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The transformations of Vaisravana :the cult of Vaisravana in Khotan and medieval China / 毗沙門天的演變 : 于闐和中國中世紀時期的毗沙門天信仰Wang, Yuan Tian January 2012 (has links)
University of Macau / Faculty of Social Sciences and Humanities / Department of History
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A comparative study on suffering in Augustine and Aśvaghoşa through Gate Control Theory /Kim, Jangsaeng. January 2006 (has links)
Thesis (doctoral)--University of Frankfurt am Main, 2006. / Includes bibliographical references (p. 227-241).
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Defining wisdom : Ratnākaraśānti's SāratamāSeton, Gregory Max January 2015 (has links)
This thesis examines Ratnakarasanti's (ca. 970-1045 C.E.) explication of Prajnaparamita in his doxographical works and his Saratama. Based on extant Sanskrit and Tibetan primary sources, it argues that Ratnakarasanti's main teacher was Dharmakirtisri (late 10th C.E.) and that Ratnakarasanti's Saratama sought to replace his teacher's Yogacara-Madhyamika framework with a causal explanation of Prajnaparamita through redefining the term Prajnaparamita as the path to awakening, rather than its goal. By unpacking that causal explanation in light of his broader system, the thesis demonstrates the way that Ratnakarasanti's own version of Nirakaravadin-Yogacara-Madhyamika refutes cognitive images (akara) as unreal ultimately, but claims they are still perceived by buddhas out of compassion. This conclusion debunks the long-standing theory that Ratnakarasanti was an Indian proponent of the controversial Tibetan gZhan-stong despite later gZhan-stong propon-ents' attempts to claim him as their own. There are two parts to the study. The first part introduces Ratnakarasanti's life, philosophy and doxography based upon evidence from a Tibetan colophon to his Madhyamika commentary and the Tibetan hagiography of his student Adhisa (a.k.a. Atisa) and upon a comparative analysis of his doxographical works that are prerequisites for reading his Saratama. The second part consists of an annotated translation of the Saratama's introductory section, contrasted with the prior standard interpretation by Haribhadra's (9th century C.E.). In the two appendices are included a Tibetan critical edition and a separate hybrid Sanskrit and Tibetan critical edition of the Saratama's first parivarta based on the extant 11th and 13th century incomplete MSS and on the Tibetan translations in the sDe dge, Peking and sNarthang editions. The hybrid edition also includes my provisional critical edition of the root text - i.e. the first parivarta of the Aryasta - sahasrikaprajnaparamitasutra - and my own translation of two small sample sections of the Saratama, which are extant only in Tibetan, back into Sanskrit.
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Religious Routes to Conflict Mitigation: Three Papers on Buddhism, Nationalism, and ViolenceDorjee, Tenzin January 2024 (has links)
The notion that religion intensifies nationalism and escalates conflict is widely accepted. In spite of its frequent association with violence, however, religious doctrines and institutions sometimes appear to have the radical power to deescalate conflict and reroute the expression of political grievances away from bloodshed. How, and under what conditions, might religion lend itself to the mitigation of ethnic conflict? Focusing on Buddhist nationalisms in East Asia and Southeast Asia, the three papers in this dissertation study the influence of religious beliefs on political attitudes and conflict behavior at various levels of analysis.
Using ethnographic approaches, case study methods, and original field data collected from nearly a hundred interviews among Tibetan subjects in India and Sinhalese monastics in Sri Lanka, these essays seek to deepen the nuances and complexity in our understanding of the relationship between Buddhism, nationalism, and violence.Paper #1 studies the relationship between Buddhism and suicide protest, focusing on the puzzle of self-immolation: Why do high-commitment protesters in some conflicts choose this method over conventional tactics of nonviolent resistance or suicide terrorism? Taking the wave of Tibetan self-immolations between 2009 and 2018 as a case study, this paper probes the causal importance of strategic considerations, structural constraints, and normative restraints that may have influenced the protesters’ choice of method. I develop a theoretical framework proposing that suicide protesters evaluate potential tactics based on three criteria: disruptive capability, operational feasibility, and ethical permissibility. Leveraging in-depth interviews and a close reading of the self-immolators’ last words, I conclude that the Buddhist clergy’s broad conception of violence, interacting with international norms, constrains the protesters’ tactical latitude by narrowing the parameters of what qualifies as nonviolent action, thereby eliminating many of the standard repertoires of contention from the movement’s arsenal while sanctioning self-immolation as a legitimate form of dissent. I argue that a fundamental paradox in the self-immolators’ theory of change, namely the tension between a tactic’s disruptive capability and ethical permissibility, ends up restricting their freedom of action.
Paper #2 zooms out to examine the relationship between religion, nationalism, and violence. It starts with a broad question: How, and under what conditions, might religion lend itself to the mitigation –– or the escalation –– of ethnonational conflict? To what extent do religious ideas travel from scripture to political preferences and conflict behavior? I develop two hypotheses predicting the influence of scriptural ideas on nationalist commitment and suggestibility to violence –– devoting special attention to how a group’s conception of its own national interest might be affected when the religious identity of its members supersedes their political identity. The paper finds that the Buddhist belief in rebirth can undermine the strength of one’s nationalist commitment by injecting a dose of ambiguity into one’s conception of identity. This suggests that a religious belief such as rebirth can be mobilized to deescalate ethnonational conflict by highlighting the fluidity of ethnic identity and thus lowering the stakes of conflict. Moreover, it also finds that Mahayana Buddhism’s emphasis on altruism, while rooted in compassion toward others, can end up increasing an individual’s suggestibility to violence and therefore should not be assumed to be a pacifying force in conflict. Mahayana doctrines, though built on more inclusivist founding principles than the Theravada tradition and therefore more resistant to exclusivist ideologies like nationalism, are nevertheless susceptible to utilitarian reasoning and lend themselves readily to the justification of violence. In our interviews, Tibetan monastics, educated under a uniform Mahayana curriculum, turned out to be far more suggestible to violence than their Theravada counterparts in Sri Lanka, an observation that supports our counterintuitive hypothesis linking an altruism-oriented curriculum with suggestibility to violence.
Paper #3 takes a historical case study approach to examine how Buddhist religious ideas may have, in interaction with liberal international norms, influenced the Tibetan leadership’s de-escalation politics in the Sino-Tibetan conflict. While paper #2 of this dissertation explored Buddhism’s relationship with nationalism and violence at the level of rank-and-file citizens, this paper shifts the focus from group-level preferences to elite-level decision-making. It relies on document analysis and process tracing methods to answer a particular historical question: How did the independence-seeking Tibetan nationalist leadership of the 1960s evolve into compromise-seeking pacifists in the 1980s and subsequent decades?
I seek to illuminate the pathways by which religious beliefs and charismatic leadership structure, in interaction with the normative constraints of liberal internationalism, may have facilitated the Tibetan leadership’s de-escalation politics in the Sino-Tibetan conflict. To do so, I leverage counterfactual history (Belkin & Tetlock, 1996), biographical data of key leaders (Creswell, 1998), and document analysis of their speeches and writings –– including a close examination of the Dalai Lama’s annual March 10 speeches from 1960 to 2011. While the other two papers explore the multifaceted relationship between Buddhism, nationalism, and violence by studying the political attitudes and conflict behavior of ordinary people and rank-and-file monastics, this paper delves into the political and psychological evolution of two Tibetan leaders, the Dalai Lama and former Tibetan prime minister Samdhong Rinpoche, to examine the ways in which private religious beliefs can interact with global norms to guide and constrain the high-level foreign policy decision-making of political elites.
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Action in Chronic Fatigue Syndrome: an Enactive Psycho-phenomenological and Semiotic Analysis of Thirty New Zealand Women's Experiences of Suffering and RecoveryHart, M J Alexandra January 2010 (has links)
This research into Chronic Fatigue Syndrome (CFS) presents the results of 60 first-person psycho-phenomenological interviews with 30 New Zealand women. The participants were recruited from the Canterbury and Wellington regions, 10 had recovered. Taking a non-dual, non-reductive embodied approach, the phenomenological data was analysed semiotically, using a graph-theoretical cluster analysis to elucidate the large number of resulting categories, and interpreted through the enactive approach to cognitive science.
The initial result of the analysis is a comprehensive exploration of the experience of CFS which develops subject-specific categories of experience and explores the relation of the illness to universal categories of experience, including self, ‘energy’, action, and being-able-to-do.
Transformations of the self surrounding being-able-to-do and not-being-able-to-do were shown to elucidate the illness process.
It is proposed that the concept ‘energy’ in the participants’ discourse is equivalent to the Mahayana Buddhist concept of ‘contact’. This characterises CFS as a breakdown of contact. Narrative content from the recovered interviewees reflects a reestablishment of contact.
The hypothesis that CFS is a disorder of action is investigated in detail.
A general model for the phenomenology and functional architecture of action is proposed. This model is a recursive loop involving felt meaning, contact, action, and perception and appears to be phenomenologically supported.
It is proposed that the CFS illness process is a dynamical decompensation of the subject’s action loop caused by a breakdown in the process of contact.
On this basis, a new interpretation of neurological findings in relation to CFS becomes possible. A neurological phenomenon that correlates with the illness and involves a brain region that has a similar structure to the action model’s recursive loop is identified in previous research results and compared with the action model and the results of this research. This correspondence may identify the brain regions involved in the illness process, which may provide an objective diagnostic test for the condition and approaches to treatment.
The implications of this model for cognitive science and CFS should be investigated through neurophenomenological research since the model stands to shed considerable light on the nature of consciousness, contact and agency.
Phenomenologically based treatments are proposed, along with suggestions for future research on CFS. The research may clarify the diagnostic criteria for CFS and guide management and treatment programmes, particularly multidimensional and interdisciplinary approaches.
Category theory is proposed as a foundation for a mathematisation of phenomenology.
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