmitted to an adjacent neuron or muscle cell.
Like all other cells, neurons contain charged ions: potassium and sodium (positively charged) and chlorine (negatively charged). Neurons differ from other cells in that they are able to produce a nerve impulse. A neuron is polarized-that is, it has an overall negative charge inside the cell membrane because of the high concentration of chlorine ions and low concentration of potassium and sodium ions. The concentration of these same ions is exactly reversed outside the cell. This charge differential represents stored electrical energy, sometimes referred to as membrane potential or resting potential. The negative charge inside the cell is maintained by two features. The first is the selective permeability of the cell membrane, which is more permeable to potassium than sodium. The second feature is sodium pumps within the cell membrane that actively pump sodium out of the cell. When depolarization occurs, this charge differential across the membrane is reversed, and a nerve impulse is produced.
Depolarization is a rapid change in the permeability of the cell membrane. When sensory input or any other kind of stimulating current is received by the neuron, the membrane permeability is changed, allowing a sudden influx of sodium ions into the cell. The high concentration of sodium, or action potential, changes the overall charges within the cell from negative too positively. The local changes in ion concentration triggers similar reactions along the membrane, propagating the nerve impulse. After a brief period called the refractory period, during which the ionic concentration returned to resting potential, the neuron can repeat this process.
Nerve impulses travel at different speeds, depending on the cellular composition of a neuron. Where speed of impulse is important, as in the nervous system, axons are insulated with a membranous substance called myelin. The insulation provided by myelin maintains the ionic charge over long distances. Nerve impulses are propagated at specific points along the myelin sheath; these points are called the nodes of Ranvier. Examples of myelinated axons are those in sensory nerve fibers and nerves connected to skeletal muscles. In non-myelinated cells, the nerve impulse is propagated more diffusely.
When the electrical signal reaches the tip of an axon, it stimulates small presynaptic vesicles in the cell. These vesicles contain chemicals called neurotransmitters, which are released into the microscopic space between neurons (the synaptic cleft). The neurotransmitters attach to specialized receptors on the surface of the adjacent neuron. This stimulus causes the adjacent cell to depolarize and propagate an action potential of its own. The duration of a stimulus from a neurotransmitter is limited by the breakdown of the chemicals in the synaptic cleft and the reuptake by the neuron that produced them. Formerly, each neuron was thought to make only one transmitter, but recent studies have shown that some cells make two or more.
All human emotions-including love, hate, fear, anger, elation, and sadness-are controlled by the brain. It also receives and interprets the countless signals that are sent to it from other parts of the body and from the external environment. The brain makes us conscious, emotional, and intelligent.
The adult human brain is a 1.3-kg. (3-lb.) mass of pinkish-gray jellylike tissue made up of approximately 100 billion nerve cells, or neurons; neuroglia (supporting-tissue) cells; and vascular (blood-carrying) and other tissues.
Between the brain and the cranium-the part of the skull that directly covers the brain-are three protective membranes, or meninges. The outermost membrane, the dura mater, is the toughest and thickest. Below the dura mater is a middle membrane, called the arachnoid layer. The innermost membrane, the pia mater, consists mainly of small blood vessels and follows the contours of the surface of the brain.
A clear liquid, the cerebrospinal fluid, bathes the entire brain and fills a series of four cavities, called ventricles, near the center of the brain. The cerebrospinal fluid protects the internal portion of the brain from varying pressures and transports chemical substances within the nervous system.
From the outside, the brain appears as three distinct but connected parts: the cerebrum (the Latin word for brain)-two large, almost symmetrical hemispheres; the cerebellum (“little brain”)-whose smaller hemispheres located at the back of the cerebrum; and the brain stem-a central core that gradually becomes the spinal cord, exiting the skull through an opening at its base called the foramen magnum. Two other major parts of the brain, the thalamus and the hypothalamus, lie in the midline above the brain stem underneath the cerebellum.
The brain and the spinal cord together make up the central nervous system, which communicates with the rest of the body through the peripheral nervous system. The peripheral nervous system consists of 12 pairs of cranial nerves extending from the cerebrum and brain stem; a system of other nerves branching throughout the body from the spinal cord; and the autonomic nervous system, which regulates vital functions not too conscious control, such as the activity of the heart muscle, smooth muscle (involuntary muscle found in the skin, blood vessels, and internal organs), and glands.
Most high-level brain functions take place in the cerebrum. Its two large hemispheres make up approximately 85 percent of the brain”s weight. The exterior surface of the cerebrum, the cerebral cortex, is a convoluted, or folded, grayish layer of cell bodies known as the gray matter. The gray matter covers an underlying mass of fibers called the white matter. The convolutions are made up of ridgelike bulges, known as gyri, separated by small grooves called sulci and larger grooves called fissures. Approximately two-thirds of the cortical surface is hidden in the folds of the sulci. The extensive convolutions enable a very large surface area of brain cortex-about 1.5 m2 (16 ft2) in an adult-to fit within the cranium. The pattern of these convolutions is similar, although not identical, in all humans.
The two cerebral hemispheres are partially separated from each other by a deep fold known as the longitudinal fissure. Communication between the two hemispheres is through several concentrated bundles of axons, called commissaries, the largest of which is the corpus callosum.
Several major sulci-divide the cortex into distinguishable regions. The central sulcus, or Rolandic fissures, runs from the middle of the top of each hemisphere downward, forward, and toward another major sulcus, the lateral (“side”), or Sylvian, sulcus. These and other sulci and gyri divide the cerebrum into five lobes: the frontal, parietal, temporal, and occipital lobes and the insula.
The frontal lobe is the largest of the five and consists of all the cortex in front of the central sulcus. Broca”s area, a part of the cortex related to speech, is located in the frontal lobe. The parietal lobe consists of the cortex behind the central sulcus to a sulcus near the back of the cerebrum known as the parietocipital sulcus. The parieto-occipital sulcus, in turn, forms the front border of the occipital lobe, which is the rearmost part of the cerebrum. The temporal lobe is to the side of and below the lateral sulcus. Wernicke”s area, a part of the cortex related to the understanding of language, is located in the temporal lobe. The insula lies deep within the folds of the lateral sulcus.
The cerebrum receives information from all the sense organs and sends motor commands (signals that results in activity in the muscles or glands) to other parts of the brain and the rest of the body. Motor commands are transmitted by the motor cortex, a strip of cerebral cortex extending from side to side across the top of the cerebrum just in front of the central sulcus. The sensory cortex, a parallel strips of cerebral cortex just in back of the central sulcus, receives input from the sense organs.
Many other areas of the cerebral cortex have also been mapped according to their specific functions, such as vision, hearing, speech, emotions, language, and other aspects of perceiving, thinking, and remembering. Cortical regions known as associative cortices are responsible for integrating multiple inputs, processing the information, and carrying out complex responses.
The cerebellum coordinates body movements. Located at the lower back of the brain beneath the occipital lobes, the cerebellum is divided into two lateral (side-by-side) lobes connected by a fingerlike bundle of white fibers called the vermis. The outer layer, or cortex, of the cerebellum consists of fine folds called folia. As in the cerebrum, the outer layer of cortical gray matter surrounds a deeper layer of white matter and nuclei (groups of nerve cells). Three fiber bundles called cerebellar peduncles connect the cerebellum to the three parts of the brain stem-the midbrain, the pons, and the medulla oblongata.
The cerebellum coordinates voluntary movements by fine-tuning commands from the motor cortex in the cerebrum. The cerebellum also maintains posture and balance by controlling muscle tone and sensing the position of the limbs. All motor activity, from hitting a baseball to fingering a violin, depends on the cerebellum.
The thalamus and the hypothalamus lie underneath the cerebrum and connect it to the brain stem. The thalamus consist of two rounded masses of gray tissue lying within the middle of the brain, between the two cerebral hemispheres. The thalamus are the main relay station for incoming sensory signals to the cerebral cortex and for outgoing motor signals from it. All sensory input to the brain, except that of the sense of smell, connects to individual nuclei of the thalamus.
The hypothalamus lies beneath the thalamus on the midline at the base of the brain. It regulates or is involved directly in the control of many of the body's vital drives and activities, such as eating, drinking, temperature regulation, sleep, emotional behavior, and sexual activity. It also controls the function of internal body organs by means of the autonomic nervous system, interacts closely with the pituitary gland, and helps coordinate activities of the brain stem.
The brain stem is revolutionarily the most primitive part of the brain and is responsible for sustaining the basic functions of life, such as breathing and blood pressure. It includes three main structures lying between and below the two cerebral hemispheres-the midbrain, pons, and medulla oblongata.
The topmost structure of the brain stem is the midbrain. It contains major relay stations for neurons transmitting signals to the cerebral cortex, as well as many reflex centers-pathways carrying sensory (input) information and motor (output) command. Relay and reflex centers for visual and auditory (hearing) functions are located in the top portion of the midbrain. A pair of nuclei called the superior colliculus control reflex actions of the eye, such as blinking, opening and closing the pupil, and focusing the lens. A second pair of nuclei, called the inferior colliculus, controls auditory reflexes, such as adjusting the ear to the volume of sound. At the bottom of the midbrain are reflex and relay centers relating to pain, temperature, and touch, as well as several regions associated with the control of movement, such as the red nucleus and the substantia nigra and directly in front of the cerebellum is a prominent bulge in the brain stem called the pons. The pons consists of large bundles of nerve fibers that connect the two halves of the cerebellum and also connect each side of the cerebellum with the opposite-side cerebral hemisphere. The pons serves mainly as a relay station linking the cerebral cortex and the medulla oblongata.
The long, stalk-like lowermost portion of the brain stem is called the medulla oblongata. At the top, it is continuous with the pons and the midbrain; at the bottom, it makes a gradual transition into the spinal cord at the foramen magnum. Sensory and motor nerve fibers connecting the brain and the rest of the body cross over to the opposite side as they pass through the medulla. Thus, the left half of the brain communicates with the right half of the body, and the right half of the brain with the left half of the body.
Running up the brain stem from the medulla oblongata through the pons and the midbrain is a netlike formation of nuclei known as the reticular formation. The reticular formation controls respiration, cardiovascular function digestion, levels of alertness, and patterns of sleep. It also determines which parts of the constant flow of sensory information into the body are received by the cerebrum.
There are two main types of brain cells: neurons and neuroglia. Neurons are responsible for the transmission and analysis of all electrochemical communication within the brain and other parts of the nervous system. Each neuron is composed of a cell body called a soma. A major fiber called an axon, and a system of branches called dendrites. Axons, also called nerve fibers, convey electrical signals away from the soma and can be up to 1 m. (3.3 ft.) in length. Most axons are covered with a protective sheath of myelin, a substance made of fats and protein, which insulates the axon. Myelinated axons conduct neuronal signals faster than do unmyelinated axons. Dendrites convey electrical signals toward the soma, are shorter than axons, and are usually multiple and branching.
Neuroglial cells are twice as numerous as neurons and account for half of the brain”s weight. Neuroglia (from glia, Greek for “glue”) provides structural support to the neurons. Neuroglial cells also form myelin, guide developing neurons, take up chemicals involved in cell-to-cell communication, and contribute to the maintenance of the environment around neurons.
Twelve pairs of cranial nerves arise symmetrically from the base of the brain and are numbered, from front to back, in the order in which they arise. They connect mainly with structures of the head and neck, such as the eyes, ears, nose, mouth, tongue, and throat. Some are motor nerves, controlling muscle movement; some are sensory nerves, conveying information from the sense organs; and others contain fibers for both sensory and motor impulses. The first and second pairs of cranial nerves-the olfactory (smell) nerve and the optic (vision) nerve-carry, sensory information from the nose and eyes, respectively, to the undersurface of the cerebral hemispheres. The other ten pairs of cranial nerves originate in or end in the brain stem.
The brain functions by complex neuronal, or nerve cell, circuits. Communication between neurons is both electrical and chemical and always travels from the dendrites of a neuron, through its soma, and out its axon to the dendrites of another neuron.
Dendrites of one neuron receive signals from the axons of other neurons through chemicals known as neurotransmitters. The neurotransmitters set off electrical charges in the dendrites, which then carry the signals electrochemically to the soma. The soma integrates the information, which is then transmitted electrochemically down the axon to its tip.
At the tip of the axon, small, bubble-like structures called vesicles” release neurotransmitters that carry the signal across the synapse, or gap, between two neurons. There are many types of neurotransmitters, including norepinephrine, dopamine, and serotonin. Neurotransmitters can be excitatory (that is, they excite an electrochemical response in the dendrite receptors) or inhibitory (they block the response of the dendrite receptors).
One neuron may communicate with thousands of other neurons, and many thousands of neurons are involved with even the simplest behavior. It is believed that these connections and their efficiency can be modified, or altered, by experience.
Scientists have used two primary approaches to studying how the brain works. One approach is to study brain function after parts of the brain have been damaged. Functions that disappear or that is no longer normal after injury to specific regions of the brain can often be associated with the damaged areas. The second approach is to study the response of the brain to direct stimulation or to stimulation of various sense organs.
Neurons are grouped by function into collections of cells called nuclei. These nuclei are connected to form sensory, motor, and other systems. Scientists can study the function of somatosensory (pain and touch), motor, olfactory, visual, auditory, language, and other systems by measuring the physiological (physical and chemical) change that occur in the brain when these senses are activated. For example, electroencephalography (EEG) measures the electrical activity of specific groups of neurons through electrodes attached to the surface of the skull. Electrodes inserted directly into the brain can give readings of individual neurons. Changes in blood flow, glucose (sugar), or oxygen consumption in groups of active cells can also be mapped.
Although the brain appears symmetrical, how it functions is not. Each hemisphere is specializing and dominates the other in certain functions. Research has shown that hemispheric dominance is related to whether a person is predominantly right-handed or left-handed. In most right-handed people, the left hemisphere processes arithmetic, language, and speech. The right hemisphere interprets music, complex imagery, and spatial relationships and recognizes and expresses emotion. In left-handed people, the pattern of brain organization is more variable.
Hemispheric specialization has traditionally been studied in people who have sustained damage to the connections between the two hemispheres, as may occur with a stroke, an interruption of blood flow to an area of the brain that causes the death of nerve cells in that area. The division of functions between the two hemispheres has also been studied in people who have had to have the connection between the two hemispheres surgically cut in order to control severe epilepsy, a neurological disease characterized by convulsions and loss of consciousness.
The visual system of humans is one of the most advanced sensory systems in the body. More information is conveyed visually than by any other means. In addition to the structures of the eye itself, several cortical regions-collectively called primary visual and visual associative cortices-as well as the midbrain is involved in the visual system. Conscious processing of visual input occurs in the primary visual cortex, but reflexive-that is, immediate and unconscious-responses occur at the superior colliculus in the midbrain. Associative cortical regions-specialized regions that can associate, or integrate, multiple inputs-in the parietal and frontal lobes along with parts of the temporal lobe are also involved in the processing of visual information and the establishment of visual memories.
Language involves specialized cortical regions in a complex interaction that allows the brain to comprehend and communicate abstract ideas. The motor cortex initiates impulses that travel through the brain stem to produce audible sounds. Neighboring regions of motor cortices, called the supplemental motor cortex, are involved in sequencing and coordinating sounds. Broca's area of the frontal lobe is responsible for the sequencing of language elements for output. The comprehension of language is dependent upon Wernicke”s area of the temporal lobe. Other cortical circuits connect these areas.
Memory is usually considered a diffusely stored associative process-that is, it puts together information from many different sources. Although research has failed to identify specific sites in the brain as locations of individual memories, certain brain areas are critical for memory to function. Immediate recall-the ability to repeat short series of words or numbers immediately after hearing them-is thought to be located in the auditory associative cortex. Short-term memory-the ability to retain a limited amount of information for up to an hour-is located in the deep temporal lobe. Long-term memory probably involves exchanges between the medial temporal lobe, various cortical regions, and the midbrain.
The autonomic nervous system regulates the life support systems of the body reflexively-that is, without conscious direction. It automatically controls the muscles of the heart, digestive system, and lungs; certain glands; and homeostasis-that is, the equilibrium of the internal environment of the body. The autonomic nervous system itself is controlled by nerve centers in the spinal cord and brain stem and is fine-tuned by regions higher in the brain, such as the midbrain and cortex. Reactions such as blushing indicate that cognitive, or thinking, centers of the brain are also involved in autonomic responses.
The brain is guarded by several highly developed protective mechanisms. The bony cranium, the surrounding meninges, and the cerebrospinal fluid all contribute to the mechanical protection of the brain. In addition, a filtration system called the blood-brain barrier protects the brain from exposure to potentially harmful substances carried in the bloodstream. Brain disorders have a wide range of causes, including head injury, stroke, bacterial diseases, complex chemical imbalances, and changes associated with aging.
Head injury can initiate a cascade of damaging events. After a blow to the head, a person may be stunned or may become unconscious for a moment. This injury, called a concussion, usually leaves no permanent damage. If the blow is more severe and hemorrhage (excessive bleeding) and swelling occurs, however, severe headache, dizziness, paralysis, a convulsion, or temporary blindness may result, depending on the area of the brain affected. Damage to the cerebrum can also result in profound personality changes.
Damage to Broca”s area in the frontal lobe causes difficulty in speaking and writing, a problem known as Broca”s aphasia. Injury to Wernicke”s area in the left temporal lobe results in an inability to comprehend spoken language, called Wernicke's aphasia.
An injury or disturbance to a part of the hypothalamus may cause a variety of different symptoms, such as loss of appetite with an extreme drop in body weight; increase in appetite leading to obesity; extraordinary thirst with excessive urination (diabetes insipidus); failure in body-temperature control, resulting in either low temperature (hypothermia) or high temperature (fever); excessive emotionality; and uncontrolled anger or aggression. If the relationship between the hypothalamus and the pituitary gland is damaged, other vital bodily functions may be disturbed, such as sexual function, metabolism, and cardiovascular activity.
Injury to the brain stem is even more serious because it houses the nerve centers that control breathing and heart action. Damage to the medulla oblongata usually results in immediate death.
To the brain due to an interruption in blood flow. The interruption may be caused by a blood clot: constriction of a blood vessel, or rupture of a vessel accompanied by bleeding. A pouchlike expansion of the wall of a blood vessel, called an aneurysm, may weaken and burst, for example, because of high blood pressure.
Sufficient quantities of glucose and oxygen, transported through the bloodstream, are needed to keep nerve cells alive. When the blood supply to a small part of the brain is interrupted, the cells in that area die and the function of the area is lost. A massive stroke can cause a one-sided paralysis (hemiplegia) and sensory loss on the side of the body opposite the hemisphere damaged by the stroke.
Epilepsy is a broad term for a variety of brain disorders characterized by seizures, or convulsions. Epilepsy can result from a direct injury to the brain at birth or from a metabolic disturbance in the brain at any time later in life.
Some brain diseases, such as multiple sclerosis and Parkinson disease, are progressive, becoming worse over time. Multiple sclerosis damages the myelin sheath around axons in the brain and spinal cord. As a result, the affected axons cannot transmit nerve impulses properly. Parkinson disease destroys the cells of the substantia nigra in the midbrain, resulting in a deficiency in the neurotransmitter dopamine that affects motor functions.
Cerebral palsy is a broad term for brain damage sustained close to birth that permanently affects motor function. The damage may take place either in the developing fetus, during birth, or just after birth and is the result of the faulty development or breaking down of motor pathways. Cerebral palsy is nonprogressive-that is, it does not worsen with time.
A bacterial infection in the cerebrum or in the coverings of the brain swelling of the brain, or an abnormal growth of healthy brain tissue can all cause an increase in intracranial pressure and result in serious damage to the brain.
Scientists are finding that certain brain chemical imbalances are associated with mental disorders such as schizophrenia and depression. Such findings have changed scientific understanding of mental health and have resulted in new treatments that chemically correct these imbalances.
During childhood development, the brain is particularly susceptible to damage because of the rapid growth and reorganization of nerve connections. Problems that originate in the immature brain can appear as epilepsy or other brain-function problems in adulthood.
Several neurological problems are common in aging. Alzheimer”s disease damages many areas of the brain, including the frontal, temporal, and parietal lobes. The brain tissue of people with Alzheimer's disease shows characteristic patterns of damaged neurons, known as plaques and tangles. Alzheimer's disease produces a progressive dementia, characterized by symptoms such as failing attention and memory, loss of mathematical ability, irritability, and poor orientation in space and time.
Several commonly used diagnostic methods give images of the brain without invading the skull. Some portray anatomy-that is, the structure of the brain-whereas others measure brain function. Two or more methods may be used to complement each other, together providing a more complete picture than would be possible by one method alone.
Magnetic resonance imaging (MRI), introduced in the early 1980s, beams high-frequency radio waves into the brain in a highly magnetized field that causes the protons that form the nuclei of hydrogen atoms in the brain to remit the radio waves. The remitted radio waves are analyzed by computer to create thin cross-sectional images of the brain. MRI provides the most detailed images of the brain and is safer than imaging methods that use X rays. However, MRI is a lengthy process and also cannot be used with people who have pacemakers or metal implants, both of which are adversely affected by the magnetic field.
Computed tomography (CT), also known as CT scans, developed in the early 1970s. This imaging method X-rays the brain from many different angles, feeding the information into a computer that produces a series of cross-sectional images. CT is particularly useful for diagnosing blood clots and brain tumors. It is a much quicker process than magnetic resonance imaging and is therefore advantageous in certain situations-for example, with people who are extremely ill.
Changes in brain function due to brain disorders can be visualized in several ways. Magnetic resonance spectroscopy measures the concentration of specific chemical compounds in the brain that may change during specific behaviors. Functional magnetic resonance imaging (fMRI) maps changes in oxygen concentration that correspond to nerve cell activity.
Positron emission tomography (PET), developed in the mid-1970s, uses computed tomography to visualize radioactive tracers radioactive substances introduced into the brain intravenously or by inhalation. PET can measure such brain functions as cerebral metabolism, blood flow and volume, oxygen use, and the formation of neurotransmitters. Single photon emission computed tomography (SPECT), developed in the 1950s and 1960s, used radioactive tracers to visualize the circulation and volume of blood in the brain.
Brain-imaging studies have provided new insights into sensory, motor, language, and memory processes, as well as brain disorders such as epilepsy cerebrovascular disease; Alzheimer's, Parkinson, and Huntington”s diseases: And the various mental disorders, such as schizophrenia.
In lower vertebrates, such as fish and reptiles, the brain is often tubular and bears a striking resemblance to the early embryonic stages of the brains of more highly evolved animals. In all vertebrates, the brain is divided into three regions: the forebrain (prosencephalon), the midbrain (mesencephalon), and the hindbrain (rhombencephalon). These three regions further subdivide into different structures, systems, nuclei, and layers.
The more highly evolved the animal, the more complex is the brain structure. Human beings have the most complex brains of all animals. Evolutionary forces have also resulted in a progressive increase in the size of the brain. In vertebrates lower than mammals, the brain is small. In meat-eating animals, particularly primates, the brain increases dramatically in size.
The cerebrum and cerebellum of higher mammals are highly convoluted in order to fit the most gray matter surface within the confines of the cranium. Such highly convoluted brains are called gyrencephalic. Many lower mammals have a smooth, or lissencephalic (“smooth head”), cortical surfaces.
There is also evidence of evolutionary adaption of the brain. For example, many birds depend on an advanced visual system to identify food at great distances while in flight. Consequently, their optic lobes and cerebellum are well developed, giving them keen sight and outstanding motor coordination in flight. Rodents, on the other hand, as nocturnal animals, do not have a well-developed visual system. Instead, they rely more heavily on other sensory systems, such as a highly-developed sense of smell and facial whiskers.
Recent research in brain function suggests that there may be sexual differences in both brain anatomy and brain function. One study indicated that men and women may use their brains differently while thinking. Researchers used functional magnetic resonance imaging to observe which parts of the brain were activated as groups of men and women tried to determine whether sets of nonsense words rhymed. Men used only Broca”s area in this task, whereas women used Broca's area plus an area on the right side of the brain.
Both Analytic and Linguistic philosophy, are 20th-century philosophical movements, and dominate most of Britain and the United States since World War II, that aims to clarify language and analyze the concepts expressed in it. The movement has been given a variety of designations, including linguistic analysis, logical empiricism, logical positivism, Cambridge analysis, and “Oxford philosophy.” The last two labels are derived from the universities in England where this philosophical method has been particularly influential. Although no specific doctrines or tenets are accepted by the movement as a whole, analytic and linguistic philosophers agree that the proper activity of philosophy is clarifying language, or, as some prefer, clarifying concepts. The aim of this activity is to settle philosophical disputes and resolve philosophical problems, which, it is argued, originates in linguistic confusion.
A considerable diversity of views exists among analytic and linguistic philosophers regarding the nature of conceptual or linguistic analysis. Some have been primarily concerned with clarifying the meaning of specific words or phrases as an essential step in making philosophical assertions clear and unambiguous. Others have been more concerned with determining the general conditions that must be met for any linguistic utterance to be meaningful; their intent is to establish a criterion that will distinguish between meaningful and nonsensical sentences. Still other analysts have been interested in creating formal, symbolic languages that are mathematical in nature. Their claim is that philosophical problems can be more effectively dealt with once they are formulated in a rigorous logical language.
By contrast, many philosophers associated with the movement have focused on the analysis of ordinary, or natural, language. Difficulties arise when concepts such as time and freedom, for example, are considered apart from the linguistic context in which they normally appear. Attention to language as it is ordinarily used is the key, it is argued, to resolving many philosophical puzzles.
Many experts believe that philosophy as an intellectual discipline originated with the work of Plato, one of the most celebrated philosophers in history. The Greek thinker had an immeasurable influence on Western thought. However, Plato's expression of ideas in the form of dialogues-the dialectical method, used most famously by his teacher Socrates-has led to difficulties in interpreting some of the finer points of his thoughts. The issue of what exactly Plato meant to say is addressed in the following excerpt by author R. M. Hare.
Linguistic analysis as a method of philosophy is as old as the Greeks. Several of the dialogues of Plato, for example, are specifically concerned with clarifying terms and concepts. Nevertheless, this style of philosophizing has received dramatically renewed emphasis in the 20th century. Influenced by the earlier British empirical tradition of John Locke, George Berkeley, David Hume, and John Stuart Mill and by the writings of the German mathematician and philosopher Gottlob Frége, the 20th-century English philosopher's G. E. Moore and Bertrand Russell became the founders of this contemporary analytic and linguistic trend. As students together at the University of Cambridge, Moore and Russell rejected Hegelian idealism, particularly as it was reflected in the work of the English metaphysician F. H. Bradley, who held that nothing is completely real except the Absolute. In their opposition to idealism and in their commitment to the view that careful attention to language is crucial in philosophical inquiry. They set the mood and style of philosophizing for much of the 20th century English-speaking world.
For Moore, philosophy was first and foremost analysis. The philosophical task involves clarifying puzzling propositions or concepts by indicating less puzzling propositions or concepts to which the originals are held to be logically equivalent. Once this task has been completed, the truth or falsity of problematic philosophical assertions can be determined more adequately. Moore was noted for his careful analyses of such puzzling philosophical claims as “time is unreal,” analyses that then aided in determining the truth of such assertions.
Russell, strongly influenced by the precision of mathematics, was concerned with developing an ideal logical language that would accurately reflect the nature of the world. Complex propositions, Russell maintained, can be resolved into their simplest components, which he called atomic propositions. These propositions refer to atomic facts, the ultimate constituents of the universe. The metaphysical views based on this logical analysis of language and the insistence that meaningful propositions must correspond to facts constitute what Russell called logical atomism. His interest in the structure of language also led him to distinguish between the grammatical form of a proposition and its logical form. The statements “John is good” and “John is tall” have the same grammatical form but different logical forms. Failure to recognize this would lead one to treat the property “goodness” as if it were a characteristic of John in the same way that the property “tallness” is a characteristic of John. Such failure results in philosophical confusion.
Austrian-born philosopher Ludwig Wittgenstein was one of the most influential thinkers of the 20th century. With his fundamental work, Tractatus Logico-philosophicus, published in 1921, he became a central figure in the movement known as analytic and linguistic philosophy.
Russell”s work in mathematics attracted at Cambridge, the Austrian philosopher Ludwig Wittgenstein, who became a central figure in the analytic and linguistic movement. In his first major work, Tractatus Logico-philosophicus (1921, translated, 1922), in which he first presented his theory of language, Wittgenstein argued that “all philosophy is a “critique of language” ” and that “philosophy aims at the logical clarification of thoughts.” The results of Wittgenstein's analysis resembled Russell's logical atomism. The world, he argued, is ultimately composed of simple facts, which it is the purpose of language to picture. To be meaningful, statements about the world must be reducible to linguistic utterances that have a structure similar to the simple facts pictured. In this early Wittgensteinian analysis, only propositions that picture facts-the propositions of science-are considered factually meaningful. Metaphysical, theological, and ethical sentences were judged to be factually meaningless.
Influenced by Russell, Wittgenstein, Ernst Mach, and others, a group of philosophers and mathematicians in Vienna in the 1920s initiated the movement known as logical positivism: Led by Moritz Schlick and Rudolf Carnap, the Vienna Circle initiated one of the most important chapters in the history of analytic and linguistic philosophy. According to the positivist, the task of philosophy is the clarification of meaning, not the discovery of new facts (the job of the scientists) or the construction of comprehensive accounts of reality (the misguided pursuit of traditional metaphysics).
The positivist divided all meaningful assertions into two classes: analytic propositions and empirically verifiable ones. Analytic propositions, which include the propositions of logic and mathematics, are statements the truth or falsity of which depended altogether on the meanings of the terms constituting the statement. An example would be the proposition “two plus two equals four.” The second class of meaningful propositions includes all statements about the world that can be verified, at least in principle, by sense experience. Indeed, the meaning of such propositions is identified with the empirical method of their verification. This verifiability theory of meaning, the positivist concluded, would demonstrate that scientific statements are legitimate factual claims and that metaphysical, religious, and ethical sentences are factually empties. The ideas of logical positivism were made popular in England by the publication of A. J. Ayer”s Language, Truth and Logic in 1936.
The positivist” verifiability theory of meaning came under intense criticism by philosophers such as the Austrian-born British philosopher Karl Popper. Eventually this narrow theory of meaning yielded to a broader understanding of the nature of language. Again, an influential figure was Wittgenstein. Repudiating many of his earlier conclusions in the Tractatus, he initiated a new line of thought culminating in his posthumously published Philosophical Investigations (1953; translated, 1953). In this work, Wittgenstein argued that once attention is directed to the way language is actually used in ordinary discourse, the variety and flexibility of language become clear. Propositions do much more than simply picture facts.
This recognition led to Wittgenstein's influential concept of language games. The scientist, the poet, and the theologian, for example, are involved in different language games. Moreover, the meaning of a proposition must be understood in its context, that is, in terms of the rules of the language game of which that proposition is a part. Philosophy, concluded Wittgenstein, is an attempt to resolve problems that arise as the result of linguistic confusion, and the key to the resolution of such problems is ordinary language analysis and the proper use of language.
Additional contributions within the analytic and linguistic movement include the work of the British philosopher's Gilbert Ryle, John Austin, and P. F. Strawson and the American philosopher W. V. Quine. According to Ryle, the task of philosophy is to restate “systematically misleading expressions” in forms that are logically more accurate. He was particularly concerned with statements the grammatical form of which suggests the existence of nonexistent objects. For example, Ryle is best known for his analysis that has of a mental capacity of language, language that misleadingly suggests that the mind is an entity in the same way as the body.
Austin maintained that one of the most fruitful starting points for philosophical inquiry is attention to the extremely fine distinctions drawn in ordinary language. His analysis of language eventually led to a general theory of speech acts, that is, to a description of the variety of activities that an individual may be performing when something is uttered.
Strawson is known for his analysis of the relationship between formal logic and ordinary language. The complexity of the latter, he argued, is inadequately represented by formal logic. A variety of analytic tools, therefore, are needed in addition to logic in analyzing ordinary language.
Quine discussed the relationship between language and ontology. He argued that language systems tend to commit their users to the existence of certain things. For Quine, the justification for speaking one way rather than another is a thoroughly pragmatic one.
The commitment to language analysis as a way of pursuing philosophy has continued as a significant contemporary dimension in philosophy. A division also continues to exist between those who prefer to work with the precision and rigor of symbolic logical systems and those who prefer to analyze ordinary language. Although few contemporary philosophers maintain that all philosophical problems are linguistic, the view continues to be widely held that attention to the logical structure of language and to how language is used in everyday discourse can often aid in resolving philosophical problems.
A loose title for various philosophies that emphasize certain common themes, the individual, the experience of choice, and the absence of rational understandings of the universe, with a consequent dread or sense of “absurdity i9n human life” however, Existentialism is a philosophical movement or tendency, emphasizing individual existence, freedom, and choice, that influenced many diverse writers in the 19th and 20th centuries.
Because of the diversity of positions associated with existentialism, the term is impossible to define precisely. Certain themes common to virtually all existentialist writers can, however, be identified. The term itself suggests one major theme: the stress on concrete individual existence and, consequently, on subjectivity, individual freedom, and choice.
Most philosophers since Plato have held that the highest ethical good are the same for everyone; insofar as one approaches moral perfection, one resembles other morally perfect individuals. The 19th-century Danish philosopher Søren Kierkegaard, who was the first writer to call himself existential, reacted against this tradition by insisting that the highest good for the individual are to find his or her own unique vocation. As he wrote in his journal, “I must find a truth that is true for me . . . the idea for which I can live or die.” Other existentialist writers have echoed Kierkegaard”s belief that one must choose one's own way without the aid of universal, objective standards. Against the traditional view that moral choice involves an objective judgment of right and wrong, Existentialists have argued that no objective, rational basis can be found for moral decisions. The 19th-century German philosopher Friedrich Nietzsche further contended that the individual must decide which situations are to count as moral situations.
All Existentialists have followed Kierkegaard in stressing the importance of passionate individual action in deciding questions of both morality and truth. They have insisted, accordingly, that personal experience and acting on one's own convictions are essential in arriving at the truth. Thus, the understanding of a situation by someone involved in that situation is superior to that of a detached, objective observer. This emphasis on the perspective of the individual agent has also made Existentialists suspicious of systematic reasoning. Kierkegaard, Nietzsche, and other existentialist writers have been deliberately unsystematic in the exposition of their philosophies, preferring to express themselves in aphorisms, dialogues, parables, and other literary forms. Despite their antirationalist position, however, most Existentialists cannot be said to be irrationalists in the sense of denying all validity to rational thought. They have held that rational clarity is desirable wherever possible, but that the most important questions in life are not accessible to reason or science. Furthermore, they have argued that even science is not as rational as is commonly supposed. Nietzsche, for instance, asserted that the scientific assumption of an orderly universe is for the most part a useful fiction.
Perhaps the most prominent theme in existentialist writing is that of choice. Humanity's primary distinction, in the view of most Existentialists, is the freedom to choose. Existentialists have held that human beings do not have a fixed nature, or essence, as other animals and plants do; each human being makes choices that create his or her own nature. In the formulation of the 20th-century French philosopher Jean-Paul Sartre, existence precedes essence. Choice is therefore central to human existence, and it is inescapable; even the refusal to choose is a choice. Freedom of choice entails commitment and responsibility. Because individuals are free to choose their own path, Existentialists have argued, they must accept the risk and responsibility of following their commitment wherever it leads.
Kierkegaard held that it is spiritually crucial to recognize that one experiences not only a fear of specific objects but also a feeling of general apprehension, which he called dread. He interpreted it as God's way of calling each individual to make a commitment to a personally valid way of life. The word anxiety (German Angst) has a similarly crucial role in the work of the 20th-century German philosopher Martin Heidegger; anxiety leads to the individual”s confrontation with nothingness and with the impossibility of finding ultimate justification for the choices he or she must make. In the philosophy of Sartre, the word nausea is used for the individual”s recognition of the pure contingency of the universe, and the word anguish is used for the recognition of the total freedom of choice that confronts the individual at every moment.
Existentialism as a distinct philosophical and literary movement belongs to the 19th and 20th centuries, but elements of existentialism can be found in the thought (and life) of Socrates, in the Bible, and in the work of many premodern philosophers and writers.
The first to anticipate the major concerns of modern existentialism was the 17th-century French philosopher Blaise Pascal. Pascal rejected the rigorous rationalism of his contemporary René Descartes, asserting, in his Pensées (1670), that a systematic philosophy that presumes to explain God and humanity is a form of pride. Like later existentialist writers, he saw human life in terms of paradoxes: The human self, which combines mind and body, is itself a paradox and contradiction.
Kierkegaard, generally regarded as the founder of modern existentialism, reacted against the systematic absolute idealism of the 19th-century German philosopher Georg Wilhelm Friedrich Hegel, who claimed to have worked out a total rational understanding of humanity and history. Kierkegaard, on the contrary, stressed the ambiguity and absurdity of the human situation. The individual”s response to this situation must be to live a totally committed life, and this commitment can only be understood by the individual who has made it. The individual therefore must always be prepared to defy the norms of society for the sake of the higher authority of a personally valid way of life. Kierkegaard ultimately advocated a “leap of faith” into a Christian way of life, which, although incomprehensible and full of risk, was the only commitment he believed could save the individual from despair.
Danish religious philosopher Søren Kierkegaard rejected the all-encompassing, analytical philosophical systems of such 19th-century thinkers as German philosopher G. W. F. Hegel. Instead, Kierkegaard focused on the choices the individual must make in all aspects of his or her life, especially the choice to maintain religious faith. In Fear and Trembling (1846; trans. 1941), Kierkegaard explored the concept of faith through an examination of the biblical story of Abraham and Isaac, in which God demanded that Abraham demonstrate his faith by sacrificing his son.
One of the most controversial works of 19th-century philosophy, Thus Spake Zarathustra (1883-1885) articulated German philosopher Friedrich Nietzsche's theory of the Übermensch, a term translated as “Superman” or “Overman.” The Superman was an individual who overcame what Nietzsche termed the “slave morality” of traditional values, and lived according to his own morality. Nietzsche also advanced his idea that “God is dead,” or that traditional morality was no longer relevant in people”s lives. In this passage, the sage Zarathustra came down from the mountain where he had spent the last ten years alone to preach to the people.
Nietzsche, who was not acquainted with the work of Kierkegaard, influenced subsequent existentialist thought through his criticism of traditional metaphysical and moral assumptions and through his espousal of tragic pessimism and the life-affirming individual will that opposes itself to the moral conformity of the majority. In contrast to Kierkegaard, whose attack on conventional morality led him to advocate a radically individualistic Christianity, Nietzsche proclaimed the “death of God” and went on to reject the entire Judeo-Christian moral tradition in favor of a heroic pagan ideal.
The modern philosophy movements of phenomenology and existentialism have been greatly influenced by the thought of German philosopher Martin Heidegger. According to Heidegger, humankind has fallen into a crisis by taking a narrow, technological approach to the world and by ignoring the larger question of existence. People, if they wish to live authentically, must broaden their perspectives. Instead of taking their existence for granted, people should view themselves as part of Being (Heidegger's terms for that which underlies all existence).
Heidegger, like Pascal and Kierkegaard, reacted against an attempt to put philosophy on a conclusive rationalistic basis-in this case the phenomenology of the 20th-century German philosopher Edmund Husserl. Heidegger argued that humanity finds itself in an incomprehensible, indifferent world. Human beings can never hope to understand why they are here; instead, each individual must choose a goal and follow it with passionate conviction, aware of the certainty of death and the ultimate meaninglessness of one”s life. Heidegger contributed to existentialist thought an original emphasis on being and ontology (see Metaphysics) as well as on language.
Twentieth-century French intellectual Jean-Paul Sartre helped to develop existential philosophy through his writings, novels, and plays. Much of Sartre”s work focuses on the dilemma of choice faced by free individuals and on the challenge of creating meaning by acting responsibly in an indifferent world. In stating that “man is condemned to be free,” Sartre reminds us of the responsibility that accompanies human decisions.
Sartre first gave the term existentialism general currency by using it for his own philosophy and by becoming the leading figure of a distinct movement in France that became internationally influential after World War II. Sartre”s philosophy is explicitly atheistic and pessimistic; he declared that human beings require a rational basis for their lives but are unable to achieve one, and thus human life is a “futile passion.” Sartre nevertheless insisted that his existentialism is a form of humanism, and he strongly emphasized human freedom, choice, and responsibility. He eventually tried to reconcile these existentialist concepts with a Marxist analysis of society and history.
Although existentialist thought encompasses the uncompromising atheism of Nietzsche and Sartre and the agnosticism of Heidegger, its origin in the intensely religious philosophies of Pascal and Kierkegaard foreshadowed its profound influence on 20th-century theologies. The 20th-century German philosopher Karl Jaspers, although he rejected explicit religious doctrines, influenced a contemporary theology through his preoccupation with transcendence and the limits of human experience. The German Protestant theologian”s Paul Tillich and Rudolf Bultmann, the French Roman Catholic theologian Gabriel Marcel, the Russian Orthodox philosopher Nikolay Berdyayev, and the German Jewish philosopher Martin Buber inherited many of Kierkegaard's concerns, especially that a personal sense of authenticity and commitment is essential to religious faith.
Renowned as one of the most important writers in world history, 19th-century Russian author Fyodor Dostoyevsky wrote psychologically intense novels which probed the motivations and moral justifications for his characters” actions. Dostoyevsky commonly addressed themes such as the struggle between good and evil within the human soul and the idea of salvation through suffering. The Brothers Karamazov (1879-1880), generally considered Dostoyevsky's best work, interlaces religious exploration with the story of a family's violent quarrels over a woman and a disputed inheritance.
Also, Maurice Merleau-Ponty (1908-1961), the French existentialist philosopher, whose phenomenological studies of the role of the body in perception and society opened a new field of philosophical investigation. He taught at the University of Lyon, at the Sorbonne, and, after 1952, at the Collège de France. His first important work was The Structure of Comportment (1942; trans. 1963), a critique of behaviorism. His major work, Phenomenology of Perception (1945; trans. 1962), is a detailed study of perception, influenced by the German philosopher Edmund Husserl”s phenomenology and by Gestalt psychology. In it, he argues that science presupposes an original and unique perceptual relation to the world that cannot be explained or even described in scientific terms. This book can be viewed as a critique of cognitivism-the view that the working of the human mind can be understood in terms of rules or programs. It is also a telling critique of the existentialism of his contemporary, Jean-Paul Sartre, showing how human freedom is never total, as Sartre claimed, but is limited by our embodiment.
With Sartre and Simone de Beauvoir, Merleau-Ponty founded an influential postwar French journal, Les Temps Modernes. His brilliant and timely essays on art, film, politics, psychology, and religion, first published in this journal, were later collected in Sense and Nonsense (1948; trans. 1964). At the time of his death, he was working on a book, The Visible and the Invisible (1964; trans. 1968), arguing that the whole perceptual world has the sort of organic unity he had earlier.
A number of existentialist philosophers used literary forms to convey their thought, and existentialism has been as vital and as extensive a movement in literature as in philosophy. The 19th-century Russian novelist Fyodor Dostoyevsky is probably the greatest existentialist literary figure. In Notes from the Underground (1864), the alienated antihero rages against the optimistic assumptions of rationalist humanism. The view of human nature that emerges in this and other novels of Dostoyevsky is that it is unpredictable and perversely self-destructive; only Christian love can save humanity from itself, but such love cannot be understood philosophically. As the character Alyosha says in The Brothers Karamazov (1879-80), “We must love life more than the meaning of it.”
The opening lines of Russian novelist Fyodor Dostoyevsky's Notes from Underground (1864)-“I am a sick man . . . I am a spiteful man”-are among the most famous in 19th-century literature. Published five years after his release from prison and involuntary, military service in Siberia, Notes from Underground is a sign of Dostoyevsky's rejection of the radical social thinking he had embraced in his youth. The unnamed narrator is antagonistic in tone, questioning the reader”s sense of morality as well as the foundations of rational thinking. In this excerpt from the beginning of the novel, the narrator describes himself, derisively referring to himself as an “overly conscious” intellectual.
In the 20th century, the novels of the Austrian Jewish writer Franz Kafka, such as The Trial (1925; trans. 1937) and The Castle (1926; trans. 1930), present isolated men confronting vast, elusive, menacing bureaucracies; Kafka”s themes of anxiety, guilt, and solitude reflect the influence of Kierkegaard, Dostoyevsky, and Nietzsche. The influence of Nietzsche is also discernible in the novels of the French writer”s André Malraux and in the plays of Sartre. The work of the French writer Albert Camus is usually associated with existentialism because of the prominence in it of such themes as the apparent absurdity and futility of life, the indifference of the universe, and the necessity of engagement in a just cause. Existentialist themes are also reflected in the theater of the absurd, notably in the plays of Samuel Beckett and Eugène Ionesco. In the United States, the influence of existentialism on literature has been more indirect and diffuse, but traces of Kierkegaard”s thought can be found in the novels of Walker Percy and John Updike, and various existentialist themes are apparent in the work of such diverse writers as Norman Mailer, John Barth, and Arthur
The problem of defining knowledge in terms of true belief plus some favoured relation between the believer and the facts began with Plato”s view in the Theaetetus, that knowledge is true belief plus some logos, an epistemology is to begin of holding the Foundations of knowledge, a special branches of philosophy that addresses the philosophical problems surrounding the theory of knowledge. Epistemology is concerned with the definition of knowledge and related concepts, the sources and criteria of knowledge, the kinds of knowledge possible and the degree to which each is certain, and the exact relation among the one who knows and the object known.
Thirteenth-century Italian philosopher and theologian Saint Thomas Aquinas attempted to synthesize Christian belief with a broad range of human knowledge, embracing diverse sources such as Greek philosopher Aristotle and Islamic and Jewish scholars. His thought exerted lasting influence on the development of Christian theology and Western philosophy. Author Anthony Kenny examines the complexities of Aquinas”s concepts of substance and accident.
In the 5th century Bc, the Greek Sophists questioned the possibility of reliable and objective knowledge. Thus, a leading Sophist, Gorgias, argued that nothing really exists, that if anything did exist it could not be known, and that if knowledge were possible, it could not be communicated. Another prominent Sophist, Protagoras, maintained that no person”s opinions can be said to be more correct than another”s, because each is the sole judge of his or her own experience. Plato, following his illustrious teacher Socrates, tried to answer the Sophists by postulating the existence of a world of unchanging and invisible forms, or ideas, about which it is possible to have exact and certain knowledge. The thing”s one sees and touches, they maintained, are imperfect copies of the pure forms studied in mathematics and philosophy. Accordingly, only the abstract reasoning of these disciplines yields genuine knowledge, whereas reliance on sense perception produces vague and inconsistent opinions. They concluded that philosophical contemplation of the unseen world of forms is the highest goal of human life.
Aristotle followed Plato in regarding abstract knowledge as superior to any other, but disagreed with him as to the proper method of achieving it. Aristotle maintained that almost all knowledge is derived from experience. Knowledge is gained either directly, by abstracting the defining traits of a species, or indirectly, by deducing new facts from those already known, in accordance with the rules of logic. Careful observation and strict adherence to the rules of logic, which were first set down in systematic form by Aristotle, would help guard against the pitfalls the Sophists had exposed. The Stoic and Epicurean schools agreed with Aristotle that knowledge originates in sense perception, but against both Aristotle and Plato they maintained that philosophy is to be valued as a practical guide to life, rather than as an end in itself.
After many centuries of declining interest in rational and scientific knowledge, the Scholastic philosopher Saint Thomas Aquinas and other philosophers of the Middle Ages helped to restore confidence in reason and experience, blending rational methods with faith into a unified system of beliefs. Aquinas followed Aristotle in regarding perception as the starting point and logic as the intellectual procedure for arriving at reliable knowledge of nature, but he considered faith in scriptural authority as the main source of religious belief.
From the 17th to the late 19th century, the main issue in epistemology was reasoning versus sense perception in acquiring knowledge. For the rationalists, of whom the French philosopher René Descartes, the Dutch philosopher Baruch Spinoza, and the German philosopher Gottfried Wilhelm Leibniz were the leaders, the main source and final test of knowledge was deductive reasoning based on self-evident principles, or axioms. For the empiricist, beginning with the English philosophers Francis Bacon and John Locke, the main source and final test of knowledge was sense perception.
Bacon inaugurated the new era of modern science by criticizing the medieval reliance on tradition and authority and also by setting down new rules of scientific method, including the first set of rules of inductive logic ever formulated. Locke attacked the rationalist belief that the principles of knowledge are intuitively self-evident, arguing that all knowledge is derived from experience, either from experience of the external world, which stamps sensations on the mind, or from internal experience, in which the mind reflects on its own activities. Human knowledge of external physical objects, he claimed, is always subject to the errors of the senses, and he concluded that one cannot have absolutely certain knowledge of the physical world.
Irish-born philosopher and clergyman George Berkeley (1685-1753) argued that everything that human being conceived of exists as an idea in a mind, a philosophical focus which is known as idealism. Berkeley reasoned that because one cannot control one”s thoughts, they must come directly from a larger mind: that of God. In this excerpt from his Treatise Concerning the Principles of Human Knowledge, written in 1710, Berkeley explained why he believed that it is “impossible . . . that there should be any such thing as an outward object.”
The Irish philosopher George Berkeley agreed with Locke, that knowledge comes through ideas, but he denied Locke”s belief that a distinction can be made between ideas and objects. The British philosopher David Hume continued the empiricist tradition, but he did not accept Berkeley”s conclusion that knowledge was of ideas only. He divided all knowledge into two kinds: knowledge of relations of ideas-that is, the knowledge found in mathematics and logic, which is exact and certain but provide no information about the world; and knowledge of matters of fact-that is, the knowledge derived from sense perception. Hume argued that most knowledge of matters of fact depends upon cause and effect, and since no logical connection exists between any given cause and its effect, one cannot hope to know any future matter of fact with certainty. Thus, the most reliable laws of science might not remain true-a conclusion that had a revolutionary impact on philosophy.
The German philosopher Immanuel Kant tried to solve the crisis precipitated by Locke and brought to a climax by Hume; his proposed solution combined elements of rationalism with elements of empiricism. He agreed with the rationalists that one can have exact and certain knowledge, but he followed the empiricist in holding that such knowledge is more informative about the structure of thought than about the world outside of thought. He distinguished three kinds of knowledge: analytical a priori, which is exact and certain but uninformative, because it makes clear only what is contained in definitions; synthetic a posteriori, which conveys information about the world learned from experience, but is subject to the errors of the senses; and synthetic a priori, which is discovered by pure intuition and is both exact and certain, for it expresses the necessary conditions that the mind imposes on all objects of experience. Mathematics and philosophy, according to Kant, provide this last. Since the time of Kant, one of the most frequently argued questions in philosophy has been whether or not such a thing as synthetic a priori knowledge really exists.
During the 19th century, the German philosopher Georg Wilhelm Friedrich Hegel revived the rationalist claim that absolutely certain knowledge of reality can be obtained by equating the processes of thought, of nature, and of history. Hegel inspired an interest in history and a historical approach to knowledge that was further emphasized by Herbert Spencer in Britain and by the German school of historicism. Spencer and the French philosopher Auguste Comte brought attention to the importance of sociology as a branch of knowledge, and both extended the principles of empiricism to the study of society.
The American school of pragmatism, founded by the philosophers Charles Sanders Peirce, William James, and John Dewey at the turn of this century, carried empiricism further by maintaining that knowledge is an instrument of action and that all beliefs should be judged by their usefulness as rules for predicting experiences.
In the early 20th century, epistemological problems were discussed thoroughly, and subtle shades of difference grew into rival schools of thought. Special attention was given to the relation between the act of perceiving something, the object directly perceived, and the thing that can be said to be known as a result of the perception. The phenomenalists contended that the objects of knowledge are the same as the objects perceived. The neorealists argued that one has direct perceptions of physical objects or parts of physical objects, rather than of one's own mental states. The critical realists took a middle position, holding that although one perceives only sensory data such as colors and sounds, these stand for physical objects and provide knowledge thereof.
A method for dealing with the problem of clarifying the relation between the act of knowing and the object known was developed by the German philosopher Edmund Husserl. He outlined an elaborate procedure that he called phenomenology, by which one is said to be able to distinguish the way things appear to be from the way one thinks they really are, thus gaining a more precise understanding of the conceptual foundations of knowledge.
Scientific knowledge reveals that scientific knowledge and method did not spring full-blown from the minds of the ancient Greeks any more than language and culture emerged fully in the minds of Homo sapiens sapient. Scientific knowledge is an extension of ordinary language into greater levels of abstraction and precision through reliance upon geometric and numerical relationships. We speculate that the seeds of the scientific imagination were planted in ancient Greece, as opposed to Chinese or Babylonian culture, partly because the social, political and economic climate in Greece was more open because the social, political, and economic climate in Greece was more open to the pursuit of knowledge with marginal cultural utility. Another important factor was that the special character of Homeric religion allowed the Greeks to invent a conceptual framework that would prove useful in future scientific investigations, but it was only after this inheritance from Greek philosophy was wed to some essential features of Judeo-Christian beliefs about the origin of the cosmos that the paradigm for classical physics emerged.
During the second quarter of the 20th century, two schools of thought emerged, each indebted to the Austrian philosopher Ludwig Wittgenstein. The first of these schools, logical empiricism, or logical positivism, had its origins in Vienna, Austria, but it soon spread to England and the United States. The logical empiricist insisted that there is only one kind of knowledge: scientific knowledge; that any valid knowledge claim must be verifiable in experience; and hence that much that had passed for philosophy was neither true nor false but literally meaningless. Finally, following Hume and Kant, a clear distinction must be maintained between analytic and synthetic statements. The so-called verifiability criterion of meaning has undergone changes as a result of discussions among the logical empiricist themselves, as well as their critics, but has not been discarded. More recently, the sharp distinction between the Analytic and the synthetic has been attacked by a number of philosophers, chiefly by American philosopher W.V.O. Quine, whose overall approach is in the pragmatic tradition.
The latter of these recent schools of thought, generally referred to as linguistic analysis, or ordinary language philosophy, seem to break with traditional epistemology. The linguistic analysts undertake to examine the actual way key epistemological terms are used-terms such as knowledge, perception, and probability-and to formulate definitive rules for their use in order to avoid verbal confusion. British philosopher John Langshaw Austin argued, for example, that to say a statement was truly added but nothing to the statement except a promise by the speaker or writer. Austin does not consider truth a quality or property attaching to statements or utterances. However, the ruling thought is that it is only through a correct appreciation of the role and point of this language that we can come to a better conception of what the language is about, and avoid the oversimplifications and distortion we are apt to bring to its subject matter.
Linguistics is the scientific study of language. It encompasses the description of languages, the study of their origin, and the analysis of how children acquire language and how people learn languages other than their own. Linguistics is also concerned with relationships between languages and with the ways languages change over time. Linguists may study language as a thought process and seek a theory that accounts for the universal human capacity to produce and understand language. Some linguists examine language within a cultural context. By observing talk, they try to determine what a person needs to know in order to speak appropriately in different settings, such as the workplace, among friends, or among family. Other linguists focus on what happens when speakers from different language and cultural backgrounds interact. Linguists may also concentrate on how to help people learn another language, using what they know about the learner”s first language and about the language being acquired.
Although there are many ways of studying language, most approaches belong to one of the two main branches of linguistics: descriptive linguistics and comparative linguistics.
Descriptive linguistics is the study and analysis of spoken language. The techniques of descriptive linguistics were devised by German American anthropologist Franz Boas and American linguist and anthropologist Edward Sapir in the early 1900s to record and analyze Native American languages. Descriptive linguistics begins with what a linguist hears native speakers say. By listening to native speakers, the linguist gathered a body of data and analyzed it in order to identify distinctive sounds, called phonemes. Individual phonemes, such as /p/ and /b/, are established on the grounds that substitution of one for the other changes the meaning of a word. After identifying the entire inventory of sounds in a language, the linguist looks at how these sounds combine to create morphemes, or units of sound that carry meaning, such as the words push and bush. Morphemes may be individual words such as push; root words, such as a berry in blueberry; or prefixes (pre-in preview) and suffixes (-ness in openness).
The linguist”s next step is to see how morphemes combine into sentences, obeying both the dictionary meaning of the morpheme and the grammatical rules of the sentence. In the sentence “She pushed the bush,” the morpheme she, a pronoun, is the subject; push, a transitive verb, is the verb “the”, a definite article, is the determiner; and bush, a noun, is the object. Knowing the function of the morphemes in the sentence enables the linguist to describe the grammar of the language. The scientific procedures of phonemics (finding phonemes), morphology (discovering morphemes), and syntaxes (describing the order of morphemes and their function) provided descriptive linguists with a way to write down grammars of languages never before written down or analyzed. In this way they can begin to study and understand these languages.
Comparative linguistics is the study and analysis, by means of written records, of the origins and relatedness of different languages. In 1786 Sir William Jones, a British scholar, asserted that Sanskrit, Greek, and Latin was related to one another and had descended from a common source. He based this assertion on observations of similarities in sounds and meanings among the three languages. For example, the Sanskrit word bhratar for “brother” resembles the Latin word frater, the Greek word phrater, (and the English word brother).
Other scholars went on to compare Icelandic with Scandinavian languages, and Germanic languages with Sanskrit, Greek, and Latin. The correspondences among languages, known as genetic relationships, came to be represented on what comparative linguists refer to as family trees. Family trees established by comparative linguists include the Indo-European, relating Sanskrit, Greek, Latin, German, English, and other Asian and European languages; the Algonquian, relating Fox, Cree, Menomini, Ojibwa, and other Native North American languages; and the Bantu, relating Swahili, Xhosa, Zulu, Kikuyu, and other African languages.
Comparative linguists also look for similarities in the way words are formed in different languages. Latin and English, for example, change the form of a word to express different meanings, as when the English verb goes interchangeably to go and gone, only to express a past action. Chinese, on the other hand, has no such inflected forms; the verb remains the same while other words indicate the time (as, in “go store tomorrow”). In Swahili, prefixes, suffixes, and infixes (additions in the body of the word) combine with a root word to change its meaning. For example, a single word might expressibly go when something was done, by whom, to whom, and in what manner.
Some comparative linguists reconstruct hypothetical ancestral languages known as proto-languages, which they use to demonstrate relatedness among contemporary languages. A proto-language is not intended to depict a real language, however, and does not represent the speech of ancestors of people speaking modern languages. Unfortunately, some groups have mistakenly used such reconstructions in efforts to demonstrate the ancestral homeland of those people.
Comparative linguists have suggested that certain basic words in a language do not change over time, because people are reluctant to introduce new words for such constants as arm, eye, or mother. These words are termed culture free. By comparing lists of culture-free words in languages within a family, linguists can derive the percentage of related words and use a formula to figure out when the languages separated from one another.
By the 1960s comparativists were no longer satisfied with focusing on origins, migrations, and the family tree method. They challenged as unrealistic the notion that an earlier language could remain sufficiently isolated for other languages to be derived exclusively from it over a period of time. Today comparativists seek to understand the more complicated reality of language history, taking language contact into account. They are concerned with universal characteristics of language and with comparisons of grammars and structures.
The field of linguistics both borrows from and lends its own theories and methods to other disciplines. The many subfields of linguistics have expanded our understanding of languages. Linguistic theories and methods are also used in other fields of study. These overlapping interests have led to the creation of several cross-disciplinary fields.
Sociolinguistics are the study of patterns and variations in language within a society or community. It focuses on the way people use language to express social class, group status, gender, or ethnicity, and it looks at how they make choices about the form of language they use. It also examines the way people use language to negotiate their role in society and to achieve positions of power. For example, sociolinguistic studies have found that the way a New Yorker pronounces the phoneme /r/ in an expression such as “fourth floor” can indicate the person”s social class. According to one study, people aspiring to move from the lower middle classes to the upper middle class attach prestige to pronouncing the /r/. Sometimes they even overcorrect their speech, pronouncing a /r/ where those whom they wish to copy may not.
Some sociolinguists believe that analyzing such variables as the use of a particular phoneme can predict the direction of language change. Change, they say, moves toward the variable associated with power, prestige, or other quality having high social value. Other sociolinguists focus on what happens when speakers of different languages interact. This approach to language change emphasizes the way languages mix rather than the direction of change within a community. The goal of Sociolinguistics is to understand communicative competence-what people need to know to use the appropriate language for a given social setting.
Psycholinguistics merge the fields of psychology and linguistics to study how people process language and how language use is related to underlying mental processes. Studies of children”s language acquisition and of second-language acquisition are psycholinguistic in nature. Psycholinguists work to develop models for how language is processed and understood, using evidence from studies of what happens when these processes go awry. They also study language disorders such as aphasia (impairment of the ability to use or comprehend words) and dyslexia (impairment of the ability to make out written language).
Computational linguistics involves the use of computers to compile linguistic data, analyze languages, translate from one language to another, and develop and test models of language processing. Linguists use computers and large samples of actual language to analyze the relatedness and the structure of languages and to look for patterns and similarities. Computers also aid in stylistic studies, information retrieval, various forms of textual analysis, and the construction of dictionaries and concordances. Applying computers to language studies has resulted in machine translation systems and machines that recognize and produce speech and text. Such machines facilitate communication with humans, including those who are perceptually or linguistically impaired.
Applied linguistics employs linguistic theory and methods in teaching and in research on learning a second language. Linguists look at the errors people make as they learn another language and at their strategies for communicating in the new language at different degrees of competence. In seeking to understand what happens in the mind of the learner, applied linguists recognize that motivation, attitude, learning style, and personality affect how well a person learns another language.
Anthropological linguistics, also known as linguistic anthropology, uses linguistic approaches to analyze culture. Anthropological linguists examine the relationship between a culture and its language. The way cultures and languages have changed over time, and how different cultures and languages are related to one another. For example, the present English use of family and given names arose in the late 13th and early 14th centuries when the laws concerning registration, tenure, and inheritance of property were changed.
Philosophical linguistics examines the philosophy of language. Philosophers of language search for the grammatical principles and tendencies that all human languages share. Among the concerns of linguistic philosophers is the range of possible word order combinations throughout the world. One finding is that 95 percent of the world's languages use a subject-verb-object (SVO) order as English does (“She pushed the bush.”). Only 5 percent use a subject-object-verb (SOV) order or verb-subject-object (VSO) order.
Neurolinguistics are the study of how language is processed and represented in the brain. Neurolinguists seek to identify the parts of the brain involved with the production and understanding of language and to determine where the components of language (phonemes, morphemes, and structure or syntax) are stored. In doing so, they make use of techniques for analyzing the structure of the brain and the effects of brain damage on language.
Speculation about language goes back thousands of years. Ancient Greek philosophers speculated on the origins of language and the relationship between objects and their names. They also discussed the rules that govern language, or grammar, and by the 3rd century Bc they had begun grouping words into parts of speech and devising names for different forms of verbs and nouns.
In India religion provided the motivation for the study of language nearly 2500 years ago. Hindu priests noted that the language they spoke had changed since the compilation of their ancient sacred texts, the Vedas, starting about 1000 Bc. They believed that for certain religious ceremonies based upon the Vedas to succeed, they needed to reproduce the language of the Vedas precisely. Panini, an Indian grammarian who lived about 400 Bc, produced the earliest work describing the rules of Sanskrit, the ancient language of India.
The Romans used Greek grammars as models for their own, adding commentary on Latin style and usage. Statesman and orator Marcus Tullius Cicero wrote on rhetoric and style in the 1st century Bc. Later grammarian’s Aelius Donatus (4th century ad) and Priscian (6th century ad) produced detailed Latin grammars. Roman works served as textbooks and standards for the study of language for more than 1000 years.
It was not until the end of the 18th century that language was researched and studied in a scientific way. During the 17th and 18th centuries, modern languages, such as French and English, replaced Latin as the means of universal communication in the West. This occurrence, along with developments in printing, meant that many more texts became available. At about this time, the study of phonetics, or the sounds of a language, began. Such investigations led to comparisons of sounds in different languages; in the late 18th century the observation of correspondences among Sanskrit, Latin, and Greek gave birth to the field of Indo-European linguistics.
During the 19th century, European linguists focused on philology, or the historical analysis and comparison of languages. They studied written texts and looked for changes over time or for relationships between one language and another.
American linguist, writer, teacher, and political activist Noam Chomsky is considered the founder of transformational-generative linguistic analysis, which revolutionized the field of linguistics. This system of linguistics treats grammar as a theory of language-that is, Chomsky believes that in addition to the rules of grammar specific to individual languages, there are universal rules common to all languages that indicate that the ability to form and understand language is innate to all human beings. Chomsky also is well known for his political activism-he opposed United States involvement in Vietnam in the 1960s and 1970s and has written various books and articles and delivered many lectures in an attempt to educate and empower people on various political and social issues.
In the early 20th century, linguistics expanded to include the study of unwritten languages. In the United States linguists and anthropologists began to study the rapidly disappearing spoken languages of Native North Americans. Because many of these languages were unwritten, researchers could not use historical analysis in their studies. In their pioneering research on these languages, anthropologist’s Franz Boas and Edward Sapir developed the techniques of descriptive linguistics and theorized on the ways in which language shapes our perceptions of the world.
An important outgrowth of descriptive linguistics is a theory known as structuralism, which assumes that language is a system with a highly organized structure. Structuralism began with publication of the work of Swiss linguist Ferdinand de Saussure in Cours de linguistique générale (1916; Course in General Linguistics, 1959). This work, compiled by Saussure”s students after his death, is considered the foundation of the modern field of linguistics. Saussure made a distinction between actual speech, or spoken language, and the knowledge underlying speech that speakers share about what is grammatical. Speech, he said, represents instances of grammar, and the linguist”s task is to find the underlying rules of a particular language from examples found in speech. To the Structuralists, grammar is a set of relationships that account for speech, rather than a set of instances of speech, as it is to the descriptivist.
Once linguists began to study language as a set of abstract rules that somehow account for speech, other scholars began to take an interest in the field. They drew analogies between language and other forms of human behavior, based on the belief that a shared structure underlies many aspects of a culture. Anthropologists, for example, became interested in a Structuralists approach to the interpretation of kinship systems and analysis of myth and religion. American linguist Leonard Bloomfield promoted structuralism in the United States.
Saussure”s ideas also influenced European linguistics, most notably in France and Czechoslovakia (now the Czech Republic). In 1926 Czech linguist Vilem Mathesius founded the Linguistic Circle of Prague, a group that expanded the focus of the field to include the context of language use. The Prague circle developed the field of phonology, or the study of sounds, and demonstrated that universal features of sounds in the languages of the world interrelate in a systematic way. Linguistic analysis, they said, should focus on the distinctiveness of sounds rather than on the ways they combine. Where descriptivists tried to locate and describe individual phonemes, such as /b/ and /p/, the Prague linguists stressed the features of these phonemes and their interrelationships in different languages. In English, for example, the voice distinguishes between the similar sounds of /b/ and /p/, but these are not distinct phonemes in a number of other languages. An Arabic speaker might pronounce the cities Pompei and Bombay the same way.
As linguistics developed in the 20th century, the notion became prevalent that language is more than speech-specifically, that it is an abstract system of interrelationships shared by members of a speech community. Structural linguistics led linguists to look at the rules and the patterns of behavior shared by such communities. Whereas structural linguists saw the basis of language in the social structure, other linguists looked at language as a mental process.
The 1957 publication of Syntactic Structures by American linguist Noam Chomsky initiated what many view as a scientific revolution in linguistics. Chomsky sought a theory that would account for both linguistic structure and the creativity of language-the fact that we can create entirely original sentences and understand sentences never before uttered. He proposed that all people have an innate ability to acquire language. The task of the linguist, he claimed, is to describe this universal human ability, known as language competence, with a grammar from which the grammars of all languages could be derived. The linguist would develop this grammar by looking at the rules children use in hearing and speaking their first language. He termed the resulting model, or grammar, a transformational-generative grammar, referring to the transformations (or rules) that generate (or account for) language. Certain rules, Chomsky asserted, are shared by all languages and form part of a universal grammar, while others are language specific and associated with particular speech communities. Since the 1960s much of the development in the field of linguistics has been a reaction to or against Chomsky”s theories.
At the end of the 20th century, linguists used the term grammar primarily to refer to a subconscious linguistic system that enables people to produce and comprehend an unlimited number of utterances. Grammar thus accounts for our linguistic competence. Observations about the actual language we use, or language performance, are used to theorize about this invisible mechanism known as grammar.
The orientation toward the scientific study of language led by Chomsky has had an impact on nongenerative linguists as well. Comparative and historically oriented linguists are looking for the various ways linguistic universals show up in individual languages. Psycholinguists, interested in language acquisition, are investigating the notion that an ideal speaker-hearer is the origin of the acquisition process. Sociolinguists are examining the rules that underlie the choice of language variants, or codes, and allow for switching from one code to another. Some linguists are studying language performance-the way people use language-see how it reveals a cognitive ability shared by all human beings. Others seek to understand animal communication within such a framework. What mental processes enable chimpanzees to make signs and communicate with one another and how do these processes differ from those of humans?
A written bibliographic note in gratification To Ludwig Wittgenstein (1889-1951), an Austrian-British philosopher, who was one of the most influential thinkers of the 20th century, particularly noted for his contribution to the movement known as analytic and linguistic philosophy.
Born in Vienna on April 26, 1889, Wittgenstein was raised in a wealthy and cultured family. After attending schools in Linz and Berlin, he went to England to study engineering at the University of Manchester. His interest in pure mathematics led him to Trinity College, University of Cambridge, to study with Bertrand Russell. There he turned his attention to philosophy. By 1918 Wittgenstein had completed his Tractatus Logico-philosophicus (1921; trans. 1922), a work he then believed provided the “final solution” to philosophical problems. Subsequently, he turned from philosophy and for several years taught elementary school in an Austrian village. In 1929 he returned to Cambridge to resume his work in philosophy and was appointed to the faculty of Trinity College. Soon he began to reject certain conclusions of the Tractatus and to develop the position reflected in his Philosophical Investigations (pub. posthumously 1953; trans. 1953). Wittgenstein retired in 1947; he died in Cambridge on April 29, 1951. A sensitive, intense man who often sought solitude and was frequently depressed, Wittgenstein abhorred pretense and was noted for his simple style of life and dress. The philosopher was forceful and confident in personality, however, and he exerted considerable influence on those with whom he came in contact.
Wittgenstein”s philosophical life may be divided into two distinct phases: an early period, represented by the Tractatus, and a later period, represented by the Philosophical Investigations. Throughout most of his life, however, Wittgenstein consistently viewed philosophy as linguistic or conceptual analysis. In the Tractatus he argued that “philosophy aims at the logical clarification of thoughts.” In the Philosophical Investigations, however, he maintained that “philosophy is a battle against the bewitchment of our intelligence by means of language.”
Language, Wittgenstein argued in the Tractatus, is composed of complex propositions that can be analyzed into fewer complex propositions until one arrives at simple or elementary propositions. Correspondingly, the world is composed of complex facts that can be analyzed into fewer complex facts until one arrives at simple, or atomic, facts. The world is the totality of these facts. According to Wittgenstein”s picture theory of meaning, it is the nature of elementary propositions logically to picture atomic facts, or “states of affairs.” He claimed that the nature of language required elementary propositions, and his theory of meaning required that there be atomic facts pictured by the elementary propositions. On this analysis, only propositions that picture facts-the propositions of science-are considered cognitively meaningfully. Metaphysical and ethical statements are not meaningful assertions. The logical positivist associated with the Vienna Circle were greatly influenced by this conclusion.
Wittgenstein came to believe, however, that the narrow view of language reflected in the Tractatus was mistaken. In the Philosophical Investigations he argued that if one actually looks to see how language is used, the variety of linguistic usage becomes clear. Words are like tools, and just as tools serve different functions, so linguistic expressions serve many functions. Although some propositions are used to picture facts, others are used to command, question, pray, thank, curse, and so on. This recognition of linguistic flexibility and variety led to Wittgenstein”s concept of a language game and to the conclusion that people play different language games. The scientist, for example, is involved in a different language game than the theologian. Moreover, the meaning of a proposition must be understood in terms of its context, that is, in terms of the rules of the game of which that proposition is a part. The key to the resolution of philosophical puzzles is the therapeutic process of examining and describing language in use.
Analytic and Linguistic Philosophy, is a product out of the 20th-century philosophical movement, and dominant in Britain and the United States since World War II, that aims to clarify language and analyze the concepts expressed in it. The movement has been given a variety of designations, including linguistic analysis, logical empiricism, logical positivism, Cambridge analysis, and “Oxford philosophy.” The last two labels are derived from the universities in England where this philosophical method has been particularly influential. Although no specific doctrines or tenets are accepted by the movement as a whole, analytic and linguistic philosophers agree that the proper activity of philosophy is clarifying language, or, as some prefer, clarifying concepts. The aim of this activity is to settle philosophical disputes and resolve philosophical problems, which, it is argued, originates in linguistic confusion.
A considerable diversity of views exists among analytic and linguistic philosophers regarding the nature of conceptual or linguistic analysis. Some have been primarily concerned with clarifying the meaning of specific words or phrases as an essential step in making philosophical assertions clear and unambiguous. Others have been more concerned with determining the general conditions that must be met for any linguistic utterance to be meaningful; their intent is to establish a criterion that will distinguish between meaningful and nonsensical sentences. Still other analysts have been interested in creating formal, symbolic languages that are mathematical in nature. Their claim is that philosophical problems can be more effectively dealt with once they are formulated in a rigorous logical language.
By contrast, many philosophers associated with the movement have focused on the analysis of ordinary, or natural, language. Difficulties arise when concepts such as time and freedom, for example, are considered apart from the linguistic context in which they normally appear. Attention to language as it is ordinarily used is the key, it is argued, to resolving many philosophical puzzles.
Linguistic analysis as a method of philosophy is as old as the Greeks. Several of the dialogues of Plato, for example, are specifically concerned with clarifying terms and concepts. Nevertheless, this style of philosophizing has received dramatically renewed emphasis in the 20th century. Influenced by the earlier British empirical tradition of John Locke, George Berkeley, David Hume, and John Stuart Mill and by the writings of the German mathematician and philosopher Gottlob Frége, the 20th-century English philosopher”s G. E. Moore and Bertrand Russell became the founders of this contemporary analytic and linguistic trend. As students together at the University of Cambridge, Moore and Russell rejected Hegelian idealism, particularly as it was reflected in the work of the English metaphysician F. H. Bradley, who held that nothing is completely real except the Absolute. In their opposition to idealism and in their commitment to the view that careful attention to language is crucial in philosophical inquiry. They set the mood and style of philosophizing for much of the 20th century English-speaking world.
For Moore, philosophy was first and foremost analysis. The philosophical task involves clarifying puzzling propositions or concepts by indicating fewer puzzling propositions or concepts to which the originals are held to be logically equivalent. Once this task has been completed, the truth or falsity of problematic philosophical assertions can be determined more adequately. Moore was noted for his careful analyses of such puzzling philosophical claims as “time is unreal,” analyses that then aided in determining the truth of such assertions.
Russell, strongly influenced by the precision of mathematics, was concerned with developing an ideal logical language that would accurately reflect the nature of the world. Complex propositions, Russell maintained, can be resolved into their simplest components, which he called atomic propositions. These propositions refer to atomic facts, the ultimate constituents of the universe. The metaphysical views based on this logical analysis of language and the insistence that meaningful propositions must correspond to facts constitute what Russell called logical atomism. His interest in the structure of language also led him to distinguish between the grammatical form of a proposition and its logical form. The statements “John is good” and “John is tall” have the same grammatical form but different logical forms. Failure to recognize this would lead one to treat the property “goodness” as if it were a characteristic of John in the same way that the property “tallness” is a characteristic of John. Such failure results in philosophical confusion.
Russell”s work in mathematics attracted to Cambridge. The Austrian philosopher Ludwig Wittgenstein, who became a central figure in the analytic and linguistic movement. In his first major work, Tractatus Logico-philosophicus (1921; trans. 1922), in which he first presented his theory of language, Wittgenstein argued that “all philosophy is a “critique of language” and that “philosophy aims at the logical clarification of thoughts”. The results of Wittgenstein”s analysis resembled Russell”s logical atomism. The world, he argued, is ultimately composed of simple facts, which it is the purpose of language to picture. To be meaningful, statements about the world must be reducible to linguistic utterances that have a structure similar to the simple facts pictured. In this early Wittgensteinian analysis, only propositions that picture facts-the propositions of science-are considered factually meaningful. Metaphysical, theological, and ethical sentences were judged to be factually meaningless continues to exist between.
Influenced by Russell, Wittgenstein, Ernst Mach, and others, a group of philosophers and mathematicians in Vienna in the 1920s initiated the movement known as logical positivism. Led by Moritz Schlick and Rudolf Carnap, the Vienna Circle initiated one of the most important chapters in the history of analytic and linguistic philosophy. According to the positivist, the task of philosophy is the clarification of meaning, not the discovery of new facts (the job of the scientists) or the construction of comprehensive accounts of reality (the misguided pursuit of traditional metaphysics).
The positivist divided all meaningful assertions into two classes: analytic propositions and empirically verifiable ones. Analytic propositions, which include the propositions of logic and mathematics, are statements the truth or falsity of which depend together on the meanings of the terms constituting the statement. An example would be the proposition “two plus two equals four.” The second class of meaningful propositions includes all statements about the world that can be verified, at least in principle, by sense experience. Indeed, the meaning of such propositions is identified with the empirical method of their verification. This verifiability theory of meaning, the positivist concluded, would demonstrate that scientific statements are legitimate factual claims and that metaphysical, religious, and ethical sentences are factually empties. The ideas of logical positivism were made popular in England by the publication of A.J. Ayer”s Language, Truth and Logic in 1936.
The positivist” verifiability theory of meaning came under intense criticism by philosophers such as the Austrian-born British philosopher Karl Popper. Eventually this narrow theory of meaning yielded to a broader understanding of the nature of language. Again, an influential figure was Wittgenstein. Repudiating many of his earlier conclusions in the Tractatus, he initiated a new line of thought culminating in his posthumously published Philosophical Investigations (1953; trans. 1953). In this work, Wittgenstein argued that once attention is directed to the way language is actually used in ordinary discourse, the variety and flexibility of language become clear. Propositions do much more than simply picture facts.
This recognition led to Wittgenstein”s influential concept of language games. The scientist, the poet, and the theologian, for example, are involved in different language games. Moreover, the meaning of a proposition must be understood in its context, that is, in terms of the rules of the language game of which that proposition is a part. Philosophy, concluded Wittgenstein, is an attempt to resolve problems that arise as the result of linguistic confusion, and the key to the resolution of such problems is ordinary language analysis and the proper use of language.
Additional contributions within the analytic and linguistic movement include the work of the British philosopher's Gilbert Ryle, John Austin, and P. F. Strawson and the American philosopher W. V. Quine. According to Ryle, the task of philosophy is to restate “systematically misleading expressions” in forms that are logically more accurate. He was particularly concerned with statements the grammatical form of which suggests the existence of nonexistent objects. For example, Ryle is best known for his analysis of mentalistic language, language that misleadingly suggests that the mind is an entity in the same way as the body.
Austin maintained that one of the most fruitful starting points for philosophical inquiry is attention to the extremely fine distinctions drawn in ordinary language. His analysis of language eventually led to a general theory of speech acts, that is, to a description of the variety of activities that an individual may be performing when something is uttered.
Strawson is known for his analysis of the relationship between formal logic and ordinary language. The complexity of the latter, he argued, is inadequately represented by formal logic. A variety of analytic tools, therefore, are needed in addition to logic in analyzing ordinary language.
Quine discussed the relationship between language and ontology. He argued that language systems tend to commit their users to the existence of certain things. For Quine, the justification for speaking one way rather than another is a thoroughly pragmatic one.
The commitment to language analysis as a way of pursuing philosophy has continued as a significant contemporary dimension in philosophy. A division also those who prefer to work with the precision and rigor of symbolic logical systems and those who prefer to analyze ordinary language. Although few contemporary philosophers maintain that all philosophical problems are linguistic, the view continues to be widely held that attention to the logical structure of language and to how language is used in everyday discourse can often aid in resolving philosophical problems
Are terms of logical calculus are also called a formal language, and a logical system? A system in which explicit rules are provided to determining (1) which are the expressions of the system (2) which sequence of expressions count as well formed (well-forced formulae) (3) which sequence would count ss proofs. A system may include axioms for which leaves terminate a proof, however, it shows of the prepositional calculus and the predicated calculus.
It”s most immediate of issues surrounding certainty are especially connected with those concerning “scepticism.” Although Greek scepticism entered on the value of enquiry and questioning, scepticism is now the denial that knowledge or even rational belief is possible, either about some specific subject-matter, e.g., ethics, or in any area whatsoever. Classical scepticism, springs from the observation that the best method in some area seems to fall short of giving us contact with the truth, e.g., there is a gulf between appearances and reality, it frequently cites the conflicting judgements that our methods deliver, with the result that questions of truth become undefinable. In classic thought the various examples of this conflict were systemized in the tropes of Aenesidemus. So that, the scepticism of Pyrrho and the new Academy was a system of argument and inasmuch as opposing dogmatism, and, particularly the philosophical system building of the Stoics.
As it has come down to us, particularly in the writings of Sextus Empiricus, its method was typically to cite reasons for finding our issue undesirable (sceptics devoted particular energy to undermining the Stoics conception of some truths as delivered by direct apprehension or some katalepsis). As a result the sceptic concludes eposhé, or the suspension of belief, and then go on to celebrate a way of life whose object was ataraxia, or the tranquillity resulting from suspension of belief.
Fixed by its will for and of itself, the mere mitigated scepticism which accepts every day or commonsense belief, is that, not the delivery of reason, but as due more to custom and habit. Nonetheless, it is self-satisfied at the proper time, however, the power of reason to give us much more. Mitigated scepticism is thus closer to the attitude fostered by the accentuations from Pyrrho through to Sextus Expiricus. Despite the fact that the phrase “Cartesian scepticism” is sometimes used. Descartes himself was not a sceptic, however, in the “method of doubt” uses a sceptical scenario in order to begin the process of finding a general distinction to mark its point of knowledge. Descartes trusts in categories of “clear and distinct” ideas, not far removed from the phantasiá kataleptikê of the Stoics.
For many sceptics had traditionally held that knowledge requires certainty, artistry. And, of course, they claim that certain knowledge is not possible. In part, nonetheless, of the principle that every effect it's a consequence of an antecedent cause or causes. For causality to be true it is not necessary for an effect to be predictable as the antecedent causes may be numerous, too complicated, or too interrelated for analysis. Nevertheless, in order to avoid scepticism, this participating sceptic has generally held that knowledge does not require certainty. Except for alleged cases of things that are evident for one just by being true. It has often been thought, that any thing known must satisfy certain criteria as well for being true. It is often taught that anything is known must satisfy certain standards. In so saying, that by “deduction” or “induction,” there will be criteria specifying when it is. As these alleged cases of self-evident truths, the general principle specifying the sort of consideration that will make such standards in the apparent or justly conclude in accepting it warranted to some degree.
Besides, there is another view-the absolute globular view that we do not have any knowledge whatsoever. In whatever manner, it is doubtful that any philosopher seriously entertains of an absolute scepticism. Even the Pyrrhonist sceptics, who held that we should refrain from accenting to any non-evident standards that no such hesitancy about asserting to “the evident,” the non-evident is any belief that requires evidences because it is warranted.
René Descartes (1596-1650), in his sceptical guise, never doubted the content of his own ideas. It”s challenging logic, inasmuch as of whether they “corresponded” to anything beyond ideas.
All the same, Pyrrhonism and Cartesian form of a virtual globular scepticism, in having been held and defended, that of assuming that knowledge is some form of true, sufficiently warranted belief, it is the warranted condition that provides the truth or belief conditions, in that of providing the grist for the sceptic”s mill about. The Pyrrhonist will suggest that no non-evident, empirically deferring the sufficiency of giving in but warranted. Whereas, a Cartesian sceptic will agree that no empirical standard about anything other than one”s own mind and its contents is sufficiently warranted, because there are always legitimate grounds for doubting it. Whereby, the essential difference between the two views concerns the stringency of the requirements for a belief being sufficiently warranted to take account of as knowledge.
A Cartesian requires certainty. A Pyrrhonist merely requires that the standards in case are more warranted then its negation.
Cartesian scepticism was by an unduly influence with which Descartes agues for scepticism, than his reply holds, in that we do not have any knowledge of any empirical standards, in that of anything beyond the contents of our own minds. The reason is roughly in the position that there is a legitimate doubt about all such standards, only because there is no way to justifiably deny that our senses are being stimulated by some sense, for which it is radically different from the objects which we normally think, in whatever manner they affect our senses. Therefrom, if the Pyrrhonist are the agnostic, the Cartesian sceptic is the atheist.
Because the Pyrrhonist require much less of a belief in order for it to be confirmed as knowledge than do the Cartesian, the argument for Pyrrhonism are much more difficult to construct. A Pyrrhonist must show that there is no better set of reasons for believing to any standards, of which are in case that any knowledge learnt of the mind is understood by some of its forms, that has to require certainty.
The underlying latencies that are given among the many derivative contributions as awaiting their presence to the future that of specifying to the theory of knowledge, is, but, nonetheless, the possibility to identify a set of shared doctrines, however, identity to discern two broad styles of instances to discern, in like the manner, these two styles of pragmatism, clarify the innovation that a Cartesian approval is fundamentally flawed, nonetheless, of responding very differently but not fordone.
Repudiating the requirements of absolute certainty or knowledge, insisting on the connection of knowledge with activity, as, too, of pragmatism of a reformist distributing knowledge upon the legitimacy of traditional questions about the truth-unconductiveness of our cognitive practices, and sustain a conception of truth objectives, enough to give those questions that undergo of a gathering in their own purposive latencies, yet we are given to the spoken word for which a dialectic awareness sparks the flame from the ambers of fire.
Pragmatism of a determinant revolution, by contrast, relinquishing the objectivity of youth, acknowledges no legitimate epistemological questions over and above those that are naturally kindred of our current cognitive conviction.
It seems clear that certainty is a property that can be assembled to either a person or a belief. We can say that a person, “S” is certain, or we can say that its descendable alinement are aligned as of “p”, is certain. The two uses can be connected by saying that “S” has the right to be certain just in case the value of “p” is sufficiently verified.
In defining certainty, it is crucial to note that the term has both an absolute and relative sense. More or less, we take a proposition to be certain when we have no doubt about its truth. We may do this in error or unreasonably, but objectively a proposition is certain when such absence of doubt is justifiable. The sceptical tradition in philosophy denies that objective certainty is often possible, or ever possible, either for any proposition at all, or for any proposition from some suspect family (ethics, theory, memory, empirical judgement etc.) a major sceptical weapon is the possibility of upsetting events that Can cast doubt back onto what were hitherto taken to be certainties. Others include reminders of the divergence of human opinion, and the fallible source of our confidence. Fundamentalist approaches to knowledge look for a basis of certainty, upon which the structure of our system is built. Others reject the metaphor, looking for mutual support and coherence, without foundation.
However, in moral theory, the view that there are inviolable moral standards or absolute variable human desires or policies or prescriptions.
In spite of the notorious difficulty of reading Kantian ethics, a hypothetical imperative embeds a command which is in place only given some antecedent desire or project: “If you want to look wise, stay quiet”. The injunction to stay quiet only applies to those with the antecedent desire or inclination. If one has no desire to look wise the injunction cannot be so avoided: It is a requirement that binds anybody, regardless of their inclination. It could be represented as, for example, “tell the truth (regardless of whether you want to or not)”. The distinction is not always signalled by presence or absence of the conditional or hypothetical form: “If you crave drink, don't become a bartender” may be regarded as an absolute injunction applying to anyone, although only activated in case of those with the stated desire.
In Grundlegung zur Metaphsik der Sitten (1785), Kant discussed five forms of the categorical imperative: (1) the formula of universal law: “act only on that maxim through which you can at the same times will that it should become universal law: (2) the formula of the law of nature: “act as if the maxim of your action were to become through your will a universal law of nature”: (3) the formula of the end-in-itself: “act in such a way that you always treat humanity, whether in your own person or in the person of any other, never simply as a means, but always at the same time as an end”: (4) the formula of autonomy, or considering “the will of every rational being as a will which makes universal law”: (5) the formula of the Kingdom of Ends, which provides a model for the systematic union of different rational beings under common laws.
Even so, a proposition that is not a conditional “p”. Moreover, the affirmative and negative, modern opinion is wary of this distinction, since what appears categorical may vary notation. Apparently, categorical propositions may also turn out to be disguised conditionals: “X” is intelligent (categorical?) = if “X” is given a range of tasks she performs them better than many people (conditional?) The problem. Nonetheless, is not merely one of classification, since deep metaphysical questions arise when facts that seem to be categorical and therefore solid, come to seem by contrast conditional, or purely hypothetical or potential.
A limited area of knowledge or endeavour to which pursuits, activities and interests are a central representation held to a concept of physical theory. In this way, a field is defined by the distribution of a physical quantity, such as temperature, mass density, or potential energy y, at different points in space. In the particularly important example of force fields, such as gravitational, electrical, and magnetic fields, the field value at a point is the force which a test particle would experience if it were located at that point. The philosophical problem is whether a force field is to be thought of as purely potential, so the presence of a field merely describes the propensity of masses to move relative to each other, or whether it should be thought of in terms of the physically real modifications of a medium, whose properties result in such powers that is, are force fields purely potential, fully characterized by dispositional statements or conditionals, or are they categorical or actual? The former option seems to require within ungrounded dispositions, or regions of space that differs only in what happens if an object is placed there. The law-like shape of these dispositions, apparent for example in the curved lines of force of the magnetic field, may then seem quite inexplicable. To atomists, such as Newton it would represent a return to Aristotelian entelechies, or quasi-psychological affinities between things, which are responsible for their motions. The latter option requires understanding of how forces of attraction and repulsion can be “grounded” in the properties of the medium.
The basic idea of a field is arguably present in Leibniz, who was certainly hostile to Newtonian atomism. Although his equal hostility to “action at a distance” muddies the water. It is usually credited to the Jesuit mathematician and scientist Joseph Boscovich (1711-87) and Immanuel Kant (1724-1804), both of whom influenced the scientist Faraday, with whose work the physical notion became established. In his paper “On the Physical Character of the Lines of Magnetic Force” (1852). Faraday was to suggest several criteria for assessing the physical reality of lines of force, such as whether they are affected by an intervening material medium, whether the motion depends on the nature of what is placed at the receiving end. As far as electromagnetic fields go, Faraday himself inclined to the view that the mathematical similarity between heat flow, currents, and electro-magnetic lines of force was evidence for the physical reality of the intervening medium.
Once, again, our mentioning recognition for which its case value, whereby its view is especially associated the American psychologist and philosopher William James (1842-1910), that the truth of a statement can be defined in terms of a “utility” of accepting it. Communicated, so much as a dispiriting position for which its place of valuation may be viewed as an objection. Since there are things that are false, as it may be useful to accept, and conversely there are things that are true and that it may be damaging to accept. Nevertheless, there are deep connections between the idea that a representation system is accorded, and the likely success of the projects in progressive formality, by its possession. The evolution of a system of representation either perceptual or linguistic, seems bounded to connect successes with everything adapting or with utility in the modest sense. The Wittgenstein doctrine stipulates the meaning of use that upon the nature of belief and its relations with human attitude, emotion and the idea that belief in the truth on one hand, the action of the other. One way of binding with cement, wherefore the connection is found in the idea that natural selection becomes much as much in adapting us to the cognitive creatures, because beliefs have effects, they work. Pragmatism can be found in Kant”s doctrine, and continued to play an influencing role in the theory of meaning and truth.
James, (1842-1910), although with characteristic generosity exaggerated in his debt to Charles S. Peirce (1839-1914), he charted that the method of doubt encouraged people to pretend to doubt what they did not doubt in their hearts, and criticize its individualist”s insistence, that the ultimate test of certainty is to be found in the individuals personalized consciousness.
From his earliest writings, James understood cognitive processes in teleological terms. Though, he held us in the satisfactory interests. His will to Believe doctrine, the view that we are sometimes justified in believing beyond the evidential relics upon the notion that a belief's benefits are relevant to its justification. His pragmatic method of analysing philosophical problems, for which requires that we find the meaning of terms by examining their application to objects in experimental situations, similarly reflects the teleological approach in its attention to consequences.
Such an approach, however, sets ”James” theory of meaning apart from verification, dismissive of metaphysics. Unlike the verification alist, who takes cognitive meaning to be a matter only of consequences in sensory experience. James” took pragmatic meaning to include emotional and matter responses. Moreover, his ,metaphysical standard of value, not a way of dismissing them as meaningless. It should also be noted that in a greater extent, circumspective moment's James did not hold that even his broad set of consequences were exhaustive of a terms meaning. “Theism”, for example, he took to have antecedently, definitional meaning, in addition to its varying degree of importance and chance upon an important pragmatic meaning.
James” theory of truth reflects upon his teleological conception of cognition, by considering a true belief to be one which is compatible with our existing system of beliefs, and leads us to satisfactory interaction with the world.
However, Peirce”s famous pragmatist principle is a rule of logic employed in clarifying our concepts and ideas. Consider the claim the liquid in a flask is an acid, if, we believe this, we except that it would turn red: We accept an action of ours to have certain experimental results. The pragmatic principle holds that listing the conditional expectations of this kind, in that we associate such immediacy with applications of a conceptual representation that provides a complete and orderly sets clarification of the concept. This is relevant ti the logic of abduction: Clarificationists using the pragmatic principle provides all the information about the content of a hypothesis that is relevantly to decide whether it is worth testing.
To a greater extent, and what is most important, is the famed apprehension of the pragmatic principle, in so that, Pierces”s account of reality: When we take something to be rea that by this single case, we think it is “fated to be agreed upon by all who investigate” the matter to which it stand, in other words, if I believe that it is really the case that “P”, then I except that if anyone were to inquire depthfully into the finding its measure into whether “p”, they would arrive at the belief that “p”. It is not part of the theory that the experimental consequences of our actions should be specified by a warranted empiricist vocabulary-Peirce insisted that perceptual theories are abounding in latency. Even so, nor is it his view that the collected conditionals do or not clarify a concept as all analytic. In addition, in later writings, he argues that the pragmatic principle could only be made plausible to someone who accepted its metaphysical realism: It requires that “would-bees” are objective and, of course, real.
If realism itself can be given a fairly quick clarification, it is more difficult to chart the various forms of supposition, for they seem legendary. Other opponents deny that the entitles posited by the relevant discourse that exist or at least exists: The standard example is “idealism”, which reality is somehow mind-curative or mind-co-ordinated-that real object comprising the “external world” are not independently of eloping minds, but only exist as in some way correlative to the mental operations. The doctrine assembled of “idealism” enters on the conceptual note that reality as we understand this as meaningful and reflects the working of mindful purposes. And it construes this as meaning that the inquiring mind itself makes of a formative constellations and not of any mere understanding of the nature of the “real” bit even the resulting charger we attribute to it.
Wherefore, the term ids most straightforwardly used when qualifying another linguistic form of Grammatik: a real “x” may be contrasted with a fake, a failed “x”, a near “x”, and so on. To trat something as real, without qualification, is to suppose it to be part of the actualized world. To reify something is to suppose that we have committed by some indoctrinated treatise, as that of a theory. The central error in thinking of reality and the totality of existence is to think of the “unreal” as a separate domain of things, perhaps, unfairly to that of the benefits of existence.
Such that non-existence of all things, as the product of logical confusion of treating the term “nothing” as itself a referring expression instead of a “quantifier”. (Stating informally as a quantifier is an expression that reports of a quantity of times that a predicate is satisfied in some class of things, i.e., in a domain.) This confusion leads the unsuspecting to think that a sentence such as “Nothing is all around us” talks of a special kind of thing that is all around us, when in fact it merely denies that the predicate “is all around us” has appreciations. The feelings that lad some philosophers and theologians, notably Heidegger, to talk of the experience of. Nothing, is not properly the experience of anything, but rather the failure of a hope or expectations that there would be something of some kind at some point. This may arise in quite everyday cases, as when one finds that the article of functions one expected to see as usual, in the corner has disappeared. The difference between “existentialist” and “analytic philosophy”, on the point of what, whereas the former is afraid of nothing, and the latter thinks that there is nothing to be afraid of.
A rather different set of concerns arise when actions are specified in terms of doing nothing, saying nothing may be an admission of guilt, and doing nothing in some circumstances may be tantamount to murder. Still, other substitutional problems arise over conceptualizing empty space and time.
Whereas, the standard opposition between those who affirm and those who deny, the real existence of some kind of thing or some kind of fact or state of affairs. Almost any area of discourse may be the focus of this dispute: The external world, the past and future, other minds, mathematical objects, possibilities, universals, moral or aesthetic properties are examples. There be to one influential suggestion, as associated with the British philosopher of logic and language, and the most determinative of philosophers centred round Anthony Dummett (1925), to which is borrowed from the “intuitivistic” critique of classical mathematics, and suggested that the unrestricted use of the “principle of bivalence” is the trademark of “realism”. However, this ha to overcome counter-examples both ways: Although Aquinas wads a moral “realist”, he held that moral really was not sufficiently structured to make true or false every moral claim. Unlike Kant who believed that he could use the law of bivalence happily in mathematics, precisely because it wad only our own construction. Realism can itself be subdivided: Kant, for example, combines empirical realism (within the phenomenal world the realist says the right things-surrounding objects really exist and independent of us and our mental stares) with transcendental idealism (the phenomenal world as a whole reflects the structures imposed on it by the activity of our minds as they render it intelligible to us). In modern philosophy the orthodox oppositions to realism has been from philosopher such as Goodman, who, impressed by the extent to which we perceive the world through conceptual and linguistic lenses of our own making.
Assigned to the modern treatment of existence in the theory of “quantification” is sometimes put by saying that existence is not a predicate. The idea is that the existential quantifies themselves as an operator on a predicate, indicating that the property it expresses has instances. Existence is therefore treated as a second-order property, or a property of properties. It is fitting to say, that in this it is like number, for when we say that these things of a kind, we do not describe the thing (ad we would if we said there are red things of the kind), but instead attribute a property to the kind itself. The parallelled numbers are exploited by the German mathematician and philosopher of mathematics Gottlob Frége in the dictum that affirmation of existence is merely denied of the number nought. A problem, nevertheless, proves accountable for it”s crated by sentences like “This exists”, where some particular thing is undirected, such that a sentence seems to express a contingent truth (for this insight has not existed), yet no other predicate is involved. “This exists” is, and unlike “Tamed tigers exist”, where a property is said to have an instance, for the word “this” and does not locate a property, but only an individual.
Possible worlds seem able to differ from each other purely in the presence or absence of individuals, and not merely in th distribution of exemplification of properties.
The philosophical ponderance over which to set upon the unreal, as belonging to the domain of Being. Nonetheless, there is little for us that can be said with the philosopher”s study. So it is not apparent that there can be such a subject for being by itself. Nevertheless, the concept had a central place in philosophy from Parmenides to Heidegger. The essential question of “why is there something and not of nothing?" Prompting over logical reflection on what it is for a universal to have an instance, nd as long history of attempts to explain contingent existence, by which id to reference and a necessary ground.
In the transition, ever since Plato, this ground becomes a self-sufficient, perfect, unchanging, and external something, identified with the Good or God, but whose relation with the everyday world remains obscure. The celebrated argument for the existence of God first propounded by Anselm in his Proslogin. The argument by defining God as “something than which nothing greater can be conceived”. God then exists in the understanding since we understand this concept. However, if, He only existed in the understanding something greater could be conceived, for a being that exists in reality is greater than one that exists in the understanding. Bu then, we can conceive of something greater than that than which nothing greater can be conceived, which is contradictory. Therefore, God cannot exist on the understanding, but exists in reality.
An influential argument (or family of arguments) for the existence of God, finding its premisses are that all natural things are dependent for their existence on something else. The totality of dependent brings must then itself depend upon a non-dependent, or necessarily existent bring of which is God. Like the argument to design, the cosmological argument was attacked by the Scottish philosopher and historian David Hume (1711-76) and Immanuel Kant.
Its main problem, nonetheless, is that it requires us to make sense of the notion of necessary existence. For if the answer to the question of why anything exists is that some other tings of a similar kind exists, the question merely arises gain. So the “God” that ends the question must exist necessarily: It must not be an entity of which the same kinds of questions can be raised. The other problem with the argument is attributing concern and care to the deity, not for connecting the necessarily existent being it derives with human values and aspirations.
The ontological argument has been treated by modern theologians such as Barth, following Hegel, not so much as a proof with which to confront the unconverted, but as an explanation of the deep meaning of religious belief. Collingwood, regards the argument s proving not that because our idea of God is that of id quo maius cogitare viequit, therefore God exists, but proving that because this is our idea of God, we stand committed to belief in its existence. Its existence is a metaphysical point or absolute presupposition of certain forms of thought.
In the 20th century, modal versions of the ontological argument have been propounded by the American philosophers Charles Hertshorne, Norman Malcolm, and Alvin Plantinge. One version is to define something as unsurpassably great, if it exists and is perfect in every “possible world”. Then, to allow that it is at least possible that an unsurpassable great being existed. This means that there is a possible world in which such a being exists. However, if it exists in one world, it exists in all (for the fact that such a being exists in a world that entails, in at least, it exists and is perfect in every world), so, it exists necessarily. The correct response to this argument is to disallow the apparently reasonable concession that it is possible that such a being exists. This concession is much more dangerous than it looks, since in the modal logic, involved from possibly necessarily “p”, we can device necessarily “p”. A symmetrical proof starting from the assumption that it is possibly that such a being not exist would derive that it is impossible that it exists.
The doctrine that it makes an ethical difference of whether an agent actively intervenes to bring about a result, or omits to act in circumstances in which it is foreseen, that as a result of the omission the same result occurs. Thus, suppose that I wish you dead. If I act to bring about your death, I am a murderer, however, if I happily discover you in danger of death, and fail to act to save you, I am not acting, and therefore, according to the doctrine of acts and omissions not a murderer. Critics implore that omissions can be as deliberate and immoral as I am responsible for your food and fact to feed you. Only omission is surely a killing, “Doing nothing” can be a way of doing something, or in other worlds, absence of bodily movement can also constitute acting negligently, or deliberately, and defending on the context ,may be a way of deceiving, betraying, or killing. Nonetheless, criminal law offers to find its conveniences, from which to distinguish discontinuous intervention, for which is permissible, from bringing about result, which may not be, if, for instance, the result is death of a patient. The question is whether the difference, if there is one, is, between acting and omitting to act be discernibly or defined in a way that bars a general moral might.
The double effect of a principle attempting to define when an action that had both good and bad results is morally permissible. I one formation such an action is permissible if (1) The action is not wrong in itself, (2) the bad consequences is not that which is intended (3) the good is not itself a result of the bad consequences, and (4) the two consequential effects are commensurate. Thus, for instance, I might justifiably bomb an enemy factory, foreseeing but intending that the death of nearby civilians, whereas bombing the death of nearby civilians intentionally would be disallowed. The principle has its roots in Thomist moral philosophy, accordingly. St. Thomas Aquinas (1225-74), held that it is meaningless to ask whether a human being is two tings (soul and body) or, only just as it is meaningless to ask whether the wax and the shape given to it by the stamp are one: On this analogy the sound is ye form of the body. Life after death is possible only because a form itself doe not perish (pricking is a loss of form).
The special way that we each have of knowing our own thoughts, intentions, and sensationalist have brought in the many philosophical behaviorist and functionalist tendencies, that have found it important to deny that there is such a special way , arguing the way that I know of my own mind inasmuch as the way that I know of yours, e.g., by seeing what I say when asked. Others, however, point out that the behaviour of reporting the result of introspection in a particular and legitimate kind of behavioural access that deserves notice in any account of historically human psychology. The historical philosophy of reflection upon the astute of history, or of historical, thinking, finds the term was used in the 18th century, e.g., by Volante was to mean critical historical thinking as opposed to the mere collection and repetition of stories about the past. In Hegelian, particularly by conflicting elements within his own system, however, it came to man universal or world history. The Enlightenment confidence was being replaced by science, reason, and understanding that gave history a progressive moral thread, and under the influence of the German philosopher, whom is in spreading Romanticism, came Gottfried Herder (1744-1803), Kantian twists in the German idealist Johann Fichte, in whom the extra association of temporal succession with logical implication introduces the idea that concepts themselves are the dynamic engine of historical change. The idea is readily intelligible in that their world of nature and of thought become identified. The work of Herder, Kant, Flichte and Schelling is synthesized by Hegel: History has a plot, as too, this to the moral development of man, equates with freedom within the state, this in turn is the development of thought, or a logical development in which various necessary moment in the life of the concept are successively achieved and improved upon. Hegel”s method is at it’s most successful, when the object is the history of ideas, and the evolution of thinking may march in steps with logical oppositions and their resolution encounters red by various systems of thought.
Within the revolutionary communism, Karl Marx (1818-83) and the German social philosopher Friedrich Engels (1820-95), there emerges a rather different kind of story, based upon Hefl's progressive structure not laying the achievement of the goal of history to a future in which the political condition for freedom comes to exist, so that economic and political fears than “reason” is in the engine room. Although, it is such that speculations upon the history may that it be continued to be written, notably: late examples, by the late 19th century large-scale speculation of tis kind with the nature of historical understanding, and in particular with a comparison between the ,methos of natural science and with the historians. For writers such as the German neo-Kantian Wilhelm Windelband and the German philosopher and literary critic and historian Wilhelm Dilthey, it is important to show that the human sciences such as history is objective and legitimate, nonetheless they are in some way deferent from the enquiry of the scientist. Since the subjective-matter is the past thought and actions of human brings, what is needed and actions of human beings, past thought and actions of human beings, what is needed is an ability to re-live that past thought, knowing the deliberations of past agents, as if they were the historian's own. The most influential British writer on this theme was the philosopher and historian George Collingwood (1889-1943) whose, The Idea of History (1946), contains an extensive defence of the verstehe approach, but it is nonetheless, the explanation from their actions, however, by re-living the situation as our understanding that understanding others is not gained by the tactic use of a “theory”, enabling us to infer what thoughts or intentionality experienced, again, the matter to which the subjective-matters of past thoughts and actions , as I have a human ability of knowing the deliberations of past agents as if they were the historian”s own. The immediate question of the form of historical explanation, and the fact that general laws have other than no place or any apprentices in the order of a minor place in the human sciences, it is also prominent in thoughts about distinctiveness as to regain their actions, but by re-living the situation in or thereby understanding of what they experience and thought.
By Comparison, Bolzano argues, though, that there is something else, an infinity that doe not have this ‘whatever you need it to be’ elasticity. In fact a truly infinite quantity (for example, the length of a straight line unbounded in either direction, meaning: The magnitude of the spatial entity containing all the points determined solely by their abstractly conceivable relation to two fixed points) does not by any means need to be variable, and in adduced example it is in fact not variable. Conversely, it is quite possible for a quantity merely capable of being taken greater than we have already taken it, and of becoming larger than any pre-assigned (finite) quantity, nevertheless to mean at all times merely finite, which holds in particular of every numerical quantity 1, 2, 3, 4, 5.
In other words, for Bolzano there could be a true infinity that was not a variable ‘something’ that was only bigger than anything you might specify. Such a true infinity was the result of joining two pints together and extending that line in both directions without stopping. And what is more, he could separate off the demands of calculus, using a finite quality without ever bothering with the slippery potential infinity. Here was both a deeper understanding of the nature of infinity and the basis on which are built in his ‘safe’ infinity free calculus.
This use of the inexhaustible follows on directly from most Bolzano’s criticism of the way that ∞ we used as a variable something that would be bigger than anything you could specify, but never quite reached the true, absolute infinity. In Paradoxes of the Infinity Bolzano points out that is possible for a quantity merely capable of becoming larger than any one pre-assigned (finite) quantity, nevertheless to remain at all times merely finite.
Bolzano intended tis as a criticism of the way infinity was treated, but Professor Jacquette sees it instead of a way of masking use of practical applications like calculus without the need for weasel words about infinity.
By replacing ∞ with ¤ we do away with one of the most common requirements for infinity, but is there anything left that map out to the real world? Can we confine infinity to that pure mathematical other world, where anything, however unreal, can be constructed, and forget about it elsewhere? Surprisingly, this seems to have been the view, at least at one point in time, even of the German mathematician and founder of set-theory Georg Cantor (1845-1918), himself, whose comments in 1883, that only the finite numbers are real.
Keeping within the lines of reason, both the Cambridge mathematician and philosopher Frank Plumpton Ramsey (1903-30) and the Italian mathematician G. Peano (1858-1932) have been to distinguish logical paradoxes and that depend upon the notion of reference or truth (semantic notions), such are the postulates justifying mathematical induction. It ensures that a numerical series is closed, in the sense that nothing but zero and its successors can be numbers. In that any series satisfying a set of axioms can be conceived as the sequence of natural numbers. Candidates from set theory include the Zermelo numbers, where the empty set is zero, and the successor of each number is its unit set, and the von Neuman numbers, where each number is the set of all smaller numbers. A similar and equally fundamental complementarity exists in the relation between zero and infinity. Although the fullness of infinity is logically antithetical to the emptiness of zero, infinity can be obtained from zero with a simple mathematical operation. The division of many numbers by zero is infinity, while the multiplication of any number by zero is zero.
With the set theory developed by the German mathematician and logician Georg Cantor. From 1878 to 1807, Cantor created a theory of abstract sets of entities that eventually became a mathematical discipline. A set, as he defined it, is a collection of definite and distinguished objects in thought or perception conceived as a whole.
Cantor attempted to prove that the process of counting and the definition of integers could be placed on a solid mathematical foundation. His method was to repeatedly place the elements in one set into ‘one-to-one’ correspondence with those in another. In the case of integers, Cantor showed that each integer (1, 2, 3, . . . n) could be paired with an even integer (2, 4, 6, . . . n), and, therefore, that the set of all integers was equal to the set of all even numbers.
Amazingly, Cantor discovered that some infinite sets were large than others and that infinite sets formed a hierarchy of greater infinities. After this failed attempt to save the classical view of logical foundations and internal consistency of mathematical systems, it soon became obvious that a major crack had appeared in the seemingly sold foundations of number and mathematics. Meanwhile, an impressive number of mathematicians began to see that everything from functional analysis to the theory of real numbers depended on the problematic character of number itself.
While, in the theory of probability Ramsey was the first to show how a personalised theory could be developed, based on precise behavioural notions of preference and expectation. In the philosophy of language, Ramsey was one of the first thinkers to accept a ‘redundancy theory of truth’, which hr combined with radical views of the function of man y kinds of propositions. Neither generalizations nor causal propositions, nor those treating probability or ethics, describe facts, but each has a different specific function in our intellectual economy.
Ramsey advocates that of a sentence generated by taking all the sentence affirmed in a scientific theory that use some term, e.g., ‘quark’. Replacing the term by a variable, and existentially quantifying into the result. Instead of saying quarks have such-and-such properties, Ramsey postdated that the sentence as saying that there is something that has those properties. If the process is repeated, the sentence gives the ‘topic-neutral’ structure of the theory, but removes any implications that we know what the term so treated denote. I t leaves open the possibility of identifying the theoretical item with whatever it is that best fits the description provided. Nonetheless, it was pointed out by the Cambridge mathematician Newman that if the process is carried out for all except the logical bones of the theory, then by the Löwenheim-Skolem theorem, the result will be interpretable in any domain of sufficient cardinality, and the content of the theory may reasonably be felt to have been lost.
It seems, that the most taken of paradoxes in the foundations of ‘set theory’ as discovered by Russell in 1901. Some classes have themselves as members: The class of all abstract objects, for example, is an abstract object, whereby, others do not: The class of donkeys is not itself a donkey. Now consider the class of all classes that are not members of themselves, is this class a member of itself, that, if it is, then it is not, and if it is not, then it is.
The paradox is structurally similar to easier examples, such as the paradox of the barber. Such one like a village having a barber in it, who shaves all and only the people who do not have in themselves. Who shaves the barber? If he shaves himself, then he does not, but if he does not shave himself, then he does not. The paradox is actually just a proof that there is no such barber or in other words, that the condition is inconsistent. All the same, it is no to easy to say why there is no such class as the one Russell defines. It seems that there must be some restriction on the kind of definition that are allowed to define classes and the difficulty that of finding a well-motivated principle behind any such restriction.
The French mathematician and philosopher Henri Jules Poincaré (1854-1912) believed that paradoses like those of Russell nd the ‘barber’ were due to such as the impredicative definitions, and therefore proposed banning them. But, it tuns out that classical mathematics required such definitions at too many points for the ban to be easily absolved. Having, in turn, as forwarded by Poincaré and Russell, was that in order to solve the logical and semantic paradoxes it would have to ban any collection (set) containing members that can only be defined by means of the collection taken as a whole. It is, effectively by all occurring principles into which have an adopting vicious regress, as to mark the definition for which involves no such failure. There is frequently room for dispute about whether regresses are benign or vicious, since the issue will hinge on whether it is necessary to reapply the procedure. The cosmological argument is an attempt to find a stopping point for what is otherwise seen as being an infinite regress, and, to ban of the predicative definitions.
The investigation of questions that arise from reflection upon sciences and scientific inquiry, are such as called of a philosophy of science. Such questions include, what distinctions in the methods of science? s there a clear demarcation between scenes and other disciplines, and how do we place such enquires as history, economics or sociology? And scientific theories probable or more in the nature of provisional conjecture? Can the be verified or falsified? What distinguished good from bad explanations? Might there be one unified since, embracing all th special science? For much of the 20th century there questions were pursued in a highly abstract and logical framework it being supposed that as general logic of scientific discovery that a general logic of scientific discovery a justification might be found. However, many now take interests in a more historical, contextual and sometimes sociological approach, in which the methods and successes of a science at a particular time are regarded less in terms of universal logical principles and procedure, and more in terms of their availability to methods and paradigms as well as the social context.
In addition, to general questions of methodology, there are specific problems within particular sciences, giving subjects as biology, mathematics and physics.
The intuitive certainty that sparks aflame the dialectic awarenesses for its immediate concerns are either of the truth or by some other in an object of apprehensions, such as a concept. Awareness as such, has to its amounting quality value the place where philosophical understanding of the source of our knowledge are, however, in covering the sensible apprehension of things and pure intuition it is that which stricture sensation into the experience of things accent of its direction that orchestrates the celestial overture into measures in space and time.
The notion that determines how something is seen or evaluated of the status of law and morality especially associated with St Thomas Aquinas and the subsequent scholastic tradition. More widely, any attempt to cement the moral and legal order together with the nature of the cosmos or how the nature of human beings, for which sense it is also found in some Protestant writers, and arguably derivative from a Platonic view of ethics, and is implicit in ancient Stoicism. Law stands above and apart from the activities of human lawmaker, it constitutes an objective set of principles that can be seen true by ‘natural light’ or reason, and (in religion versions of the theory) that express God’s will for creation. Non-religious versions of the theory substitute objective conditions for human flourishing as the source of constraints upon permissible actions and social arrangements. Within the natural law tradition, different views have been held about the relationship between the rule of law about God’ s will, for instance the Dutch philosopher Hugo Grothius (1583-1645), similarly takes upon the view that the content of natural law is independent of any will, including that of God, while the German theorist and historian Samuel von Pufendorf (1632-94) takes the opposite view, thereby facing the problem of one horn of the Euthyphro dilemma, that simply states, that its dilemma arises from whatever the source of authority is supposed to be, for in which do we care about the general good because it is good, or do we just call good things that we care about. Wherefore, by facing the problem that may be to assume of a strong form, in which it is claimed that various facts entail values, or a weaker form, from which it confines itself to holding that reason by itself is capable of discerning moral requirements that are supped of binding to all human bings regardless of their desires
Although the morality of people send the ethical amount from which the same thing, is that there is a usage that restricts morality to systems such as that of the German philosopher and founder of ethical philosophy Immanuel Kant (1724-1804), based on notions such as duty, obligation, and principles of conduct, reserving ethics for more than the Aristotelian approach to practical reasoning based on the notion of a virtue, and generally avoiding the separation of ‘moral’ considerations from other practical considerations. The scholarly issues are complex, with some writers seeing Kant as more Aristotelian and Aristotle as, ore involved in a separate sphere of responsibility and duty, than the simple contrast suggests. Some theorists see the subject in terms of a number of laws (as in the Ten Commandments). The status of these laws may be test they are the edicts of a divine lawmaker, or that they are truths of reason, knowable deductively. Other approaches to ethics (e.g., eudaimonism, situation ethics, virtue ethics) eschew general principles as much as possible, frequently disguising the great complexity of practical reasoning. For Kantian notion of the moral law is a binding requirement of the categorical imperative, and to understand whether they are equivalent at some deep level. Kant’s own applications of the notion are not always convincing, as for one cause of confusion in relating Kant’s ethics to theories such additional expressivism is that it is easy, but mistaken, to suppose that the categorical nature of the imperative means that it cannot be the expression of sentiment, but must derive from something ‘unconditional’ or ‘necessary’ such as the voice of reason.
For which ever reason, the mortal being makes of its presence to the future of weighing of that which one must do, or that which can be required of one. The term carries implications of that which is owed (due) to other people, or perhaps in onself. Universal duties would be owed to persons (or sentient beings) as such, whereas special duty in virtue of specific relations, such as being the child of someone, or having made someone a promise. Duty or obligation is the primary concept of ‘deontological’ approaches to ethics, but is constructed in other systems out of other notions. In the system of Kant, a perfect duty is one that must be performed whatever the circumstances: Imperfect duties may have to give way to the more stringent ones. In another way, perfect duties are those that are correlative with the right to others, imperfect duties are not. Problems with the concept include the ways in which due needs to be specified (a frequent criticism of Kant is that his notion of duty is too abstract). The concept may also suggest of a regimented view of ethical life in which we are all forced conscripts in a kind of moral army, and may encourage an individualistic and antagonistic view of social relations.
The most generally accepted account of externalism and/or internalism, that this distinction is that a theory of justification is internalist if only if it requiem that all of the factors needed for a belief to be epistemologically justified for a given person be cognitively accessible to that person, internal to his cognitive percreptive, and externalist, if it allows that at least some of the justifying factors need not be thus accessible, so that thy can be external to the believer’s cognitive perceptive, beyond any such given relations. However, epistemologists often use the distinction between internalist and externalist theories of epistemic justification without offering any very explicit explication.
The externalist/internalist distinction has been mainly applied to theories of epistemic justification: It has also been applied in a closely related way to accounts of knowledge and in a rather different way to accounts of belief and thought contents.
The internalist requirement of cognitive accessibility can be interpreted in at least two ways: A strong version of internalism would require that the believer actually be aware of the justifying factor in order to be justified: While a weaker version would require only that he be capable of becoming aware of them by focussing his attentions appropriately, but without the need for any change of position, new information, etc. Though the phrase ‘cognitively accessible’ suggests the weak interpretion, the main intuitive motivation for internalism, viz the idea that epistemic justification requires that the believer actually have in his cognitive possession a reason for thinking that the belief is true, and would require the strong interpretation.
Perhaps, the clearest example of an internalist position would be a Foundationalist view according to which foundational beliefs pertain to immediately experienced states of mind and other beliefs are justified by standing in cognitively accessible logical or inferential relations to such foundational beliefs. Such a view could count as either a strong or a weak version of internalism, depending on whether actual awareness of the justifying elements or only the capacity to become aware of them is required. Similarly, a coherent view could also be internalist, if both the beliefs or other states with which a justification belief is required to cohere and the coherence relations themselves are reflectively accessible.
It should be carefully noticed that when internalism is construed in this way, it is neither necessary nor sufficient by itself for internalism that the justifying factors literally be internal mental states of the person in question. Not necessary, necessary, because on at least some views, e.g., a direct realist view of perception, something other than a mental state of the believer can be cognitively accessible: Not sufficient, because there are views according to which at least some mental states need not be actual (strong version) or even possible (weak version) objects of cognitive awareness. Also, on this way of drawing the distinction, a hybrid view, according to which some of the factors required for justification must be cognitively accessible while others need not and in general will not be, would count as an externalist view. Obviously too, a view that was externalist in relation to a strong version of internalism (by not requiring that the believer actually be aware of all justifying factors) could still be internalist in relation to a weak version (by requiring that he at least be capable of becoming aware of them).
The most prominent recent externalist views have been versions of reliabilism, whose requirements for justification is roughly that the belief be produced in a way or via a process that makes of objectively likely that the belief is true. What makes such a view externalist is the absence of any requirement that the person for whom the belief is justified have any sort of cognitive access to the relations of reliability in question. Lacking such access, such a person will in general have no reason for thinking that the belief is true or likely to be true , but will, on such an account, nonetheless be epistemically justified in according it. Thus such a view arguably marks a major break from the modern epistemological tradition, stemming from Descartes, which identifies epistemic justification with having a reason, perhaps even a conclusive reason for thinking that the belief is true. An epistemologist working within this tradition is likely to feel that the externalist, than offering a competing account of the same concept of epistemic justification with which the traditional epistemologist is concerned, has simply changed the subject.
The main objection to externalism rests on the intuitive certainty that the basic requirement for epistemic justification is that the acceptance of the belief in question be rational or responsible in relation to the cognitive goal of truth, which seems to require in turn that the believer actually be dialectally aware of a reason for thinking that the belief is true (or, at the very least, that such a reason be available to him). Since the satisfaction of an externalist condition is neither necessary nor sufficient for the existence of such a cognitively accessible reason, it is argued, externalism is mistaken as an account of epistemic justification. This general point has been elaborated by appeal to two sorts of putative intuitive counter-examples to externalism. The first of these challenges the necessity of belief which seem intuitively to be justified, but for which the externalist conditions are not satisfied. The standard examples in this sort are cases where beliefs are produced in some very nonstandard way, e.g., by a Cartesian demon, but nonetheless, in such a way that the subjective experience of the believer is indistinguishable from that of someone whose beliefs are produced more normally. The intuitive claim is that the believer in such a case is nonetheless epistemically justified, as much so as one whose belief is produced in a more normal way, and hence that externalist account of justification must be mistaken.
Perhaps the most striking reply to this sort of counter-example, on behalf of a cognitive process is to be assessed in ‘normal’ possible worlds, i.e., in possible worlds that are actually the way our world is common-seismically believed to be, than in the world which contains the belief being judged. Since the cognitive processes employed in the Cartesian demon cases are, for which we may assume, reliable when assessed in this way, the reliabilist can agree that such beliefs are justified. The obvious, to a considerable degree of bringing out the issue of whether it is or not an adequate rationale for this construal of reliabilism, so that the reply is not merely a notional presupposition guised as having representation.
The correlative way of elaborating on the general objection to justificatory externalism challenges the sufficiency of the various externalist conditions by citing cases where those conditions are satisfied, but where the believers in question seem intuitively not to be justified. In this context, the most widely discussed examples have to do with possible occult cognitive capacities, like clairvoyance. Considering the point in application once, again, to reliabilism, the claim is that to think that he has such a cognitive power, and, perhaps, even good reasons to the contrary, is not rational or responsible and therefore not epistemically justified in accepting the belief that result from his clairvoyance, despite the fact that the reliablist condition is satisfied.
One sort of response to this latter sorts of objection is to ‘bite the bullet’ and insist that such believers are in fact justified, dismissing the seeming intuitions to the contrary as latent internalist prejudice. A more widely adopted response attempts to impose additional conditions, usually of a roughly internalist sort, which will rule out the offending example, while stopping far of a full internalism. But, while there is little doubt that such modified versions of externalism can handle particular cases, as well enough to avoid clear intuitive implausibility, the usually problematic cases that they cannot handle, and also whether there is and clear motivation for the additional requirements other than the general internalist view of justification that externalist are committed to reject.
A view in this same general vein, one that might be described as a hybrid of internalism and externalism holds that epistemic justification requires that there is a justificatorial factor that is cognitively accessible to the believer in question (though it need not be actually grasped), thus ruling out, e.g., a pure reliabilism. At the same time, however, though it must be objectively true that beliefs for which such a factor is available are likely to be true, in addition, the fact need not be in any way grasped or cognitively accessible to the believer. In effect, of the premises needed to argue that a particular belief is likely to be true, one must be accessible in a way that would satisfy at least weak internalism, the internalist will respond that this hybrid view is of no help at all in meeting the objection and has no belief nor is it held in the rational, responsible way that justification intuitively seems to require, for the believer in question, lacking one crucial premise, still has no reason at all for thinking that his belief is likely to be true.
An alternative to giving an externalist account of epistemic justification, one which may be more defensible while still accommodating many of the same motivating concerns, is to give an externalist account of knowledge directly, without relying on an intermediate account of justification. Such a view will obviously have to reject the justified true belief account of knowledge, holding instead that knowledge is true belief which satisfies the chosen externalist condition, e.g., a result of a reliable process (and perhaps, further conditions as well). This makes it possible for such a view to retain internalist account of epistemic justification, though the centrality of that concept to epistemology would obviously be seriously diminished.
Such an externalist account of knowledge can accommodate the commonsense conviction that animals, young children, and unsophisticated adults posses knowledge, though not the weaker conviction (if such a conviction does exists) that such individuals are epistemically justified in their beliefs. It is also at least less vulnerable to internalist counter-examples of the sort discussed, since the intuitions involved there pertain more clearly to justification than to knowledge. What is uncertain is what ultimate philosophical significance the resulting conception of knowledge is supposed to have. In particular, does it have any serious bearing on traditional epistemological problems and on the deepest and most troubling versions of scepticism, which seems in fact to be primarily concerned with justification, th an knowledge?`
A rather different use of the terms ‘internalism’ and ‘externalism’ has to do with the issue of how the content of beliefs and thoughts is determined: According to an internalist view of content, the content of such intention states depends only on the non-relational, internal properties of the individual’s mind or grain, and not at all on his physical and social environment: While according to an externalist view, content is significantly affected by such external factors and suggests a view that appears of both internal and external elements is standardly classified as an external view.
As with justification and knowledge, the traditional view of content has been strongly internalist in character. The main argument for externalism derives from the philosophy y of language, more specifically from the various phenomena pertaining to natural kind terms, indexicals, etc. that motivate the views that have come to be known as ‘direct reference’ theories. Such phenomena seem at least to show that the belief or thought content that can be properly attributed to a person is dependant on facts about his environment-e.g., whether he is on Earth or Twin Earth, what is fact pointing at, the classificatory criteria employed by expects in his social group, etc.-not just on what is going on internally in his mind or brain.
An objection to externalist account of content is that they seem unable to do justice to our ability to know the content of our beliefs or thought ‘from the inside’, simply by reflection. If content is depend on external factors pertaining to the environment, then knowledge of content should depend on knowledge of these factors-which will not in general be available to the person whose belief or thought is in question.
The adoption of an externalist account of mental content would seem to support an externalist account of justification, by way that if part or all of the content of a belief inaccessible to the believer, then both the justifying status of other beliefs in relation to that content and the status of that content ss justifying further beliefs will be similarly inaccessible, thus contravening the internalist requirement for justification. An internalist must insist that there are no justification relations of these sorts, that our internally associable content can either be justified or justly anything else: But such a response appears lame unless it is coupled with an attempt to show that the externalist account of content is mistaken.
EVOLVING PRINCIPLES OF THOUGHT
BOOK TWO
Analytic and Linguistic Philosophy, is a product out of the 20th-century philosophical movement, and dominated both Britain and the United States since World War II, that aims to clarify language and analyse the concepts expressed in it. The movement has been given a variety of designations, including linguistic analysis, logical empiricism, logical positivism, Cambridge analysis, and 'Oxford philosophy'. The last two labels are derived from the universities in England where this philosophical method has been particularly influential. Although no specific doctrines or tenets are accepted by the movement as a whole, analytic and linguistic philosophers agree that the proper activity of philosophy is clarifying language, or, as some prefer, clarifying concepts. The aim of this activity is to settle philosophical disputes and resolve philosophical problems, which, it is argued, originates in linguistic confusion.
A considerable diversity of views exists among analytic and linguistic philosophers regarding the nature of conceptual or linguistic analysis. Some have been primarily concerned with clarifying the meaning of specific words or phrases as an essential step in making philosophical assertions clear and unambiguous. Others have been more concerned with determining the general conditions that must be met for any linguistic utterance to be meaningful; their intent is to establish a criterion that will distinguish between meaningful and nonsensical sentences. Still other analysts have been interested in creating formal, symbolic languages that are mathematical in nature. Their claim is that philosophical problems can be more effectively dealt with once they are formulated in a rigorous logical language.
By contrast, many philosophers associated with the movement have focussed on the analysis of ordinary, or natural, language. Difficulties arise when concepts such as time and freedom, for example, are considered apart from the linguistic context in which they normally appear. Attention to language as it is ordinarily used as the key, it is argued, to resolving many philosophical puzzles.
Linguistic analysis as a method of philosophy is as old as the Greeks. Several of the dialogues of Plato, for example, are specifically concerned with clarifying terms and concepts. Nevertheless, this style of philosophizing has received dramatically renewed emphasis in the 20th century. Influenced by the earlier British empirical tradition of John Locke, George Berkeley, David Hume, and John Stuart Mill and by the writings of the German mathematician and philosopher Gottlob Frége, the 20th-century English philosopher's G. E. Moore and Bertrand Russell became the founders of this contemporary analytic and linguistic trend. As students together at the University of Cambridge, Moore and Russell rejected Hegelian idealism, particularly as it was reflected in the work of the English metaphysician F. H. Bradley, who held that nothing is completely real except the Absolute. In their opposition to idealism and in their commitment to the view that careful attention to language is crucial in philosophical inquiry. They set the mood and style of philosophizing for much of the 20th century English-speaking world.
For Moore, philosophy was first and foremost analysis. The philosophical task involves clarifying puzzling propositions or concepts by indicating fewer puzzling propositions or concepts to which the originals are held to be logically equivalent. Once this task has been completed, the truth or falsity of problematic philosophical assertions can be determined more adequately. Moore was noted for his careful analyses of such puzzling philosophical claims as "time is unreal," analyses that then aided in the determining of the truth of such assertions.
Russell, strongly influenced by the precision of mathematics, was concerned with developing an ideal logical language that would accurately reflect the nature of the world. Complex propositions, Russell maintained, can be resolved into their simplest components, which he called atomic propositions. These propositions refer to atomic facts, the ultimate constituents of the universe. The metaphysical views based on this logical analysis of language, and the insistence that meaningful propositions must correspond to facts constitute what Russell called logical atomism. His interest in the structure of language also led him to distinguish between the grammatical form of a proposition and its logical form. The statements 'John is good' and 'John is tall' have the same grammatical form but different logical forms. Failure to recognize this would lead one to treat the property 'goodness' as if it were a characteristic of John in the same way that the property 'tallness' is a characteristic of John. Such failure results in philosophical confusion.
Russell's work in mathematics attracted by adherent correspondences what to Cambridge the Austrian philosopher Ludwig Wittgenstein, became a central figure in the analytic and linguistic movement. In his first major work, “Tractatus Logico-Philosophicus” (1921,. translations, 1922), in which he first presented his theory of language, Wittgenstein argued that 'all philosophy is a 'critique of language' and that 'philosophy aims at the logical clarification of thoughts'. The results of Wittgenstein's analysis resembled Russell's logical atomism. The world, he argued, is ultimately composed of simple facts, which it is the purpose of language to picture. To be meaningful, statements about the world must be reducible to linguistic utterances that have a structure similar to the simple facts pictured. In this early Wittgensteinian analysis, only propositions that picture facts - the propositions of science - are considered factually meaningful. Metaphysical, theological, and ethical sentences were judged to be factually meaningless.
Influenced by Russell, Wittgenstein, Ernst Mach, and others, a group of philosophers and mathematicians in Vienna in the 1920s initiated the movement known as logical positivism. Led by Moritz Schlick and Rudolf Carnap, the Vienna Circle initiated one of the most important chapters in the history of analytic and linguistic philosophy. According to the positivists, the task of philosophy is the clarification of meaning, not the discovery of new facts (the job of the scientists) or the construction of comprehensive accounts of reality (the misguided pursuit of traditional metaphysics).
The positivists divided all meaningful assertions into two classes: analytic propositions and empirically verifiable ones. Analytic propositions, which include the propositions of logic and mathematics, are statements the truth or falsity of which depend altogether on the meanings of the terms constituting the statement. An example would be the proposition "two plus two equals four." The second class of meaningful propositions includes all statements about the world that can be verified, at least in principle, by sense experience. Indeed, the meaning of such propositions is identified with the empirical method of their verification. This verifiability theory of meaning, the positivists concluded, would demonstrate that scientific statements are legitimate factual claims and that metaphysical, religious, and ethical sentences are factually overflowing emptiness. The ideas of logical positivism were made popular in England by the publication of A.J. Ayer's Language, Truth and Logic” in 1936.
The positivists' verifiability theory of meaning came under intense criticism by philosophers such as the Austrian-born British philosopher Karl Popper. Eventually this narrow theory of meaning yielded to a broader understanding of the nature of language. Again, an influential figure was Wittgenstein. Repudiating many of his earlier conclusions in the Tractatus, he initiated a new line of thought culminating in his posthumously published Philosophical Investigations (1953: Translations, 1953). In this work, Wittgenstein argued that once attention is directed to the way language is actually used in ordinary discourse, the variety and flexibility of language become clear. Propositions do much more than simply picture facts.
This recognition led to Wittgenstein's influential concept of language games. The scientist, the poet, and the theologian, for example, are involved in different language games. Moreover, the meaning of a proposition must be understood in its context, that is, in terms of the rules of the language game of which that proposition is a part. Philosophy, concluded Wittgenstein, is an attempt to resolve problems that arise as the result of linguistic confusion, and the key to the resolution of such problems is ordinary language analysis and the proper use of language.
Additional contributions within the analytic and linguistic movement include the work of the British philosopher's Gilbert Ryle, John Austin, and P. F. Strawson and the American philosopher W. V. Quine. According to Ryle, the task of philosophy is to restate 'systematically misleading expressions' in forms that are logically more accurate. He was particularly concerned with statements the grammatical form of which suggests the existence of nonexistent objects. For example, Ryle is best known for his analysis of mentalistic language, language that misleadingly suggests that the mind is an entity in the same way as the body.
Austin maintained that one of the most fruitful starting points for philosophical inquiry is attention to the extremely fine distinctions drawn in ordinary language. His analysis of language eventually led to a general theory of speech acts, that is, to a description of the variety of activities that an individual may be performing when something is uttered.
Strawson is known for his analysis of the relationship between formal logic and ordinary language. The complexity of the latter, he argued, is inadequately represented by formal logic. A variety of analytic tools, therefore, are needed in addition to logic in analysing ordinary language.
Quine discussed the relationship between language and ontology. He argued that language systems tend to commit their users to the existence of certain things. For Quine, the justification for speaking one way rather than another is a thoroughly pragmatic one.
The commitment to language analysis as a way of pursuing philosophy has continued as a significant contemporary dimension in philosophy. A division also continues to exist between those who prefer to work with the precision and rigour of symbolic logical systems and those who prefer to analyse ordinary language. Although few contemporary philosophers maintain that all philosophical problems are linguistic, the view continues to be widely held that attention to the logical structure of language and to how language is used in everyday discourse in resolving philosophical problems. The examination of one's own thought and feeling, is the basis of a man much given to introspection, as a sense of self-searching is a limited, definite or measurable extent of time during which something exists, that its condition is reserved in the term of having or showing skill in thinking or reasoning, the Rationale is marked by the reasonable logical calculus and is also called a formal language, and a logical system? A system in which explicit rules are provided to determining (1) which are the expressions of the system (2) which sequence of expressions count as well formed (well-forced formulae) (3) which sequence would count as proofs. An indefinable system that may include axioms for which leaves terminate a proof, however, it shows of the prepositional calculus and the predicated calculus.
It's most immediate of issues surrounding certainty are especially connected with those concerning 'scepticism'. Although Greek scepticism entered on the value of enquiry and questioning, scepticism is now the denial that knowledge or even rational belief is possible, either about some specific subject-matter, e.g., ethics, or in any area whatsoever. Classical scepticism, springs from the observation that the best method in some area seems to fall short of giving us contact with the truth, e.g., there is a gulf between appearances and reality, it frequently cites the conflicting judgements that our methods deliver, with the effectualities that express doubt about truth becoming narrowly spaced that in turn demonstrates their marginality, in at least, ascribed of being indefinable. In classic thought the various examples of this conflict were systemized in the tropes of Aenesidemus. So that, the scepticism of Pyrrho and the new Academy was a system of argument and inasmuch as opposing dogmatism, and, particularly the philosophical system building of the Stoics.
As it has come down to us, particularly in the writings of Sextus Empiricus, its method was typically to cite reasons for finding our issue undesirable (sceptics devoted particular energy to undermining the Stoics conception of some truths as delivered by direct apprehension or some katalepsis). As a result the sceptics conclude eposhé, or the suspension of belief, and then go on to celebrate a way of life whose object was ataraxia, or the tranquillity resulting from suspension of belief.
Fixed by for and of itself, the mere mitigated scepticism which accepts every day or commonsense belief, is that, not the delivery of reason, but as due more to custom and habit. Nonetheless, it is self-satisfied at the proper time, however, the power of reason to give us much more. Mitigated scepticism is thus closer to the attitude fostered by the accentuations from Pyrrho through to Sextus Expiricus. Despite the fact that the phrase 'Cartesian scepticism' is sometimes used, Descartes himself was not a sceptic, however, in the 'method of doubt' uses a sceptical scenario in order to begin the process of finding a general distinction to mark its point of knowledge. Descartes trusts in categories of 'clear and distinct' ideas, not far removed from the phantasiá kataleptikê of the Stoics.
For many sceptics had traditionally held that knowledge requires certainty, artistry. And, of course, they claim that certainty of knowledge is not possible. In part, nonetheless, of the principle that every effect it's a consequence of an antecedent cause or causes. For causality to be true it is not necessary for an effect to be predictable as the antecedent causes may be numerous, too complicated, or too interrelated for analysis. Nevertheless, in order to avoid scepticism, this participating sceptic has generally held that knowledge does not require certainty. Except for alleged cases of things that are evident for one just by being true, it has often been thought, that any thing known must satisfy certain criteria as well for being true. It is often taught that anything is known must satisfy certain standards. In so saying, that by 'deduction' or 'induction', there will be criteria specifying when it is. As these alleged cases of self-evident truths, the general principle specifying the sort of consideration that will make such standards in the apparent or justly conclude in accepting it warranted to some degree.
Besides, there is another view - the absolute globular view that we do not have any knowledge whatsoever. In whatever manner, it is doubtful that any philosopher seriously entertains of absolute scepticism. Even the Pyrrhonist sceptics, who held that we should refrain from accenting to any non-evident standards that no such hesitancy about asserting to 'the evident', the non-evident are any belief that requires evidences because it is warranted.
René Descartes (1596-1650), in his sceptical guise, never doubted the content of his own ideas. It's challenging logic, inasmuch as of whether they 'corresponded' to anything beyond ideas.
All the same, Pyrrhonism and Cartesian form of virtual globular scepticism, in having been held and defended, that of assuming that knowledge is some form of true, sufficiently warranted belief, it is the warranted condition that provides the truth or belief conditions, in that of providing the grist for developing upon the sceptic's undertaking. The Pyrrhonist will suggest that there are no non-evident, empirically deferring the sufficiency of giving in but warranted. Whereas, a Cartesian sceptic will agree that no empirical standards have placed anything other than one's own mind and its contentually subjective matters for which are sufficiently warranted, because there are always legitimate grounds for doubting it. Whereunto, the essential differences between the two views concern the stringency of the requirements for a belief being sufficiently warranted justly, to take account of as knowledge.
James, (1842-1910), although with characteristic generosity exaggerated in his debt to Charles S. Peirce (1839-1914), he charted that the method of doubt encouraged people to pretend to doubt what they did not doubt in their hearts, and criticize its individualist's insistence, that the ultimate test of certainty is to be found in the individuals personalized consciousness.
From his earliest writings, James understood cognitive processes in teleological terms. 'Thought', he held, assists us in the satisfactory interests. His will to believe doctrine, the view that we are sometimes justified in believing beyond the evidential relics upon the notion that a belief's benefits are relevant to its justification. His pragmatic method of analysing philosophical problems, for which requires that we find the meaning of terms by examining their application to objects in experimental situations, similarly reflects the teleological approach in its attention to consequences.
Such an approach, however, sets' James' theory of meaning apart from verification, dismissive of metaphysics. Unlike the verificationalists, who takes cognitive meaning to be a matter only of consequences in sensory experience? James' took pragmatic meaning to include emotional and matter responses. Moreover his, metaphysical standard of quality value, not a way of dismissing them as meaningless. It should also be noted that in a greater extent, circumspective moments' James did not hold that even his broad set of consequences was exhaustive of a term meaning. 'Theism', for example, he took to have antecedently, definitional meaning, in addition to its varying degree of importance and chance upon an important pragmatic meaning.
James' theory of truth reflects upon his teleological conception of cognition, by considering a true belief to be one which is compatible with our existing system of beliefs, and leads us to satisfactory interaction with the world.
However, Peirce's famous pragmatist principle is a rule of logic employed in clarifying our concepts and ideas. Consider the claim the liquid in a flask is an acid, if, we believe this, we except that it would turn red: We accept an action of ours to have certain experimental results. The pragmatic principle holds that listing the conditional expectations of this kind, in that we associate such immediacy with applications of a conceptual representation that provides a complete and orderly set clarification of the concept. This is irrelevant to the logic of abduction: Clarificationists using the pragmatic principle provides all the information about the content of a hypothesis that is relevantly to decide whether it is worth testing.
To a greater extent, and what is most important, is the framed apprehension of the pragmatic principle, in so that, Pierces's account of reality: When we take something to be real that by this single case, we think it is 'fated to be agreed upon by all who investigate' the matter to which it stand, in other words, if I believe that it is really the case that 'P', then I except that if anyone were to inquire depthfully into the finding its measure into whether 'p', they would arrive at the belief that 'p'. It is not part of the theory that the experimental consequences of our actions should be specified by a warranted empiricist vocabulary - Peirce insisted that perceptual theories are abounding in latency. Even so, nor is it his view that the collected conditionals do or not clarify a concept as all analytic. In addition, in later writings, he argues that the pragmatic principle could only be made plausible to someone who accepted its metaphysical realism: It requires that 'would-bees' are objective and, of course, real.
If realism itself can be given a fairly quick clarification, it is more difficult to chart the various forms of supposition, for they seem legendary. Other opponents deny that entitles posited by the relevant discourses that exist or at least exists: The standard example is 'idealism' that reality is somehow mind-curative or mind-co-ordinated - that substantially real objects consist of the 'external world' through which is nothing but independently of eloping minds, but only exist as in some way correlative to the mental operations. The doctrine assembled of 'idealism' enters on the conceptual note that reality as we understand this as meaningful and reflects the working of mindful purposes. And it construes this as meaning that the inquiring mind itself makes of some formative constellations and not of any mere understanding of the nature of the 'real' bit even the resulting charger we attribute to it.
Wherefore, the term ids most straightforwardly used when qualifying another linguistic form of Grammatik: a real 'x' may be contrasted with a fake, a failed 'x', a near 'x', and so on. To treat something as real, without qualification, is to suppose it to be part of the actualized world. To reify something is to suppose that we have committed by some indoctrinated treatise, as that of a theory. The central error in thinking of reality and the totality of existence is to think of the 'unreal' as a separate domain of things, perhaps, unfairly to that of the benefits of existence.
Such being previously characterized or specified, or authorized to siege using ways through some extreme degree or quality in as much as having had never before, is that non-existence of all things. To set before the mind for consideration, to forward the literary products of the Age of Reason, something produced was labouriously implicated. Nevertheless, the product of logical thinking or reasoning the argument confusion which things are out of their normal or proper places or relationships, as misoffering conduct derange the methodization and disorganization facing the terminological treatment as, 'nothing' as in itself has a referring expression instead of a 'quantifier'. (Stating informally as a quantifier is an expression that reports of a quantity of times that a predicate is satisfied in some class of things, i.e., in a domain.) This confusion leads the unsuspecting to think that a sentence such as 'Nothing is all around us' talks of a special kind of thing that is all around us, when in fact it merely denies that the predicate 'is all around us' have appreciations. The feelings that led some philosophers and theologians, notably Heidegger, to talk of the experience of a quality or state of being as un-quantified as of Nothing, in that nothing as something that does not exist was it not his hopes that a worthless account is the quality or state of being that which something has come. This is not properly the experience of anything, but rather the failure of a hope or expectations that there would be something of some kind at some point. This may arise in quite everyday cases, as when one finds that the article of functions one expected to see as usual, in the corner has disappeared. The difference between 'existentialist'' and 'analytic philosophy', on the point of what, whereas the former is afraid of nothing, and the latter think that there is nothing to be afraid of.
A rather different set of concerns arises when actions are specified in terms of doing nothing, saying nothing may be an admission of guilt, and doing nothing in some circumstances may be tantamount to murder. Still, other substantiated problems arise over conceptualizing empty space and time.
Whereas, the standard opposition between those who affirm and those who deny, the real existence of some kind of thing or some kind of fact or state of affairs. Almost any area of discourse may be the focus of this dispute: The external world, the past and future, other minds, mathematical objects, possibilities, universals, moral or aesthetic properties are examples. There be to one influential suggestion, as associated with the British philosopher of logic and language, and the most determinative of philosophers centred round Anthony Dummett (1925), to which is borrowed from the 'intuitivistic' critique of classical mathematics, and suggested that the unrestricted use of the 'principle of bivalence' is the trademark of 'realism'. However, this ha to overcome counter-examples both ways: Although Aquinas wads a moral 'realist', he held that moral really was not sufficiently structured to make true or false every moral claim. Unlike Kant who believed that he could use the law of bivalence happily in mathematics, precisely because it was only our own construction. Realism can itself be subdivided: Kant, for example, combines empirical realism (within the phenomenal world the realist says the right things - surrounding objects that really exist and is independent of us but are so of our mental states) with transcendental idealism (the phenomenal world as whole reflects the structures imposed on it by the activity of our minds as they render it intelligible to us). In modern philosophy the orthodox oppositions to realism have been from a philosopher such as Goodman, who, impressed by the extent to which we perceive the world through conceptual and linguistic lenses of our own making.
Assigned to the modern treatment of existence in the theory of 'quantification' is sometimes put by saying that existence is not a predicate. The idea is that the existential quantify themselves and add an operator onto the predicate, indicating that the property it expresses has instances. Existence is therefore treated as a second-order property, or a property of properties. It is fitting to say, that in this it is like number, for when we say that these things of a kind, we do not describe the thing (ad we would if we said there are red things of the kind), but instead attribute a property to the kind itself. The parallelled numbers are exploited by the German mathematician and philosopher of mathematics Gottlob Frége in the dictum that affirmation of existence is merely denied of the number nought. A problem, nevertheless, proves accountable for it's crated by sentences like 'This exists', where some particular thing is undirected, such that a sentence seems to express a contingent truth (for this insight has not existed), yet no other predicate is involved. 'This exists' is that unlike 'Tamed tigers exist', where a property is said to have an instance, for the word 'this' and is not unearthed as a property, but exclusively characterized by the peculiarity of individuality, for being distinctively identified in the likeness of human beings.
Possible worlds seem able to differ from each other purely in the presence or absence of individuals, and not merely in the distribution of exemplification of properties.
The philosophical ponderance over which to set upon the unreal, as belonging to the domain of being. Nonetheless, there is little for us that can be said with the philosopher's study. So it is not apparent that there can be such a subject for being by it. Nevertheless, the concept had a central place in philosophy from Parmenides to Heidegger. The essential question of 'why is there something and not of nothing'? Prompting over logical reflection on what it is for a universal to have an instance, and as long history of attempts to explain contingent existence, by which id to reference and a necessary ground.
In the transition, ever since Plato, this ground becomes a self-sufficient, perfect, unchanging, and external something, identified with the Good or that of God, but whose relation with the everyday world, remains obscure. The celebrated argument for the existence of God first proposed by Anselm in his Proslogin. The argument by defining God as 'something than which nothing greater can be conceived'. God then exists in the understanding since we understand this concept. However, if he only existed in the understanding something greater could be conceived, for a being that exists in reality is greater than one that exists in the understanding. But, then, we can conceivably have something greater than that which nothing greater can be conceived, which is antithetically, therefore, God cannot exist on the understanding, but exists in reality.
An influential argument (or family of arguments) for the existence of God, finding its premises are that all natural things are dependent for their existence on something else. The totality of dependent brings must then it depends upon a non-dependent, or necessarily existent bring of which is God. Like the argument to design, the cosmological argument was attacked by the Scottish philosopher and historian David Hume (1711-76) and Immanuel Kant.
Its main problem, nonetheless, is that it requires us to make sense of the notion of necessary existence. For if the answer to the question of why anything exists is that some other things of a similar kind exist, the question merely arises repeatedly, in that 'God', who ends the question must exist necessarily: It must not be an entity of which the same kinds of questions can be raised. The other problem with the argument is attributing concern and care to the deity, not for connecting the necessarily existent being it derives with human values and aspirations.
The ontological argument has been treated by modern theologians such as Barth, following Hegel, not so much as a proof with which to confront the unconverted, but as an explanation of the deep meaning of religious belief. Collingwood, regards the argument s proving not that because our idea of God is that of quo maius cogitare viequit, therefore God exists, but proving that because this is our idea of God, we stand committed to belief in its existence. Its existence is a metaphysical point or absolute pre-supposition of certain forms of thought.
In the 20th century, modal versions of the ontological argument have been propounded by the American philosophers Charles Hertshorne, Norman Malcolm, and Alvin Plantinge. One version is to define something as unsurpassable distinguished, if it exists and is perfect in every 'possible world'. Then, to allow that it is at least possible that an unsurpassable great being existing. This means that there is a possible world in which such a being exists. However, if it exists in one world, it exists in all (for the fact that such a being exists in a world that entails, in at least, it exists and is perfect in every world), so, it exists necessarily. The correct response to this argument is to disallow the apparently reasonable concession that it is possible that such a being exists. This concession is much more dangerous than it looks, since in the modal logic, involved from possibly necessarily 'p', we can device necessarily 'p'. A symmetrical proof starting from the assumption that it is possibly that such a being does not exist would derive that it is impossible that it exists.
The doctrine that it makes an ethical difference of whether an agent actively intervenes to bring about a result, or omits to act in circumstances in which it is foreseen, that as a resultant of omissions, the same result occurs. Thus, suppose that I wish you dead. If I act to bring about your death, I am a murderer, however, if I happily discover you in danger of death, and fail to act to save you, I am not acting, and therefore, according to the doctrine of acts and omissions not a murderer. Critics implore that omissions can be as deliberate and immoral as I am responsible for your food and fact to feed you. Only omission is surely a killing, 'Doing nothing' can be a way of doing something, or in other worlds, absence of bodily movement can also constitute acting negligently, or deliberately, and defending on the context, may be a way of deceiving, betraying, or killing. Nonetheless, criminal law offers to find its conveniences, from which to distinguish discontinuous intervention, for which is permissible, from bringing about resultant amounts from which it may not be, if, for instance, the result is death of a patient. The question is whether the difference, if there is one, is, between acting and omitting to act be discernibly or defined in a way that bars a general moral might.
The double effect of a principle attempting to define when an action that had both good and bad results is morally permissible. I one formation such an action is permissible if (1) The action is not wrong in itself, (2) the bad consequences are not that which is intended (3) the good is not itself a result of the bad consequences, and (4) the two consequential effects are commensurate. Thus, for instance, I might justifiably bomb an enemy factory, foreseeing but intending that the death of nearby civilians, whereas bombing the death of nearby civilians intentionally would be disallowed. The principle has its roots in Thomist moral philosophy, accordingly. St. Thomas Aquinas (1225-74), held that it is meaningless to ask whether a human being is two tings (soul and body) or, only just as it is meaningless to ask whether the wax and the shape given to it by the stamp are one: On this analogy the sound is ye form of the body. Life after death is possible only because a form itself does not perish (pricking is a loss of form).
And is, therefore, in some sense available to reactivate a new body, therefore, not I who survive body death, but I may be resurrected in the same personalized body y that becomes reanimated by the same form, that which Aquinas's account, as a person has no privileged self-understanding, we understand ourselves as we do everything else, by way of sense experience and abstraction, and knowing the principle of our own lives is an achievement, not as a given. Difficult as this point led the logical positivist to abandon the notion of an epistemological foundation altogether, and to flirt with the coherence theory of truth, it is widely accepted that trying to make the connection between thought and experience through basic sentence s depends on an untenable 'myth of the given
The special way that we each have of knowing our own thoughts, intentions, and sensationalist have brought in the many philosophical 'behaviorist and functionalist tendencies, that have found it important to deny that there is such a special way, arguing the way that I know of my own mind inasmuch as the way that I know of yours, e.g., by seeing what I say when asked. Others, however, point out that the behaviour of reporting the result of introspection in a particular and legitimate kind of behavioural access that deserves notice in any account of historically human psychology. The historical philosophy of reflection upon the astute of history, or of historical, thinking, finds the term was used in the 18th century, e.g., by Volante was to mean critical historical thinking as opposed to the mere collection and repetition of stories about the past. In Hegelian, particularly by conflicting elements within his own system, however, it came to man universal or world history. The Enlightenment confidence was being replaced by science, reason, and understanding that gave history a progressive moral thread, and under the influence of the German philosopher, whom is in spreading Romanticism, came Gottfried Herder (1744-1803), and, Immanuel Kant, this idea took it further to hold, so that philosophy of history cannot be the detecting of a grand system, the unfolding of the evolution of human nature as witnessed in successive sages (the progress of rationality or of Spirit). This essential speculative philosophy of history is given an extra Kantian twist in the German idealist Johann Fichte, in whom the extra association of temporal succession with logical implication introduces the idea that concepts themselves are the dynamic engines of historical change. The idea is readily intelligible in that their world of nature and of thought becomes identified. The work of Herder, Kant, Flichte and Schelling is synthesized by Hegel: History has a conspiracy, as too, this or to the moral development of man, but whichever equation resolves a freedom, will be the development of thought, or a logical development in which various necessary moment in the life of the concept are successively achieved and improved upon. Hegel's method is at it's most successful, when the object is the history of ideas, and the evolution of thinking may march in steps with logical oppositions and their resolution encounters red by various systems of thought.
Within the revolutionary communism, Karl Marx (1818-83) and the German social philosopher Friedrich Engels (1820-95), there emerges a rather different kind of story, based upon Hefl's progressive structure not laying the achievement of the goal of history to a future in which the political condition for freedom comes to exist, so that economic and political fears than 'reason' is in the engine room. Although, it is such that speculations upon the history may that it is continued to be written, notably, stays a late example, for which speculation of this kind with the nature of historical understanding, and in particular with a comparison between the methods of natural science and with the historians. For writers such as the German neo-Kantian Wilhelm Windelband and the German philosopher and literary critic and historian Wilhelm Dilthey, it is important to show that the human sciences such. As history is objective and legitimate, nonetheless they are in some way deferent from the enquiry of the scientist. Since the subjective-matter is the past thought and actions of human brings, what is needed and actions of human beings, past thought and actions of human beings, what is needed is an ability to re-live that past thought, knowing the deliberations of past agents, as if they were the historian's own. The most influential British writer on this theme signifies the philosopher and historian George Collingwood (1889-1943), whose, "The Idea of History" (1946), contains an extensive defence of the verstehe approach, but it is, nonetheless, the explanation from their actions. However, by re-living the situation as our understanding that understanding other is not gained by the tactic use of a 'theory', enabling us to infer what thoughts or intentionality experienced, again, the matter to which the subjective-matters of past thoughts and actions, as I have a human ability of knowing the deliberations of past agents as if they were the historian's own. The immediate question of the form of historical explanation, and the fact that general laws have other than no place or any apprentices in the order of a minor place in the human sciences, it is also prominent in thoughts about distinctiveness as to regain their actions, but by re-living the situation in or thereby an understanding of what they experience and thought.
The view that everyday attributions of intention, belief and meaning to other persons proceeded via tacit use of a theory that enables me to construct these interpretations as explanations of their doings. The view is commonly held along with functionalism, according to which psychological states theoretical entities, identified by the network of their causes and effects. The theory-theory had different implications, depending on which feature of theories is being stressed. Theories may be though of as capable of formalization, as yielding predications and explanations, as achieved by a process of theorizing, as achieved by predictions and explanations, as achieved by a process of theorizing, as answering to empirically evince that is in principle describable without them, as liable to be overturned by newer and better theories, and so on. The main problem with seeing our understanding of others as the outcome of a piece of theorizing is the non-existence of a medium in which this theory can be couched, as the child learns simultaneously he minds of others and the meaning of terms in its native language.
Our understanding of others is not gained by the tacit use of a 'theory'. Enabling us to infer what thoughts or intentions explain their actions, however, by re-living the situation 'in their moccasins', or from their point of view, and thereby understanding what hey experienced and thought, and therefore expressed. Understanding others is achieved when we can ourselves deliberate as they did, and hear their words as if they are our own. The suggestion is a modern development of the 'Verstehen' tradition associated with Dilthey, Weber and Collngwood.
Much as much, is therefore, in some sense available to reactivate a new body, however, not that I, who survives bodily death, but I may be resurrected in the same body that becomes reanimated by the same form, in that of Aquinas's abstractive account, that non-religions belief, existence, necessity, fate, creation, sin, judice, mercy, redemption, God and, once descriptions of supreme Being impacted upon, there remains the problem of providing any reason for supporting that anything answering to this description exists. People that take place or come about, in effect, induce to come into being to conditions or occurrences traceable to a cause seems in pursuit of a good place to be, but are not exempt of privatized privilege of self-understanding. We understand ourselves, just as we do everything else, that through the sense experience, in that of an abstraction, may justly be of knowing the principle of our own lives, is to obtainably achieve, and not as a given. In the theory of knowledge that knowing Aquinas holds the Aristotelian doctrine that knowing entails some similarities between the Knower and what there is to be known: A human's corporal nature, therefore, requires that knowledge start with sense perception. As yet, the same limitations that do not apply of bringing further the levelling stabilities that are contained within the hierarchical mosaic, such as the celestial heavens that open in bringing forth to angles.
In the domain of theology Aquinas deploys the distraction emphasized by Eringena, between the existences of God in understanding the significance, of five relevant contentions aiming at their significances. They are (1) Motion is only explicable if there exists an unmoved, a first mover (2) the chain of efficient causes demands a first cause (3) the contingent character of existing things in the world demands a different order of existence, or in other words as something that has a necessary existence (4) the extensional graduations of values of things in the world require the existence of something that is most valuable, or perfect, and (5) the orderly character of events points to a final cause, or end t which all things are directed, and the existence of this end demands a being that ordained it. All the arguments are physico-theological arguments, in that between reason and faith, Aquinas lays out proofs of the existence of God.
He readily recognizes that there are doctrines such that are the Incarnation and the nature of the Trinity, know only through revelations, and whose acceptance is more a matter of moral will. God's essence is identified with his existence, as pure activity. God is simple, containing no potential. No matter how, we cannot obtain knowledge of what God is (his quiddity), perhaps, doing the same work as the principle of charity, but suggesting that we regulate our procedures of interpretation by maximizing the extent to which we see the subject s humanly reasonable, than the extent to which we see the subject as right about things. Whereby remaining content with descriptions that apply to him partly by way of analogy, God reveals of Himself and not himself. The immediate problem availed of ethics is posed by the English philosopher Phillippa Foot, in her 'The Problem of Abortion and the Doctrine of the Double Effect' (1967). A runaway train or trolley comes to a section in the track that is under construction and impassable. One person is working on one part and five on the other and the trolley will put an end to anyone working on the branch it enters. Clearly, to most minds, the driver should steer for the fewest populated branch. But now suppose that, left to it, it will enter the branch with its five employ that is there, and you as a bystander can intervene, altering the points so that it veers through the other. Is it right or obligors, or even permissible for you to do this, thereby, apparently involving you in ways that responsibility ends in a death of one person? After all, who have you wronged if you leave it to go its own way? The situation is similarly standardized of others in which utilitarian reasoning seems to lead to one course of action, but a person's integrity or principles may oppose it.
Describing events that haphazardly took place does not of for it apprehensively deliberates, and revolve in the mind many great steps of his plan, as thought, considered, design, presence, studied, thought-out, which seeming inaccurately responsible to reason-sensitive, in that sanction the exceptionality in the break of the divine. This permit we to talk of rationality and intention, which are the categories, we may apply if we conceive of them as action. We think of ourselves not only passively, as creatures that make things happen. Understanding this distinction gives forth of its many major problems concerning the nature of an agency for the causation of bodily events by mental events, and of understanding the 'will' and 'free will'. Other problems in the theory of action include drawing the distinction between an action and its consequence, and describing the structure involved when we do one thing 'by' doing additional applicative attributes. Even the planning and dating where someone shoots someone on one day and in one place, whereby the victim then dies on another day and in another place. Where and when did the murderous act take place?
Causation, least of mention, is not clear that only events are created for and of themselves. Kant refers to the example of a cannonball at rest and stationed upon a cushion, but causing the cushion to be the shape that it is, and thus to suggest that the causal states of affairs or objects or facts may also be casually related. All of which, the central problem is to understand the elements of necessitation or determinacy of the future. Events of which were thought by Hume are in themselves 'loose and separate': How then are we to conceive of others? The relationship seems not too perceptible, for all that perception gives us (Hume argues) is knowledge of the patterns that events do, actually falling into than any acquaintance with the connections determining the pattern. It is, however, clear that our conception of everyday objects is largely determined by their casual powers, and all our action is based on the belief that these causal powers are stable and reliable. Although scientific investigation can give us wider and deeper dependable patterns, it seems incapable of bringing us any nearer to the 'must' of causal necessitation. Particular examples' of puzzles with causalities are quite apart from general problems of forming any conception of what it is: How are we to understand the casual interaction between mind and body? How can the present, which exists, or its existence to a past that no longer exists? How is the stability of the casual order to be understood? Is backward causality possible? Is causation a concept needed in science, or dispensable?
The news concerning free-will, is nonetheless, a problem for which is to reconcile our everyday consciousness of ourselves as agent, with the best view of what science tells us that we are. Determinism is one part of the problem. It may be defined as the doctrine that every event has a cause. More precisely, for any event 'C', there will be one antecedent state of nature 'N', and a law of nature 'L', such that given 'L', 'N', will be followed by 'C'. But if this is true of every event, it is true of events such as my doing something or choosing to do something. So my choosing or doing something is fixed by some antecedent state 'N' and d the laws. Since determinism is universal these in turn are fixed, and so backwards to actions, for which I am clearly not responsible (events before my birth, for example). So, no events can be voluntary or free, where that means that they come about purely because of my willing them I could have done otherwise. If determinism is true, then there will be antecedent states and laws already determining such events: How then can I truly be said to be their author, or be responsible for them?
The dilemma for which determinism is for itself often supposes of an action that seems as the end of a causal chain, or, perhaps, by some hieratical set of suppositional actions that would stretch back in time to events for which an agent has no conceivable responsibility, then the agent is not responsible for the action.
Once, again, the dilemma adds that if an action is not the end of such a chain, so that, at another time, its focus is fastening convergently by its causing occurrences that randomly lack a definite plan, purpose or pattern, justly a randomizing of choice. In that no antecedent events brought it about, and in that case nobody is responsible for it's ever to occur. So, whether or not determinism is true, responsibility is shown to be illusory.
Still, there is to say, to have a will is to be able to desire an outcome and to purpose to bring it about. Strength of will, or firmness of purpose, is supposed to be good and weakness of will or bad.
A mental act of willing or trying whose presence is sometimes supposed to make the difference between intentional and voluntary action, as well of mere behaviour. The theories that there are such acts are problematic, and the idea that they make the required difference is a case of explaining a phenomenon by citing another that raises exactly the same problem, since the intentional or voluntary nature of the set of volition now needs explanation. For determinism to act in accordance with the law of autonomy or freedom is that in ascendance with universal moral law and regardless of selfish advantage.
A categorical notion in the work as contrasted in Kantian ethics show of a hypothetical imperative that embeds of a commentary which is in place only givens some antecedent desire or project. 'If you want to look wise, stay quiet'. The injunction to stay quiet only applies to those with the antecedent desire or inclination: If one has no enacting desire upon considerations for being wise, may, that the injunction or advice lapse. A categorical imperative cannot be so avoided; it is a requirement that binds anybody, regardless of their inclination. It could be repressed as, for example, 'Tell the truth (regardless of whether you want to or not)'. The distinction is not always mistakably presumed or absence of the conditional or hypothetical form: 'If you crave drink, don't become a bartender' may be regarded as an absolute injunction applying to anyone, although only activated in the case of those with the stated desire.
In Grundlegung zur Metaphsik der Sitten (1785), Kant discussed some of the given forms of categorical imperatives, such that of (1) The formula of universal law: 'act only on that maxim through which you can at the same time will that it should become universal law', (2) the formula of the law of nature: 'Act as if the maxim of your action were to become through your will a universal law of nature', (3) the formula of the end-in-itself, 'Act in such a way that you always treat humanity of whether in your own person or in the person of any other, never simply as an end, but always at the same time as an end', (4) the formula of autonomy, or consideration: 'The will' of every rational being a will which makes universal law', and (5) the formula of the Kingdom of Ends, which provides a model for systematic union of different rational beings under common laws.
A central object in the study of Kant's ethics is to understand the expressions of the inescapable, binding requirements of their categorical importance, and to understand whether they are equivalent at some deep level. Kant's own applications of the notions are always convincing: One cause of confusion is relating Kant's ethical values to theories such as 'expressionism' in that it is easy but imperatively must that it cannot be the expression of a sentiment, yet, it must derive from something 'unconditional' or necessary' such as the voice of reason. The standard mood of sentences used to issue request and commands are their imperative needs to issue as basic the need to communicate information, and as such to animals signalling systems may as often be interpreted either way, and understanding the relationship between commands and other action-guiding uses of language, such as ethical discourse. The ethical theory of 'prescriptivism' in fact equates the two functions. A further question is whether there is an imperative logic. 'Hump that bale' seems to follow from 'Tote that barge and hump that bale', follows from 'Its windy and its raining': But it is harder to say how to include other forms, does 'Shut the door or shut the window' follow from 'Shut the window', for example? The usual way to develop an imperative logic is to work in terms of the possibility of satisfying the other one command without satisfying the other, thereby turning it into a variation of ordinary deductive logic.
Despite the fact that the morality of people and their ethics amount to the same thing, there is a contingency in use that I restart morality to systems such in that of Kant, based on notions given as duty, obligation, and principles of conduct, reserving ethics for the more Aristotelian approach to practical reasoning as based on the valuing notions that are characterized by their particular virtue, and generally avoiding the separation of 'moral' considerations from other practical considerations. The scholarly issues are complicated and complex, with some writers seeing Kant as more Aristotelian. And Aristotle was more involved with a separate sphere of responsibility and duty, than the simple contrast suggests.
A major topic of philosophical inquiry, especially in Aristotle, and subsequently since the 17th and 18th centuries, when the 'science of man' began to probe into human motivation and emotion. For such as these, the French moralist, or Hutcheson, Hume, Smith and Kant, a prime task as to delineate the variety of human reactions and motivations. Such an inquiry would locate our propensity for moral thinking among other faculties, such as perception and reason, and other tendencies as empathy, sympathy or self-interest. The task continues especially in the light of a post-Darwinian understanding of us.
In some moral systems, notably that of Immanuel Kant, 'real' moral worth comes only with interactivity, justly because it is right. However, if you do what is purposely becoming, equitable, but from some other equitable motive, such as the fear or prudence, no moral merit accrues to you. Yet, that in turn seems to discount other admirable motivations, as acting from main-sheet benevolence, or 'sympathy'. The question is how to balance these opposing ideas and how to understand acting from a sense of obligation without duty or rightness, through which their beginning to seem a kind of fetish. It thus stands opposed to ethics and relying on highly general and abstractive principles, particularly. Those associated with the Kantian categorical imperatives. The view may go as far back as to say that taken in its own, no consideration point, for that which of any particular way of life, that, least of mention, the contributing steps so taken as forwarded by reason or be to an understanding estimate that can only proceed by identifying salient features of a situation that weighs on one's side or another.
As random moral dilemmas set out with intense concern, inasmuch as philosophical matters that exert a profound but influential defence of common sense. Situations, in which each possible course of action breeches some otherwise binding moral principle, are, nonetheless, serious dilemmas making the stuff of many tragedies. The conflict can be described in different was. One suggestion is that whichever action the subject undertakes, that he or she does something wrong. Another is that his is not so, for the dilemma means that in the circumstances for what she or he did was right as any alternate. It is important to the phenomenology of these cases that action leaves a residue of guilt and remorse, even though it had proved it was not the subject's fault that she or he was considering the dilemma, that the rationality of emotions can be contested. Any normality with more than one fundamental principle seems capable of generating dilemmas, however, dilemmas exist, such as where a mother must decide which of two children to sacrifice, least of mention, no principles are pitted against each other, only if we accept that dilemmas from principles are real and important, this fact can then be used to approach of them to such a degree as qualified of 'utilitarianism', to espouse various kinds may, perhaps, be centred upon the possibility of relating to independent feelings, liken to recognize only one sovereign principle. Alternatively, of regretting the existence of dilemmas and the unordered jumble of furthering principles, in that of creating several of them, a theorist may use their occurrences to encounter upon that which it is to argue for the desirability of locating and promoting a single sovereign principle.
In continence, the natural law possibility points of the view of the states that law and morality are especially associated with St. Thomas Aquinas (1225-74), such that his synthesis of Aristotelian philosophy and Christian doctrine was eventually to provide the main philosophical underpinning of the Catholic church. Nevertheless, to a greater extent of any attempt to cement the moral and legal order and together within the nature of the cosmos or the nature of human beings, in which sense it found in some Protestant writings, under which had arguably derived functions. From a Platonic view of ethics and it's agedly implicit advance of Stoicism. Its law stands above and apart from the activities of human lawmakers: It constitutes an objective set of principles that can be seen as in and for themselves by means of 'natural usages' or by reason itself, additionally, (in religious verses of them), that express of God's will for creation. Non-religious versions of the theory substitute objective conditions for humans flourishing as the source of constraints, upon permissible actions and social arrangements within the natural law tradition. Different views have been held about the relationship between the rule of the law and God's will. Grothius, for instance, side with the view that the content of natural law is independent of any will, including that of God.
While the German natural theorist and historian Samuel von Pufendorf (1632-94) takes the opposite view. His great work was De Jure Naturae et Gentium, 1672, and its English Translated are 'Of the Law of Nature and Nations, 1710. Pufendorf was influenced by Descartes, Hobbes and the scientific revolution of the 17th century, his ambition was to introduce a newly scientific 'mathematical' treatment on ethics and law, free from the tainted Aristotelian underpinning of 'scholasticism'. Like that of his contemporary - Locke. His conceptions of natural laws include rational and religious principles, making it only a partial forerunner of more resolutely empiricist and political treatment in the Enlightenment.
Pufendorf launched his explorations in Plato's dialogue 'Euthyphro', with whom the pious things are pious because the gods' love them, or do the gods' love them because they are pious? The dilemma poses the question of whether value can be conceived as the upshot o the choice of any mind, even a divine one. On the fist option the choices of the gods' create goodness and value. Even if this is intelligible, it seems to make it impossible to praise the gods', for it is then vacuously true that they choose the good. On the second option we have to understand a source of value lying behind or beyond the will even of the god's, and by which they can be evaluated. The elegant solution of Aquinas is and is therefore distinct form is willed, but not distinct from him.
The dilemma arises whatever the source of authority is supposed to be. Do we care about the good because it is good, or do we just call well those things that we care about? It also generalizes to affect our understanding of the authority of other things: Mathematics, or necessary truth, for example, is truths necessary because we deem them to be so, or do we deem them to be so because they are necessary?
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