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A scholar of law and religion uncovers a surprising origin story
behind the idea of the separation of powers. The separation of
powers is a bedrock of modern constitutionalism, but striking
antecedents were developed centuries earlier, by Jewish scholars
and rabbis of antiquity. Attending carefully to their seminal works
and the historical milieu, David Flatto shows how a foundation of
democratic rule was contemplated and justified long before liberal
democracy was born. During the formative Second Temple and early
rabbinic eras (the fourth century BCE to the third century CE),
Jewish thinkers had to confront the nature of legal authority from
the standpoint of the disempowered. Jews struggled against the idea
that a legal authority stemming from God could reside in the hands
of an imperious ruler (even a hypothetical Judaic monarch). Instead
scholars and rabbis argued that such authority lay with independent
courts and the law itself. Over time, they proposed various
permutations of this ideal. Many of these envisioned distinct
juridical and political powers, with a supreme law demarcating the
respective jurisdictions of each sphere. Flatto explores key Second
Temple and rabbinic writings—the Qumran scrolls; the philosophy
and history of Philo and Josephus; the Mishnah, Tosefta, Midrash,
and Talmud—to uncover these transformative notions of governance.
The Crown and the Courts argues that by proclaiming the supremacy
of law in the absence of power, postbiblical thinkers emphasized
the centrality of law in the people’s covenant with God, helping
to revitalize Jewish life and establish allegiance to legal order.
These scholars proved not only creative but also prescient. Their
profound ideas about the autonomy of law reverberate to this day.
Volume 22 of The Jewish Law Annual adds to the growing list of
articles on Jewish law that have been published in volumes 1–21
of this series, providing English-speaking readers with scholarly
articles presenting jurisprudential, historical, textual and
comparative analysis of issues in Jewish law. This volume features
articles on rabbinic criminal law, tort law, jurisprudence, and
judicial practice.
The conventional approach to law and religion assumes that these
are competing domains, which raises questions about the freedom of,
and from, religion; alternate commitments of religion and human
rights; and respective jurisdictions of civil and religious courts.
This volume moves beyond this competitive paradigm to consider law
and religion as overlapping and interrelated frameworks that
structure the social order, arguing that law and religion share
similar properties and have a symbiotic relationship. Moreover,
many legal systems exhibit religious characteristics, informing
their notions of authority, precedent, rituals and canonical texts,
and most religions invoke legal concepts or terminology. The
contributors address this blurring of law and religion in the
contexts of political theology, secularism, church-state conflicts,
and the foundational idea of divine law. This title is also
available as Open Access on Cambridge Core.
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