In this paper, I argue that there are good motivations for a relativist account of the domain-sensitivity of quantifier phrases. I will frame the problem as a puzzle involving what looks like a logically valid inference, yet one whose premises are true while the conclusion is false. After discussing some existing accounts, literalist and contextualist, I will present and argue for an account that may be said to be relativist in the following sense: (i) a domain of quantification is required (...) for determining truth value, but is idle in determining semantic content, and (ii) the same sentence, as used on one and the same occasion, may receive different truth values relative to different domains. (shrink)
ABSTRACT: When we describe an event as sad or happy, we attribute to it a certain emotional value. Attributions of emotional value depend essentially on an agent (and on his or her emotional responses); and yet, people readily disagree over such values. My aim in this paper is to explain what happens in the case of , and, more generally, to provide some insight into the semantics of value-attributions.
It has been long known (Perry in Philos Rev 86: 474–497, 1977 ; Noûs 13: 3–21, 1979 , Lewis in Philos Rev 88: 513–543 1981 ) that de se attitudes, such as beliefs and desires that one has about oneself , call for a special treatment in theories of attitudinal content. The aim of this paper is to raise similar concerns for theories of asserted content. The received view, inherited from Kaplan ( 1989 ), has it that if Alma says (...) “I am hungry,” the asserted content, or what is said , is the proposition that Alma is hungry (at a given time). I argue that the received view has difficulties handling de se assertion, i.e., contents that one expresses using the first person pronoun, to assert something about oneself. I start from the observation that when two speakers say “I am hungry,” one may truly report them as having said the same thing. It has often been held that the possibility of such reports comes from the fact that the two speakers are, after all, uttering the same words, and are in this sense “saying the same thing”. I argue that this approach fails, and that it is neither necessary nor sufficient to use the same words, or words endowed with the same meaning, in order to be truly reported as same-saying. I also argue that reports of same-saying in the case of de se assertion differ significantly from such reports in the case of two speakers merely implicating the same thing. (shrink)
In this paper, I take issue with the proposal put forward by Mark Richard in When Truth Gives Out (2008) concerning disputes over issues such as who is rich, what is cool, and other issues of similar ilk. Richard holds that the parties in the dispute can truly disagree on whether a given person is rich, but can be both right, if we assume that they have different standards of wealth,. Disputes over what is cool are, according to Richard, trickier, (...) since they can give rise to cases of faultless disagreement in which the two parties disagree, and neither party is wrong, but neither party is right either! My first goal in this paper will be to show that the distinction between the two types of disagreement, as drawn by Richard, is not well motivated. I will also argue that if he were right about the stronger case (disagreement in which both parties are right), his own account would fail to capture it. He can capture either the idea that they truly disagree, or the idea that they are both right; but he cannot both have his cake and eat it, too. My second goal will be to bring to the foreground some constructive aspects of Richard's proposal, and in particular the idea that such disagreements involve concepts whose application is not fully determined and whose usage is open to accommodation and negotiation (to use Lewis's terms, as used by Richard). If we accept that on some occasions, whether a concept applies to a given instance or doesn't is not yet settled, then arguably there are cases in which neither party is wrong – at least at the time of the dispute. I argue that their disagreement can be genuine only to the extent that it will eventually be settled whether the concept is to apply to a given instance or not, hence the way in which the concept gets shaped up and extended through its future uses makes it possible to determine, retrospectively, which of the two parties got it right. If this is correct, then the putative cases of faultless disagreement really turn upon the openness of the future: what makes them “faultless” is, simply, that there isn't any matter of fact yet whether the one or the other party is right. (shrink)
Many authors have argued that we should make a clear conceptual distinction between mononational and multinational states. Yet the number of empirical examples they refer to is rather limited. France or Germany are usually seen as mononational, whereas Belgium, Canada, Spain and the UK are considered multinational. How should we classify other cases? Here we can distinguish between (at least) two approaches in the literature: statistical (i.e., whether significant national minorities live within a larger state and, especially, whether they claim (...) self-government) and subjective (i.e., when citizens feel allegiance to sub-state national identities). Neither of them, however, helps us to resolve the problem. Is Italy multinational (because it contains a German-speaking minority)? Is Germany really mononational (in spite of the official recognition of the Danes and the Sorbs in some Länder)? On the other hand, is Switzerland the “most multinational country” (Kymlicka)? Let us assume that there is no definite answer to this dilemma and that it is all a matter of degree. There are probably few (if any) clearly mononational states and few (if any) clearly multinational states. Should we abandon this distinction in favour of other concepts like “plurinationalism” (Keating), “nations-within-nations” (Miller), “postnational state” (Abizadeh, Habermas), or “post-sovereign state” (MacCormick)? The article discusses these issues and, in conclusion, addresses the problem of stability and shared identity “plural” societies. (shrink)
This article argues the main following points. (1) Communism was fatefully dependent upon the action or inaction of its top leaders because of the vulnerability of the hyper-centralized power and hyper-centralized defense of the ruling class and the ruling party. No one was really able to seriously predict the historical contingencies such as Gorbachev and Yeltsin that played a decisive role. The most that social scientists and analysts could safely claim was that communism had become unsuccessful and problematical to such (...) an extent that force alone could maintain it. However, given the overall history of communism, who could have anticipated that such force would not be used. (2) The United States is toiling now in an overwhelmingly difficult and dangerous transition, not only from a ‘superpower’ to ‘merely’ a big power, but from a totalistic and laissez-faire capitalism to a limited and state-regulated capitalism. It is the most efficacious way of production and primary distribution. However, unless capitalism, national and global, becomes regulated and combined with some kind of socialism (solidarism) that is yet to be established, global crises will keep recurring. The best chance for enlightened socialist (solidaristic) humanism lies in secondary distribution based on equality and justice as its fundamental principles. (3) The very term ‘superpower’ suggests a kind of superhuman, almost divine power. The United States does not have such power because (among other things) apocalyptic weapons are at the disposal of some considerably weaker states (in every other respect). (4) The possibility of the self-destruction of humankind has become the over-determination of all other over-determinations in history. It follows that auto-apocalypse must be separated from the categorical and epochal dichotomy between modernity/ modernism and postmodernity/postmodernism and given an absolute priority, both theoretical and practical. This break should be characterized as post-postmodernity and reflection upon it as post-postmodernism. We are in vital need of a total anti-apocalyptic turnaround in overall thought, sensitivity, activity and organization. Unfortunately, it can now safely be predicted that more and more states and societies, even those founded on (internal) freedoms and desirous to maintain them, will become transformed into states and societies focused on the struggle for survival in the face of auto-apocalyptic threats. I believe that confronted more and more with such threats liberalism will actually, and later probably also explicitly, yield the place of the fundamental operative (unlike declarative) view of the world, ideology, imagology, and principle of social organization — to humankind existentialism. We have entered an existentialist ‘end of history’ instead of the proclaimed liberalistic ‘end of history’. (shrink)
The goal of this paper is to propose an account of the notion of semantic content. I will try to show that my account has some advantages over the existing accounts, and that, at the same time, it captures the most valuable insights behind both parties involved in the contextualism-minimalism debate. The proposed account of semantic content differs from the more traditional ones in that it puts more burden on the parameters of the point of evaluation, leaving very little in (...) the content itself. In particular, even in the case of indexical and demonstrative pronouns, the semantic content is, I suggest, stable across contexts, and does not include the reference of the pronoun. In a nutshell, the semantic content associated with (an utterance of) a sentence that contains one or more pronouns is a function that asks not only for a world and a time of evaluation, but also one or more individuals, before it can return a truth value. (shrink)
It has been long known (Perry (1977, 1979), Lewis (1981)) that de se attitudes, such as beliefs and desires that one has about oneself, call for a special treatment in theories of attitudinal content. The aim of this paper is to raise similar concerns for theories of asserted content. The received view, inherited from Kaplan (1989), has it that if Alma says "I am hungry," the asserted content, or what is said, is the proposition that Alma is hungry (at a (...) given time). I argue that the received view has difficulties handing de se assertion, i.e. contents that one expresses using the first person pronoun, to assert something about oneself. I start from the observation that when two speakers say "I am hungry," one may truly report them as having said the same thing. It has often been held that the possibility of such reports comes from the fact that the two speakers are, after all, uttering the same words, and are in this sense "saying the same thing". I argue that this approach fails, and that it is neither necessary nor sufficient to use the same words, or words endowed with the same meaning, in order to be truly reported as same-saying. I also argue that reports of same-saying in the case of de se assertion differ significantly from such reports in the case of two speakers merely implicating the same thing. Finally, I outline a new account of the content of assertion, similar to Lewis's account of de se attitudes. The proposal is, roughly, when Alma says "I am hungry", the asserted content just the property of being hungry, and it is a property that Alma asserts of herself. I then propose to generalize the account to the other cases in a way that departs from Lewis's account, and I close by showing how my proposal handles the cases discussed in the first part of the paper. (shrink)
In recent years, a number of new trends have seen light at the intersection of semantics and philosophy of language. They are meant to address puzzles raised by the context-sensitivity of a variety of natural language constructions, such as knowledge ascriptions, belief reports, epistemic modals, indicative conditionals, quantifier phrases, gradable adjectives, temporal constructions, vague predicates, moral predicates, predicates of personal taste. A diversity of labels have consequently emerged, such as 'contextualism', 'indexicalism', 'invariantism', 'literalism', 'minimalism', and 'relativism', variously qualified. The goal (...) of this essay is to pinpoint the issues that lie at the heart of the recent debates, clarify what is at stake, and provide a snapshot of the current theoretical landscape. (shrink)
In this paper, I take issue with an idea that has emerged from recent relativist proposals, and, in particular, from Lasersohn (Linguistics and Philosophy 28: 643–686, 2005), according to which the correct semantics for taste predicates must use contents that are functions of a judge parameter (in addition to a possible world parameter) rather than implicit arguments lexically associated with such predicates. I argue that the relativist account and the contextualist implicit argument-account are, from the viewpoint of semantics, not much (...) more than notational variants of one another. In other words, given any sentence containing a taste predicate, and given any assignment of values to the relevant parameters, the two accounts predict the same truth value and are, in that sense, equivalent. I also look at possible reasons for preferring one account over the other. The phenomenon of “faultless disagreement” (cf. Kölbel, Truth without objectivity, 2002) is often believed to be one such reason. I argue, against Kölbel and Lasersohn, that disagreement is never faultless: either the two parties genuinely disagree, hence if the one is right then the other is wrong, or the two parties are both right, but their apparent disagreement boils down to a misunderstanding. What is more, even if there were faultless disagreement, I argue that relativism would fail to account for it. The upshot of my paper, then, is to show that there is not much disagreement between a contextualist account that models the judge parameter as an implicit argument to the taste predicate, and a relativist account that models it as a parameter of the circumstances of evaluation. The choice between the two accounts, at least when talking about taste, is thus, to a large extent, a matter of taste. (shrink)
Since Saul Kripke’s Naming and Necessity, the view that there are contingent apriori truths has been surprisingly widespread. In this paper, I argue against that view. My first point is that in general, occurrences of predicates “a priori” and “contingent” are implicitly relativized to some circumstance, involving an agent, a time, a location. My second point is that apriority and necessity coineide when relativized to the same circumstance. That is to say, what is known apriori (by an agent in a (...) circumstance) cannot fail to be the case (in the same circumstance), hence it is necessary. (shrink)