Contemporary Scientific Realism The Challenge From The History of Science Timothy D Lyons Full Chapter
Contemporary Scientific Realism The Challenge From The History of Science Timothy D Lyons Full Chapter
Contemporary Scientific Realism The Challenge From The History of Science Timothy D Lyons Full Chapter
Edited by
T I M O T H Y D. LYO N S A N D P E T E R V IC K E R S
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Contents
PA RT I H I S T O R IC A L C A SE S F O R T H E D E BAT E
PA RT I I C O N T E M P O R A RY S C I E N T I F IC R E A L I SM
Index 375
1
History and the Contemporary Scientific
Realism Debate
Timothy D. Lyons1 and Peter Vickers2
1Department of Philosophy
Durham University
[email protected]
The scientific realism debate began to take shape in the 1970s, and, with the publica-
tion of two key early ’80s texts challenging realism, Bas van Fraassen’s The Scientific
Image (1980) and Larry Laudan’s “A Confutation of Convergent Realism” (1981),
the framework for that debate was in place. It has since been a defining debate of
philosophy of science. As originally conceived, the scientific realism debate is one
characterized by dichotomous opposition: “realists” think that many/most of our
current best scientific theories reveal the truth about reality, including unobservable
reality (at least to a good approximation); and they tend to justify this view by the
“no miracles argument,” or by an inference to the best explanation, from the success
of scientific theories. Further, many realists claim that scientific realism is an empir-
ically testable position. “Antirealists,” by contrast, think that such a view is lacking in
epistemic care. In addition to discussions of the underdetermination of theories by
data and, less commonly, competing explanations for success, many antirealists—in
the spirit of Thomas Kuhn, Mary Hesse, and Larry Laudan—caution that the his-
tory of science teaches us that empirically successful theories, even the very best
scientific theories, of one age often do not stand up to the test of time.
The debate has come a long way since the 1970s and the solidification of its frame-
work in the ’80s. The noted dichotomy of “realism”/“antirealism” is no longer a
given, and increasingly “middle ground” positions have been explored. Case studies
of relevant episodes in the history of science show us the specific ways in which a
realist view may be tempered, but without necessarily collapsing into a full-blown
antirealist view. A central part of this is that self-proclaimed “realists,” as well as
“antirealists” and “instrumentalists,” are exploring historical cases in order to learn
Timothy D. Lyons and Peter Vickers, History and the Contemporary Scientific Realism Debate In: Contemporary Scientific
Realism. Edited by: Timothy D. Lyons and Peter Vickers, Oxford University Press. © Oxford University Press 2021.
DOI: 10.1093/oso/9780190946814.003.0001
2 Contemporary Scientific Realism
the relevant lessons concerning precisely what has, and what hasn’t, been retained
across theory change. In recent decades one of the most important developments
has been the “divide et impera move,” introduced by Philip Kitcher (1993) and
Stathis Psillos (1999)—possibly inspired by Worrall (1989)—and increasingly
embraced by numerous other realists. According to this “selective” strategy, any re-
alist inclinations are directed toward only those theoretical elements that are really
doing the inferential work to generate the relevant successes (where those successes
are typically explanations and predictions of phenomena). Such a move is well
motivated in light of the realist call to explain specific empirical successes: those the-
oretical constituents that play no role, for instance, in the reasoning that led to the
successes, likewise play no role in explaining those successes. Beyond that, however,
and crucially, the divide et impera move allows for what appears to be a testable re-
alist position consistent with quite dramatic theory-change: the working parts of a
rejected theory may be somehow retained within a successor theory, even if the two
theories differ very significantly in a great many respects. Even the working parts
may be retained in a new (possibly approximating) form, such that the retention
is not obvious upon an initial look at a theoretical system but instead takes consid-
erable work to identify. This brings us to a new realist position, consistent with the
thought that many of our current best theories may one day be replaced. Realism
and antirealism are no longer quite so far apart, and this is progress.
A major stimulus for, and result of, this progress has been a better under-
standing of the history of science. Each new case study brings something new to
the debate, new lessons concerning the ways in which false theoretical ideas have
sometimes led to success, or the ways in which old theoretical ideas “live on,” in
a different form, in a successor theory. At one time the debate focused almost
exclusively on three famous historical cases: the caloric theory of heat, the phlo-
giston theory of combustion, and the aether theory of light. An abundance of lit-
erature was generated, and with good reason: these are extremely rich historical
cases, and there is no simple story to tell of the successes these theories enjoyed,
and the reasons they managed to be successful despite being very significantly
misguided (in light of current theory). But the history of science is a big place,
and it was never plausible that all the important lessons for the debate could be
drawn from just three cases. This is especially obvious when one factors in a “par-
ticularist” turn in philosophy of science where focus is directed toward partic-
ular theoretical systems. These days, many philosophers are reluctant to embrace
grand generalizations about “science” once sought by philosophers, taking those
generalizations to be a dream too far. Science works in many different ways, in
different fields and in different contexts. It follows that the realism debate ought
to be informed by a rich diversity of historical cases.
It is with this in mind that the present volume is put forward. In recent years
a flood of new case studies has entered the debate, and is just now being worked
History and the Contemporary Scientific Realism Debate 3
through. At the same time it is recognized that there are still many more cases
out there, waiting to be analyzed in a particular way sensitive to the concerns
of the realism debate. The present volume advertises this fact, introducing as it
does several new cases as bearing on the debate, or taking forward the discus-
sion of historical cases that have only very recently been introduced. At the same
time, the debate is hardly static, and as philosophical positions shift this affects
the very kind of historical cases that are likely to be relevant. Thus the work of
introducing and analyzing historical cases must proceed hand in hand with phil-
osophical analysis of the different positions and arguments in play. It is with this
in mind that we divide the present volume into two parts, covering “Historical
Cases for the Debate” and “Contemporary Scientific Realism,” each comprising
of seven chapters.
Many of the new historical cases are first and foremost challenges to the re-
alist position, in that they tell scientific stories that are apparently in tension with
even contemporary, nuanced realist claims. The volume kicks off in Chapter 2
with just such a case, courtesy of Dana Tulodziecki. For Tulodziecki, the miasma
theory of disease delivered very significant explanatory and predictive successes,
while being radically false by present lights. Further, even the parts of the theory
doing the work to bring about the successes were not at all retained in any suc-
cessor theory. Thus, Tulodziecki contends, the realist must accept that in this case
false theoretical ideas were instrumental in delivering successful explanations
and predictions of phenomena.
This theme continues in Chapter 3, with Jonathon Hricko’s study of the dis-
covery of boron. This time the theory in question is Lavoisier’s oxygen theory
of acidity. Hricko argues that the theory is not even approximately true, and yet
nevertheless enjoyed novel predictive success of the kind that has the power to
persuade. Just as Tulodziecki, Hricko argues that the realist’s divide et impera
strategy can’t help—the constituents of the theory doing the work to generate the
prediction cannot be interpreted as approximately true, by present lights.
We meet with a different story in Chapter 4, however. Keith Hutchison provides
a new case from the history of thermodynamics, concerning the successful pre-
diction that pressure lowers the freezing point of water. Hutchison argues that al-
though, at first, it seems that false theoretical ideas were instrumental in bringing
about a novel predictive success, there is no “miracle” here. It is argued that the
older Carnot theory and the newer Clausius theory are related in intricate ways,
such that in some respects they differ greatly, while in “certain restricted situations”
their differences are largely insignificant. Thus the realist may find this case useful
in her bid to show how careful we need to be when we draw antirealist morals from
the fact that a significantly false theory enjoyed novel predictive success.
Chapter 5 takes a slightly different approach, moving away from the narrow
case study. Stathis Psillos surveys a broad sweep of history ranging from
4 Contemporary Scientific Realism
Descartes through Newton and Einstein. We have here a “double case study,”
considering the Descartes–Newton relationship and the Newton–Einstein rela-
tionship. Psillos argues against those who see here examples of dramatic theory-
change, instead favoring a limited retentionism consistent with a modest realist
position. Crucially, Psillos argues, there are significant differences between the
Descartes–Newton relationship and the Newton–Einstein relationship, in line
with the restricted and contextual retention of theory predicted by a nuanced,
and epistemically modest, contemporary realist position.
Chapter 6—courtesy of Eric Scerri—introduces another new historical case,
that once again challenges the realist. This time the theory is John Nicholson’s
atomic theory of the early 20th century, which, Scerri argues, “was spectacu-
larly successful in accommodating as well as predicting some spectral lines in
the solar corona and in the nebula in Orion’s Belt.” The theory, however, is very
significantly false; as Scerri puts it, “almost everything that Nicholson proposed
was overturned.” Hence, this case is another useful lesson in the fact that quite
radically false scientific theories can achieve novel predictive success, and any
contemporary realist position needs to be sensitive to that.
Chapter 7 turns to theories of molecular structure at the turn of the 20th
century. Amanda Nichols and Myron Penner show how the “old” Blomstrand-
Jørgensen chain theory was able to correctly predict the number of ions that will
be dissociated when a molecule undergoes a precipitation reaction. While prima
facie a challenge to scientific realism, it is argued that this is a case where the di-
vide et impera strategy succeeds: the success-generating parts of the older theory
are retained within the successor, Werner’s coordination theory.
The final contribution to the “History” part of the volume—Chapter 8—
concerns molecular spectroscopy, focusing on developments in scientific
“knowledge” and understanding throughout the 20th century and right up to
the present day. Teru Miyake and George E. Smith take a different approach from
the kind of historical case study most commonly found in the realism debate.
Siding with van Fraassen on the view that Perrin’s determination of Avogadro’s
number, so commonly emphasized by realists, does not prove fruitful for re-
alism, and focusing on diatomic molecules, they emphasize instead the extraor-
dinary amount of evidence that has accumulated after Perrin and over the past
ninety years for various theoretical claims concerning such molecules. Taking
van Fraassen’s constructive empiricism as a foil, they indicate that, in this case,
so-called realists and antirealists may really differ very little when it comes to this
area of “scientific knowledge.”
The second part of the volume turns to more general issues and philosoph-
ical questions concerning the contemporary scientific realist positions. This
part kicks off in Chapter 9 with Mario Alai’s analysis of the divide et impera
realist strategy: he argues that certain historical cases no longer constitute
History and the Contemporary Scientific Realism Debate 5
The editors of this volume owe a great debt to the participants of all of these
events, with special thanks in particular to those who walked this path with us
a little further to produce the fourteen excellent chapters here presented. We are
also grateful to the unsung heroes, the many anonymous reviewers, who not
only helped us to select just which among the numerous papers submitted would
History and the Contemporary Scientific Realism Debate 7
be included in the volume but also provided thorough feedback to the authors,
helping to make each of the chapters that did make the cut even stronger. The
volume has been a labor of love; we hope that comes across to the reader.
References
Kitcher, P. (1993). The Advancement of Science, Oxford: Oxford University Press.
Laudan, L. (1981). “A Confutation of Convergent Realism.” Philosophy of Science
48: 19–49.
Psillos, S. (1999). Scientific Realism: How Science Tracks Truth, London: Routledge.
Van Fraassen, B. (1980). The Scientific Image, Oxford: Oxford University Press.
Worrall, J. (1989). “Structural Realism: The Best of Both Worlds?” Dialectica 43: 99–124.
PART I
HISTOR IC A L CASE S
F OR T HE DE BAT E
2
Theoretical Continuity, Approximate
Truth, and the Pessimistic Meta-Induction:
Revisiting the Miasma Theory
Dana Tulodziecki
Department of Philosophy
Purdue University
[email protected]
2.1 Introduction
The pessimistic meta-induction (PMI) targets the realist’s claim that a theory’s
(approximate) truth is the best explanation for its success. It attempts to do so
by undercutting the alleged connection between truth and success by arguing
that highly successful, yet wildly false theories are typical of the history of sci-
ence. There have been a number of prominent realist responses to the PMI, most
notably those of Worrall (1989), Kitcher (1993), and Psillos (1999). All of these
responses try to rehabilitate the connection between a theory’s (approximate)
truth and its success by attempting to show that there is some kind of continuity
between earlier and later theories, structural in the case of Worrall and theo-
retical/referential in the cases of Kitcher and Psillos, with other responses being
variations on one of these three basic themes.1
In this paper, I argue that the extant realist responses to the PMI are in-
adequate, since there are cases of theories that were both false and highly
successful (even by the realist’s own, more stringent criteria for success)
but that, nevertheless, do not exhibit any of the continuities that have been
1 It is worth pointing out that this is the case even for the (very) different structural realisms
that abound. In particular, even ontic structural realism, which differs substantially from
Worrall’s epistemic version, shares with Worrall’s approach an emphasis on mathematical con-
tinuities among successor theories (see, for example, Ladyman (1998) and French and Ladyman
(2011)).
Dana Tulodziecki, Theoretical Continuity, Approximate Truth, and the Pessimistic Meta- Induction: Revisiting the
Miasma Theory In: Contemporary Scientific Realism. Edited by: Timothy D. Lyons and Peter Vickers, Oxford University
Press. © Oxford University Press 2021. DOI: 10.1093/oso/9780190946814.003.0002
12 Historical Cases for the Debate
The PMI received its most sophisticated and explicit formulation in Laudan
(1981, 1984). The argument’s main target is the Explanationist Defense of
Realism, according to which the best explanation for the success of science is
the (approximate) truth of our scientific theories (see, for example, Boyd (1981,
1984, 1990)). Anti-realists employ the PMI to undercut this alleged connection
between truth and success by pointing to the (in their view) large number of
scientific theories that were discarded as false, yet regarded as highly successful.
Laudan, for example, provides a list of such theories that includes, among others,
the phlogiston theory of chemistry, the caloric theory of heat, and the theory
of circular inertia (1984: 121). However, since “our own scientific theories are
held to be as much subject to radical conceptual change as past theories” (Hesse
1976: 264), it follows, the anti-realist argues, that the success of our current the-
ories cannot legitimize belief in unobservable entities and mechanisms: just as
Revisiting the Miasma Theory 13
past theories ended up wrong about their postulates, we might well be wrong
about ours.2
Realist responses to the PMI typically come in several stages: first, realists try to
winnow down Laudan’s list by including only those theories that are genuinely suc-
cessful (Psillos 1999: chapter 5). While, according to Laudan, a theory is successful
“as long as it has worked reasonably well, that is, so long as it has functioned in a va-
riety of explanatory contexts, has led to several confirmed predictions, and has been
of broad explanatory scope” (1984: 110), Psillos argues that “the notion of empirical
success should be more rigorous than simply getting the facts right, or telling a story
that fits the facts. For any theory (and for that matter, any wild speculation) can be
made to fit the facts—and hence to be successful—by simply “writing” the right kind
of empirical consequences into it. The notion of empirical success that realists are
happy with is such that it includes the generation of novel predictions which are in
principle testable” (1999: 100). The specific type of novel prediction that Psillos has in
mind is so-called use-novel prediction: “the prediction P of a known fact is use-novel
relative to a theory T, if no information about this phenomenon was used in the con-
struction of the theory which predicted it” (101). Once success is understood in these
more stringent terms, Psillos claims, Laudan’s list is significantly reduced.
With the list so shortened, the next step of the realist maneuver is to argue that
those theories that remain on Laudan’s list ought to be regarded as (approximately)
true, since they don’t, in fact, involve the radical discontinuity with later theories
that Laudan suggests. Rather than being discarded wholesale during theory-change,
it is argued that important elements of discarded theories get retained: according to
Worrall (1989, 1994), theories’ mathematical structures are preserved, according to
Kitcher (1993) and Psillos (1996, 1999), those parts of past theories that were re-
sponsible for their success are. Because these components are preserved in later the-
ories, the argument goes, we ought to regard as approximately true those parts of
our current theories that are essentially involved in generating their successes, since
those are the parts that will carry over to future theories, just as essential elements
from earlier theories were carried over to our own. As I will show in section 2.4,
however, none of these strategies will work for the miasma theory: despite the fact
that the miasma theory made a number of use-novel predictions, and so counts as
genuinely successful by realist standards, none of the elements or structures that
were involved in those successes were retained by its successor.3
2 Laudan’s argument is usually construed as a reductio (see Psillos (1996, 1999)). For some recent
discussions about how to properly interpret the argument, see Lange (2002), Lewis (2001), and Saatsi
(2005).
3 The miasma case is especially significant in view of the markedly different analysis that Saatsi
and Vickers (2011) provide of Kirchhoff ’s theory of diffraction. Saatsi and Vickers diagnose a specific
kind of underdetermination at work in the Kirchhoff case and argue that “it should not be implausible
14 Historical Cases for the Debate
The most sophisticated version of the miasma theory saw its heyday in the
mid-1800s. The situation with respect to the various accounts of disease at that
time was fairly complicated, however, and so it is in some sense misleading to
speak of the miasma theory of disease, since there was a whole cluster of related
views that went under this label, rather than one easily identifiable position
(see, for example, Baldwin (1999), Eyler (2001), Hamlin (2009), Pelling (1978),
and Worboys (2000)). However, since all members of that cluster shared basic
assumptions about the existence and nature of miasma, I will disregard this
complication here, and treat them as one. According to this basic miasma view,
diseases were caused and transmitted by a variety of toxic odors (“miasmas”) that
themselves were the result of rotting organic matter produced by putrefaction or
decomposition. The resulting bad air would then act on individual constitutions
to cause one of several diseases (cholera, yellow fever, typhus, etc.), depending
on a number of more specific factors. Some of these were thought to be extra-
neous, such as weather, climate, and humidity, and would affect the nature of
the miasmas themselves; others were related directly to the potential victims and
thought to render them more or less susceptible to disease, such as their general
constitution, moral sense, age, and so on. Lastly, there were a variety of local
conditions that could exacerbate the course and severity of the disease, such as
overcrowding and bad ventilation.
Although the miasma theory is sometimes contrasted with so- called
“contagionist” views of disease (the view that diseases could be transmitted di-
rectly from individual to individual), this opposition is also misleading, for two
reasons: first, because both contagionists and anti-contagionists subscribed to
the basic miasmatic assumptions just described, with the debate not centering
on the existence or nature of miasmas, but, rather, on whether people them-
selves were capable of producing additional miasma-like effects and through
these “exhalations” directly give the disease to others. Second, although some
diseases were generally accepted as contagious (smallpox, for example), and
some were generally held to be non-contagious (malaria), most diseases (yellow
fever, cholera, typhoid fever, typhus, and so on) fell somewhere in between these
to anyone that given the enormous variation in the nature and methods of scientific theories across
the whole spectrum of ‘successful science’, some domains of enquiry can be more prone to this kind
of underdetermination than others” (44). In fact, they believe that “witnessing Kirchhoff ’s case, there
is every reason to expect that from a realist stance we can grasp the features of physics and mathe-
matics that contribute to such differences” (44). As a result, they take themselves to have “argued for
the prima facie plausibility” of a realist response that focuses on “showing how the field of theorizing
in question is idiosyncratic in relevant respects, so that Kirchhoff ’s curious case remains isolated and
doesn’t provide the anti-realist with grounds for projectable pessimism” (44). The miasma case, how-
ever, is not prone to any of the idiosyncrasies Saatsi and Vickers identify (or any other idiosyncrasies,
as far as I can tell).
Revisiting the Miasma Theory 15
two extremes. Pelling (1978: 9) appropriately terms these diseases the “doubtful
diseases”: instead of being straightforwardly contagionist or anti-contagionist
about them, people espoused so called “contingent contagionism” with respect to
them, holding that they could manifest as either contagious or non-contagious,
depending on the exact circumstances and, sometimes, even transform from one
into the other (see also Hamlin (2009)).
This version of the miasma theory was extremely successful with respect to a
number of different types of phenomena. Most famous are probably the sanitary
successes that it ultimately inspired, but it also managed to provide explanations
of disease phenomena that any theory of disease at the time had to accommo-
date. These included the fact that diseases were known to be highly seasonal, that
particular regions (especially marshy ones) were affected particularly harshly,
that specific locations (prisons, workhouses, etc.) were often known to suffer
worse than their immediate surroundings, that sickness and mortality rates in
urban centers were much worse than those in rural areas, and why particular
geographical regions/countries were struck much worse by disease than others.
The miasma theory managed to explain all of these through its claims that de-
composition and putrefaction of organic material was responsible for producing
miasmas. Diseases peaked when conditions for putrefaction were particularly
favorable: this was the reason why certain diseases were particularly bad during
periods of high temperature and in certain geographical regions (for example,
the many fevers in Africa), why urban centers were much more affected than
rural areas, and why even specific locations in otherwise more or less healthy
areas could be struck (sewage, refuse, and general “filth” would sit around in
badly ventilated areas). It should also be noted that miasma theorists were not
just making vague or simple-minded pronouncements about stenches produ-
cing toxic odors, but embraced very specific and often highly complex accounts
of how various materials and conditions gave rise to miasmas—Farr, for ex-
ample, drew in some detail on Liebig’s chemical explanations (1852, lxxx-lxxxiii;
see also Pelling (1978: chapters 3 and 4) and Tulodziecki (2016)). Moreover,
there were debates about exactly what sorts of materials were prime for potential
miasmas, such as debates about various sources of vegetable vs. animal matter,
and so on. Since, however, I cannot do justice to the details of these accounts and
their corresponding successes here, I will focus on a somewhat simpler, yet par-
ticularly striking, example of use-novel success, while merely noting that others
could be given.
The example in question is that of William Farr’s (then famous) elevation law
(1852). Farr (1807–83), although not himself a physician, was viewed as an au-
thority on infectious diseases in mid-1800s Britain. Among the positions he
held were that of Statistical Superintendent of the General Register Office and
member of the Committee of Scientific Inquiries. Through his various writings,
16 Historical Cases for the Debate
especially those on the various big British cholera epidemics, he established his
credentials as a medical authority.4
As we have seen, according to the miasma theory, any decomposing organic
material could in principle give rise to miasmas. However, it was thought that
the soil at low elevations, especially around riverbanks, was a particularly good
source for producing highly concentrated miasma, since such soil held plenty of
organic material and the conditions for putrefaction were particularly favorable.
It thus followed directly from the miasma theory that, if miasmas were really
produced in the manner described and responsible for disease, the concentra-
tion of noxious odors ought to be higher closer to such sources and dissipate
with increasing distance. Correspondingly, it was to be expected that mortality
and sickness rates would be higher in close proximity to sources of miasma, de-
clining as one moved away. Farr confirmed that this was the case, in a number of
different ways.
First, he found that “nearly 80 percent of the 53,000 registered cholera deaths
in 1849 occurred among four-tenth of the population living on one-seventh of
the land area” (Eyler 1979: 114), and, moreover, that, “cholera was three times
more fatal on the coast than in the interior of the country” (Farr 1852: lii).
Furthermore, he found that those deaths that did occur inland were in either
seaport districts or close to rivers, noting that “[c]holera reigned wherever it
found a dense population on the low alluvial soils of rivers” and that it “was al-
most invariably most fatal in the port or district lying lowest down the river”
(lii). Concerning coastal deaths, he found that the “low-lying towns on the coast
were all attacked by cholera,” while the high-lying coast towns “enjoyed as much
immunity as the inland towns” (liv). Further, he noted that mortality increased
and decreased relative to the size of the port, with smaller ports having lower
mortality. The Welsh town of Merthyr-Tydfil constituted an exception to this,
having a “naturally” favorable location, yet relatively high mortality. However,
Farr also noted that Merthyr-Tydfil had a reputation, with the Health of Towns’
Commissioners’ Report noting that “[f]rom the poorer class of the inhabitants,
who constitute the mass of the population, throwing all slops and refuse into
the nearest open gutter before their houses, from the impeded courses of such
channels, and the scarcity of privies, some parts of town are complete networks of
filth emitting noxious exhalations” (liv). In addition, much of the refuse was being
carried to the local riverbeds, with the result that “the stench is almost intolerable
in many places” (lv). In one area, close to the river, an “open, stinking, and nearly
stagnant gutter, into which the house refuse is as usual flung, moves slowly before
the doors” (lvi).
All of these phenomena were exactly what was to be expected on the mi-
asma theory: wherever there was disease, one ought to be able to trace it back
to miasmatic conditions and, similarly, wherever conditions particularly favor-
able to decomposition were to be found, disease ought to be rampant. If there
were exceptions to the general rule, towns such as Merthyr-Tydfil that were not
naturally vulnerable, one ought to be able to find alternative sources of miasma
without difficulty. Farr also proceeded to check these results against a variety of
data from different countries and concerning different diseases, and further con-
firmed what he had found. Moreover, the miasma theory did not merely accom-
modate these findings but, rather, all of the phenomena followed naturally from
the account.
In addition, while the miasma theory made predictions about what areas
ought to be affected by cholera and to what degrees, for example, none of these
predictions were confirmed until Farr analyzed the data from the General Board
of Health in the late 1840s (indeed, due to the fact that much of this data was not
collected until shortly before that time, it would have been impossible to confirm
these predictions until then). Thus, since it was not even clearly known to what
extent these predictions were borne out, they could not have played a role in
formulating the miasma theory in the first place and, so, ought to count as use-
novel. One might object that, use-novel or not, these predictions were simply too
vague to qualify a theory as genuinely successful in the realist sense. I will note,
however, that (i) the predictions were as specific as a theory of this type would
allow, (ii) the predictions were no more vague than Snow’s later predictions
about what ought to be expected on the (correct) assumption that cholera was
waterborne (see Snow 1855a, 1855b) and, so, if one regards Snow’s predictions as
successful, one ought to also regard the miasmatic predictions as successful, and
(iii) that miasmatists actually did a lot better than this (and, indeed, better than
Snow ever did) by providing some detailed and quantifiable results.
Farr’s elevation law is a particularly striking example of this and it is to this
that I will turn now. Farr’s law related cholera mortality to the elevation of the
soil. However, Farr did not just predict that there ought to be a relationship
between these two variables, but upon analyzing more than 300 pages of data,
he found that the “mortality from cholera is in the inverse ratio of the eleva-
tion” (Farr 1852: lxi). Farr grouped the various London districts by their alti-
tude above the Thames high water mark, in brackets of 20 feet (0–20, 20–40,
and so on) and was able to capture the exact relation between the decline of
cholera and increased soil elevation in the form of an equation. Specifically, he
found that:
The mortality from cholera on the ground under 20 feet high being represented
by 1, the relative mortality in each successive terrace [i.e. the terraces numbered
18 Historical Cases for the Debate
Figure 2.1 Farr, William. (1852). “Report on the Mortality of Cholera in England,
1848–49.” London: Printed by W. Clowes, for H.M.S.O., 1852, p. lxii.
“2,” “3,” etc.] is represented by ½ [for terrace 2], ⅓ [for terrace 3], ¼, ⅕, ⅙: or
the mortality on each successive elevation is ½, ⅔, ¾, ⅘, ⅚, &c. of the mortality
on the terrace immediately below it. (ibid.: lxiii; see Figure 2.1)
He then generalized this result: “Let e be any elevation within the observed
limits 0 and 350, and c be the average rate of mortality from cholera at that eleva-
tion; also let eʹ be any higher elevation, and cʹ the mortality at that higher eleva-
tion” (lxiii). Then, adding a as a constant, Farr found that the formula
c = c′ × (e′ + a)/(e + a)
Figure 2.2 Farr, William. (1852). “Report on the Mortality of Cholera in England,
1848–49.” London: Printed by W. Clowes, for H.M.S.O., 1852, p. lxiii
convincing they must have seemed, Langmuir (1961: 174) plotted Farr’s result
about cholera mortality in the various London subdistricts, grouped by elevation
(Figure 2.3). According to Langmuir, Farr had “found a confirmation that I be-
lieve would be impressive to any scientist at any time” (173).
Even more remarkably, it turned out that Farr’s predictions did not just hold
for the (sub-)districts of London, but were also confirmed by others in different
regions. For example, “William Duncan, Medical Officer of Health for Liverpool,
wrote that when he grouped the districts of his city by elevation as Farr had
done, that cholera mortality in the last epidemic obeyed Farr’s elevation law for
Liverpool as well” (Eyler 1979: 228).
Now, these predictions of Farr’s were certainly use-novel: Farr was predicting
new phenomena that were hitherto unknown and that were later borne out
by a variety of data from different regions, in different contexts, and from dif-
ferent times. Moreover, Farr’s law clearly could not have played a role in the
construction of the miasma theory since, first, it was obviously not even for-
mulated by then, but, second, even the data on which the law was based (the
statistics from the General Register Office, collected on Farr’s initiative) did not
exist and, indeed, in the case of Duncan in Liverpool, no one had even thought
about collecting the relevant information. In short: it followed from Farr’s law
that cholera mortality and soil elevation ought to exhibit a specific relation that
was then found to occur in the various sub-districts of London and various other
parts of the country.
20 Historical Cases for the Debate
Figure 2.3 Correlation of cholera mortality and elevation above the Thames
River, London, 1849. Langmuir, Alexander D. (1961). “Epidemiology of Airborne
Infection.” Bacteriological Reviews, 25(3), p. 174.
6 Doppelt (2007) argues that requiring novel predictions is not sufficient for genuine success; in-
stead, we ought to also look for various explanatory virtues, such as consilience, simplicity, or uni-
fying power. To make a detailed case for this would take us too far afield here, but it can be shown
that the miasma theory also exhibits some of these more traditional virtues. Certainly one might
argue that independent strands of evidence (epidemiological and pathological, for example) pro-
duced a degree of consilience and that the miasma theory unified a number of different phenomena
(regarding the various diseases) in a simple and elegant way by providing essentially the same kind of
explanation for a number of different afflictions.
Revisiting the Miasma Theory 21
7 Vickers’ discussion of possible refinements of the divide et impera move is worth mentioning
here, in particular his suggestion that, instead of the usual focus on working posits “it remains pos-
sible that we might develop a recipe for identifying certain idle posits” (2013: 209). Vickers develops
an account of how this might have gone in the case of Kirchhoff ’s theory of diffraction. However, it
is unclear how to extend Vickers’ conclusions from the Kirchhoff case to the miasma theory, and so
I will not discuss his views in any detail here. Note, however, that Vickers mentions further potential
cases (see also Lyons (2006), especially his discussion of Kepler’s Mysterium Cosmographicum).
22 Historical Cases for the Debate
smells don’t transmit disease—and neither were any of the laws.8 Specifically, not
only is there no analogue of Farr’s law in any of the modern disease theories, but
not even the phenomenon associated with it—the connection between cholera
mortality and soil elevation—was retained.
Incidentally, this last example is also the best bet as a candidate for Worrall’s
structure. Since Worrall emphasizes mathematical components, and there is
virtually no mathematical structure to be had in the miasma theory, the only
candidates for this view were of the kind put forward by Farr. One might object
that there were other kinds of statistics that were retained: claims, for example,
about the peaks, courses, and durations of epidemics. Moreover, these didn’t in-
volve or rely on miasma or its properties, and so one might think that these are
prime candidates for preservation. The problem with these, however, is that while
these are good candidates for preservation they are not good candidates for re-
alism, since they are all observational. True, they don’t depend on any theoretical
components of the miasma theory (or any other disease theory, for that matter),
but they don’t depend on any other theoretical account either. Rather, this is
merely empirical data—a constraint with which any viable theory of disease has
to work. Realists and anti-realists agree on these data sets, and there’s absolutely
no debate here about approximate truth or realism about unobservables—and
realism about observables was never the issue.
So, to sum up: the miasma theory made several use-novel predictions and so
counts as genuinely successful on the realist’s own terms. Further, it does not
exhibit any kind of realist continuity, neither theoretical, nor referential, nor
structural. There are no miasmas, the laws the theory gave rise to have been
abandoned, its mechanisms of transmission turned out not to exist, and the
properties that were ascribed to miasmas are not now ascribed to any of its etio-
logical successors.
2.5 Objections
One objection realists might raise against Farr is that his prediction was not
really use-novel, since it was based on empirical data and hence insufficiently
grounded in theoretical assumptions. Thus, the realist might argue, as Vickers
has done with respect to Meckel, that Farr “really reached his conclusion
not via his (false) theoretical ideas, but rather via his empirical knowledge”
(Vickers 2015).
8 One also cannot make a case for Psillos’s kind- constitutive properties (see Psillos
1999: chapter 12): miasma is akin in this respect to phlogiston, not the luminiferous ether, and an
analogous version of the argument that Psillos makes against phlogiston will also work for miasma.
Another random document with
no related content on Scribd:
XVIII.
RELICS OF THE ARK.
We have already seen that Berosus relates how in his time portions
of the ark were removed, and used as amulets. Josephus says that
remains of the ark were to be seen at his day upon Ararat; and
Nicolas of Damascus reports the same. S. Epiphanius writes: “The
wood of the ark of Noah is shown to this day in the Kardæan (Koord)
country.”[261] And he is followed by a host of fathers. El Macin, in his
History of the Saracens, relates that the Emperor Heraclius visited
the relics after he had conquered the Persians, in the city of Thenia,
at the roots of Ararat. Haithon, the Armenian, declares that upon the
snows of Ararat a black speck is visible at all times: this is Noah’s
ark.[262] Benjamin of Tudela, in his Itinerary, says that all the wood
was carried away by the Caliph Omar, in A.D. 640, and was placed by
him in a temple or mosque he erected in an island formed by the
Tigris. One of the beams is shown in the Lateran at Rome. In 1670,
Johann Jansenius Strauss ascended to a hermit’s cell on the side of
Ararat, to bind up the cœnobite’s leg which was broken. The hermit’s
cell, said Strauss, was five days’ journey up the mountain, athwart
three clouds, and above a region of intolerable cold, in a calm warm
atmosphere. From the account of the hermit, Herr Strauss learnt that
the old man had dwelt there twenty-five years, and that he had felt
there neither rain nor winds. On the top of the mountain, fifteen
Italian miles from the cell, through the clear air, was distinguishable
the great vessel grounded in the snow. The hermit had reached it,
and of one of its planks had cut a cross, which he exhibited to the
German traveller.
In the town of Chenna, in Arabia Felix, says the traveller Prévoux, is
a large building, said to have been erected by Noah; and a large
piece of wood is exhibited through an iron grating, which is said to
have formed a portion of his ark. There is also to be seen at Chenna
a well, said to have been dug by the patriarch Jacob, of which the
water is icy cold.
The Armenians say that a certain monk, Jacob, once ascended
Ararat, and carried off a fragment of the ark, which he made
afterwards into a cross, and this is preserved amongst the sacred
relics of Etchmiadzin. When the Persian king, Abassus the Great,
sent to inquire about the ark, the monks replied that it was in vain for
him to attempt to reach it, on account of the precipices and glaciers,
and innumerable difficulties of the way.[263]
XIX.
CERTAIN DESCENDANTS OF HAM.
“And Eber lived four and thirty years, and begat Peleg.
“And Peleg lived thirty years, and begat Reu. And Reu lived two and
thirty years, and begat Serug. And Serug lived thirty years, and
begat Nahor.”[266]
Serug is said to have discovered the art of coining gold and silver
money. In his days men erected many idols, into which demons
entered and wrought great signs by them. Samiri was king of the
Chaldees, and he discovered weights and measures and how to
weave silk, and also how to dye fabrics. He is related to have had
three eyes and two horns.
At the same time Apiphanus was king of Egypt. He built a ship, and
in it made piratical descents upon the neighbouring people living on
the shores of the Mediterranean Sea. He was succeeded by
Pharaoh, son of Saner, and the kings after him assumed his name
as their title.[267]
Nahor was the son of Serug. In the twenty-fifth year of his life, Job
the Just underwent his trial, according to the opinion of Arudha the
Canaanite. At that time Armun, king of Canaan, built the two cities
Sodom and Gomorrah, and called them after the names of his two
sons; but Zoar he named after his mother. At the same time, Murk or
Murph, king of Palestine, built Damascus.[268]
XXI.
THE PROPHET EBER.
“Unto Shem, the father of all the children of Eber, the brother of
Japheth the elder, even to him were children born.
“The children of Shem;—Elam, and Asshur, and Arphaxad, and Lud,
and Aram.
“And the children of Aram;—Uz, and Hul, and Gether, and Mash.
“And Arphaxad begat Salah; and Salah begat Eber.”[269]
According to some Mussulman writers, Oudh (Lud), the son of
Shem, had a son named Ad; but, according to others, Ad was the
son of Aram, son of Shem.
The tribes of Ad and Thamud lived near one another in the desert of
Hedjaz, in the south of Arabia. The land of the people of Ad was
nearer Mecca than the valley of Hidjr, and the valley of Hidjr is
situated at the extremity of the desert on the road to Syria.
Never in all the world were there such great and mighty men as the
Adites. Each of them was twelve cubits high, and they were so
strong that if any of them stamped on the ground he sank up to his
knees.
The Adites raised great monuments in the land which they inhabited.
Wherever these Cyclopean edifices exist, they are called by the
Arabs the constructions of the Adites.
God ordered the prophet Hud (Eber) to go to the Adites and preach
to them the One true God, and turn them from idolatry. But the
Adites would not hearken to his words, and when he offered them
the promises of God, they said, “What better dwellings can He give
us than those which we have made?” And when he spoke to them of
God’s threatenings, they mocked and said, “Who can resist us who
are so strong?”
For fifty years did the prophet Hud speak to the Adites, and their
reply to his exhortations is preserved in the Koran, “O Hud, you
produce no evidence of what you advance; we will not abandon our
gods because of your preaching. We mistrust your mission. We
believe that one of our gods bears a hatred against you.”
Hud replied, “I take God to witness, and you also be witnesses, that I
am innocent of your polytheism.”[270]
The words of the Adites, “We believe that one of our gods bears a
hatred against thee,” signified that they believed one of their gods
had driven him mad.
During the fifty years that Hud’s mission lasted, the Adites believed
neither in God nor in the prophet, with the exception of a very few,
who believed in secret.
At the end of that time God withheld the rain from heaven, and
afflicted the Adites with drought. All the cattle of Ad died, and the
Adites fainted for lack of water. For three years no rain fell.
Hud said to the Adites, “Believe in God, and He will give you rain.”
They replied, “Thou art mad.” But they chose three men to send to
Mecca with victims; for the infidels believe in the sanctity of Mecca,
though they believe not in the One true God.
But Eber said, “Your sacrifices will be unavailing, unless you first
believe.”
The three deputies started for Mecca with many camels, oxen, and
sheep, as sacrifices. And when they reached Mecca they made
friends with the inhabitants of that city, and were received with
hospitality. They passed their days and nights in eating and drinking
wine, and in their drunkenness they forgot their people, and the
mission on which they had been sent. The inhabitants of Mecca
ordered musicians to sing the afflictions of the Adites, to recall to the
envoys the purpose of their visit. Then Lokman and Morthed, two of
the deputies, declared to Qaïl, the third, that they believed in Allah;
and they added, “If our people had believed the words of the prophet
Hud, they would not have suffered from drought,” and Lokman and
Morthed were not drunk when they said these words.
Qaïl replied, “You do not partake in the affliction of our nation. I will
go myself and will offer the victims.”
He went and led the beasts to the top of a mountain to sacrifice
them, and turning his face to heaven, he said, “O God of heaven,
hearken unto my prayer, and send rain on my poor afflicted people.”
Instantly there appeared three clouds in the blue sky: one was red,
one was black, the third was white; and a voice issued from the
clouds, saying, “Choose which shall descend upon thy people.”
Then Qaïl said within himself, “The white cloud, if it hung all day over
my nation, would not burst in rain; the red cloud, if it hung over them
night and day, would not drop a shower; but the black cloud is heavy
with water.” So he chose the black cloud.
And a voice cried, “It is gone to fall upon thy people.”
Qaïl returned full of joy, thinking he had obtained rain; but that cloud
was big with the judgments of God. Qaïl told what he had done to his
companions, Lokman and Morthed, but they laughed at him.
Now the cloud, when it arrived over the land of Ad, was
accompanied by a wind. And the Adites looked up rejoicing, and
cried, “The rain, the rain is coming!”
Then the cloud gaped, and a dry whirlwind rolled out from it, and
swept up all the cattle that were in the land, and raised them in the
air, spun them about, and dashed them lifeless on the ground.
But the Adites said, “Fear not; first comes wind, then comes rain.”
And they rushed out of their houses into the fields. Hud thought they
were coming forth to ask his assistance; but they sought him not.
Then the whirlwind caught them up and cast them down again. Now
each of these men was like a palm-tree in stature, and they lay
shattered and lifeless on the sand.
Hud was saved, along with those who had believed his word.
Now when the envoys at Mecca heard what had befallen their
people, they went all three to the summit of the mountain, and
Lokman and Morthed said to Qaïl, “Believe.” But he answered,
raising his face and hands to heaven: “O God of heaven, if thou hast
destroyed my people, slay me also.”
Then the whirlwind came, and rushed on him, and caught him up
and cast him down, and he was dead.
But Lokman and Morthed offered their sacrifice, and a voice from
heaven said, “What is your petition?”
Lokman answered: “O Lord, grant me a long life, that I may outlive
seven vultures.” Now a vulture is the longest-lived of all birds; it lives
five hundred years.
And the voice replied, “However long thy life may be, death will close
it.”
Lokman said, “I know; that is true.”
Then his prayer was granted. And Lokman took a young vulture and
fed it for five hundred years, and it died; then he took a second, and
at the expiration of five hundred years it died also; and so on till he
had reached the age of three thousand five hundred years, and then
he died also.
Morthed made his request, and it was, “O Lord, give me wheat
bread,” for hitherto in Ad he had eaten only barley bread. So Allah
gave Morthed so much wheat, that he was able to make bread
thereof all the rest of his life.
Hud lived fifty years with the faithful who had received his doctrine,
and his life in all was one hundred and fifty years. The prophet Saleh
appeared five hundred years after Hud; he was sent to the
Thamudites.[271]
But there is another version of the story given by Weil.
Hud promised Schaddad, king of the Adites, a glorious city in the
heavens, if he would turn to the true God. But the king said, “I need
no other city than that I have built. My palace rests on a thousand
pillars of rubies and emeralds; the streets and walls are of gold, and
pearl, and carbuncle, and topaz; and each pillar in my house is a
hundred ells long.”
Then, at Hud’s word, God let the city and palace of Schaddad fade
away like a dream of the night, and storm and rain descended, and
night fell, and the king was without home in the desert.[272]
Of Lokman we must relate something more. He was a great prophet;
some say he was nephew of Job, whose sister was his mother;
others relate that he was the son of Beor, the son of Nahor, the son
of Terah.
One day, whilst he was reposing in the heat of the day, the angels
entered his room and saluted him, but did not show themselves.
Lokman heard their voices, but saw not their persons. Then the
angels said to him,—
“We are messengers of God, thy Creator and ours; He has sent us
unto thee to announce to thee that thou shalt be a great monarch.”
Lokman replied, “If God desires what you say, His will can
accomplish all things, and doubtless He will give me what is
necessary for executing my duty in that position in which He will
place me. But if He would suffer me to choose a state of life, I should
prefer that in which I now am,”—now Lokman was a slave,—“and
above all would I ask Him to enable me never to offend Him; without
which all earthly grandeur would be to me a burden.”
This reply of Lokman was so pleasing to Allah, that He gave him the
gift of wisdom to such a degree of excellence, that he became
capable of instructing all men; and this he did by means of a great
multitude of maxims, sentences, and parables to the number of ten
thousand, each of which is more valuable than the whole world.[273]
When Lokman did not know anything with which others were
acquainted, he held his tongue, and did not ask questions and thus
divulge his ignorance.
As he lived to a great age, he was alive in the days of King David.
Now David made a coat of mail, and showed it to Lokman. The sage
had seen nothing like it before, and did not know what purpose it
was to serve, but he looked knowing and nodded his head. Presently
David put the armour upon him, and marched, and said, “It is
serviceable in war.” Then Lokman understood its object; so his
mouth became unsealed and he talked about it.
Lokman used to say, “Silence is wisdom, but few practise it.”[274]
Thalebi relates, in his Commentary on the Koran, that Lokman was a
slave, and that having been sent along with other slaves into the
country to gather fruit, his fellow-slaves ate them, and charged
Lokman with having done so. Lokman, to justify himself, said to his
master, “Let every one of us slaves be given warm water to drink,
and you will soon see who has been the thief.”
The expedient succeeded; the slaves who had eaten the fruit
vomited it, and Lokman threw up only warm water.
The same story precisely is told of Æsop.
Lokman is always spoken of as black, with thick lips. He is regarded
by the Arabs much as is Bidpay by the Indians, and Æsop by the
Europeans, as the Father of Fable.
XXII.
THE PROPHET SALEH.
The prophet Saleh was the son of Ad, son of Aram, son of Shem,
and is not to be confused with Saleh, son of Arphaxad.
The Mussulmans say that he was sent to convert the Thamudites.
The Thamudites were in size and strength like their brethren the
Adites, but they inhabited the rocks, which they dug out into
spacious mansions. They had in the midst of their land an unfailing
supply of sweet and limpid water. They were idolaters. Saleh came
armed with the command of Allah to these men, and he preached to
them that they should turn from the worship of stocks and stones to
that of the living God who made them.
Now Saleh had been born among the Thamudites, but he had never
been an idolater. When he was young, the natives of the land had
laughed at him, and said, “He is young and inexperienced; when he
is old, and has grown wiser, he will adore our gods.”
When Saleh grew old, he forbade the Thamudites to worship idols,
and he spoke to them of the true and only God.
But they said, “What miracle can you work, to prove that your
mission is from God?”[275]
Then he said, “Oh, my people, a she-camel that shall come from
God shall be to you for a sign. Let her go and eat on the earth, and
do her no injury, that a terrible retribution fall not upon you.”[276]
Now Saleh had asked them what miracle they desired, and they had
answered, “Bring out of the rock a camel with red hair, and a colt of a
camel also with red hair; let them eat grass, and we will believe.”
Saleh said to them, “What you ask is easy,” and he prayed.
Then the rock groaned and clave asunder, and there came out a
she-camel with her foal, and their hair was red, and they began to
eat grass.
Then the Thamudites exclaimed, “He is a magician!” and they would
not believe in him.
The camel went to the perpetual fountain, and she drank it up, so
that from that day forward from their spring they could get no water,
and they suffered from thirst.
The Thamudites went to Saleh and said, “We need water!”
Saleh replied, “The fountain shall flow one day for you, and one day
for the camel.”
So it was agreed that the camel should drink alternate days with the
people of the land, and that alternate days each should be without
water whilst the other was drinking.
Then Saleh said, for he saw that the people hated the camel and her
foal, “Beware that you slay not these animals, for the day that they
perish, great shall be your punishment.”
The she-camel lived thirty years among the Thamudites, but God
revealed to Saleh that they were bent on slaying the camel, and he
said, “The slayer will be a child with red hair and blue eyes.”
Now the Thamudites ordered ten midwives to attend on the women
in their confinement, and if a child were born with the signs indicated
by the prophet, it was to be destroyed instantly.
Nine children had thus been killed, and the parents conceived a
deadly animosity against Saleh the prophet, and formed a design to
slay him.
One of the chiefs among the Thamudites had a son born to him with
red hair and blue eyes, and the nurses would have destroyed it, but
the nine men spake to the father of the child, and they banded
together, and saved the infant.
Now when this child had attained the age of eleven, he became
great and handsome; and each of the parents whose children had
been put to death, when he saw him, said, “Such an one would have
been my son, had not he been slain at the instigation of Saleh.” And
they combined to put the prophet to death. They said among
themselves, “We will kill him outside the city, and returning, say we
were elsewhere when he was murdered.”
Having formed this project, they left the city and placed themselves
under a rock, awaiting his exit from the gates. But God commanded
the rock, and it fell and crushed them all.
Next day their corpses were recovered, but the Thamudites were
very wroth, and said, “Saleh has slain our children, and now he slays
our men;” and they added, “We will be revenged on his camel.”
But no one could be found to undertake the execution of this deed,
save the red-haired child. He went to the fountain where the camel
was drinking, and with one kick he knocked her over, and with
another kick he despatched her.
But the foal, seeing the fate of her mother, ran away, and the boy
with the red hair and blue eyes ran after her.
Saleh, seeing what had taken place, cried, “The judgment of God is
about to fall.”
The people were frightened, and asked, “What shall we do?”
“The judgment of God will not fall as long as the colt remains among
you.”
Hearing this, the whole population went in pursuit of the young
camel. Now it had fled to the mountain whence it had sprung, and
the red-haired boy was close on its heels. And when the young
camel heard the shouting of the inhabitants of the city, and saw the
multitude in pursuit, it stood before the rock, turned round, uttered
three piercing cries, and vanished.
The Thamudites arrived and beat the rock, but they could not open
it. Then said Saleh, “The judgment of God will fall; prepare to receive
it. The first day your faces will become livid, the second day they will
become black, and the third day red.”
Things happened as Saleh had predicted. And when the signs befel
them which Saleh had foretold, they knew that their end was near.
The first day they became ash pale, the second day coal black, and
the third day red as fire, and then there came a sound from heaven,
and all fell dead on the earth, save Saleh and those who believed in
him; these heard the sound, but did not perish.
By the will of God, when the people were destroyed, one man was
absent at Mecca; the name of this man was Abou-Ghalib. When he
knew what had befallen his nation, he took up his residence in
Mecca; but all the rest perished, as it is written in the Koran, “In the
morning they were found dead in their houses, stretched upon the
ground, as though they had never dwelt there.”
From Saleh to Abraham there was no prophet. At the time of that
patriarch there was no king over all the earth. The sovereignty had
passed to Canaan, the son of Cush, the son of Ham, who was the
son of Noah.[277]
The camel of the prophet Saleh was placed by Mohammed in the
heavens, together with the ass of Balaam, and other favoured
animals.
Now wonderful as is this story, it is surpassed by that related by
certain Arabic historians of the mission of Saleh. This we proceed to
give.
Djundu Ibn Omar was king of the Thamudites, a people numbering
seventy thousand fighting men. He had a palace cut out of the face
of a rock, and his high priest, Kanuch Ibn Abid, had one likewise.
The most magnificent building in the city was a temple which
contained the idol worshipped by the people. This idol had the head
of a man, the neck of a bull, the body of a lion, and the feet of a
horse. It was fashioned out of pure gold, and was studded with
jewels.
One day, as Kanuch, the high priest, was worshipping in the temple,
he fell asleep, and heard a voice cry, “The truth will appear, and the
madness will pass away.” He started to his feet in alarm, and saw
the idol prostrate on the floor, and its crown had fallen from its head.
Kanuch cried out for assistance, and fled to the king, who sent men
to set up the image, and replace on its head the crown that had
fallen from it.
But doubt took possession of the heart of Kanuch; he no longer
addressed the image in prayer, and his enthusiasm was at an end.
The king observed this, and sent two vizirs with orders to imprison
and execute him. But Allah struck the vizirs with blindness, and he
sent two angels to transport Kanuch to a well-shaded grotto, well
supplied with all that could content the heart of man.
As Kanuch was nowhere to be found, the king appointed his
kinsman Davud to be high priest. But on the third day he came to the
king to announce to him that the idol was again prostrate.
The monarch set it up once more, and Eblis, entering the image,
spoke through its mouth, exhorting all men to beware of novel
doctrines which were about to be introduced.
Next feast-day Davud was about to sacrifice two oxen to the idol,
when one of them opened its mouth, and thus addressed him:—
“Will you sacrifice creatures endued with life by the living God to a
mass of lifeless metal? O God, do Thou destroy this sinful nation!”
And the oxen broke their halters, and ran away.
Horsemen were deputed to pursue and capture them, but they
escaped, for Allah screened them.
But God in His mercy resolved to give the Thamudites another
chance of repenting of their idolatry.
Raghwah, Kanuch’s wife, had shed incessant tears since the
disappearance of her husband. Allah dispatched a bird out of
Paradise to guide her to the grotto of Kanuch.
This bird was a raven; its head was white as snow, its back was
green as emerald. Its feet were purple; its beak of heaven’s blue. Its
eyes were gems; only its body was black, for this bird did not fall
under the curse of Noah, as it was in Paradise.
It was midnight when the raven entered Raghwah’s dark chamber,
where she lay weeping on a carpet; but the glory of its eyes illumined
the whole room, as though the sun had suddenly flashed into it.
Raghwah rose from her place, and gazed in wonder on the lovely
bird, which opened its beak and said, “Arise and follow me! God has
seen thy tears, and will reunite thee to thy husband.”
Raghwah followed the raven, which flew before her, and with the
light of its eyes turned the night into day. The morning star had not
risen, when they stood before Kanuch’s grot. Then cried the raven,
“Kanuch, open to thy wife!” and so vanished.
Nine months after that Raghwah had rejoined her husband, she bore
him a son, who was the image of Seth, and had on his brow the
prophetic light; and Kanuch, in the hope of drawing him to the
knowledge of the true God and to a pious life, gave him the name of
Saleh (The Blessed).
Not long after Saleh’s birth, Kanuch died; and the raven of Paradise
returned to the grotto to lead back Saleh to his own people.
Saleh grew in beauty and strength, to the admiration of his mother
and all who saw him.
A war was being waged between the descendants of Ham and the
Thamudites, and the latter had lost many battles and a large portion
of their army, when Saleh suddenly appeared in the battle-field at the
head of a few friends, and, by his personal heroism, turned the tide
of victory, and routed the enemy.
This success drew upon him the gratitude and love of the people, but
the envy of the king was kindled, and he sought the life of the young
prophet. But as often as assassins were sent by the king to take his
life, their arms shrivelled up, and were only restored at the
intercession of Saleh. These circumstances tended to increase and
confirm the number of his adherents, so that he was able to build a
mosque, and occupy with worshippers of the true God one whole
quarter of the city.
But one day the king surrounded the mosque with his troops, and
threatened Saleh and his followers with death if they would not work
a miracle to prove their worship to be the true one.
Saleh prayed, and instantly the leaves of the date-tree that stood
before the mosque were transformed into serpents and scorpions,
which fell over the king and his soldiers; whilst two doves, which
dwelt on the terrace of the mosque, sang aloud, “Believe in Saleh,
he is a prophet and messenger of God!”
But Saleh was moved with compassion when he saw the anguish of
those who had been bitten by the scorpions and vipers, and he
prayed to God, and the noxious reptiles were transformed back
again into date-leaves, and those who had been stung were made
whole. Nevertheless the king hardened his heart, and continued to
worship false gods.
When Saleh saw the impenitence of the Thamudites, he besought
God to destroy them; but an angel appeared to him in a cave, and
sent him to sleep for twenty years.
When he woke he betook himself towards the mosque he had built,
never doubting that he had slept but a single night. The mosque was
gone, his friends and adherents were dead or dispersed, a few
remained, but they were old, and he hardly recognized them. Falling
into despair, the angel Gabriel came to him and said,—
“Thou wert hasty in desiring the destruction of this people, therefore
God hath withdrawn from thy life twenty years, which He has taken
from thee in sleep. Now He sends thee precious relics wherewith to
establish thy mission, to wit, Adam’s shirt, Abel’s sandals, Seth’s
overcoat, Enoch’s seal ring, Noah’s sword, and Hud’s staff.”
Next day, as the king Djundu with his brother Schihab, and the
priests and the princes of the people, formed a procession to an idol
temple near the town, Saleh ran before the procession, entered the
temple, and stood in the door.
“Who art thou?” asked the king in astonishment: for he did not
recognize Saleh, so greatly had God changed him in his sleep of
twenty years.
He answered: “I am Saleh, the messenger of the only God, who
preached to you twenty years ago, and showed to you many signs