United Kingdom of Great Britain and Northern
Ireland
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British Empire
Overview
historical state, United Kingdom
Worldwide system of dependencies—colonies, protectorates, and
other territories—that over a span of three centuries came under
the British government.
Territorial acquisition began in the early 17th century with
a group of settlements in North America and West Indian, South
Asian, and African trading posts founded by private individuals
and trading companies. In the 18th century the British took
Gibraltar, established colonies along the Atlantic seacoast of
North America and in the Caribbean Sea, and began to add
territory in India. With its victory in the French and Indian
War (1763), the empire secured Canada and the eastern
Mississippi Valley and gained supremacy in India. From the late
18th century it began to build power in Malaya and acquired the
Cape of Good Hope, Ceylon (see Sri Lanka), and Malta. The
British settled Australia in 1788 and subsequently New Zealand.
Aden was secured in 1839, and Hong Kong in 1841. Britain went on
to control the Suez Canal (1875–1956). In the 19th-century
European partition of Africa, Britain acquired Nigeria, Egypt,
the territories that would become British East Africa, and part
of what would become the Union (later Republic) of South Africa.
After World War I, Britain secured mandates to German East
Africa, part of the Cameroons, part of Togo, German South-West
Africa, Mesopotamia, Palestine, and part of the German Pacific
islands. Britain gradually evolved a system of self-government
for some colonies after the U.S. gained independence, as set
forth in Lord Durham’s report of 1839. Dominion status was given
to Canada (1867), Australia (1901), New Zealand (1907), the
Union of South Africa (1910), and the Irish Free State (1921).
Britain declared war on Germany in 1914 on behalf of the entire
empire; after World War I the dominions signed the peace
treaties themselves and joined the League of Nations as
independent states. In 1931 the Statute of Westminster
recognized them as independent countries “within the British
Empire,” referring to the “British Commonwealth of Nations,” and
from 1949, the Commonwealth of Nations. The British Empire,
therefore, developed into the Commonwealth in the mid-20th
century, as former British dependencies obtained sovereignty but
retained ties to the United Kingdom.
Main
historical state, United Kingdom
a worldwide system of dependencies—colonies, protectorates,
and other territories—that over a span of some three centuries
was brought under the sovereignty of the crown of Great Britain
and the administration of the British government. The policy of
granting or recognizing significant degrees of self-government
by dependencies, which was favoured by the far-flung nature of
the empire, led to the development by the 20th century of the
notion of a “British Commonwealth,” comprising largely
self-governing dependencies that acknowledged an increasingly
symbolic British sovereignty. The term was embodied in statute
in 1931. Today the Commonwealth includes former elements of the
British Empire in a free association of sovereign states.
Origins of the British Empire
Great Britain made its first tentative efforts to
establish overseas settlements in the 16th century. Maritime
expansion, driven by commercial ambitions and by competition
with France, accelerated in the 17th century and resulted in the
establishment of settlements in North America and the West
Indies. By 1670 there were British American colonies in New
England, Virginia, and Maryland and settlements in the Bermudas,
Honduras, Antigua, Barbados, and Nova Scotia. Jamaica was
obtained by conquest in 1655, and the Hudson’s Bay Company
established itself in what became northwestern Canada from the
1670s on. The East India Company began establishing trading
posts in India in 1600, and the Straits Settlements (Penang,
Singapore, Malacca, and Labuan) became British through an
extension of that company’s activities. The first permanent
British settlement on the African continent was made at James
Island in the Gambia River in 1661. Slave trading had begun
earlier in Sierra Leone, but that region did not become a
British possession until 1787. Britain acquired the Cape of Good
Hope (now in South Africa) in 1806, and the South African
interior was opened up by Boer and British pioneers under
British control.
Nearly all these early settlements arose from the enterprise
of particular companies and magnates rather than from any effort
on the part of the English crown. The crown exercised some
rights of appointment and supervision, but the colonies were
essentially self-managing enterprises. The formation of the
empire was thus an unorganized process based on piecemeal
acquisition, sometimes with the British government being the
least willing partner in the enterprise.
In the 17th and 18th centuries, the crown exercised control
over its colonies chiefly in the areas of trade and shipping. In
accordance with the mercantilist philosophy of the time, the
colonies were regarded as a source of necessary raw materials
for England and were granted monopolies for their products, such
as tobacco and sugar, in the British market. In return, they
were expected to conduct all their trade by means of English
ships and to serve as markets for British manufactured goods.
The Navigation Act of 1651 and subsequent acts set up a closed
economy between Britain and its colonies; all colonial exports
had to be shipped on English ships to the British market, and
all colonial imports had to come by way of England. This
arrangement lasted until the combined effects of the Scottish
economist Adam Smith’s Wealth of Nations (1776), the loss of the
American colonies, and the growth of a free-trade movement in
Britain slowly brought it to an end in the first half of the
19th century.
The slave trade acquired a peculiar importance to Britain’s
colonial economy in the Americas, and it became an economic
necessity for the Caribbean colonies and for the southern parts
of the future United States. Movements for the end of slavery
came to fruition in British colonial possessions long before the
similar movement in the United States; the trade was abolished
in 1807 and slavery itself in Britain’s dominions in 1833.
Competition with France
British military and naval power, under the leadership of
such men as Robert Clive, James Wolfe, and Eyre Coote, gained
for Britain two of the most important parts of its empire—Canada
and India. Fighting between the British and French colonies in
North America was endemic in the first half of the 18th century,
but the Treaty of Paris of 1763, which ended the Seven Years’
War (known as the French and Indian War in North America), left
Britain dominant in Canada. In India, the East India Company was
confronted by the French Compagnie des Indes, but Robert Clive’s
military victories against the French and the rulers of Bengal
in the 1750s provided the British with a massive accession of
territory and ensured their future supremacy in India.
The loss of Britain’s 13 American colonies in 1776–83 was
compensated by new settlements in Australia from 1788 and by the
spectacular growth of Upper Canada (now Ontario) after the
emigration of loyalists from what had become the United States.
The Napoleonic Wars provided further additions to the empire;
the Treaty of Amiens (1802) made Trinidad and Ceylon (now Sri
Lanka) officially British, and in the Treaty of Paris (1814)
France ceded Tobago, Mauritius, Saint Lucia, and Malta. Malacca
joined the empire in 1795, and Sir Stamford Raffles acquired
Singapore in 1819. Canadian settlements in Alberta, Manitoba,
and British Columbia extended British influence to the Pacific,
while further British conquests in India brought in the United
Provinces of Agra and Oudh and the Central Provinces, East
Bengal, and Assam.
Dominance and dominions
The 19th century marked the full flower of the British
Empire. Administration and policy changed during the century
from the haphazard arrangements of the 17th and 18th centuries
to the sophisticated system characteristic of Joseph
Chamberlain’s tenure (1895–1900) in the Colonial Office. That
office, which began in 1801, was first an appendage of the Home
Office and the Board of Trade, but by the 1850s it had become a
separate department with a growing staff and a continuing
policy; it was the means by which discipline and pressure were
exerted on the colonial governments when such action was
considered necessary.
New Zealand became officially British in 1840, after which
systematic colonization there followed rapidly. Partly owing to
pressure from missionaries, British control was extended to
Fiji, Tonga, Papua, and other islands in the Pacific Ocean, and
in 1877 the British High Commission for the Western Pacific
Islands was created. In the wake of the Indian Mutiny (1857),
the British crown assumed the East India Company’s governmental
authority in India. Britain’s acquisition of Burma (Myanmar) was
completed in 1886, while its conquest of the Punjab (1849) and
of Balochistān (1854–76) provided substantial new territory in
the Indian subcontinent itself. The French completion of the
Suez Canal (1869) provided Britain with a much shorter sea route
to India. Britain responded to this opportunity by expanding its
port at Aden, establishing a protectorate in Somaliland (now
Somalia), and extending its influence in the sheikhdoms of
southern Arabia and the Persian Gulf. Cyprus, which was, like
Gibraltar and Malta, a link in the chain of communication with
India through the Mediterranean, was occupied in 1878.
Elsewhere, British influence in the Far East expanded with the
development of the Straits Settlements and the federated Malay
states, and in the 1880s protectorates were formed over Brunei
and Sarawak. Hong Kong island became British in 1841, and an
“informal empire” operated in China by way of British treaty
ports and the great trading city of Shanghai.
The greatest 19th-century extension of British power took
place in Africa, however. Britain was the acknowledged ruling
force in Egypt from 1882 and in the Sudan from 1899. In the
second half of the century, the Royal Niger Company began to
extend British influence in Nigeria, and the Gold Coast (now
Ghana) and The Gambia also became British possessions. The
Imperial British East Africa Company operated in what are now
Kenya and Uganda, and the British South Africa Company operated
in what are now Zimbabwe (formerly Southern Rhodesia), Zambia
(formerly Northern Rhodesia), and Malaŵi. Britain’s victory in
the South African War (1899–1902) enabled it to annex the
Transvaal and the Orange Free State in 1902 and to create the
Union of South Africa in 1910. The resulting chain of British
territories stretching from South Africa northward to Egypt
realized an enthusiastic British public’s idea of an African
empire extending “from the Cape to Cairo.” By the end of the
19th century, the British Empire comprised nearly one-quarter of
the world’s land surface and more than one-quarter of its total
population.
The idea of limited self-government for some of Britain’s
colonies was first recommended for Canada by Lord Durham in
1839. This report proposed “responsible self-government” for
Canada, so that a cabinet of ministers chosen by the Canadians
could exercise executive powers instead of officials chosen by
the British government. The cabinet would depend primarily on
support by the colonial legislative assembly for its tenure of
ministerial office. Decisions on foreign affairs and defense,
however, would still be made by a governor-general acting on
orders from the British government in London. The system whereby
some colonies were allowed largely to manage their own affairs
under governors appointed by the mother country spread rapidly.
In 1847 it was put into effect in the colonies in Canada, and it
was later extended to the Australian colonies, New Zealand, and
to the Cape Colony and Natal in southern Africa. These colonies
obtained such complete control over their internal affairs that
in 1907 they were granted the new status of dominions. In 1910
another dominion, the Union of South Africa, was formed from the
Cape Colony, Natal, and the former Boer republics of the
Transvaal and the Orange Free State.
This select group of nations within the empire, with
substantial European populations and long experience of British
forms and practices, was often referred to as the British
Commonwealth. The demands and stresses of World War I and its
aftermath led to a more formal recognition of the special status
of the dominions. When Britain had declared war on Germany in
1914 it was on behalf of the entire empire, the dominions as
well as the colonies. But after World War I ended in 1918, the
dominions signed the peace treaties for themselves and joined
the newly formed League of Nations as independent states equal
to Britain. In 1931 the Statute of Westminster recognized them
as independent countries “within the British Empire, equal in
status” to the United Kingdom. The statute referred specifically
to the “British Commonwealth of Nations.” When World War II
broke out in 1939, the dominions made their own declarations of
war.
The rest of the British Empire consisted for the most part of
colonies and other dependencies whose predominant indigenous
populations had no such experience. For them a variety of
administrative techniques was tried, ranging from the
sophisticated Indian Civil Service, with its largely effective
adoption of native practices in civil law and administration, to
the very loose and indirect supervision exercised in a number of
African territories, where settlers and commercial interests
were left much to themselves while native Africans were
segregated into “reserves.”
Nationalism and the Commonwealth
Nationalist sentiment developed rapidly in many of these
areas after World War I and even more so after World War II,
with the result that, beginning with India in 1947, independence
was granted them, along with the option of retaining an
association with Great Britain and other former dependencies in
the Commonwealth of Nations (the adjective “British” was not
used officially after 1946). Indian and Pakistani independence
was followed by that of Ceylon (now Sri Lanka) and Burma
(Myanmar) in 1948. The Gold Coast became the first sub-Saharan
African colony to reach independence (as Ghana) in 1957. The
movement of Britain’s remaining colonies in Africa, Asia, and
the Caribbean toward self-government gained speed in the years
after 1960 as international pressure mounted (especially at the
United Nations), as the notion of independence spread in the
colonies themselves, and as the British public, which was no
longer actively imperial in its sentiments, accepted the idea of
independence as a foregone conclusion.
The last significant British colony, Hong Kong, was returned
to Chinese sovereignty in 1997. By then, virtually nothing
remained of the empire. The Commonwealth, however, remained a
remarkably flexible and durable institution.
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United Kingdom
Overview
Island country, western Europe, North Atlantic Ocean.
It comprises Great Britain (England, Scotland, and Wales) and
Northern Ireland. Area: 93,788 sq mi (242,910 sq km). Population
(2005 est.): 60,020,000. Capital: London. The population is
composed of English (major ethnic group), Scots, Irish, and
Welsh and immigrants and their descendants from India, the West
Indies, Pakistan, Bangladesh, and Africa. Languages: English
(official); also Welsh, Scottish Gaelic. Religions: Christianity
(Protestant [Church of England—established; Church of
Scotland—national], Roman Catholic, other Christians); also
Islam, Hinduism, Sikhism, Judaism. Currency: pound sterling. The
country has hill, lowland, upland, highland, and mountain
regions. Tin and iron ore deposits, once central to the economy,
have become exhausted or uneconomical, and the coal industry,
long a staple of the economy, began a steady decline in the
1950s that worsened with pit closures in the 1980s. Offshore
petroleum and natural gas reserves are significant. Chief crops
are barley, wheat, sugar beets, and potatoes. Major manufactures
include motor vehicles, aerospace equipment, electronic
data-processing and telecommunication equipment, and
petrochemicals. Fishing and publishing also are important
economic activities. The U.K. is a constitutional monarchy with
two legislative houses; its chief of state is the sovereign, and
the head of government is the prime minister.
The early pre-Roman inhabitants of Britain (see Stonehenge)
were Celtic-speaking peoples, including the Brythonic people of
Wales, the Picts of Scotland, and the Britons of Britain. Celts
also settled in Ireland c. 500 bc. Julius Caesar invaded and
took control of the area in 55–54 bc. The Roman province of
Britannia endured until the 5th century ad and included
present-day England and Wales. Germanic tribes, including
Angles, Saxons, and Jutes, invaded Britain in the 5th century.
The invasions had little effect on the Celtic peoples of Wales
and Scotland. Christianity began to flourish in the 6th century.
During the 8th and 9th centuries, Vikings, particularly Danes,
raided the coasts of Britain. In the late 9th century Alfred the
Great repelled a Danish invasion, which helped bring about the
unification of England under Athelstan. The Scots attained
dominance in Scotland, which was finally unified under Malcolm
II (1005–34). William of Normandy (see William I) took England
in 1066. The Norman kings established a strong central
government and feudal state. The French language of the Norman
rulers eventually merged with the Anglo-Saxon of the common
people to form the English language. From the 11th century,
Scotland came under the influence of the English throne. Henry
II conquered Ireland in the late 12th century. His sons Richard
I and John had conflicts with the clergy and nobles, and
eventually John was forced to grant the nobles concessions in
the Magna Carta (1215). The concept of community of the realm
developed during the 13th century, providing the foundation for
parliamentary government. During the reign of Edward I
(1272–1307), statute law developed to supplement English common
law, and the first Parliament was convened. In 1314 Robert the
Bruce (see Robert I) won independence for Scotland. The house of
Tudor became the ruling family of England following the Wars of
the Roses (1455–85). Henry VIII (1509–47) established the Church
of England and incorporated Wales as part of England.
The reign of Elizabeth I (1558–1603) began a period of
colonial expansion; in 1588 British forces defeated the
“invincible” Spanish Armada. In 1603 James VI of Scotland
ascended the English throne, becoming James I, and established a
personal union of the two kingdoms. The English Civil Wars
erupted in 1642 between Royalists and Parliamentarians, ending
in the execution of Charles I (1649). After 11 years of Puritan
rule under Oliver Cromwell and his son (1649–60), the monarchy
was restored with Charles II. In 1689, following the Glorious
Revolution, Parliament proclaimed the joint sovereigns William
III and Mary II, who accepted the British Bill of Rights. In
1707 England and Scotland assented to the Act of Union, forming
the kingdom of Great Britain. The Hanoverians ascended the
English throne in 1714, when George Louis, elector of Hanover,
became George I of Great Britain. During the reign of George
III, Great Britain’s North American colonies won independence
(1783). This was followed by a period of war (1789–1815) with
Revolutionary France and later with the empire of Napoleon. In
1801 legislation united Great Britain with Ireland to create the
United Kingdom of Great Britain and Ireland. Britain was the
birthplace of the Industrial Revolution in the late 18th
century, and it remained the world’s foremost economic power
until the late 19th century. During the reign of Queen Victoria
(1837–1901), Britain’s colonial expansion reached its zenith,
though the older dominions, including Canada and Australia, were
granted independence (1867 and 1901, respectively).
The U.K. entered World War I allied with France and Russia in
1914. Following the war, revolutionary disorder erupted in
Ireland, and in 1921 the Irish Free State (see Ireland) was
granted dominion status. Six counties of Ulster, however,
remained in the U.K. as Northern Ireland. The U.K. entered World
War II in 1939. Following the war, the Irish Free State became
the Irish republic and left the Commonwealth. India also gained
independence from the U.K. Throughout the postwar period and
into the 1970s, the U.K. continued to grant independence to its
overseas colonies and dependencies. With UN forces, it
participated in the Korean War (1950–53). In 1956 it intervened
militarily in Egypt during the Suez Crisis. It joined the
European Economic Community, a forerunner of the European Union,
in 1973. In 1982 it defeated Argentina in the Falkland Islands
War. As a result of continuing social strife in Northern
Ireland, it joined with Ireland in several peace initiatives,
which eventually resulted in an agreement to establish an
assembly in Northern Ireland. In 1997 referenda approved in
Scotland and Wales devolved power to both countries, though both
remained part of the U.K. In 1991 the U.K. joined an
international coalition to reverse Iraq’s conquest of Kuwait
(see Persian Gulf War). In 2003 the U.K. and the U.S. attacked
Iraq and overthrew the government of Ṣaddām Ḥussein (see Iraq
War). Terrorist bombings in London in July 2005 killed more than
50 people.
Profile
Official name United Kingdom of Great Britain and Northern
Ireland
Form of government constitutional monarchy with two legislative
houses (House of Lords [7321]; House of Commons [646])
Chief of state Sovereign
Head of government Prime Minister
Capital London
Official language English; both English and Welsh in Wales
Official religion 2
Monetary unit pound sterling (£)
Population estimate (2008) 61,446,000
Total area (sq mi) 93,851
Total area (sq km) 243,073
1As of December 2008 including 92 hereditary peers, 614 life
peers, and 26 archbishops and bishops.
2Church of England “established” (protected by the state but
not “official”); Church of Scotland “national” (exclusive
jurisdiction in spiritual matters per Church of Scotland Act
1921); no established church in Northern Ireland or Wales.
Main
island country located off the northwestern coast of mainland
Europe. The United Kingdom comprises the whole of the island of
Great Britain—which contains England, Wales, and Scotland—as
well as the northern portion of the island of Ireland. The name
Britain is sometimes used to refer to the United Kingdom as a
whole. The capital is London, which is among the world’s leading
commercial, financial, and cultural centres. Other major cities
include Birmingham, Liverpool, and Manchester in England,
Belfast and Londonderry in Northern Ireland, Edinburgh and
Glasgow in Scotland, and Swansea and Cardiff in Wales.
The origins of the United Kingdom can be traced to the time
of the Anglo-Saxon king Athelstan, who in the early 10th century
ad secured the allegiance of neighbouring Celtic kingdoms and
became “the first to rule what previously many kings shared
between them,” in the words of a contemporary chronicle. Through
subsequent conquest over the following centuries, kingdoms lying
farther afield came under English dominion. Wales, a congeries
of Celtic kingdoms lying in Great Britain’s southwest, was
formally united with England by the Acts of Union of 1536 and
1542; Scotland, ruled by an English monarch since 1603, formally
was joined with England and Wales in 1707 to form the United
Kingdom of Great Britain. (The adjective “British” came into use
at this time to refer to all the kingdom’s peoples.) Ireland
came under English control during the 1600s and was formally
united with Great Britain through the Act of Union of 1800. The
republic of Ireland gained its independence in 1922, but the six
counties of Ulster remained part of the United Kingdom as
Northern Ireland. Relations between these constituent states and
England have been marked by controversy and, at times, open
rebellion and even warfare. These tensions relaxed somewhat
during the late 20th century, when devolved assemblies were
introduced in Northern Ireland, Scotland, and Wales.
Nonetheless, even with the establishment of a power-sharing
assembly after referenda in both Northern Ireland and the Irish
republic, relations between Northern Ireland’s unionists (who
favour continued British sovereignty over Northern Ireland) and
nationalists (who favour unification with the republic of
Ireland) remained tense into the 21st century.
The United Kingdom has made significant contributions to the
world economy, especially in technology and industry. Since
World War II, however, the United Kingdom’s most prominent
exports have been cultural, including literature, theatre, film,
television, and popular music that draw on all parts of the
country. Perhaps Britain’s greatest export has been the English
language, now spoken in every corner of the world as one of the
leading international mediums of cultural and economic exchange.
The United Kingdom retains links with parts of its former
empire through the Commonwealth. It also benefits from
historical and cultural links with the United States and is a
member of the North Atlantic Treaty Organization (NATO).
Moreover, the United Kingdom is a member of the European Union,
if a sometimes reluctant one. Many of its people hold to the
sentiments of the great wartime prime minister Winston
Churchill, who sonorously remarked, “We see nothing but good and
hope in a richer, freer, more contented European commonalty. But
we have our own dream and our own task. We are with Europe, but
not of it. We are linked, but not comprised. We are interested
and associated, but not absorbed.” Yet a cosmopolitan,
resolutely multicultural United Kingdom—incorporating African,
Caribbean, and Asian as well as Anglo-Saxon and Celtic
influences—is now firmly joined to the European continent, and
the country’s former insularity—both literal and
metaphorical—and sense of exceptionalism have at least for many
given way to a new vision of its place in the world, which
continues to be an important one.
Ralph Charles Atkins
Ed.
Land
The United Kingdom comprises four geographic and
historical parts—England, Scotland, Wales, and Northern Ireland.
The United Kingdom contains most of the area and population of
the British Isles—the geographic term for the group of islands
that includes Great Britain, Ireland, and many smaller islands.
Together England, Wales, and Scotland constitute Great Britain,
the larger of the two principal islands, while Northern Ireland
and the republic of Ireland constitute the second largest
island, Ireland. England, occupying most of southern Great
Britain, includes the Isles of Scilly off the southwest coast
and the Isle of Wight off the southern coast. Scotland,
occupying northern Great Britain, includes the Orkney and
Shetland islands off the northern coast and the Hebrides off the
northwestern coast. Wales lies west of England and includes the
island of Anglesey to the northwest.
Apart from the land border with the Irish republic, the
United Kingdom is surrounded by sea. To the south of England and
between the United Kingdom and France is the English Channel.
The North Sea lies to the east. To the west of Wales and
northern England and to the southeast of Northern Ireland, the
Irish Sea separates Great Britain from Ireland, while
southwestern England, the northwestern coast of Northern
Ireland, and western Scotland face the Atlantic Ocean. At its
widest the United Kingdom is 300 miles (500 km) across. From the
northern tip of Scotland to the southern coast of England, it is
about 600 miles (1,000 km). No part is more than 75 miles (120
km) from the sea. The capital, London, is situated on the tidal
River Thames in southeastern England.
The archipelago formed by Great Britain and the numerous
smaller islands is as irregular in shape as it is diverse in
geology and landscape. This diversity stems largely from the
nature and disposition of the underlying rocks, which are
westward extensions of European structures, with the shallow
waters of the Strait of Dover and the North Sea concealing
former land links. Northern Ireland contains a westward
extension of the rock structures of Scotland. These common rock
structures are breached by the narrow North Channel.
On a global scale, this natural endowment covers a small
area—approximating that of the U.S. state of Oregon or the
African country of Guinea—and its internal diversity,
accompanied by rapid changes of often beautiful scenery, may
convey to visitors from larger countries a striking sense of
compactness and consolidation. The peoples who, over the
centuries, have hewed an existence from this Atlantic extremity
of Eurasia have put their own imprint on the environment, and
the ancient and distinctive palimpsest of their field patterns
and settlements complements the natural diversity.
Relief
Great Britain is traditionally divided into a highland and a
lowland zone. A line running from the mouth of the River Exe, in
the southwest, to that of the Tees, in the northeast, is a crude
expression of this division. The course of the 700-foot
(213-metre) contour, or of the boundary separating the older
rocks of the north and west from the younger southeastern
strata, provides a more accurate indication of the extent of the
highlands.
The highland zone
The creation of the highlands was a long process, yet
elevations, compared with European equivalents, are low, with
the highest summit, Ben Nevis, only 4,406 feet (1,343 metres)
above sea level. In addition, the really mountainous areas above
2,000 feet (600 metres) often form elevated plateaus with
relatively smooth surfaces, reminders of the effects of former
periods of erosion.
Scotland’s three main topographic regions follow the
northeast-to-southwest trend of the ancient underlying rocks.
The northern Highlands and the Southern Uplands are separated by
the intervening rift valley, or subsided structural block,
called the Midland Valley (or Central Lowlands). The core of the
Highlands is the elevated, worn-down surface of the Grampian
Mountains, 1,000–3,600 feet (300–1,100 metres) above sea level,
with the Cairngorm Mountains rising to elevations of more than
4,000 feet (1,200 metres). This majestic mountain landscape is
furrowed by numerous wide valleys, or straths. Occasional large
areas of lowland, often fringed with long lines of sand dunes,
add variety to the east. The Buchan peninsula, the Moray Firth
estuarine flats, and the plain of Caithness—all low-lying
areas—contrast sharply with the mountain scenery and show
smoother outlines than do the glacier-scoured landscapes of the
west, where northeast-facing hollows, or corries, separated by
knife-edge ridges and deep glens, sculpt the surfaces left by
earlier erosion. The many freshwater lochs (lakes) further
enhance a landscape of wild beauty. The linear Glen Mor—where
the Caledonian Canal now threads the chain of lakes that
includes Loch Ness—is the result of a vast structural sideways
tear in the whole mass of the North West Highlands. To the
northwest of Glen Mor stretches land largely divided among
agricultural smallholdings, or crofts; settlement is
intermittent and mostly coastal, a pattern clearly reflecting
the pronounced dissection of a highland massif that has been
scored and plucked by the Ice Age glaciers. Many sea-drowned,
glacier-widened river valleys (fjords) penetrate deeply into the
mountains, the outliers of which rise from the sea in stately,
elongated peninsulas or emerge in hundreds of offshore islands.
In comparison with the Scottish Highlands, the Southern
Uplands of Scotland present a more subdued relief, with
elevations that never exceed 2,800 feet (850 metres). The main
hill masses are the Cheviots, which reach 2,676 feet (816
metres) in elevation, while only Merrick and Broad Law have
elevations above the 2,700-foot (830-metre) contour line. Broad
plateaus separated by numerous dales characterize these uplands,
and in the west most of the rivers flow across the prevailing
northeast-southwest trend, following the general slope of the
plateau, toward the Solway Firth or the Firth of Clyde. Bold
masses of granite and the rugged imprint of former glaciers
occasionally engender mountainous scenery. In the east the
valley network of the River Tweed and its many tributaries forms
a broad lowland expanse between the Lammermuir and Cheviot
hills.
The Midland Valley lies between great regular structural
faults. The northern boundary with the Highlands is a wall-like
escarpment, but the boundary with the Southern Uplands is sharp
only near the coast. This vast trench is by no means a
continuous plain, for high ground—often formed of sturdy,
resistant masses of volcanic rock—meets the eye in all
directions, rising above the low-lying areas that flank the
rivers and the deeply penetrating estuaries of the Firth of
Clyde and the Firth of Forth.
In Northern Ireland, structural extensions of the Scottish
Highlands reappear in the generally rugged mountain scenery and
in the peat-covered summits of the Sperrin Mountains, which
reach an elevation of 2,241 feet (683 metres). The uplands in
the historic counties Down and Armagh are the western
continuation of Scotland’s Southern Uplands but reach elevations
of more than 500 feet (150 metres) only in limited areas; the
one important exception is the Mourne Mountains, a lovely
cluster of granite summits the loftiest of which, Slieve Donard,
rises to an elevation of 2,789 feet (850 metres) within 2 miles
(3.2 km) of the sea. In the central region of Northern Ireland
that corresponds to Scotland’s Midland Valley, an outpouring of
basaltic lavas has formed a huge plateau, much of which is
occupied by the shallow Lough Neagh, the largest freshwater lake
in the British Isles.
The highland zone of England and Wales consists, from north
to south, of four broad upland masses: the Pennines, the
Cumbrian Mountains, the Cambrian Mountains, and the South West
Peninsula. The Pennines are usually considered to end in the
north at the River Tyne gap, but the surface features of several
hills in Northumberland are in many ways similar to those of the
northern Pennines. The general surface of the asymmetrically
arched backbone (anticline) of the Pennines is remarkably smooth
because many of the valleys, though deep, occupy such a small
portion of the total area that the windswept moorland between
them appears almost featureless. This is particularly true of
the landscape around Alston, in Cumbria (Cumberland), which—cut
off by faults on its north, west, and south sides—stands out as
an almost rectangular block of high moorland plateau with
isolated peaks (known to geographers as monadnocks) rising up
above it. Farther south, deep and scenic dales (valleys) dissect
the Pennine plateau. The dales’ craggy sides are formed of
millstone grit, and beneath them flow streams stepped by
waterfalls. The most southerly part of the Pennines is a grassy
upland. More than 2,000 feet (610 metres) above sea level in
places, it is characterized by the dry valleys, steep-sided
gorges, and underground streams and caverns of a limestone
drainage system rather than the bleak moorland that might be
expected at this elevation. At lower levels the larger dales are
more richly wooded, and the trees stand out against a background
of rugged cliffs of white-gray rocks. On both Pennine flanks,
older rocks disappear beneath younger layers, and the uplands
merge into flanking coastal lowlands.
The Cumbrian Mountains, which include the famous Lake
District celebrated in poetry by William Wordsworth and the
other Lake poets, constitute an isolated, compact mountain group
to the west of the northern Pennines. Many deep gorges,
separated by narrow ridges and sharp peaks, characterize the
northern Cumbrian Mountains, which consist of tough slate rock.
Greater expanses of level upland, formed from thick beds of lava
and the ash thrown out by ancient volcanoes, lie to the south.
The volcanic belt is largely an irregular upland traversed by
deep, narrow valleys, and it includes England’s highest point,
Scafell Pike, with an elevation of 3,210 feet (978 metres), and
Helvellyn, at 3,116 feet (950 metres). Nine rivers flowing out
in all directions from the centre of this uplifted dome form a
classic radial drainage pattern. The valleys, often containing
long, narrow lakes, have been widened to a U shape by glacial
action, which has also etched corries from the mountainsides and
deposited the debris in moraines. Glacial action also created a
number of “hanging valleys” by truncating former tributary
valleys.
The Cambrian Mountains, which form the core of Wales, are
clearly defined by the sea except on the eastern side, where a
sharp break of slope often marks the transition to the English
lowlands. Cycles of erosion have repeatedly worn down the
ancient and austere surfaces. Many topographic features derive
from glacial processes, and some of the most striking scenery
stems largely from former volcanism. The mountain areas above
2,000 feet (610 metres) are most extensive in North Wales. These
include Snowdonia—named for Snowdon (Yr Wyddfa), the highest
point in Wales, with an elevation of 3,560 feet (1,085
metres)—and its southeastern extensions, Cader Idris and Berwyn.
With the exception of Plynlimon and the Radnor Forest, central
Wales lacks similar high areas, but the monadnocks of South
Wales—notably the Black Mountains and the Brecon Beacons—stand
out in solitary splendour above the upland surfaces. There are
three such surfaces: a high plateau of 1,700 to 1,800 feet (520
to 550 metres); a middle peneplain, or worn-down surface, of
1,200 to 1,600 feet (370 to 490 metres); and a low peneplain of
700 to 1,100 feet (210 to 340 metres). These smooth, rounded,
grass-covered moorlands present a remarkably even skyline. Below
700 feet (210 metres) lies a further series of former wave-cut
surfaces. Several valleys radiate from the highland core to the
coastal regions. In the west these lowlands have provided a
haven for traditional Welsh culture, but the deeply penetrating
eastern valleys have channeled English culture into the
highland. A more extensive lowland—physically and structurally
an extension of the English lowlands—borders the Bristol Channel
in the southeast. The irregularities of the 600-mile (970-km)
Welsh coast show differing adjustments to the pounding attack of
the sea.
The South West—England’s largest peninsula—has six
conspicuous uplands: Exmoor, where Dunkery Beacon reaches an
elevation of 1,704 feet (519 metres); the wild, granite uplands
of Dartmoor, which reach 2,038 feet (621 metres) at High
Willhays; Bodmin Moor; Hensbarrow; Carn Brea; and the Penwith
upland that forms the spectacular extremity of Land’s End.
Granite reappears above the sea in the Isles of Scilly, 28 miles
(45 km) farther southwest. Despite the variation in elevation,
the landscape in the South West, like that of so many other
parts of the United Kingdom, has a quite marked uniformity of
summit heights, with a high series occurring between 1,000 and
1,400 feet (300 and 430 metres), a middle group between 700 and
1,000 feet (210 and 300 metres), and coastal plateaus ranging
between 200 and 400 feet (60 and 120 metres). A network of deep,
narrow valleys alternates with flat-topped, steplike areas
rising inland. The South West derives much of its renowned
physical attraction from its peninsular nature; with both
dramatic headlands and magnificent drowned estuaries created by
sea-level changes, the coastline is unsurpassed for its
diversity.
The lowland zone
Gauged by the 700-foot (210-metre) contour line, the
lowland zone starts around the Solway Firth in the northwest,
with a strip of low-lying ground extending up the fault-directed
Vale of Eden (the valley of the River Eden). Southward the
narrow coastal plain bordering the Lake District broadens into
the flat, glacial-drift-covered Lancashire and Cheshire plains,
with their slow-flowing rivers. East of the Pennine ridge the
lowlands are continuous, except for the limestone plateau north
of the River Tees and, to the south, the North York Moors, with
large exposed tracts that have elevations of more than 1,400
feet (430 metres). West of the North York Moors lies the wide
Vale of York, which merges with the east Midland plain to the
south. The younger rocks of the Midlands terminate at the edge
of the Cambrian Mountains to the west. The lowland continues
southward along the flat landscapes bordering the lower River
Severn, becomes constricted by the complex Bristol-Mendip
upland, and opens out once more into the extensive and flat
plain of Somerset. The eastern horizon of much of the Midland
plain is the scarp face of the Cotswolds, part of the
discontinuous outcrop of limestones and sandstones that arcs
from the Dorset coast in southern England as far as the
Cleveland Hills on the north coast of Yorkshire. The more
massive limestones and sandstones give rise to noble 1,000-foot
(300-metre) escarpments, yet the dip slope is frequently of such
a low angle that the countryside resembles a dissected plateau,
passing gradually on to the clay vales of Oxford, White Horse,
Lincoln, and Pickering. The flat, often reclaimed landscapes of
the once-marshy Fens are also underlain by these clays, and the
next scarp, the western-facing chalk outcrop (cuesta), undergoes
several marked directional changes in the vicinity of the Wash,
a shallow arm of the North Sea.
The chalk scarp is a more conspicuous and continuous feature
than the sandstone and limestone outcrops farther west. It
begins in the north with the open rolling country known as the
Yorkshire Wolds, where elevations of 750 feet (230 metres)
occur. It is breached by the River Humber and then continues in
the Lincolnshire Wolds. East of the Fens the scarp is very low,
barely attaining 150 feet (45 metres), but it then rises
gradually to the 807-foot (246-metre) Ivinghoe Beacon in the
attractive Chiltern Hills. Several wind gaps, or former river
courses, interrupt the scarp, and the River Thames actually cuts
through it in the Goring Gap. Where the dip slope of the chalk
is almost horizontal, as in the open Salisbury Plain, the
landscape forms a large dissected plateau with an elevation of
350 to 500 feet (110 to 150 metres). The main valleys contain
rivers, while the other valleys remain dry.
The chalk outcrop continues into Dorset, but in the south the
chalk has been folded along west-to-east lines. Downfolds,
subsequently filled in by geologically recent sands and clays,
now floor the London and Hampshire basins. The former, an
asymmetrical synclinal (or structurally downwarped) lowland
rimmed by chalk, is occupied mainly by gravel terraces and
valley-side benches and has relatively little floodplain; the
latter is similarly cradled by a girdle of chalk, but the
southern rim, or monocline, has been cut by the sea in two
places to form the scenic Isle of Wight.
Between these two synclinal areas rises the anticlinal, or
structurally upwarped, dome of the Weald of Kent and Sussex. The
arch of this vast geologic upfold has long since been eroded
away, and the bounding chalk escarpments of the North and South
Downs are therefore inward-facing and enclose a concentric
series of exposed clay vales and sandstone ridges. On the coast
the waters of the English Channel have undermined and eroded the
upfold to produce a dazzling succession of chalk cliffs facing
the European mainland, 21 miles (34 km) distant at the Strait of
Dover, the narrowest part of the English Channel.
Drainage
The main drainage divide in Great Britain runs from north to
south, keeping well to the west until the basin of the River
Severn. Westward-flowing streams empty into the Atlantic Ocean
or Irish Sea over relatively short distances. The Clyde in
Scotland, the Eden and Mersey in northwestern England, and the
Dee, Teifi, and Tywi in Wales are the only significant
westward-flowing rivers north of the Severn estuary. The
drainage complex that debouches into the Severn estuary covers a
large part of Wales and the South West and West Midlands of
England. To the south the Avon (flowing through Bristol) and the
Parret watershed extend somewhat to the east, but subsequently,
with the exception of the Taw and Torridge valleys, they run
very close to the western coast in Devon and Cornwall.
The rivers draining east from the main divide are longer, and
several coalesce into wide estuaries. The fast-flowing Spey,
Don, Tay, Forth, and Tweed of eastern Scotland run generally
across impermeable rocks, and their discharges increase rapidly
after rain. From the northern Pennines the Tyne, Wear, and Tees
flow independently to the North Sea, but thereafter significant
estuary groupings occur. A number of rivers—including the Ouse,
Aire, and Trent—drain into the Humber after they leave the
Pennines. To the south another group of rivers (including the
Ouse, Welland, and Nene) enters the Wash after sluggishly
draining a large, flat countryside. The large drainage complex
of the River Thames dominates southeastern England. Its source
is in the Cotswolds, and, after receiving many tributaries as it
flows over the Oxford Clay, the mainstream breaches the chalk
escarpment in the Goring Gap. A number of tributaries add their
discharges farther downstream, and the total area draining into
the Thames estuary is nearly 4,000 square miles (10,000 square
km). The important rivers flowing into the English Channel are
the Tamar, Exe, Avon, Test, Arun, and Ouse. The major rivers in
Northern Ireland are the Erne, Foyle, and Bann.
Soils
The regional pattern of soil formation correlates with local
variations of relief and climate. Although changes are gradual
and soils can vary locally, a division of Britain into four
climatic regimes largely explains the distribution of soils.
At the higher altitudes of the highland zone, particularly in
Scotland, the weather is characterized by a cold, wet regime of
more than 40 inches (1,000 mm) rainfall and less than 47 °F (8
°C) mean temperature annually; these areas have blanket peat and
peaty podzol soils, with their organic surface layer resting on
a gray, leached base. A regime similarly wet but with a mean
annual temperature exceeding 47 °F characterizes most of the
remainder of the highland zone, particularly on the lower parts
of the Southern Uplands, the Solway Firth–Lake District area,
the peripheral plateaus of Wales, and most of southwestern
England. These areas are covered by acid brown soils and weakly
podzolized associates. On the lower-lying areas within the
highland zone, particularly in eastern Scotland and the eastern
flanks of the Pennines, a relatively cold, dry regime gives rise
to soils intermediate between the richer brown earths and the
podzols.
Over the entire lowland zone, which also has a mean annual
temperature above 47 °F but less than 40 inches of rainfall,
leached brown soils are characteristic. Calcareous, and thus
alkaline, parent materials are widespread, particularly in the
southeast, so acid soils and podzols are confined to the most
quartz-laden parent materials. In Northern Ireland at elevations
of about 460 feet (140 metres), brown earths give way to
semipodzols, and these grade upslope into more intensively
leached podzols, particularly in the Sperrins and the Mournes.
Between these mountains in the Lough Neagh lowland, rich brown
earth soils predominate.
Climate
The climate of the United Kingdom derives from its setting
within atmospheric circulation patterns and from the position of
its landforms in relation to the sea. Regional diversity does
exist, but the boundaries of major world climatic systems do not
pass through the country. Britain’s marginal position between
the European landmass to the east and the ever-present
relatively warm Atlantic waters to the west exposes the country
to air masses with a variety of thermal and moisture
characteristics. The main types of air masses, according to
their source regions, are polar and tropical; by their route of
travel, both the polar and tropical may be either maritime or
continental. For much of the year, the weather depends on the
sequence of disturbances within the midlatitude westerlies that
bring in mostly polar maritime and occasionally tropical
maritime air. In winter occasional high-pressure areas to the
east allow biting polar continental air to sweep over Britain.
All of these atmospheric systems tend to fluctuate rapidly in
their paths and to vary both in frequency and intensity by
season and also from year to year. Variability is characteristic
of British weather, and extreme conditions, though rare, can be
very important for the life of the country.
The polar maritime winds that reach the United Kingdom in
winter create a temperature distribution that is largely
independent of latitude. Thus, the north-to-south run of the 40
°F (4 °C) January isotherm, or line of equal temperature, from
the coast in northwestern Scotland south to the Isle of Wight
betrays the moderating influence of the winds blowing off the
Atlantic Ocean. In summer polar maritime air is less common, and
the 9° difference of latitude and the distance from the sea
assume more importance, so that temperatures increase from north
to south and from the coast inland. Above-average temperatures
usually accompany tropical continental air, particularly in
anticyclonic, or high-pressure, conditions. On rare occasions
these southerly or southeasterly airstreams can bring heat waves
to southern England with temperatures of 90 °F (32 °C). The mean
annual temperature ranges from 46 °F (8 °C) in the Hebrides to
52 °F (11 °C) in southwestern England. In spring and autumn a
variety of airstreams and temperature conditions may occur.
Rain-producing atmospheric systems arrive from a westerly
direction, and some of the bleak summits of the highest peaks of
the highland zone can receive as much as 200 inches (5,100 mm)
of rainfall per year. Norfolk, Suffolk, and the Thames estuary,
in contrast, can expect as little as 20 inches (510 mm)
annually. Rain is fairly well distributed throughout the year.
June, on average, is the driest month throughout Britain; May is
the next driest in the eastern and central parts of England, but
April is drier in parts of the west and north. The wettest
months are typically October, December, and August, but in a
given year almost any month can prove to be the wettest, and the
association of Britain with seemingly perpetual rainfall (a
concept popularly held among foreigners) is based on a germ of
truth. Some precipitation falls as snow, which increases with
altitude and from southwest to northeast. The average number of
days with snow falling can vary from as many as 30 in
blizzard-prone northeastern Scotland to as few as five in
southwestern England. Average daily hours of sunshine vary from
less than three in the extreme northeast to about four and
one-half along the southeastern coast.
Plant and animal life
Except for northern Scotland, the highest hills of the
north and west, the saturated fens and marshes, and the seacoast
fringes, the natural vegetation of the British Isles is
deciduous forest dominated by oak. Human occupation has left
only scattered woodlands and areas of wild or seminatural
vegetation outside the enclosed cultivated fields. Few of the
fine moorlands and heathlands, wild though they may appear, can
lay claim to any truly natural plant communities. Nearly all
show varying degrees of adjustment to grazing, swaling
(controlled burning), or other activities. Woodland now covers
less than one-tenth of the country, and, although the Forestry
Commission has been active since its creation in 1919, nearly
two-thirds of this woodland remains in private hands. The
largest areas of woodland now stand in northeastern Scotland,
Kielder and other forests in Northumberland, Ashdown Forest in
Sussex, Gwynedd in Wales, and Breckland in Norfolk.
The moorlands and heathlands that occupy about one-fourth of
the total area of the United Kingdom consist of arctic-alpine
vegetation on some mountain summits in Scotland and the much
more extensive peat moss, heather, bilberry, and thin Molinia
and Nardus grass moors of the highland zone. Similar vegetation
exists on high ground in eastern Northern Ireland and on the
Mournes, and there are considerable areas of peat moss
vegetation on the mountains of Antrim. In the lowland zone,
where light sandy soils occur, the most common plant of the
moorlands is the common heather—whose deep purple adds a splash
of colour to the autumn countryside—but these areas also contain
bilberry and bell heather. A strip of land immediately bordering
the coastline has also largely escaped exploitation by humans
and domesticated animals, so that patches of maritime vegetation
often appear in approximately their natural state.
The survival of the wild mammals, amphibians, and reptiles of
the United Kingdom depends on their ability to adapt to the
changing environment and to protect themselves from attacks by
their enemies, the most dangerous of whom are human. British
mammals survive in a greater range of habitats than do
amphibians or reptiles. Most of the formerly abundant larger
mammals—such as boars, reindeer, and wolves—have become extinct,
but red deer survive in the Scottish Highlands and in Exmoor
Forest and roe deer in the wooded areas of Scotland and southern
England. Smaller carnivores (badgers, otters, foxes, stoats, and
weasels) thrive in most rural areas. Rodents (rats, squirrels,
mice) and insectivores (hedgehogs, moles, shrews) are also
widely distributed. Rabbits are widespread, and their numbers
are increasing. The other nocturnal vegetarian, the brown hare,
lives in open lowland country, while the mountain hare is native
to Scotland. Amphibians include three species of newt and five
species of frogs and toads, while reptiles comprise three
species of snakes, of which only the adder is venomous, and
three species of lizards. There are no snakes in Northern
Ireland.
In many respects the British Isles are an ornithologist’s
paradise. The islands lie at the focal point of a migratory
network, and the coastal, farmland, and urban habitats for birds
are diverse. Some 200 species of birds occur in the United
Kingdom, of which more than one-half are migratory. Many species
are sufficiently versatile to adapt to changing conditions, and
it is estimated that suburban gardens have a higher bird density
than any kind of woodland. The most common game birds are the
wild pigeon, pheasant, and grouse. Most numerous are the
sparrow, blackbird, chaffinch, and starling.
Marshland reclamation has displaced waterfowl to various bird
sanctuaries. A continuous effort by ornithological organizations
has promoted and encouraged research and conservation. It also
has led to the creation of bird refuges, sanctuaries, and
reserves. These developments, along with a more sympathetic and
enlightened attitude, may help to redress some of the worst
effects of environmental changes on bird life.
Many British rivers, once renowned for their salmon, trout,
roach, perch, pike, and grayling, have become polluted, and
inland fisheries have consequently declined. Freshwater fishing
is now largely for recreation and sport. The Dogger Bank in the
North Sea, one of the richest fishing grounds in the world, has
provided excellent fishing for centuries. Other good waters for
fishing lie in the Irish Sea and also off the western coast of
Scotland. Chief offshore species are cod, haddock, whiting,
mackerel, coalfish, turbot, herring, and plaice.
People
Ethnic groups
For centuries people have migrated to the British Isles from
many parts of the world, some to avoid political or religious
persecution, others to find a better way of life or to escape
poverty. In historic times migrants from the European mainland
joined the indigenous population of Britain during the Roman
Empire and during the invasions of the Angles, Saxons, Jutes,
Danes, and Normans. The Irish have long made homes in Great
Britain. Many Jews arrived in Britain toward the end of the 19th
century and in the 1930s. After 1945 large numbers of other
European refugees settled in the country. The large immigrant
communities from the West Indies and South Asia date from the
1950s and ’60s. There are also substantial groups of Americans,
Australians, and Chinese, as well as various other Europeans,
such as Greeks, Russians, Poles, Serbs, Estonians, Latvians,
Armenians, Turkish Cypriots, Italians, and Spaniards. Beginning
in the early 1970s, Ugandan Asians (expelled by Idi Amin) and
immigrants from Latin America, Southeast Asia, and Sri Lanka
have sought refuge in Britain. People of Indian, Pakistani, and
Bangladeshi origin account for more than half of the total
ethnic minority population, and people of West Indian origin are
the next largest group. The foreign-born element of the
population is disproportionately concentrated in inner-city
areas, and more than half live in Greater London.
Languages
All the traditional languages spoken in the United
Kingdom ultimately derive from a common Indo-European origin, a
tongue so ancient that, over the millennia, it has split into a
variety of languages, each with its own peculiarities in sounds,
grammar, and vocabulary. The distinct languages in what became
the United Kingdom originated when languages from the European
continent developed independently in the British Isles, cut off
from regular communication with their parent languages.
Of the surviving languages the earliest to arrive were the
two forms of Celtic: the Goidelic (from which Irish, Manx, and
Scottish Gaelic derive) and Brythonic (from which the old
Cornish language and modern Welsh have developed). Among the
contemporary Celtic languages Welsh is the strongest: about
one-fifth of the total population of Wales are able to speak it,
and there are extensive interior upland areas and regions facing
the Irish Sea where the percentage rises to more than half.
Scottish Gaelic is strongest among the inhabitants of the
islands of the Outer Hebrides and Skye, although it is still
heard in the nearby North West Highlands. Because less than 2
percent of Scots are able to speak Gaelic, it has long since
ceased to be a national language, and even in northwestern
areas, where it remains the language of religion, business, and
social activity, Gaelic is losing ground. In Northern Ireland
very little Irish is spoken. Similarly, Manx no longer has any
native speakers, although as late as 1870 it was spoken by about
half the people of the Isle of Man. The last native speakers of
Cornish died in the 18th century.
The second link with Indo-European is through the ancient
Germanic language group, two branches of which, the North
Germanic and the West Germanic, were destined to make
contributions to the English language. Modern English is derived
mainly from the Germanic dialects spoken by the Angles, Saxons,
and Jutes (who all arrived in Britain in the 5th century ad) and
heavily influenced by the language of the Danes (Vikings), who
began raiding the British Isles about 790 and subsequently
colonized parts of northern and eastern England. The Humber
became an important linguistic as well as a geographic boundary,
and the English-speaking territory was divided into a
Northumbrian province (roughly corresponding to the kingdom of
Northumbria) and a Southumbrian province (in which the most
important kingdoms were Mercia, Wessex, and Kent). In the 8th
century Northumbria was foremost in literature and culture,
followed for a short time by Mercia; afterward Wessex
predominated politically and linguistically until the time of
King Edward the Confessor.
Although the French-speaking Normans were also of Viking
stock, the English population initially regarded them as much
more of an alien race than the Danes. Under the Norman and
Angevin kings, England formed part of a continental empire, and
the prolonged connection with France retained by its new rulers
and landlords made a deep impression on the English language. A
hybrid speech combining Anglo-Saxon and Norman French elements
developed and remained the official language, sometimes even
displacing Latin in public documents, until the mid 14th
century, when late Middle English, a language heavily influenced
by Norman French, became the official language. This hybrid
language subsequently evolved into modern English. Many
additions to the English language have been made since the 14th
century, but the Normans were the last important linguistic
group to enter Britain.
Religion
The various Christian denominations in the United Kingdom
have emerged from schisms that divided the church over the
centuries. The greatest of these occurred in England in the 16th
century, when Henry VIII rejected the supremacy of the pope.
This break with Rome facilitated the adoption of some Protestant
tenets and the founding of the Church of England, still the
state church in England, although Roman Catholicism has retained
adherents. In Scotland the Reformation gave rise to the Church
of Scotland, which was governed by presbyteries—local bodies
composed of ministers and elders—rather than by bishops, as was
the case in England. Roman Catholicism in Ireland as a whole was
almost undisturbed by these events, but in what became Northern
Ireland the Anglican and Scottish (Presbyterian) churches had
many adherents. In the 17th century further schisms divided the
Church of England as a consequence of the Puritan movement,
which gave rise to so-called Nonconformist denominations, such
as the Baptists and the Congregationalists, that reflected the
Puritan desire for simpler forms of worship and church
government. The Society of Friends (Quakers) also originated at
that time. Religious revivals of the mid 18th century gave Wales
a form of Protestantism closely linked with the Welsh language;
the Presbyterian Church of Wales (or Calvinistic Methodism)
remains the most powerful religious body in the principality.
The great Evangelical revivals of the 18th century, associated
with John Wesley and others, led to the foundation of Methodist
churches, particularly in the industrial areas. Northumberland,
Durham, and Yorkshire in northeastern England and Cornwall in
the southwestern peninsula still have the largest percentages of
Methodists. In the 19th century the Salvation Army and various
fundamentalist faiths developed. Denominations from the United
States also gained adherents, and there was a marked increase in
the practice of Judaism in Britain. In 1290 Jews were expelled
from Britain, as they would be from other countries in the 14th
and 15th centuries, a reflection of medieval anti-Semitism. The
first Jewish community to be reestablished in Britain was in
London in the 17th century, and in the 19th century Jews also
settled in many of the large provincial cities. More than half
of all British Jews live in Greater London, and nearly all the
rest are members of urban communities. Britain now has the
second largest Jewish community in Europe.
The British tradition of religious tolerance has been
particularly important since the 1950s, when immigrants began to
introduce a great variety of religious beliefs. There are large
and growing communities that practice Islam, Hinduism, and
Sikhism. The largest number of Muslims came from Pakistan and
Bangladesh, with sizable groups from India, Cyprus, the Arab
world, Malaysia, and parts of Africa. The large Sikh and Hindu
communities originated in India. There are also many Buddhist
groups.
Settlement patterns
British culture preserves regional variations, though they
have become more muted over time. Still, the cultural identities
of the Northern Irish, Scottish, Welsh, and Cornish—to say
nothing of the rivalry between a North and South Walian or a
Highland and Lowland Scot—are as distinct as the obvious
geographic identities of these parts of the highland zone.
Rural settlement
The diverse forms and patterns of settlement in the United
Kingdom reflect not only the physical variety of the landscape
but also the successive movements of peoples arriving as
settlers, refugees, or conquerors from continental Europe, along
with the changing economic contexts in which settlement has
occurred. Social and economic advantages led some people to
cluster, whereas others had an equally strong desire for
separateness. Both tendencies mark settlement forms in Britain
from very early times, and regional contrasts in the degree of
dispersion and nucleation are frequent.
Single farmsteads, the many surviving old clachans (clusters
or hamlets), and occasional villages and small towns still
characterize much of the highland zone. Some nucleated
settlement patterns, however, have undergone radical change. In
Wales hamlets began to disappear in the late Middle Ages through
the related processes of consolidation and enclosure that
accompanied the decline in the size of the bond (feudally tied)
population. The Black Death of 1349, which spread quickly among
poorer inhabitants, reinforced this trend. Many surviving
bondsmen fled their servile obligations amid the turmoil of the
nationalistic uprising led by Owen Glendower. Thus, many Welsh
hamlets had fallen into decay by 1410, when the rebellion was
crushed. In Scotland great changes accompanied the late
18th-century Highland clearances, in which landlords forcibly
evicted tenants and converted their holdings to sheep pastures.
As late as the 1880s many clachans disappeared in Northern
Ireland as part of a deliberate policy of reallocating land to
new dispersed farmsteads. Great changes have also occurred in
the lowland zone, where the swing to individual ownership or
tenancy from the medieval custom of landholding in common
brought about not only dispersion and deserted villages but the
enclosure of fields by hedges and walls. Villages remain
remarkably stable features of the rural landscape of Britain,
however, and linear, round, oval, and ring-shaped villages
survive, many with their ancient greens still held in common by
the community.
Urban settlement
By any standard the United Kingdom is among the most
urbanized of countries, for towns not only typify the national
way of life but are unusually significant elements in the
geography of the country. The greatest overall change in
settlement was, in fact, the massive urbanization that
accompanied Britain’s early industrial development. The
increasing percentage of employees in offices and service
industries ensures continued urban growth. Of every 10 people in
the United Kingdom, nine live in towns and more than three of
them in one of the country’s 10 largest metropolitan areas. The
Greater London metropolitan area—the greatest port, the largest
centre of industry, the most important centre of office
employment, and the capital city—is by far the largest of these.
The need for accommodating business premises has displaced
population from Inner London, and this outward movement, in
part, has led to the development of new towns outside the
10-mile- (16-km-) wide Green Belt that surrounds London’s
built-up area.
Large metropolitan areas also formed in industrial areas
during the 19th and early 20th centuries. Although coalfields or
textile manufacture underpinned the initial growth of many of
these urban areas, coal mining had virtually ceased in all of
them by the end of the 20th century, and the economic
predominance of heavy industry and textile production had given
way to a more diverse blend of manufacturing and service
activities. Birmingham dominates the extensive built-up area of
the West Midlands metropolitan area, but the industrial Black
Country—named for its formerly polluted skies and grimy
buildings—also has several large and flourishing towns. In
Greater Manchester, with a similar number of inhabitants,
urbanization accompanied the mechanization of the cotton textile
industry. Across the Pennines similar mechanization of wool
textiles created the West Yorkshire metropolitan area, with
Leeds and Bradford as its twin centres. The metropolitan area of
Tyne and Wear (centred on Newcastle upon Tyne) and the Greater
Glasgow metropolitan area are also located on coalfields.
Greater Glasgow houses about one-third of Scotland’s people.
Merseyside (centred on Liverpool) has traditionally served as a
seaport and distribution centre for Greater Manchester and the
rest of Lancashire. Other large metropolitan areas in Great
Britain include South Yorkshire (centred on Sheffield),
Nottingham, and Bristol. About one-fifth of Northern Ireland’s
population live in Belfast. In addition to these large
metropolitan areas, there are many other minor urban
agglomerations and large towns, several of which line the coast.
With so much urban and suburban concentration, the problems
of air, water, and noise pollution have attracted much concern
in the United Kingdom. Clean-air legislation has brought
considerable progress in controlling air pollution, partly by
establishing smoke-control areas in most cities and towns, and
there has been a shift from coal to cleaner fuels. Pollution of
the rivers remains a large problem, particularly in the highly
industrialized parts of the United Kingdom, but vigilance,
research, and control by the National River Authorities and
general public concern for the environment are encouraging
features of contemporary Britain. Several statutory and
voluntary organizations support measures to protect the
environment. They aim to conserve the natural amenity and beauty
not only of the countryside but also of the towns and cities.
Demographic trends
Population growth
The population of the United Kingdom has been increasing
since at least 1086, the date of Domesday Book, which provides
the earliest reasonable estimate of England’s population (the
survey did not cover other areas). This growth has continued
despite some setbacks, by far the most serious of which was the
Black Death of the mid 14th century, in which it is estimated
that about one-third of the population died. There is little
concrete information, however, concerning birth or death rates,
immigration, or emigration until 1801, the date of the first
official census. The assumption is that a population of about
three million lived in what became the United Kingdom at the end
of the 11th century and that this figure had increased to about
12 million by 1801. This slow growth rate, in contrast with that
of more modern times, resulted mainly from the combination of a
high birth rate with an almost equally high death rate. Family
monuments in old churches show many examples of men whose
“quivers were full” but whose hearths were not crowded. It is
estimated that in the first half of the 18th century
three-fourths of the children born in London died before they
reached puberty. Despite the appalling living conditions it
produced, the Industrial Revolution resulted in an acceleration
of the birth rate. Gradually the greater medical knowledge,
improved nutrition, and concern for public health that
characterized the 19th and 20th centuries yielded a lower
mortality rate and an overall increase in population, even as
birth rates began to drop.
Since the 1930s the population has experienced a complete
cycle in its pattern of growth. A low rate of increase during
the 1930s was followed by a post-World War II marriage boom that
accelerated the rate of growth, culminating in a peak during the
mid-1960s. After 1964 a considerable fall in the birth rate
brought about a dramatic decline in growth, with a small
absolute decline in population between 1974 and 1978. However,
modest population growth resumed during the 1980s, and the
population of the United Kingdom rose from 56 million in 1980 to
about 60 million by the end of the 20th century. The main cause
of these abrupt shifts was the erratic nature of the birth rate,
with the interaction of two opposing trends: on one hand, a
long-term general decline in fertility and, on the other, a
rising longevity and a decline in death rates. Such processes
also have affected the age composition of the population, which
has grown decidedly older. There has been a decline in the
proportion of youths and an increase in the proportion of older
people, especially those age 85 and older.
Migration patterns
Beginning in the 1950s, the immigration of nonwhite (“New
Commonwealth”) people from such developing nations as India,
Pakistan, and the countries of the West Indies became
significant, and from 1957 until 1962 there was a net migration
gain. Since then restriction on the entry of New Commonwealth
citizens has lessened the primary inflow, but dependents of
immigrants already in the United Kingdom are still admitted. The
reasons for restricting entry were in part economic but were
also associated with the resistance of the existing population
to the new arrivals. Nevertheless, the United Kingdom continues
to gain people from the New Commonwealth.
Although historical records refer to emigration to North
America in the 17th and 18th centuries, there is little
quantitative information about such movements before the middle
of the following century. The greatest numbers appear to have
left Great Britain in the 1880s and between 1900 and the
outbreak of World War I. Emigration, particularly to Canada,
Australia, and New Zealand (“Old Commonwealth” countries),
continued at a high rate after the war until 1930, when
unfavourable economic conditions in the British Empire and in
the United States reversed the movement. During the same years,
there also was an influx of refugees from Europe. After World
War II both inward and outward movements were considerable.
Emigration to the countries of the Old Commonwealth and, to a
lesser degree, to the United States continued, but until 1951
immigration into Britain roughly equaled British emigration to
the rest of the world. Since the mid-1960s there has been a
slackening of emigration, as Canada and Australia no longer
maintain an open-door policy to citizens of the United Kingdom,
accepting only those whose skills are in demand. Nevertheless,
the United Kingdom continues to be an exporter of population,
albeit on a declining scale, to the Old Commonwealth, while
emigration to the nations of the European Union and other
foreign countries has increased.
Migration within the United Kingdom has at times been
sizable. Until 1700 the relatively small population was sparsely
distributed and largely rural and agricultural, much as it had
been in medieval times. From the mid 18th century, scientific
and technological innovations created the first modern
industrial state. At the same time, agriculture underwent
technical and tenurial changes that allowed increased production
with a smaller workforce, and revolutionary improvements in
transport facilitated the movement of materials and people. As a
result, by the late 19th century a theretofore mainly rural
population had largely become a nation of industrial workers and
town dwellers.
The rural exodus was a long process. The breakdown of
communal farming started before the 14th century. Subsequently
enclosures advanced steadily, especially after 1740, until a
century later open fields had virtually disappeared from the
landscape. Many of the displaced landless agricultural labourers
were attracted to the better employment opportunities and the
higher wage levels of the growing industries. Meanwhile, a rapid
rise in the birth rate had produced a growing population of
young people in the countryside who faced little prospect of
agricultural employment. These groups contributed to a high
volume of internal migration toward the towns.
Industry, as well as the urban centres that inevitably grew
up around it, concentrated near the coalfields, while the
railway network, which grew rapidly after 1830, enhanced the
commercial importance of many towns. The migration of people,
especially young people, from the country to industrialized
towns took place at an unprecedented rate in the early railway
age, and such movements were relatively confined geographically.
Migration from agricultural Ireland provided an exception, for,
when the disastrous potato disease of 1845–49 led to widespread
famine, large numbers moved to Great Britain to become urban
workers in Lancashire, Clydeside (the Glasgow region), and
London. The rural exodus continued, but on a greatly reduced
scale, after 1901.
Soon after World War I, new interregional migration flows
commenced when the formerly booming 19th-century industrial and
mining districts lost much of their economic momentum. Declining
or stagnating heavy industry in Clydeside, northeastern England,
South Wales, and parts of Lancashire and Yorkshire swelled the
ranks of the unemployed, and many migrated to the relatively
more prosperous Midlands and southern England. This movement of
people continued until it was arrested by the relatively full
employment conditions that obtained soon after the outbreak of
World War II.
In the 1950s opportunities for employment in the United
Kingdom improved with government-sponsored diversification of
industry, reducing the volume of migration to the south. The
decline of certain northern industries—coal mining,
shipbuilding, and cotton textiles in particular—had nevertheless
reached a critical level by the late 1960s, and the emergence of
new growth points in the West Midlands and southeastern England
made the drift to the south a continuing feature of British
economic life. During the 1960s and ’70s the areas of most rapid
growth were East Anglia, the South West, and the East Midlands,
partly because of limitations on growth in Greater London and
the development of peripheral new towns in surrounding areas.
During the 1980s the government largely abandoned subsidies
for industry and adopted a program of rationalization and
privatization. The result was the collapse of coal mining and
heavy industry in the north and the West Midlands of England and
in the Lowlands of Scotland and a similar loss of heavy industry
in Northern Ireland; this unleashed a wave of migration from
these regions to the more prosperous south of England,
especially East Anglia, the East Midlands, and the South West.
As the economy stabilized during the 1990s, migration from
Scotland, Northern Ireland, and northern England subsided. While
the South East (including Greater London) was the chief
destination of external immigrants into Britain, this region,
along with the West Midlands, produced a growing internal
migration to surrounding regions of England during the 1990s.
This pattern reflected a larger trend of migration out of older
urban centres throughout Britain to surrounding rural areas and
small towns at the end of the 20th century.
William Ravenhill
Ed.
Economy
The United Kingdom has a fiercely independent, developed,
and international trading economy that was at the forefront of
the 19th-century Industrial Revolution. The country emerged from
World War II as a military victor but with a debilitated
manufacturing sector. Postwar recovery was relatively slow, and
it took nearly 40 years, with additional stimulation after 1973
from membership in the European Economic Community (now the
European Community in the European Union [EU]), for the British
economy to improve its competitiveness significantly. Economic
growth rates in the 1990s compared favourably with those of
other top industrial countries. Manufacturing’s contribution to
gross domestic product (GDP) has declined to about one-fifth of
the total, with services providing the source of greatest
growth. The United Kingdom’s chief trading ties have shifted
from its former empire to other members of the EU, which account
for more than half its trade in tangible goods. The United
States is a major investment and trading partner, and Japan has
become a significant investor in local production. American and
Japanese companies often choose the United Kingdom as their
European base. In addition, other fast-developing East Asian
countries with export-oriented economies include the United
Kingdom’s open market among their important outlets.
During the 1980s the Conservative government of Margaret
Thatcher pursued the privatization, or denationalization, of
publicly owned corporations that had been nationalized by
previous governments. Privatization, accompanied by widespread
labour unrest, resulted in the loss of tens of thousands of jobs
in the coal-mining and heavy industrial sectors. Although there
was some improvement in the standard of living nationally, in
general there was greater prosperity in the South East,
including London, than in the heavily industrialized regions of
the West Midlands, northern England, Clydeside, and Belfast,
whose economies suffered during the 1980s. During the 1980s and
’90s, income disparity also increased. Unemployment and
inflation rates were gradually reduced but remained high until
the late 1990s. The country’s role as a major world financial
centre remained a source of economic strength. Moreover, its
exploitation of offshore natural gas since 1967 and oil since
1975 in the North Sea has reduced dependence on coal and
imported oil and provided a further economic boost.
Agriculture, forestry, and fishing
Agriculture
The United Kingdom is unusual, even among western European
countries, in the small proportion of its employed population
(about 2 percent) engaged in agriculture. With commercial
intensification of yields and a high level of mechanization,
supported initially by national policy and subsequently by the
Common Agricultural Policy (CAP) of the EU, the output of some
agricultural products has exceeded demand. Employment in
agriculture has declined gradually, and, with the introduction
of policies to achieve reduction of surpluses, the trend is
likely to continue. Efforts have been made to create alternative
employment opportunities in rural areas, some of which are
remote from towns. The land area used for agriculture (about
three-quarters of the total) has also declined, and the arable
share has fallen in favour of pasture.
Official agricultural policy conforms to the CAP and has
aimed to improve productivity, to ensure stable markets, to
provide producers a fair standard of living, and to guarantee
consumers regular food supplies at reasonable prices. To achieve
these aims, the CAP provides a system of minimum prices for
domestic goods and levies on imports to support domestic prices.
Exports are encouraged by subsidies that make up the difference
between the world market price and the EU price. For a few
products, particularly beef and sheep, there are additional
payments made directly to producers. More recent policies have
included milk quotas, land set-asides (to compensate farmers for
taking land out of agricultural use), and reliance on the price
mechanism as a regulator.
The most important farm crops are wheat, barley, oats, sugar
beets, potatoes, and rapeseed. While significant proportions of
wheat, barley, and rapeseed provide animal feed, much of the
remainder is processed for human consumption through flour
milling (wheat), malting and distilling (barley), and the
production of vegetable oil (rapeseed). The main livestock
products derive from cattle and calves, sheep and lambs, pigs,
and poultry. The United Kingdom has achieved a high level of
self-sufficiency in the main agricultural products except for
sugar and cheese.
Forestry
About one-tenth of the United Kingdom’s land area is devoted
to productive forestry. The government-supported Forestry
Commission manages almost half of these woodlands, and the rest
are in private hands. Domestic timber production supplies less
than one-fifth of the United Kingdom’s demand. The majority of
new plantings are of conifers in upland areas, but the
commission encourages planting broad-leaved trees where
appropriate.
Fishing
Although the United Kingdom is one of Europe’s leading
fishing countries, the industry has been in long-term decline.
Fishing limits were extended to 200 nautical miles (370 km)
offshore in the mid-1970s, and, because a significant part of
the area fished by other EU members lies within British waters,
it has been necessary to regulate catches on a community-wide
basis. Meanwhile, the United Kingdom has lost opportunities to
fish in some more-distant waters (e.g., those off Iceland), and
this has reduced its total catch more than those of other
countries of the EU. The United Kingdom’s fishing industry now
supplies only half the country’s total demand. The most
important fish landed are cod, haddock, mackerel, whiting, and
plaice, as well as shellfish, including Nephrops (Norway
lobsters), lobsters, crabs, and oysters. Estuarine fish
farming—mainly of trout and salmon—has expanded considerably.
Resources and power
Minerals
The United Kingdom has relatively limited supplies of
economically valuable mineral resources. The once-important
extraction of iron ore has dwindled to almost nothing. Other
important metals that are mined include tin, which supplies
about half the domestic demand, and zinc. There are adequate
supplies of nonmetallic minerals, including sand and gravel,
limestone, dolomite, chalk, slate, barite, talc, clay and clay
shale, kaolin (china clay), ball clay, fuller’s earth,
celestine, and gypsum. Sand, gravel, limestone, and other
crushed rocks are quarried for use in construction.
Energy
By contrast, the United Kingdom has larger energy
resources—including oil, natural gas, and coal—than any other EU
member. Coal, the fuel once vital to the British economy, has
continued to decrease in importance. Compared with its peak year
of 1913, when more than one million workers produced more than
300 million tons, current output has fallen by more than
four-fifths, with an even greater reduction in the labour force.
Power stations are the major customers for coal, but, with
growth in the use of other fuels and the increasing closing of
pits that have become uneconomical to operate, the industry
remains under considerable pressure.
The discovery of oil in the North Sea and the apportionment
of its area to surrounding countries led to the rapid
development of oil exploitation. Since the start of production
in 1975, the quantities brought ashore have grown each year, and
the United Kingdom has become virtually self-sufficient in oil
and even an exporter. With an average output of nearly three
million barrels per day at the beginning of the 21st century,
the country was one of the world’s largest producers. The
balance of payments has benefited considerably from oil
revenues, and a substantial proportion has been invested abroad
to offset diminishing oil income in the future. Proven reserves
were estimated at around 700 million tons in the late 1990s.
Since offshore natural gas supplies from the North Sea began
to be available in quantity in 1967, they have replaced the
previously coal-based supplies of town gas. A national network
of distribution pipelines has been created. Proven reserves of
natural gas were estimated at 26.8 trillion cubic feet (760
billion cubic metres) in the late 1990s.
Self-sufficiency in oil and natural gas and the decline of
coal mining has transformed Britain’s energy sector. Nuclear
fuel has slightly expanded its contribution to electricity
generation, and hydroelectric power contributes a small
proportion (mainly in Scotland), but conventional steam power
stations provide most of the country’s electricity.
Manufacturing
The manufacturing sector as a whole has continued to shrink
both in employment and in its contribution (now around
one-fifth) to the GDP. The decline in manufacturing largely
accounted for the rapid rise in unemployment in the early 1980s.
Once economic growth returned, however, there was great
improvement in productivity and profits in British
manufacturing.
In terms of their relative importance to the GDP, the most
important manufacturing industries are engineering; food,
beverages (including alcoholic beverages), and tobacco;
chemicals; paper, printing, and publishing; metals and minerals;
and textiles, clothing, footwear, and leather. The
fastest-growing sectors have been chemicals and electrical
engineering. Within the chemical industry, pharmaceuticals and
specialty products have shown the largest increases. Within the
engineering industry, electrical and instrument engineering and
transport engineering—including motor vehicles and aerospace
equipment—have grown faster than mechanical engineering and
metal goods, and electronic products have shown the fastest
growth. On the other hand, the growth in motor vehicle
production has occurred among foreign-owned, especially
Japanese, companies investing in the United Kingdom. British
automobile manufacturers have been in decline since the 1970s.
After a period of restructuring during the 1980s, the British
steel industry substantially increased its productivity, output,
and exports during the 1990s. However, food, beverages, tobacco,
leather, and engineering as a whole have had below-average
growth. Textiles, clothing, and footwear have been in absolute
decline because British companies have faced increasing
difficulty competing with imports, especially from Asia.
During the 1980s imports of manufactured products increased
dramatically, and, although exports of finished manufactured
products increased in value, the surplus in the balance of trade
disappeared and was transformed into a large deficit.
Nevertheless, after a period of restructuring in the 1980s,
Britain’s manufacturing sector increased its productivity and
competitiveness, and the trade balance improved and stabilized
during the 1990s.
Construction in Britain stagnated during the 1990s because of
a decline in prices and in demand for new housing and because of
decreased government investment in infrastructure during the
first half of the decade. About half the labour force in
construction is self-employed. More than half of all
construction work is on new projects, the remainder on repair
and maintenance. There has been a marked switch from housing
funded and owned by public authorities toward private
development. Considerable efforts have also been made to
encourage tenants of publicly owned rented houses to become
owner-occupiers, with the result that the proportion of
owner-occupied homes has grown considerably since the early
1970s. The supply of privately rented accommodations became
scarcer because of statutory rent controls that discouraged new
construction, but changes during the 1980s both in the economic
climate and in official policy began to stimulate the supply.
The average price of a new house, particularly in London and the
South East, has generally continued to increase more rapidly
than the prevailing rate of inflation, although prices have
fluctuated considerably. In turn, the rising price of new homes
has created considerable pressure on the land available for
housing, which has been relatively tightly controlled. Here,
too, public policy has been changing in favour of greater
permissiveness.
Private industrial and commercial construction and public
projects account for the remainder of construction. During the
1980s and ’90s the United Kingdom embarked on a series of major
infrastructure projects, including the Channel Tunnel between
Britain and France, the rebuilding of large parts of London’s
traditional Docklands as a new commercial centre, and extensions
to London’s rail and Underground systems.
Finance
The United Kingdom, particularly London, has traditionally
been a world financial centre. Restructuring and deregulation
transformed the sector during the 1980s and ’90s, with important
changes in banking, insurance, the London Stock Exchange,
shipping, and commodity markets. Some long-standing distinctions
between financial institutions have become less clear-cut. For
example, housing loans used to be primarily the responsibility
of building societies, but increasingly banks and insurance
companies have entered this area of lending. Two related
developments have occurred: the transformation of
building-society branch offices into virtual banks with personal
cashing facilities and the diversification of all three of these
types of institutions into real estate services. Building
societies also participate to a limited extent in investment
services, insurance, trusteeship, executorship, and land
services.
At the end of the 20th century, the financial services
industry employed more than one million people and contributed
about one-twelfth of the GDP. Although financial services have
grown rapidly in some medium-sized cities, notably Leeds and
Edinburgh, London has continued to dominate the industry and has
grown in size and influence as a centre of international
financial operations. Capital flows have increased, as have
foreign exchange and securities trading. Consequently, London
has more foreign banks than any other city in the world.
Increased competition and technological developments have
accelerated change. The International Stock Exchange was
reorganized, and the historical two-tier structure of brokers,
who executed investors’ instructions to buy and sell stocks and
shares, and jobbers, who “made” markets in these securities, was
abolished. As a result, new companies link British and foreign
banks with former brokers and jobbers. The Financial Services
Act of 1986, the Building Societies Act of 1987, and the Banking
Act of 1987 regulate these new financial organizations. In 1997
the government established a Financial Services Authority (FSA)
to regulate the financial services industry; it replaced a
series of separate supervisory organizations, some of them based
on self-regulation. Among other tasks, the FSA has taken over
the supervision of the United Kingdom’s commercial banks from
the Bank of England.
The Bank of England retains the sole right to issue bank
notes in England and Wales (banks in Scotland and Northern
Ireland have limited rights to do this in their own areas). In
1997 the Bank of England was given the power to set the “repo,”
or benchmark, interest rate, which influences the general
structure of interest rates. The bank’s standing instruction
from the government is to set an interest rate that will meet a
target inflation rate of 2.5 percent per annum. The bank also
intervenes actively in foreign exchange markets and acts as the
government’s banker. The pound sterling is a major
internationally traded currency.
A variety of institutions, including insurance companies,
pension funds, and investment and unit trusts, channel
individual savings into investments. Finance houses are the
primary providers of home mortgages and corporate lending and
leasing. There are also companies that finance the leasing of
business equipment; factoring companies that provide immediate
cash to creditors and subsequently collect the corporate debts
owed; and finance corporations that provide venture capital
funding for innovations or high-risk companies and that
supplement the medium- and long-term capital markets, otherwise
supplied by the banks or the Stock Market.
The United Kingdom has a number of organized financial
markets. The securities markets comprise the International Stock
Exchange, which deals in officially listed stocks and shares
(including government issues, traded options, stock index
options, and currency options); the Unlisted Securities Market,
for smaller companies; and the Third Market, for small unlisted
companies. Money market activities include the trading of bills,
certificates of deposit, short-term deposits, and, increasingly,
sterling commercial paper. Other markets are those dealing in
Eurocurrency, Eurobonds, foreign exchange, financial futures,
gold, ship brokerage, freight futures, and agricultural and
other commodity futures.
The share of invisible trade (receipts and payments from
financial services; interest, profits, and dividends; and
transfers between the United Kingdom and other countries) has
been rising steadily since the 1960s—from about one-third to
one-half of the country’s total foreign earnings. Within this
area, service transactions have grown rapidly, and financial
services have grown the fastest.
Trade
Trade has long been pivotal to the United Kingdom’s economy.
The total value of imports and exports represents nearly half
the country’s GDP. (By comparison, the value of foreign trade
amounts to about one-fifth of the GDP of the United States.) The
volume of both the exports and the imports of the United Kingdom
has grown steadily in recent years. Principal British exports
include machinery, automobiles and other transport equipment,
electrical and electronic equipment (including computers),
chemicals, and oil. Services, particularly financial services,
are another major export and contribute positively to Britain’s
trade balance. The country imports about one-tenth of its
foodstuffs and about one-third of its machinery and transport
equipment.
An increasing share of the United Kingdom’s trade is with
other developed countries. Joining the European Economic
Community caused a major reorientation of trade flows; more than
half of all trade is now with European partners, although at the
beginning of the 21st century the United States remained the
United Kingdom’s single largest export market and its second
largest supplier. Germany was the leading supplier and the
second most important export market.
The United Kingdom’s current overall balance of payments
(including trade in services and transfer payments), which
historically had been generally favourable, fell into deficit
from the mid-1980s until the late 1990s because visible imports
(i.e., tangible goods imported) exceeded visible exports.
Meanwhile there was considerable overseas investment, and
foreign earnings grew. The government has supported trade
liberalization and participated in international trade
organizations. By the late 1990s the steady growth in exports of
goods and services and in foreign earnings had produced the
first balance-of-payments surplus in more than a decade.
Services
The most remarkable economic development in the United
Kingdom has been the growth of service industries, which now
provide about two-thirds of the GDP and three-fourths of total
employment. This reflects the rise in real personal incomes,
changes in patterns of consumer expenditure, and the elaboration
and increasing outsourcing of business services. Although some
services—for example, public transportation, laundries, and
movie theatres—have declined in favour of privately owned
goods—such as automobiles, washing machines, and television
sets—this has stimulated increased demand for the related
services that distribute, maintain, and repair such products.
Other growing service industries include hotels and catering,
air travel and other leisure-related activities, distribution
(particularly retailing), and finance. Especially rapid growth
has occurred in other business-support services, including
computing systems and software, management consultancy,
advertising, and market research, as well as the provision of
exhibition and conference facilities. Britain is also the base
for some of the world’s leading art auction houses.
The United Kingdom’s many cultural treasures—e.g., its
historic castles, museums, and theatres—make it a popular
tourist destination. The tourism industry is a leading sector in
the British economy, and each year more than 25 million tourists
visit the country. London is among the world’s most-visited
cities.
Labour and taxation
Government revenues are derived from several main sources,
including income taxes, corporate taxes, taxes on the sale of
goods and services, and national insurance contributions. After
World War II the government adopted individual income tax rates
that were among the highest in Europe. During the last two
decades of the 20th century, individual income tax rates
dropped, and corporate tax rates increased slightly. A
value-added tax, which levies a 17.5 percent tax on purchases,
generates nearly one-third of government revenues.
During the 1980s the Thatcher government adopted policies
that placed limits on the power and influence of trade unions
and provided training for those entering the workforce or
changing careers. The Labour government of the late 1990s
retained many of Thatcher’s policies, but they abandoned the
Conservative objective of unlimited tax reduction and instead
sought to stabilize the overall burden of taxation at about 37
percent of GDP.
Just under half the total population is in the labour force,
including a small but expanding proportion who are
self-employed. About three-tenths of workers are members of a
trade union, a share that dropped significantly with the
adoption of legislation restricting trade union rights in the
last two decades of the 20th century. Among the various
influential trade organizations are the public-sector union
Unison; the manufacturing-sector union Amalgamated Engineering
and Electrical Union, and the general-services unions General,
Municipal, and Boilermakers’ Union and Transport and General
Workers’ Union. Although manufacturing once dominated
employment, it now involves less than one-sixth of all workers.
In contrast, the service sector employs more than two-thirds of
employees, with financial services and distribution the two
largest components.
Transportation and telecommunications
The United Kingdom, which is relatively small in area and
has a fairly high population density, has undergone considerable
change in its patterns of transport. The growth of automobile
ownership (by the turn of the 21st century, nearly two-thirds of
all households had one automobile, and some had two or more),
the decline in the use of local buses, and the transfer of much
internal freight from rail to road increased the importance of
maintaining and developing road networks, particularly motorways
(superhighways) and trunk roads. Intercity rail services have
been improved, as have commuter services in major metropolitan
areas. Similarly, air traffic has grown, particularly
international flights. Although there has been a downward trend
in shipping and sea travel, most foreign trade still moves by
sea. However, the opening of the Channel Tunnel rail link
between England and France in 1994 had a big impact on
cross-Channel passenger and freight patterns. At peak periods
the tunnel accommodates up to four passenger and four freight
shuttletrains per hour in each direction. By the end of the
decade, these trains carried about half of the car traffic and
more than one-third of the coach and truck traffic on the
Dover/Folkestone–Calais route—the principal artery linking
Britain to mainland Europe. In addition, the tunnel accommodates
through freight trains and high-speed passenger trains between
London and Paris or Brussels. Substantial passenger and cargo
traffic moves by sea between the ports of the United Kingdom,
Ireland, and Europe. Oil and natural gas, each of which has a
national bulk-distribution pipeline system, do not rely on the
road and rail networks.
Investment in transportation has sometimes failed to meet
rising demand—for example, the M25 motorway around London showed
signs of overload soon after it was opened in 1986; there is
overcrowding on commuter rail services, including London’s
Underground; congested traffic moves at a snail’s pace in
cities; and there is continuous pressure to build more motorways
and airports to serve London.
During the 1980s British Telecom (BT) was privatized, and the
government subsequently deregulated the country’s
telecommunications sector. Although BT has continued to be the
largest telecommunications company, several additional operators
provide extensive service for cable, wireless, fibre-optic, and
other telecommunications services. An independent regulatory
agency, the Office of Communications (Ofcom), oversees the
sector.
Ulric M. Spencer
Peter Jon Kellner
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Government and society
Constitutional framework
The United Kingdom is a constitutional monarchy and a
parliamentary democracy. The country’s head of state is the
reigning king or queen, and the head of government is the prime
minister, who is the leader of the majority political party in
the House of Commons.
The British constitution is uncodified; it is only partly
written and is flexible. Its basic sources are parliamentary and
European Union legislation, the European Convention on Human
Rights, and decisions by courts of law. Matters for which there
is no formal law, such as the resignation of office by a
government, follow precedents (conventions) that are open to
development or modification. Works of authority, such as Albert
Venn Dicey’s Lectures Introductory to the Study of the Law of
the Constitution (1885), are also considered part of the
constitution.
The main elements of the government are the legislature, the
executive, and the judiciary. There is some overlap between the
branches, as there is no formal separation of powers or system
of checks and balances. For example, the lord chancellor
traditionally was a member of all three branches, serving as a
member of the cabinet (executive branch), as the government’s
leader in the House of Lords (legislative branch), and as the
head of the country’s judiciary (judicial branch). However,
constitutional reforms in 2006 stripped the office of most of
its legislative and judicial functions, with those powers
devolving to the lord speaker and the lord chief justice,
respectively.
Sovereignty resides in Parliament, which comprises the
monarch, the mainly appointive House of Lords, and the elected
House of Commons. The sovereignty of Parliament is expressed in
its legislative enactments, which are binding on all, though
individuals may contest in the courts the legality of any action
under a specific statute. In certain circumstances individuals
may also seek protection under European law. Until 1999 the
House of Lords consisted mainly of hereditary peers (or nobles).
Since then it has comprised mainly appointed peers, selected by
successive prime ministers to serve for life. However, 92 (out
of 759) hereditary peers were permitted to retain their
membership in the House of Lords pending a more far-reaching
reform of the upper house. Each of the 646 members of the House
of Commons (members of Parliament; MPs) represents an individual
constituency (district) by virtue of winning a plurality of
votes in the constituency.
All political power rests with the prime minister and the
cabinet, and the monarch must act on their advice. The prime
minister chooses the cabinet from MPs in his political party.
Most cabinet ministers are heads of government departments. The
prime minister’s authority grew during the 20th century, and,
alone or with one or two colleagues, the prime minister
increasingly has made decisions previously made by the cabinet
as a whole. Prime ministers have nevertheless been overruled by
the cabinet on many occasions and must generally have its
support to exercise their powers.
Because the party with a majority in the House of Commons
supports the cabinet, it exercises the sovereignty of
Parliament. The royal right of veto has not been exercised since
the early 18th century, and the legislative power of the House
of Lords was reduced in 1911 to the right to delay legislation.
The cabinet plans and lays before Parliament all important
bills. Although the cabinet thus controls the lawmaking
machinery, it is also subject to Parliament; it must expound and
defend its policy in debate, and its continuation in office
depends on the support of the House of Commons.
The executive apparatus, the cabinet secretariat, was
developed after World War I and carries out the cabinet’s
decisions. It also prepares the cabinet’s agenda, records its
conclusions, and communicates them to the government departments
that implement them.
Regional government
Within the United Kingdom, national assemblies in
Scotland, Wales, and Northern Ireland took power in 1999 and
assumed some powers previously held exclusively by the central
Parliament at Westminster, to which they remain subordinate. The
central Parliament retains full legislative and executive
control over England, which lacks a separate regional assembly.
Scotland’s Parliament has wide powers over such matters as
health, education, housing, transport, the environment, and
agriculture. It also has the power to increase or decrease the
British income tax rate within Scotland by up to three
percentage points. The central Parliament retains responsibility
for foreign affairs, defense, social security, and overall
economic policy. Unlike the members of the House of Commons,
members of the Scottish Parliament are chosen under a system of
proportional representation. Scotland has a distinct legal
system based on Roman law. Since 1999 Wales has also had its own
assembly, but because it has neither legislative nor
tax-gathering powers, the Welsh assembly is significantly less
powerful than the Scottish Parliament. It does, however, broadly
administer the same services as the Scottish Parliament, albeit
within a legislative framework set by Westminster. Like Scottish
legislators, members of the Welsh assembly are elected by
proportional representation. The Northern Ireland Assembly
gained limited legislative and executive power at the end of
1999. Its members, like those of the other regional assemblies,
are elected by proportional representation. It has power over
matters concerning agriculture, economic development, education,
the environment, health, and social services, but the
Westminster government retains control over foreign affairs,
defense, general economic policy, taxation, policing, and
criminal justice. Divisions between unionist (Protestant) and
nationalist (Roman Catholic) factions in the Northern Ireland
Assembly, however, have threatened its future. If either faction
withdraws from the assembly, the region could return to the
system of direct rule by the central government that prevailed
in Northern Ireland from 1973 to 1999.
Local government
Each part of the United Kingdom has a distinct system of
local government. (For a full account of local government in
each part of the United Kingdom, see the discussions of local
government in the articles on England, Wales, Scotland, and
Northern Ireland.) Local governments have very few legislative
powers and must act within the framework of laws passed by the
central Parliament (and by the Scottish Parliament in Scotland).
Nevertheless, they do have the power to enact regulations and to
levy rates (property taxes) within limits set by the central
government. They are funded by the rates that they levy, by fees
for services, and by grants from the central government. Local
governments in the United Kingdom are responsible for a range of
community services, including environmental matters, education,
highways and traffic, social services, fire fighting,
sanitation, planning, housing, parks and recreation, and
elections. In Scotland and Wales regional governments handle
some of these functions, and local governments handle the
remainder. In Northern Ireland the Northern Ireland Assembly is
responsible for many of these functions. The responsibilities of
local governments in Northern Ireland are limited to
environmental matters, sanitation, and recreation.
Parts of the United Kingdom have as many as three levels, or
tiers, of local government, each with its own responsibilities,
whereas other areas have only a single tier or two tiers.
Throughout England, parish and town councils form the lowest
tier of local government. (Parishes are civil subdivisions,
usually centred on a village or small town, that are distinct
from church bodies.) They have the power to assess “precepts”
(surcharges) on the local rates and a range of rights and
duties, including maintenance of commons, recreational
facilities, and environmental quality and participation in the
planning process. Community councils perform a similar role in
Wales, whereas community councils in Scotland are voluntary and
consultative bodies with few statutory powers. This lowest level
of local government has no counterpart in Northern Ireland.
The next tier of local government is usually known in England
and Northern Ireland as a district, borough, or city. In
Northern Ireland this is the only level of local government. In
Scotland and Wales this second tier is the only one with broad
powers over major local government functions. In Wales these
local government areas are known as either counties or county
boroughs, while in Scotland they are variously known as council
areas or local government authorities or, in some cases, cities.
In some areas of England this second tier of local government is
the only one with broad statutory and administrative powers.
These areas are known in England as unitary authorities (since
they form a single tier of local government above the parishes
and towns) or metropolitan boroughs (which are functionally
equivalent to unitary authorities but form part of a larger
metropolitan county). In other areas of England, districts,
boroughs, and cities form an intermediate tier of local
government between the towns and parishes on the one hand and
administrative counties on the other. Administrative counties,
which cover much of England, are the highest tier of local
government where they exist.
In Greater London, boroughs form the lowest tier of local
government and are responsible for most local government
functions. However, in 2000 a new Greater London Authority (GLA)
was established with very limited revenue-gathering powers but
with responsibility for public transport, policing, emergency
services, the environment, and planning in Greater London as a
whole. The GLA consists of a directly elected mayor (a
constitutional innovation for the United Kingdom, which had
never previously filled any executive post by direct election)
and a 25-member assembly elected by proportional representation.
Whereas the administrative counties of England and the
counties and county boroughs of Wales have statutory and
administrative powers, there are other areas throughout the
United Kingdom that are called counties but lack administrative
power. In England, metropolitan counties cover metropolitan
areas; they serve as geographic and statistical units, but since
1986 their administrative powers have belonged to their
constituent metropolitan boroughs. Moreover, in England there is
a unit known variously as a ceremonial county or a geographic
county. These counties also form geographic and statistical
units. In most cases they comprise an administrative county and
one or more unitary authorities. In other cases they comprise
one or more unitary authorities without an administrative
county. Greater London and each of the metropolitan counties
also constitute ceremonial and geographic counties. These areas
are known as ceremonial counties because each has a lord
lieutenant and a high sheriff who serve as the representatives
of the monarch in the county and who represent the county at the
ceremonial functions of the monarchy.
Finally, every part of the United Kingdom lies within what is
known as a historic county. The historic counties have formed
geographic and cultural units since the Middle Ages, and they
historically had a variety of administrative powers. The Local
Government Act of 1888 regularized the administrative powers of
counties and reassigned them to new administrative counties with
the same names as the historic counties but with different
boundaries in some cases. Successive local government
reorganizations in the 1970s and ’90s redrew the boundaries of
administrative units in the United Kingdom so that no remaining
administrative unit corresponds directly to a historic county,
although many administrative and geographic counties and other
local government units carry the names of historic counties.
Still, even though they lack administrative power, historic
counties remain important cultural units. They serve as a focus
for local identity, and cultural institutions such as sporting
associations are often organized by historic county.
Justice
Recruited from successful practicing lawyers, judges in the
United Kingdom are appointed and virtually irremovable. The
courts alone declare the law, but the courts accept any act of
Parliament as part of the law. As courts in the United Kingdom
do not possess the power of judicial review, no court can
declare a statute invalid.
An accused person is presumed innocent until proved guilty.
The courts strictly enforce a law of contempt to prevent
newspapers or television from prejudicing the trial of the
accused before a jury. Verdicts in criminal cases rest on a
majority vote of the jury (in Scotland a simple majority, in
England, Wales, and Northern Ireland with no more than two
dissenting votes). Capital punishment was abolished in 1965.
Almost all defendants in criminal cases in the Crown Courts (in
Scotland the High Court of Justiciary), which deal with all
serious cases, are granted publicly funded legal aid.
More than 90 percent of criminal cases in England and Wales
are tried and determined by about 30,000 justices of the peace,
who are unpaid laypersons, or by the more than 60 stipendiary
(paid) magistrates, who are trained lawyers. More serious crimes
also come initially before a magistrate’s court. The system is
similar in Northern Ireland, but in Scotland district and
sheriff courts try most criminal cases. The police must bring an
arrested person before a magistrate within 36 hours, but the
magistrate can authorize further detention without charge for up
to 96 hours. Only 1 percent of suspects are held without charge
for more than 24 hours, however. The magistrate decides whether
the accused should be held on bail or in custody.
The vast majority of civil actions in England, Wales, and
Northern Ireland are tried in local county courts, whose
jurisdiction is limited by the nature of the action and the
amount of money at stake. In Scotland, sheriff courts and the
Court of Session try all civil actions.
Appeals in civil and criminal matters move from the High and
Crown courts to the Court of Appeal, which, in cases of legal
importance, can allow a final appeal to the judges in the House
of Lords. In Scotland only civil matters may be appealed to the
House of Lords.
Political process
All citizens aged 18 or older are eligible to vote in
parliamentary and local elections as well as in elections to the
European Parliament. All other public posts are filled by
appointment. Each member of the House of Commons represents one
parliamentary constituency. Constituency populations
historically have varied considerably, with those in Scotland
and Wales being much smaller than those in England. This
overrepresentation for Scotland and Wales dates from the 18th
century and the 1940s, respectively; however, because of the
wide array of powers vested in the Scottish Parliament, the
disparity in constituency size between England and Scotland was
eliminated at the May 2005 election, when Scotland’s seats in
the House of Commons were reduced from 72 to 59. Constituencies
in Northern Ireland are slightly smaller than those in England.
As there are no residency requirements, many members of
Parliament reside outside the constituency that they represent.
Registration of voters is compulsory and carried out
annually. Candidates for election to Parliament or a local
council are normally chosen by the local parties. There are no
primary elections along U.S. lines, for example, nor would such
a system be easy because the timing of general elections is
unpredictable.
The House of Commons is elected for a maximum term of five
years. At any time during those five years, the prime minister
has the right to ask the monarch to dissolve Parliament and call
a general election. A government with a working majority is
expected to govern for the greater part of its term, though it
rarely runs to the end. An early election may take place if
there is no working majority, and the prime minister need give
only 17 working days’ notice of a general election.
Parliamentary candidates’ campaign spending is strictly limited.
Since 2000, national party expenditure, which was previously
unrestricted, has been limited to a maximum of £20 million per
party. In addition, each party is allocated free election
broadcasts on the main television channels. No paid political
advertising is permitted on television or radio. These
provisions and the uncertainty about the timing of an election
produce campaigns that are, by international standards,
unusually brief and relatively inexpensive.
A two-party system has existed in the United Kingdom since
the late 17th century. Since the mid-1920s the dominant
groupings have been the Conservative Party and the Labour Party.
However, several smaller parties—e.g., the Liberal Democrats,
the Scottish and Welsh nationalist parties, and loyalist
(unionist) and republican (nationalist) political parties in
Northern Ireland—have gained representation in Parliament,
especially since the 1970s. The two-party system is one of the
outstanding features of British politics and generally has
produced firm and decisive government. The practice of simple
plurality voting in single-member constituencies has tended to
exaggerate the majority of the winning party and to diminish the
representation and influence of third parties, except for those
with a geographic base of support (e.g., Plaid Cymru–The Party
of Wales).
The two-party system, together with uncertainty about the
timing of a general election, has produced the British
phenomenon of the official opposition. Its decisive
characteristic is that the main opposition party forms an
alternative, or “shadow,” government, ready at any time to take
office, in recognition of which the leader of the opposition
receives an official salary.
Despite several high-profile female monarchs and politicians,
men have dominated politics in the United Kingdom for centuries.
While women have made strong political gains in much of western
Europe, especially in Scandinavia, breakthroughs for women in
British national elections have been rare. Throughout much of
the 20th century, only a few women won elections; before the
1980s the high point for female representation in the House of
Commons was 29 in 1964. Indeed, many women who were able to win
election to the House of Commons were of aristocratic stock or
widows of influential politicians. One such exception was
Margaret Thatcher, who was first elected to Parliament in 1959
and became Britain’s first female prime minister in 1979.
However, during the 1980s women began to make gains, with 60
female candidates winning seats in Parliament in 1992. In order
to increase its appeal to women and increase the number of women
MPs, the Labour Party adopted a policy of all-women shortlists
for half of its “target seats” (i.e., seats where an existing
Labour MP was standing down or where Conservative MPs had small
majorities) for the 1997 election, and, though the policy
subsequently was ruled in violation of equal rights laws, 120
women—101 from the Labour Party—were elected to the House of
Commons. Even with the law invalidated, 118 women won election
in 2001. In addition to women, minorities have had some success
in national elections. There consistently have been several
Jewish members of the House of Commons, and Sikh and Muslim
candidates also have had limited success.
Security
The United Kingdom has no national police force or any
minister exclusively responsible for the police. Each provincial
force is maintained by a police authority, a committee elected
by several local councils. One of its important tasks is to
appoint and dismiss the chief constable. Once appointed, the
chief constable has the sole right of appointment, promotion,
discipline, and deployment of his force.
The commissioner of London’s Metropolitan Police has a status
similar to that of a chief constable. Scotland Yard (the
criminal investigation department of the Metropolitan Police)
assists other police forces and handles the British
responsibilities of the International Criminal Police
Organization (Interpol).
The British police, popularly known as “bobbies,” wear a
uniform that is nonmilitary in appearance. Their only regular
weapon is a short, wooden truncheon, which they keep out of
sight and may not employ except in self-defense or to restore
order. Police on a dangerous mission may carry firearms for that
specific occasion.
Responsibility for national defense rests with the prime
minister and the cabinet. The secretary of state for defense
formulates defense policy. His ministry has responsibility for
the armed forces. The secretary of state is advised by the chief
of the defense staff, aided by the chiefs of the three
services—the army, navy, and air force. Britain has been an
active member of the North Atlantic Treaty Organization (NATO),
deploying its troops in various theatres of conflict. Internal
security and intelligence are handled by the MI5 government
agency, and foreign intelligence services are carried out by
MI6.
Health and welfare
The National Health Service
The National Health Service (NHS) provides comprehensive
health care throughout the United Kingdom. The NHS provides
medical care through a tripartite structure of primary care,
hospitals, and community health care. The main element in
primary care is the system of general practitioners (family
doctors), who provide preventive and curative care and who refer
patients to hospital and specialist services. All consultations
with a general practitioner under the NHS are free.
The other major types of primary medical care are dentistry
and pharmaceutical and opthalmic services. These are the only
services of the NHS for which charges are levied, though persons
under age 16, past retirement, or with low incomes are usually
exempt. Everyone else must pay charges that are below the full
cost of the services involved.
Under the Department of Health in England are four regional
health directors who oversee area health authorities, whose
major responsibility is to run the hospital service. (Overseeing
the health authorities in Scotland, Wales, and Northern Ireland
is the responsibility of their respective parliament or
assembly.) Hospitals absorb more than two-thirds of the NHS
budget. All hospital treatment under the NHS is free, including
consultations with doctors, nursing, drugs, and intensive care,
whatever the type of medical problem and however long the
hospital stay. Hospital doctors are paid a salary rather than a
fee for service but can combine salaried work for the NHS with a
private practice.
The Community Health Service has three functions: to provide
preventive health services; to act as a liaison with local
government, especially over matters of public health; and to
cooperate with local government personal social service
departments to enable health and personal care to be handled
together whenever possible.
Individuals can register with any NHS general practitioner in
their area who is prepared to add them to his or her list of
patients. Anyone who wishes to change to another doctor may do
so. Except in emergencies, patients are referred to a hospital
by their general practitioner, allowing patients an element of
choice.
Apart from the charges mentioned above, treatment under the
NHS is free to the patient. The service is almost entirely
funded by government revenues, with less than 5 percent of NHS
revenue coming from charges. This arrangement is unique among
industrialized countries. There is no substantial reliance on
private medical insurance (as, for example, in the United
States).
The NHS budget, like that for any other government service,
is determined by negotiations between the Treasury and the
spending departments, as modified by subsequent discussion in
the cabinet. The resulting figure is a budget for the NHS as a
whole. The division of money throughout the United Kingdom is
partly constrained by a formula designed to improve the
geographic distribution of medical resources. Each regional
authority divides its total funds among the area health
authorities.
Alongside the NHS is a system of private medical care both
for primary care and for hospital treatment. Although it grew
somewhat in the 1980s and ’90s, the sector absorbs only about
one-tenth of the total expenditure on doctors and hospital
inpatient care. Most private care is financed by voluntary
private medical insurance.
Although the NHS is a popular institution, it is not without
problems: resources are scarce, many hospital buildings are old,
there are waiting lists for nonurgent conditions, the
distribution of health care by social class and by region is
less equal than many would wish, and management needs to be
improved. The advantages, however, are enormous. The NHS is very
inexpensive by international standards; in the late 1990s, for
example, the United Kingdom spent about half the percentage of
GDP on health care as the United States. Despite such low
spending, health in the United Kingdom, measured in terms of
infant mortality and life expectancy, matches that in comparable
countries. The variation in the quality and quantity of
treatment by income level is smaller than in most other
countries. The system is able to direct resources toward
specific regions and specific types of care. Treatment is free,
whatever the extent and duration of illness, no one is denied
care because of low income, and no one fears financial ruin as a
result of treatment.
Cash benefits
The current system of cash benefits, though substantially
modified since its introduction in 1946, is based on the 1942
“Beveridge Report.” Every employed person pays a national
insurance contribution, which since 1975 has taken the form of a
percentage of earnings, although contributions are due only on
amounts up to about 150 percent of nationwide average earnings.
Employers collect the contribution, and there is also an
employer contribution. Separate arrangements exist for the
self-employed. The revenue from contributions goes into the
National Insurance Fund.
Insured individuals are entitled to unemployment
compensation, cash benefits during sickness or disability, and a
retirement pension. There are also benefits for individuals
injured in work-related accidents and for widows. Whether or not
they receive an insurance benefit, all are eligible for a
noncontributory benefit. Employees who lose their jobs through
no fault of their own receive lump-sum redundancy, or severance,
payments, whose cost is met in part by their employers and in
part from a general levy on employers.
The major noncontributory benefits, paid out of general tax
revenues, offer poverty relief to individuals and families whose
income and savings fall below some prescribed level. The benefit
of last resort is income support (formerly called the
supplementary benefit); it is payable to individuals whose
entitlement to insurance benefits has been exhausted or has left
them with a very low income and to those who never had any
entitlement to an insurance benefit. Other means-tested benefits
assist low-paid working families with children and help people
on low incomes with their housing costs. An important class of
noncontributory benefits is not means-tested, the major example
being the child benefit, a weekly tax-free payment for each
child, usually payable to the mother.
The 1946 system has changed substantially over the years,
with a burst of reform in the mid-1970s, including an increase
in earnings-related pensions, and another in the late 1990s. In
the late 1990s a working-families tax credit replaced income
support for low-paid working households with children, and the
government introduced a national minimum wage. The government
also introduced a children’s tax credit to provide additional
support to low- and middle-income families. There was a review
of the benefit system in 1985 that changed the detailed workings
of several benefits in 1988 but left the basic structure intact.
Housing
During the mid-20th century, local governments developed
council houses (public housing estates) throughout the United
Kingdom. At public housing’s peak, about 1970, local governments
owned 30 percent of all housing in the country. Under the
Housing (Homeless Persons) Act of 1977 (which amended older
legislation), local governments have a statutory obligation in
certain circumstances to find housing for homeless families.
Partly for that reason, they keep a substantial stock of housing
for rent, maintain waiting lists, and allocate housing according
to need. Following the introduction of “right to buy”
legislation in 1980, many tenants became owner-occupiers. By the
beginning of the 21st century, the proportion of homes owned by
local governments had almost halved.
Education
Primary and secondary education
Overall responsibility for education in England rests with
the secretary of state for children, schools, and families, who
is accountable to Parliament and responsible for the health,
education, and welfare of young people. In Scotland, Wales, and
Northern Ireland, separate departments of education are headed
by ministers who answer to the country’s parliament or assembly.
Primary and secondary education are a local responsibility.
Local Education Authorities (LEAs) employ the teachers and are
the major providers of education. In addition, a few schools are
run by voluntary bodies, mostly religious. There is also a small
private sector.
Primary education is free and compulsory from age 5 to 11.
LEAs provide secondary education, which is organized in a
variety of ways, for children aged 11 to 19; it is free and
compulsory to age 16. Teachers employed by the LEAs are paid on
an agreed national scale. The state finances primary and
secondary education out of central and local tax revenues. Most
expenditures take place at the local level, though about half of
local revenues derive from the central government.
In most parts of the United Kingdom, secondary schools are
comprehensive—that is, they are open to pupils of all abilities.
Pupils may stay on past the minimum leaving age of 16 to earn a
certificate or take public examinations that qualify them for
higher education. In much of Northern Ireland and in some
scattered LEAs in Great Britain (particularly in Kent), pupils
take an intelligence examination at age 11, on the basis of
which they are assigned to one of two kinds of secondary
schools: grammar schools, which prepare them for higher
education; or secondary modern schools, which prepare them for
jobs that do not require higher education.
The secretary of state has the duty to establish a national
curriculum applicable to all state schools. Individual schools
control their own management and finance and may apply to opt
out of control by local authorities. Schools are required to
maintain open enrollment.
Private schools
Alongside the state sector, a small number of private
schools (often called “public schools”) provide education for
about one-twentieth of children. Their existence is
controversial. It is argued that private schools divert gifted
children and teachers and scarce financial resources from state
schools and that they perpetuate economic and social divisions.
The counterarguments focus on their high quality, the beneficial
effects of competition, and parents’ freedom of choice.
Higher education
Universities historically have been independent and
self-governing; however, they have close links with the central
government because a large proportion of their income derives
from public funds. Higher education also takes place in other
colleges.
Students do not have a right to a place at a university; they
are carefully selected by examination performance, and the
dropout rate is low by international standards. Most students
receive state-funded grants inversely related to their parents’
income to cover the tuition fees. In addition, most students
receive state-funded loans to cover living expenses. Foreign
students and British students taking a degree at an overseas
university are not generally eligible for public funding.
Public funds flow to universities through recurrent grants
and in the form of tuition fees; universities also derive income
from foreign students and from various private-sector sources.
After a major expansion in the 1960s, the system came under
pressure in the 1980s. Public funding became more restricted,
and the grant system no longer supported students adequately.
The government introduced the present system of student loans to
replace dwindling grants for living expenses and established
higher-education funding councils in each part of the United
Kingdom (England, Wales, Scotland, and Northern Ireland) to
coordinate state support of higher education.
The Open University—a unique innovation in higher
education—is a degree-granting institution that provides courses
of study for adults through television, radio, and local study
programs. Applicants must apply for a number of places limited
at any time by the availability of teachers.
Nicholas A. Barr
Peter Jon Kellner
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Cultural life
English culture tends to dominate the formal cultural
life of the United Kingdom, but Scotland, Wales, and Northern
Ireland have also made important contributions, as have the
cultures that British colonialism brought into contact with the
homeland. Scotland, Wales, and Northern Ireland share fully in
the common culture but also preserve lively traditions that
predate political union with England.
Widespread changes in the United Kingdom’s cultural life
occurred after 1945. The most remarkable was perhaps the
emergence first of Liverpool and then of London in the 1960s as
a world centre of popular culture. The Beatles were only the
first and best-known of the many British rock groups to win a
world following. British clothing designers for a time led the
world as innovators of new styles of dress for both men and
women, and the brightly coloured outfits sold in London’s
Carnaby Street and King’s Road shops briefly became more
symbolic of Britain than the traditionally staid tailoring of
Savile Row.
Underlying both this development and a similar if
less-remarked renewal of vigour in more traditional fields were
several important social developments in the decades after World
War II. Most evident was the rising standard of education. The
number of pupils going on to higher education increased
dramatically after World War II and was matched by a major
expansion in the number of universities and other institutions
of higher education. In society in general there was a marked
increase in leisure. Furthermore, immigration, particularly from
the West Indies and South Asia, introduced new cultural currents
to the United Kingdom and contributed to innovation in music,
film, literature, and other arts.
Daily life and social customs
The United Kingdom’s cultural traditions are reflective
of the country’s heterogeneity and its central importance in
world affairs over the past several centuries. Each constituent
part of the United Kingdom—England, Scotland, Wales, and
Northern Ireland—maintains its own unique customs, traditions,
cuisine, and festivals. Moreover, as Britain’s empire spanned
the globe, it became a focal point of immigration, especially
after the independence of its colonies, from its colonial
possessions. As a result, immigrants from all corners of the
world have entered the United Kingdom and settled throughout the
country, leaving indelible imprints on British culture. Thus, at
the beginning of the 21st century, age-old English, Irish,
Scottish, and Welsh customs stood alongside the rich traditions
of Afro-Caribbean, Asian, and Muslim immigrants, placing the
United Kingdom among the world’s most cosmopolitan and diverse
countries.
The arts
From the plays of William Shakespeare to the music of the
Sex Pistols, British art has had a tremendous impact on world
culture. Writers from every part of the United Kingdom, joined
by immigrants from parts of the former British Empire and the
Commonwealth, have enriched the English language and world
literature alike with their work. British studios, playwrights,
directors, and actors have been remarkable pioneers of stage and
screen. British comedians have brought laughter to diverse
audiences and been widely imitated; British composers have found
devoted listeners around the world, as have various contemporary
pop groups and singer-songwriters; and British philosophers have
had a tremendous influence in shaping the course of scientific
and moral inquiry. From medieval time to the present, this
extraordinary flowering of the arts has been encouraged at every
level of society. Early royal patronage played an important role
in the development of the arts in Britain, and since the mid
20th century the British government has done much to foster
their growth.
The independent Arts Council, formed in 1946, supports many
kinds of contemporary creative and performing arts. The
state-owned British Broadcasting Corporation (BBC) and privately
owned Channel Four Television are also major patrons of the
arts, especially music and film. The work of filmmakers and
actors throughout the United Kingdom is supported by the Film
Council, a government board that helps fund productions and
secure film-related services. This support has contributed to
the great expansion of the market for cultural goods and of
audiences for the arts generally. As in many other highly
developed countries, the clash of tastes and values between
generations and, to some extent, between social classes has
occasionally been sharp, as it was in the 1960s and ’70s.
However, the overall effect of social and financial diversity
has been to make culture a major British industry, which employs
more than a million people and commands one-sixth of the world’s
cultural exports, three times greater than Britain’s share of
world trade overall.
Cultural institutions
The United Kingdom contains many cultural treasures. It
is home to a wide range of learned societies, including the
British Academy, the Royal Geographical Society, and the Royal
Society of Edinburgh. The British Museum in London houses
historical artifacts from all parts of the globe. London is also
home to many museums (e.g., the National Gallery, the National
Portrait Gallery, the Tate galleries, the Imperial War Museum,
and the Victoria and Albert Museum) and theatres (e.g., the
Royal National Theatre and those in the world-renowned West End
theatre district). Cultural institutions also abound throughout
the country. Among the many libraries and museums of interest in
Scotland, Wales, and Northern Ireland are the Royal Museum, the
Museum of Scotland, and the Writers’ Museum in Edinburgh, the
Museum of Scottish Country Life in Glasgow, the National Museum
of Wales in Cardiff, and the Ulster Museum in Belfast.
Sports and recreation
The global spread of sports that had their origins in
Britain was central to the development of modern sports in the
18th and 19th centuries and is one of the British Empire’s
important cultural legacies. The modern game of football
(soccer) is generally accepted to have originated in England.
The Football Association, the game’s first organization, was
founded in England in 1863, and the first football match played
between England and Scotland—the oldest rivalry in the sport—was
at Glasgow in 1872. English football fans can follow three
national divisions and the celebrated premiership, which
includes such legendary clubs as Manchester United, Arsenal, and
Liverpool. Scotland has three national divisions as well and a
premiership that features the Celtic and Rangers clubs of
Glasgow; Wales and Northern Ireland also have national leagues.
The Scottish and English national teams regularly appear in
international competitions. In 1966 England hosted and won the
World Cup; it was the third host nation to win the championship.
Rugby and cricket have also long enjoyed great popularity in
Britain. According to tradition, rugby began in 1823 at Rugby
School in England. In 1871 the Rugby Football Union was formed
as the English governing body, and the rival Rugby Football
League was founded in 1895. England, Scotland, and Wales all
have club competitions in both union and league versions of the
game. The three also send national teams to the Rugby Union Five
Nations’ Cup and World Cup tournaments. Cricket’s origins may
date to 13th-century England, and county competition in England
was formally organized in the 19th century. International
matches, known as tests, began in 1877 with a match between
England and Australia.
Great Britain has attended every modern Olympic Games,
beginning with the first competition in Athens, Greece, in 1896.
Britain has hosted the Games twice in London, in 1908 and 1948.
At the 1896 Games weight lifter Launceston Elliot was the first
Briton to win a gold medal, and in 1908 figure skater Madge Cave
Syers became the first female athlete to win a medal in the
Winter Games. British athletes have won hundreds of medals over
the years, making especially strong showings in athletics,
tennis, rowing, yachting, and figure skating. Several British
athletes have put forth memorable performances in
track-and-field events, including sprinter Harold Abrahams in
the 1920s, middle-distance runners Sebastian Coe and Steve
Ovett, and two-time decathlon gold medalist Daley Thompson in
the 1970s and ’80s. At the 2000 Summer Games rower Steve
Redgrave accomplished the rare feat of earning gold medals in
five consecutive Games.
Britain is also home to several important international
sports competitions. The British Open golf tournament is held
annually, often at the world-renowned course at St. Andrews in
Scotland. The All-England (Wimbledon) Championships is one of
the world’s leading tennis competitions. Celebrated horse-racing
events include the Royal Ascot, the Derby, and the Grand
National steeplechase. The Henley Royal Regatta is the world’s
premiere rowing championship.
Although the United Kingdom’s climate often rewards staying
indoors, the British are enthusiasts of outdoor leisure
activities and are well served by an extensive network of hiking
and bicycling paths, national parks, and other amenities.
Especially popular are the Lake District, which preserves a
scenic area commemorated in many works by English poets; the
rugged Scottish highlands and Inner Hebrides islands; and the
mountainous Welsh region of Snowdonia National Park, a magnet
for climbers from around the world.
Media and publishing
The communications media—press, publishing, broadcasting,
and entertainment—reach audiences ranging from the millions for
television, radio, and national newspapers to small minorities
for local papers, specialist periodicals, or experimental
theatre and film. In addition to their presence in print, most
newspapers disseminate information through the Internet, to
which access grew rapidly during the late 1990s. By the early
21st century about one-third of all households had personal
computers with access to the Internet.
Newspapers
In both sales and reputation the national papers published
in London dominate. Within the national newspaper business in
the United Kingdom, a distinction has developed between popular
papers (often tabloids) with multimillion circulation and
quality broadsheet papers with relatively small sales. Four
“populars” account for about five-sixths of the total morning
paper circulation. Generally, British newspapers are not
formally tied to specific political parties. However, most
display clear political sympathies that are usually determined
by their proprietors. The tabloid Daily Mail and broadsheet
Daily Telegraph have consistently supported the Conservative
Party, while the tabloid Daily Mirror and broadsheet The
Guardian (published in both London and Manchester) normally
support Labour. The Times of London is one of the world’s oldest
newspapers. The United Kingdom’s biggest-selling newspaper, The
Sun—whose popularity since it was bought by Rupert Murdoch’s
News International company in 1969 has stemmed from a diet of
sensational personality-based news stories, show-business
gossip, lively sports reporting, and pictures of scantily
dressed young women—supported Labour in the early 1970s,
switched to the Conservative Party under Margaret Thatcher in
1979, and switched back again to Labour in the late 1990s. In
England there are also several regional dailies and weeklies and
national weeklies—some targeting particular ethnic communities.
The Welsh press includes several daily papers (e.g., the
Western Mail and the South Wales Echo) as well as a number of
weekly English-language, bilingual, or Welsh-language
newspapers. Scotland has national daily newspapers based in
Edinburgh and Glasgow with wide circulation (e.g., The Scotsman,
the Daily Record, and The Herald) and a number of regional
weeklies as well. Northern Ireland’s daily papers (e.g., the
Belfast Telegraph and the Irish News) are all published in
Belfast. There is a large periodical press in the United Kingdom
that ranges from such traditional publications as The Economist,
The Spectator, and New Statesman to more specialized and, often,
more mercurial journals.
Broadcasting
The BBC, which had been established as an independent public
corporation in 1927, held a monopoly of both radio and
television broadcasting until 1954, when the Independent
Television Authority (ITA) was established to provide the
facilities for commercial television companies. The ITA’s
successor today is the Office of Communications (Ofcom). Created
by the Communications Act of 2003, Ofcom is responsible for
regulating all commercial radio and television services,
including satellite and cable, as well as all wired, wireless,
and broadband telecommunications. Commercial television
broadcasters include Channel Four and the ITV network. Almost
every household receives the terrestrial television channels; by
the early 21st century about 1 in 4 households also could
receive several dozen additional channels by satellite or cable.
The satellite and cable market is dominated by BSkyB, partly
owned by Murdoch’s News International, which operates 11
channels of its own (including a 24-hour news channel and three
sports channels) and also distributes channels for other
companies via its satellite and digital networks.
The BBC draws its revenue from license fees (on a scale fixed
by the government) from persons owning television sets. It is
governed by 12 individuals appointed by the monarch on the
advice of the prime minister, with separate governors for
Scotland, Wales, and Northern Ireland. Ofcom, with a governing
board of 10 members, licenses and regulates commercial
television companies, which earn revenue by selling advertising
time and (in the case of some satellite and cable companies)
subscription and pay-per-view channels. The BBC operates two
terrestrial television channels, and Ofcom operates three. On
its second television channel, the BBC tends to offer programs
of above-average intellectual and cultural interest—competition
that the Channel Four commercial channel meets with its own
cultural programs. The BBC also provides a 24-hour news service
and a channel devoted to live proceedings of Parliament to
people able to receive satellite, cable, or digital television
services. In addition, BBC Radio operates a comprehensive
external service, broadcasting around the world in more than 40
languages, as well as a world service in English 24 hours a day.
Both the BBC and terrestrial commercial channels supply
educational programs for schools and for adult studies. The Open
University, offering degree courses to people who lack formal
academic qualifications, uses educational programs that are
broadcast by the BBC; these programs are backed by
correspondence courses.
The BBC and Ofcom are public bodies that in the last resort
can be controlled by the government, and Parliament can alter
the terms of their authority. The government has the statutory
power to veto a broadcast, but only rarely does it interfere
with the day-to-day management of the BBC or Ofcom. There are
more than 30 BBC local radio stations and more than 200
commercial local radio stations serving the United Kingdom.
For a more detailed discussion of cultural life in England,
Scotland, Wales, and Northern Ireland, see the cultural life
sections of the articles England, Scotland, Wales, and Northern
Ireland.
Peter Jon Kellner
Ed.
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History
This discussion encompasses the history of England and
Great Britain. Histories of the other three constituent parts of
the United Kingdom can be found in Northern Ireland, Scotland,
and Wales.
Ancient Britain
Apart from a few short references in classical
literature, knowledge of Britain before the Roman conquest
(begun ad 43) is derived entirely from archaeological research.
It is thus lacking in detail, for archaeology can rarely
identify personalities, motives, or exact dates. All that is
available is a picture of successive cultures and some knowledge
of economic development. But even in Roman times Britain lay on
the periphery of the civilized world, and Roman historians, for
the most part, provide for that period only a framework into
which the results of archaeological research can be fitted.
Britain truly emerged into the light of history only after the
Saxon settlements in the 5th century ad.
Until late in the Mesolithic period, Britain formed part of
the continental landmass and was easily accessible to migrating
hunters. The cutting of the land bridge, c. 6000–5000 bc, had
important effects: migration became more difficult and remained
for long impossible to large numbers. Thus Britain developed
insular characteristics, absorbing and adapting rather than
fully participating in successive continental cultures. And
within the island geography worked to a similar end; the fertile
southeast was more receptive of influence from the adjacent
continent than were the less-accessible hill areas of the west
and north. Yet in certain periods the use of sea routes brought
these too within the ambit of the continent.
From the end of the Ice Age (c. 11,000 bc), there was a
gradual amelioration of climate leading to the replacement of
tundra by forest and of reindeer hunting by that of red deer and
elk. Valuable insight on contemporary conditions was gained by
the excavation of a lakeside settlement at Star Carr, North
Yorkshire, which was occupied for about 20 successive winters by
hunting people in the 8th millennium bc.
Pre-Roman Britain
Neolithic period
A major change occurred c. 4000 bc with the introduction
of agriculture by Neolithic immigrants from the coasts of
western and possibly northwestern Europe. They were pastoralists
as well as tillers of the soil. Tools were commonly of flint won
by mining, but axes of volcanic rock were also traded by
prospectors exploiting distant outcrops. The dead were buried in
communal graves of two main kinds: in the west, tombs were built
out of stone and concealed under mounds of rubble; in the
stoneless eastern areas the dead were buried under long barrows
(mounds of earth), which normally contained timber structures.
Other evidence of religion comes from enclosures (e.g., Windmill
Hill, Wiltshire), which are now believed to have been centres of
ritual and of seasonal tribal feasting. From them developed,
late in the 3rd millennium, more clearly ceremonial
ditch-enclosed earthworks known as henge monuments. Some, like
Durrington Walls, Wiltshire, are of great size and enclose
subsidiary timber circles. British Neolithic culture thus
developed its own individuality.
Bronze Age
Early in the 2nd millennium or perhaps even earlier, from
c. 2300 bc, changes were introduced by the Beaker folk from the
Low Countries and the middle Rhine. These people buried their
dead in individual graves, often with the drinking vessel that
gives their culture its name. The earliest of them still used
flint; later groups, however, brought a knowledge of metallurgy
and were responsible for the exploitation of gold and copper
deposits in Britain and Ireland. They may also have introduced
an Indo-European language. Trade was dominated by the chieftains
of Wessex, whose rich graves testify to their success. Commerce
was far-flung, in one direction to Ireland and Cornwall and in
the other to central Europe and the Baltic, whence amber was
imported. Amber bead spacers from Wessex have been found in the
shaft graves at Mycenae in Greece. It was, perhaps, this
prosperity that enabled the Wessex chieftains to construct the
remarkable monument of shaped sarsens (large sandstones) known
as Stonehenge III. Originally a late Neolithic henge, Stonehenge
was uniquely transformed in Beaker times with a circle of large
bluestone monoliths transported from southwest Wales.
Little is known in detail of the early and middle Bronze Age.
Because of present ignorance of domestic sites, these periods
are mainly defined by technological advances and changes in
tools or weapons. In general, the southeast of Britain continued
in close contact with the continent and the north and west with
Ireland.
From about 1200 bc there is clearer evidence for agriculture
in the south; the farms consisted of circular huts in groups
with small oblong fields and stock enclosures. This type of farm
became standard in Britain down to and into the Roman period.
From the 8th century onward, British communities developed close
contacts with their continental European neighbours. Some of the
earliest hill forts in Britain were constructed in this period
(e.g., Beacon Hill, near Ivinghoe, Buckinghamshire; or Finavon,
Angus); though formally belonging to the late Bronze Age, they
usher in the succeeding period.
Iron Age
Knowledge of iron, introduced in the 7th century, was a
merely incidental fact: it does not signify a change of
population. The centuries 700–400 bc saw continued development
of contact with continental Europe. Yet the greater availability
of iron facilitated land clearance and thus the growth of
population. The earliest ironsmiths made daggers of the
Hallstatt type but of a distinctively British form. The
settlements were also of a distinctively British type, with the
traditional round house, the “Celtic” system of farming with its
small fields, and storage pits for grain.
The century following 600 bc saw the building of many large
hill forts; these suggest the existence of powerful chieftains
and the growth of strife as increasing population created
pressures on the land. By 300 bc swords were making their
appearance once more in place of daggers. Finally, beginning in
the 3rd century, a British form of La Tène Celtic art was
developed to decorate warlike equipment such as scabbards,
shields, and helmets, and eventually also bronze mirrors and
even domestic pottery. During the 2nd century the export of
Cornish tin, noted before 300 by Pytheas of Massalia, a Greek
explorer, continued; evidence of its destination is provided by
the Paul (Cornwall) hoard of north Italian silver coins. In the
1st century bc this trade was in the hands of the Veneti of
Brittany; their conquest (56 bc) by Julius Caesar, who destroyed
their fleet, seems to have put an end to it.
By 200 Britain had fully developed its insular “Celtic”
character. The emergence, however, of the British tribes known
to Roman historians was due to limited settlement by tribesmen
from Belgic Gaul. Coin finds suggest that southeast Britain was
socially and economically bound to Belgic Gaul. The result was a
distinctive culture in southeast Britain (especially in Kent and
north of the Thames) which represented a later phase of the
continental Celtic La Tène culture. Its people used coins and
the potter’s wheel and cremated their dead, and their better
equipment enabled them to begin the exploitation of heavier
soils for agriculture.
Roman Britain
The conquest
Julius Caesar conquered Gaul between 58 and 50 bc and
invaded Britain in 55 or 54 bc, thereby bringing the island into
close contact with the Roman world. Caesar’s description of
Britain at the time of his invasions is the first coherent
account extant. From about 20 bc it is possible to distinguish
two principal powers: the Catuvellauni north of the Thames led
by Tasciovanus, successor of Caesar’s adversary Cassivellaunus,
and, south of the river, the kingdom of the Atrebates ruled by
Commius and his sons Tincommius, Eppillus, and Verica.
Tasciovanus was succeeded in about ad 5 by his son Cunobelinus,
who, during a long reign, established power all over the
southeast, which he ruled from Camulodunum (Colchester). Beyond
these kingdoms lay the Iceni in what is now Norfolk, the
Corieltavi in the Midlands, the Dobuni (Dobunni) in the area of
Gloucestershire, and the Durotriges in that of Dorset, all of
whom issued coins and probably had Belgic rulers. Behind these
again lay further independent tribes—the Dumnonii of Devon, the
Brigantes in the north, and the Silures and Ordovices in Wales.
The Belgic and semi-Belgic tribes later formed the civilized
nucleus of the Roman province and thus contributed greatly to
Roman Britain.
The client relationships that Caesar had established with
certain British tribes were extended by Augustus. In particular,
the Atrebatic kings welcomed Roman aid in their resistance to
Catuvellaunian expansion. The decision of the emperor Claudius
to conquer the island was the result partly of his personal
ambition, partly of British aggression. Verica had been driven
from his kingdom and appealed for help, and it may have been
calculated that a hostile Catuvellaunian supremacy would
endanger stability across the Channel. Under Aulus Plautius an
army of four legions was assembled, together with a number of
auxiliary regiments consisting of cavalry and infantry raised
among warlike tribes subject to the empire. After delay caused
by the troops’ unwillingness to cross the ocean, which they then
regarded as the boundary of the human world, a landing was made
at Richborough, Kent, in ad 43. The British under Togodumnus and
Caratacus, sons and successors of Cunobelinus, were taken by
surprise and defeated. They retired to defend the Medway
crossing near Rochester but were again defeated in a hard
battle. The way to Camulodunum lay open, but Plautius halted at
the Thames to await the arrival of the emperor, who took
personal command of the closing stages of the campaign. In one
short season the main military opposition had been crushed:
Togodumnus was dead and Caratacus had fled to Wales. The rest of
Britain was by no means united, for Belgic expansion had created
tensions. Some tribes submitted, and subduing the rest remained
the task for the year 44. For this purpose smaller expeditionary
forces were formed consisting of single legions or parts of
legions with their auxilia (subsidiary allied troops). The
best-documented campaign is that of Legion II under its legate
Vespasian starting from Chichester, where the Atrebatic kingdom
was restored; the Isle of Wight was taken and the hill forts of
Dorset reduced. Legion IX advanced into Lincolnshire, and Legion
XIV probably across the Midlands toward Leicester. Colchester
was the chief base, but the fortresses of individual legions at
this stage have not yet been identified.
By the year 47, when Plautius was succeeded as commanding
officer by Ostorius Scapula, a frontier had been established
from Exeter to the Humber, based on the road known as the Fosse
Way; from this fact it appears that Claudius did not plan the
annexation of the whole island but only of the arable southeast.
The intransigence of the tribes of Wales, spurred on by
Caratacus, however, caused Scapula to occupy the lowlands beyond
the Fosse Way up to the River Severn and to move forward his
forces into this area for the struggle with the Silures and
Ordovices. The Roman forces were strengthened by the addition of
Legion XX, released for this purpose by the foundation of a
veteran settlement (colonia) at Camulodunum in the year 49. The
colonia would form a strategic reserve as well as setting the
Britons an example of Roman urban organization and life. A
provincial centre for the worship of the emperor was also
established. Scapula’s right flank was secured by the treaty
relationship that had been established with Cartimandua, queen
of the Brigantes. Hers was the largest kingdom in Britain,
occupying the whole area between Derbyshire and the Tyne;
unfortunately it lacked stability, nor was it united behind its
queen, who lost popularity when she surrendered the British
resistance leader, Caratacus, to the Romans. Nevertheless, with
occasional Roman military support, Cartimandua was maintained in
power until 69 against the opposition led by her husband,
Venutius, and this enabled Roman governors to concentrate on
Wales.
By ad 60 much had been achieved; Suetonius Paulinus, governor
from 59 to 61, was invading the island of Anglesey, the last
stronghold of independence, when a serious setback occurred:
this was the rebellion of Boudicca, queen of the Iceni. Under
its king Prasutagus the tribe of the Iceni had enjoyed a
position of alliance and independence; but on his death (60) the
territory was forcibly annexed and outrages occurred. Boudicca
was able to rally other tribes to her assistance; chief of these
were the Trinovantes of Essex, who had many grievances against
the settlers of Camulodunum for their arrogant seizure of lands.
Roman forces were distant and scattered; and, before peace could
be restored, the rebels had sacked Camulodunum, Verulamium (St.
Albans), and London, the three chief centres of Romanized life
in Britain. Paulinus acted harshly after his victory, but the
procurator of the province, Julius Classicianus, with the
revenues in mind and perhaps also because, as a Gaul by birth,
he possessed a truer vision of provincial partnership with Rome,
brought about his recall.
In the first 20 years of occupation some progress had been
made in spreading Roman civilization. Towns had been founded,
the imperial cult had been established, and merchants were
busily introducing the Britons to material benefits. It was not,
however, until the Flavian period, ad 69–96, that real advances
were made in this field. With the occupation of Wales by Julius
Frontinus (governor from 74 to 78) and the advance into northern
Scotland by Gnaeus Julius Agricola (78–84), troops were removed
from southern Britain, and self-governing civitates,
administrative areas based for the most part on the indigenous
tribes, took over local administration. This involved a large
program of urbanization and also of education, which continued
into the 2nd century; Tacitus, in his biography of Agricola,
emphasizes the encouragement given to it. Roman conquest of
Wales was complete by 78, but Agricola’s invasion of Scotland
failed because shortage of manpower prevented him from
completing the occupation of the whole island. Moreover, when
the British garrison was reduced (c. ad 90) by a legion because
of continental needs, it became evident that a frontier would
have to be maintained in the north. After several experiments,
the Solway–Tyne isthmus was chosen, and there the emperor
Hadrian built his stone wall (c. 122–130).
Condition of the province
There was a marked contrast in attitude toward the Roman
occupation between the lowland Britons and the inhabitants of
Wales and the hill country of the north. The economy of the
former was that of settled agriculture, and they were largely of
Belgic stock; they soon accepted and appreciated the Roman way
of life. The economy of the hill dwellers was pastoral, and the
urban civilization of Rome threatened their freedom of life.
Although resistance in Wales was stamped out by the end of the
1st century ad, Roman influences were nonetheless weak except in
the Vale of Glamorgan. In the Pennines until the beginning of
the 3rd century there were repeated rebellions, the more
dangerous because of the threat of assistance from free
Scotland.
Army and frontier
After the emperor Domitian had reduced the garrison in
about the year 90, three legions remained; their permanent bases
were established at York, Chester, and Caerleon. The legions
formed the foundation of Roman military power, but they were
supplemented in garrison duty by numerous smaller auxiliary
regiments both of cavalry and infantry, either 1,000 or 500
strong. These latter garrisoned the wall and were stationed in a
network of other forts established for police work in Wales and
northern England. With 15,000 legionaries and about 40,000
auxiliaries, the army of Britain was very powerful; its presence
had economic as well as political results. Hadrian’s Wall was
the most impressive frontier work in the Roman Empire. Despite a
period in the following two reigns when another frontier was
laid out on the Glasgow–Edinburgh line—the Antonine Wall, built
of turf—the wall of Hadrian came to be the permanent frontier of
Roman Britain. The northern tribes only twice succeeded in
passing it, and then at moments when the garrison was fighting
elsewhere. In the late Roman period, when sea raiding became
prevalent, the wall lost its preeminence as a defense for the
province, but it was continuously held until the end of the 4th
century. But although they withdrew to Hadrian’s line not later
than the year 180, the Romans never abandoned interest in
southern Scotland. In the 2nd century their solution was
military occupation. In the 3rd, after active campaigning
(208–211) by the emperor Septimius Severus and his sons during
which permanent bases were built on the east coast of Scotland,
the solution adopted by the emperor Caracalla was regulation of
relationship by treaties. These, perhaps supported by subsidies,
were enforced by supervision of the whole Lowlands by patrols
based on forts beyond the wall. During the 4th century more and
more reliance was placed on friendly native states, and patrols
were withdrawn.
Administration
Britain was an imperial province. The governor
represented the emperor, exercising supreme military as well as
civil jurisdiction. As commander of three legions he was a
senior general of consular rank. From the late 1st century he
was assisted on the legal side by a legatus juridicus. The
finances were in the hands of the provincial procurator, an
independent official of equestrian status whose staff supervised
imperial domains and the revenues of mines in addition to normal
taxation. In the early 3rd century Britain was divided into two
provinces in order to reduce the power of its governor to rebel,
as Albinus had done in 196: Britannia Superior had its capital
at London and a consular governor in control of two legions and
a few auxiliaries; Britannia Inferior, with its capital at York,
was under a praetorian governor with one legion but many more
auxiliaries.
Local administration was of varied character. First came the
chartered towns. By the year 98 Lincoln and Gloucester had
joined Camulodunum as coloniae, and by 237 York had become a
fourth. Coloniae of Roman citizens enjoyed autonomy with a
constitution based on that of republican Rome, and Roman
citizens had various privileges before the law. It is likely
that Verulamium was chartered as a Latin municipium (free town);
in such a town the annual magistrates were rewarded with Roman
citizenship. The remainder of the provincials ranked as
peregrini (subjects). In military districts control was in the
hands of fort prefects responsible to legionary commanders; but
by the late 1st century local self-government, as already
stated, was granted to civitates peregrinae, whose number tended
to increase with time. These also had republican constitutions,
being controlled by elected councils and annual magistrates and
having responsibility for raising taxes and administering local
justice. In the 1st century there were also client kingdoms
whose rulers were allied to Rome; Cogidubnus, Verica’s
successor, who had his capital at Chichester, is the best known.
But Rome regarded these as temporary expedients, and none
outlasted the Flavian Period (69–96).
Roman society
Pre-Roman Celtic tribes had been ruled by kings and
aristocracies; the Roman civitates remained in the hands of the
rich because of the heavy expense of office. But since trade and
industry now yielded increasing profits and the old
aristocracies no longer derived wealth from war but only from
large estates, it is likely that new men rose to power. Roman
citizenship was now an avenue of social advancement, and it
could be obtained by 25 years’ service in the auxiliary forces
as well as (more rarely) by direct grants. Soldiers and traders
from other parts of the empire significantly enhanced the
cosmopolitan character of the population, as did the large
number of legionaries, who were already citizens and many of
whom must have settled locally. The population of Roman Britain
at its peak amounted perhaps to about two million.
Economy
Even before the conquest, according to the Greek
geographer Strabo, Britain exported gold, silver, iron, hides,
slaves, and hounds in addition to grain. A Roman gold mine is
known in Wales, but its yield was not outstanding. Iron was
worked in many places but only for local needs; silver, obtained
from lead, was of more significance. But the basis of the
economy was agriculture, and the conquest greatly stimulated
production because of the requirements of the army. According to
Tacitus, grain to feed the troops was levied as a tax;
correspondingly more had to be grown before a profit could be
made. The pastoralists in Wales and the north probably had to
supply leather, which the Roman army needed in quantity for
tents, boots, uniforms, and shields. A military tannery is known
at Catterick. A profit could, nonetheless, be won from the land
because of the increasing demand from the towns. At the same
time the development of a system of large estates (villas)
relieved the ancient Celtic farming system of the necessity of
shouldering the whole burden. Small peasant farmers tended to
till the lighter, less-productive, more easily worked soils.
Villa estates were established on heavier, richer soils,
sometimes on land recently won by forest clearance, itself a
result of the enormous new demand for building timber from the
army and the new towns and for fuel for domestic heating and for
public baths. The villa owners had access to the precepts of
classical farming manuals and also to the improved equipment
made available by Roman technology. Their growing prosperity is
vouched for by excavation: there are few villas that did not
increase in size and luxury as corridors and wings were added or
mosaics and bath blocks provided. At least by the 3rd century
some landowners were finding great profit in wool; Diocletian’s
price edict (ad 301) shows that at least two British cloth
products had won an empire-wide reputation. Archaeological
evidence indicates that the Cotswold district was one of the
centres of this industry.
Trade in imported luxury goods ranging from wine to tableware
and bronze trinkets vastly increased as traders swarmed in
behind the army to exploit new markets. The profits of
developing industries went similarly at first to foreign
capitalists. This is clearly seen in the exploitation of
silver-lead ore and even in the pottery industry. The Mendip
lead field was being worked under military control as early as
the year 49, but under Nero (54–68) both there and in
Flintshire, and not much later also in the Derbyshire lead
field, freedmen—the representatives of Roman capital—were at
work. By Vespasian’s reign (69–79) organized companies
(societates) of prospectors are attested. Roman citizens, who
must in the context be freedmen, are also found organizing the
pottery industry in the late 1st century. Large profits were
made by continental businessmen in the first two centuries not
only from such sources but also by the import on a vast scale of
high-class pottery from Gaul and the Rhineland and on a lesser
scale of glass vessels, luxury metalware, and Spanish oil and
wine. A large market existed among the military, and the Britons
themselves provided a second. Eventually this adverse trade
balance was rectified by the gradual capture of the market by
British products. Much of the exceptional prosperity of
4th-century Britain must have been due to its success in
retaining available profits at home.
A final important point is the role of the Roman army in the
economic development of the frontier regions. The presence as
consumers of large forces in northern Britain created a
revolution in previous patterns of trade and civilized
settlement. Cereal production was encouraged in regions where it
had been rare, and large settlements grew up in which many of
the inhabitants must have been retired soldiers with an interest
in the land as well as in trade and industry.
Towns
Belgic Britain had large centres of population but not
towns in the Roman sense of having not merely streets and public
buildings but also the amenities and local autonomy of a city.
In Britain these had therefore to be provided if Roman
civilization and normal methods of provincial administration
were to be introduced. Thus a policy of urbanization existed in
which the legions, as the nearest convenient source of
architects and craftsmen, played an organizing role. The earlier
towns consisted of half-timbered buildings; before ad 100 only
public buildings seem to have been of stone. The administrative
capitals had regular street grids, a forum with basilica (public
hall), public baths, and temples; a few had theatres and
amphitheatres, too. With few exceptions they were undefended. In
the 3rd century, town walls were provided, not so much as a
precaution in unsettled times but as a means of keeping
operational the earthwork defenses already provided during a
crisis at the end of the 2nd century. These towns grew in size
to about 100–130 acres with populations of about 5,000; a few
were twice this size. The majority of towns in Roman Britain
seem to have developed out of traders’ settlements in the
vicinity of early garrison-forts: those that were not selected
as administrative centres remained dependent for their existence
on economic factors, serving either as centres of trade or
manufacture or else as markets for the agricultural peasantry.
They varied considerably in size. In the north, where garrisons
were permanently established, quite large trading settlements
grew up in their vicinity, and at least some of these would rank
as towns.
Villas
Apart from the exceptional establishment at Fishbourne,
in West Sussex, whose Italian style and luxurious fittings show
that it was the palace of King Cogidubnus, the houses of
Romano-British villas had simple beginnings and were of a
provincial type. A few owners were prosperous enough in the 2nd
century to afford mosaics; but the great period of villa
prosperity lay in the 4th century, when many villas grew to
impressive size. Their importance was economic and has already
been described. Much remains to be learned from full excavation
of their subsidiary work buildings. Larger questions of tenure
and organization are probably insoluble in the absence of
documentary evidence, for it is dangerous to draw analogies from
classical sources since conditions in Celtic Britain were very
different from those of the Mediterranean world.
Religion and culture
A great variety of religious cults were to be found. In
addition to numerous Celtic deities of local or wider
significance, the gods of the classical pantheon were introduced
and were often identified with their Celtic counterparts. In
official circles the worship of the state gods of Rome and of
the imperial cult was duly observed. In addition merchants and
soldiers introduced oriental cults, among them Christianity. The
latter, however, made little headway until the late 4th century,
though the frescoes at Lullingstone in Kent and the mosaics at
Hinton St. Mary in Dorset attest its presence among villa
owners. Although classical temples are sometimes found in towns,
the normal temple was of the Romano-Celtic type consisting of a
small square shrine and surrounding portico; temples of this
type are found in town and country alike.
Romanization was strongest in the towns and among the upper
classes, as would be expected; there is evidence that in the
countryside Celtic continued to be spoken, though it was not
written. Many people were bilingual: graffiti prove that even
artisans wrote Latin. Evidence of the classical education of the
villa owners is provided by their mosaics, which prove an
acquaintance with classical mythology and even with the Aeneid
of Virgil. Sculpture and wall painting were both novelties in
Roman Britain. Statues or busts in bronze or marble were
imported from Gaulish or Mediterranean workshops, but British
sculptors soon learned their trade and at their best produced
attractive works in a provincial idiom, often for votive
purposes. Many cruder works were also executed whose interest
lies in the proof they afford that the conventions of the
classical world had penetrated even to the lower classes. Mosaic
floors, found in towns and villas, were at first, as at
Fishbourne, laid by imported craftsmen. But there is evidence
that by the middle of the 2nd century a local firm was at work
at Colchester and Verulamium, and in the 4th century a number of
local mosaic workshops can be recognized by their styles. One of
the most skilled of these was based in Cirencester.
Roman civilization thus took root in Britain; its growth was
more obvious in urban circles than among the peasants and
weakest in the resistant highland zone. It was a provincial
version of Roman culture, but one with recognizably British
traits.
The decline of Roman rule
The reforms of Diocletian ended the chaos of the 3rd
century and ushered in the late imperial period. Britain,
however, for a short time became a separate empire through the
rebellion (286/287) of Carausius. This man had been in command
against the Saxon pirates in the Channel and by his naval power
was able to maintain his independence. His main achievement was
to complete the new system of Saxon Shore forts around the
southeastern coasts. At first he sought recognition as
coemperor, but this was refused. In 293 the fall of Boulogne to
Roman forces led to his murder and the accession of Allectus,
who, however, fell in his turn when Constantius I invaded
Britain in 296. Allectus had withdrawn troops from the north to
oppose the landing, and Hadrian’s Wall seems to have been
attacked, for Constantius had to restore the frontier as well as
reform the administration. He divided Britain into four
provinces, and in the same period the civil power was separated
from the military. Late Roman sources show three separate
commands respectively under the dux Britanniarum (commander of
the Britains), the comes litoris Saxonici (count of the Saxon
Shore), and the comes Britanniarum, though the dates of their
establishment are unknown and may not have been identical.
The 4th century was a period of great prosperity in towns and
countryside alike. Britain had escaped the “barbarian” invasions
of the 3rd century and may have seemed a safe refuge for wealthy
continentals. Its weakness lay in the fact that its defense was
ultimately controlled by distant rather than local rulers. The
garrison was perhaps weakened by withdrawals for the civil war
of Magnentius (350–351); at any rate in 367 a military disaster
occurred due to concerted seaborne attacks from the Picts of
Scotland and the Scots of Ireland. But, though the frontier and
forts behind it suffered severely, there is little trace of
damage to towns or villas. Count Theodosius in 369 restored
order and strengthened the defenses of the towns with external
towers designed to mount artillery. Prosperity continued, but
the withdrawals of troops by Magnus Maximus in 383 and again at
the end of the century by Stilicho weakened security. Thus, when
Constantine III, who was declared emperor by the army in Britain
in 407, took further troops to Gaul, the forces remaining in the
island were insufficient to provide protection against
increasing Pictish and Saxon raids. The Britons appealed to the
legitimate emperor, Honorius, who was unable to send assistance
but authorized the cities to provide for their own defense
(410). This marks the end of Roman Britain, for the central
government never reestablished control, but for a generation
there was little other outward change.
Power fell gradually into the hands of tyrants. Chief of
these was Vortigern (c. 425), who, unlike earlier usurpers, made
no attempt to become Roman emperor but was content with power in
Britain. Independence was producing separate interests. By this
date Christianity had made considerable headway in the island,
but the leaders followed the heretical teaching of Pelagius,
himself a Briton, who had emphasized the importance of the human
will over divine grace in the achievement of salvation. It has
been held that the self-reliance shown in the maintenance of
national independence was inspired by this philosophy. Yet there
was also a powerful Roman Catholic party anxious to reforge the
links with Rome, in support of whom St. Germanus of Auxerre
visited Britain in 429. It may have been partly to thwart the
plans of this party that Vortigern made the mistake (c. 430; the
date given by the Anglo-Saxon Benedictine scholar Bede [d. 735]
is between 446 and 454) of inviting Saxons to settle and
garrison strategic areas of the east coast, though he certainly
also had in mind the need to ward off seaborne raids by Picts,
which at this time were troublesome. Planned settlement of this
sort is the best explanation for the earliest Saxon settlements
found around the mouths of the east-coast estuaries and also in
the central southeast region around Oxford. For a time the
system worked successfully, but, when in 442 these Saxon
foederati (allies) rebelled and called in others of their race
to help them, it was found that they had been given a
stranglehold on Britain. A long period of warfare and chaos was
inaugurated, which was economically disastrous. It was probably
this period that saw the disintegration of the majority of the
villa estates; with the breakdown of markets and the escape of
slaves, villas ceased to be viable and must have gradually
fallen into ruin, though the land itself did not cease to be
cultivated. A few villas met a violent end. The towns, under the
protection of their strong defenses, at first provided refuge at
any rate for the rich who could leave their lands; but by
degrees decay set in as trade declined and finally even the
supply of food was threatened. In about 446 the British made a
vain appeal for help to the Roman general Aetius (the “Groans of
the Britons” mentioned in the De excidio et conquestu Britanniae
of the British writer Gildas). For several decades they suffered
reverses; many emigrated to Brittany. In the second half of the
5th century Ambrosius Aurelianus and the shadowy figure of
Arthur began to turn the tide by the use of cavalry against the
ill-armed Saxon infantry. A great victory was won at Mons
Badonicus (a site not identifiable) toward 500: now it was
Saxons who emigrated, and the British lived in peace all through
the first half of the 6th century, as Gildas records. But in the
second half the situation slowly worsened.
Sheppard Sunderland Frere
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Anglo-Saxon England
The invaders and their early settlements
Although Germanic foederati, allies of Roman and
post-Roman authorities, had settled in England in the 4th
century ad, tribal migrations into Britain began about the
middle of the 5th century. The first arrivals, according to the
6th-century British writer Gildas, were invited by a British
king to defend his kingdom against the Picts and Scots. A
tradition reached Bede that the first mercenaries were from
three tribes—the Angles, Saxons, and Jutes—which he locates on
the Cimbric Peninsula, and by implication the coastlands of
northwestern Germany. Archaeology, however, suggests a more
complex picture showing many tribal elements, Frankish
leadership in the first waves, and Frisian contacts. Revolt by
these mercenaries against their British employers in the
southeast of England led to large-scale Germanic settlements
near the coasts and along the river valleys. Their advance was
halted for a generation by native resistance, which tradition
associates with the names of Ambrosius Aurelianus and Arthur,
culminating in victory about 500 by the Britons at the Battle of
Mons Badonicus at an unidentified location. But a new Germanic
drive began about 550, and before the century had ended, the
Britons had been driven west to the borders of Dumnonia
(Cornwall and Devon) and to the Welsh Marches, while invaders
were advancing west of the Pennines and northward into Lothian.
The fate of the native British population is difficult to
determine. The case against its large-scale survival rests
largely on linguistic evidence, such as the scarcity of
Romano-British words continuing into English and the use of
English even by Northumbrian peasants. The case against
wholesale extermination also rests on linguistic evidence, such
as place-names and personal names, as well as on evidence
provided by urban and rural archaeology. Certainly few Britons
in England were above servile condition. By the end of the 7th
century people regarded themselves as belonging to “the nation
of the English,” though divided into several kingdoms. This
sense of unity was strengthened during long periods when all
kingdoms south of the Humber acknowledged the overlordship
(called by Bede an imperium) of a single ruler, known as a
bretwalda, a word first recorded in the 9th century.
The first such overlord was Aelle of Sussex, in the late 5th
century; the second was Ceawlin of Wessex, who died in 593. The
third overlord, Aethelberht of Kent, held this power in 597 when
the monk Augustine led a mission from Rome to Kent; Kent was the
first English kingdom to be converted to Christianity. The
Christian church provided another unifying influence, overriding
political divisions, although it was not until 669 that the
church in England acknowledged a single head.
The social system
Aethelberht set down in writing a code of laws; although
it reflects Christian influence, the system underlying the laws
was already old, brought over from the Continent in its main
lines. The strongest social bond of this system was that of
kinship; every freeman depended on his kindred for protection,
and the social classes were distinguished by the amount of their
wergild (the sum that the kindred could accept in place of
vengeance if a man were killed). The normal freeman was the
ceorl, an independent peasant landowner; below him in Kent were
persons with lower wergilds, who were either freedmen or, as
were similar persons in Wessex, members of a subject population;
above the ceorls were the nobles—some perhaps noble by birth but
more often men who had risen by service as companions of the
king—with a wergild three times that of a ceorl in Kent, six
times that of a ceorl elsewhere. The tie that bound a man to his
lord was as strong as that of the kindred. Both nobles and
ceorls might possess slaves, who had no wergild and were
regarded as chattels.
Early traditions, embodied in king lists, imply that all
Anglo-Saxon kingdoms except Sussex were established by rulers
deemed to have descended from the gods. No invading chieftain is
described by the Anglo-Saxon Chronicle as “king”—although the
title was soon used—and chieftainship, as before the conquest,
remained central to Germanic tribal society. The sacral
character of kingship later increased and changed in meaning as
the Christian ruler was set apart by coronation and anointment.
In the established English kingdoms the king had special
rights—compensations for offenses committed in his presence or
his home or against anyone under his protection; rights to
hospitality, which later became a food rent charged on all land;
and rights to various services. He rewarded his followers with
grants of land, probably at first for their lifetime only, but
the need to provide permanent endowment for the church brought
into being a type of land that was free from most royal dues and
that did not revert to the king. From the latter part of the 7th
century such land was sometimes conferred by charter. It became
common to make similar grants by charter to laymen, with power
to bequeath; but three services—the building of forts and
bridges and service in the army—were almost invariably excepted
from the immunity. The king received fines for various crimes;
but a man’s guilt was established in an assembly of freemen,
where the accused tried to establish his innocence by his
oath—supported by oath helpers—and, if this failed, by ordeal.
On matters of importance the king normally consulted his witan
(wise men).
There were local variations in the law, and over a period of
time the law developed to meet changed circumstances. As
kingdoms grew larger, for example, an official called an
ealderman was needed to administer part of the area, and later a
sheriff was needed to look after the royal rights in each shire.
The acceptance of Christianity made it necessary to fit the
clergy into the scale of compensations and assign a value to
their oaths and to fix penalties for offenses such as sacrilege,
heathen practices, and breaches of the marriage law. But the
basic principles were little changed.
The Anglo-Saxons left England a land of villages, but the
continuity of village development is uncertain. In the 7th–8th
centuries, in what is called the “Middle Saxon shuffle,” many
early villages were abandoned, and others, from which later
medieval villages descended, were founded. The oldest villages
are not, as previously thought, those with names ending in
-ingas but rather those ending in -ham and -ingham. English
trading towns, whose names often end in -wich, from the Latin
vicus (“village”), developed in the Middle Saxon period, and
other urban settlements grew out of and date from the Alfredian
and later defenses against Viking attack.
The conversion to Christianity
Place-names containing the names of gods or other heathen
elements are plentiful enough to prove the vitality of
heathenism and to account for the slow progress of conversion in
some areas. In Kent, the first kingdom to accept Christianity,
King Wihtred’s laws in 695 contained clauses against heathen
worship. The conversion renewed relations with Rome and the
Continent; but the full benefit of this was delayed because much
of England was converted by the Celtic church, which had lost
contact with Rome.
Augustine’s mission in 597 converted Kent; but it had only
temporary success in Essex, which reverted to heathenism in 616.
A mission sent under Bishop Paulinus from Kent to Northumbria in
627 converted King Edwin and many of his subjects in Northumbria
and Lindsey. It received a setback in 632 when Edwin was killed
and Paulinus withdrew to Kent. About 630 Archbishop Honorius of
Canterbury sent a Burgundian, Felix, to convert East Anglia, and
the East Anglian church thenceforth remained faithful to
Canterbury. Soon after, the West Saxons were converted by
Birinus, who came from Rome. Meanwhile, King Oswald began to
restore Christianity in Northumbria, bringing Celtic
missionaries from Iona. And it was the Celtic church that began
in 653 to spread the faith among the Middle Angles, the
Mercians, and the peoples of the Severn valley; it also won back
Essex.
At first there was little friction between the Roman and
Celtic missions. Oswald of Northumbria joined with Cynegils of
Wessex in giving Dorchester-on-Thames as seat for Birinus’
bishopric; the Irishmen Maildubh in Wessex and Fursey in East
Anglia worked in areas converted by the Roman church; and James
the Deacon continued Paulinus’ work in Northumbria. Later,
however, differences in usage—especially in the calculation of
the date of Easter—caused controversy, which was settled in
favour of the Roman party at the Synod of Whitby in 664. The
adherents of Celtic usage either conformed or withdrew, and
advocates of Roman practice became active in the north, the
Midlands, and Essex. Theodore of Tarsus (arrived 669), the first
Roman archbishop to be acknowledged all over England, was active
in establishing a proper diocesan system, whereas in the Celtic
church bishops tended to move freely without fixed sees and
settled boundaries; he held the first synod of the English
church at Hertford in 672, and this forbade a bishop to
interfere in another’s diocese or any priest to move into
another diocese without his bishop’s permission. Sussex and the
Isle of Wight—the last outposts of heathenism—were converted by
Bishop Wilfrid and his followers from 681 to 687 and thenceforth
followed Roman usages.
The Anglo-Saxons attributed their conversion to Pope Gregory
I, “the Apostle of the English,” who had sent Augustine. This
may seem less than fair to the Celtic mission. The Celtic church
made a great impression by its asceticism, fervour, and
simplicity, and it had a lasting influence on scholarship. Yet
the period of Celtic dominance was only 30 years. The decision
at Whitby made possible a form of organization better fitted for
permanent needs than the looser system of the Celtic church.
The golden age of Bede
Within a century of Augustine’s landing, England was in
the forefront of scholarship. This high standard arose from a
combination of influences: that from Ireland, which had escaped
the decay caused elsewhere by the barbarian invasions, and that
from the Mediterranean, which reached England mainly through
Archbishop Theodore and his companion, the abbot Adrian. Under
Theodore and Adrian, Canterbury became a famous school, and men
trained there took their learning to other parts of England. One
of these men was Aldhelm, who had been a pupil of Maildubh (the
Irish founder of Malmesbury); under Aldhelm, Malmesbury became
an influential centre of learning. Aldhelm’s own works, in Latin
verse and prose, reveal a familiarity with many Latin authors;
his writings became popular among admirers of the ornate and
artificial style he had learned from his Celtic teachers. Before
long a liberal education could be had at such other West Saxon
monasteries as Nursling and Wimborne.
The finest centre of scholarship was Northumbria. There
Celtic and classical influences met: missionaries brought books
from Ireland, and many Englishmen went to Ireland to study.
Other Northumbrians went abroad, especially to Rome; among them
was Benedict Biscop. Benedict returned from Rome with Theodore
(668–669), spent some time in Canterbury, and then brought the
learning acquired there to Northumbria. He founded the
monasteries at Wearmouth (674) and Jarrow (682), where Bede
spent his life. Benedict and Ceolfrith, abbot of Jarrow, brought
books from the Continent and assembled the fine library that was
available to Bede.
Bede (c. 672–735) is remembered as a great historian whose
work never lost its value; but he was also a theologian regarded
throughout the Middle Ages as second only to the Church Fathers.
Nonetheless, even though he was outstanding, he did not work in
isolation. Other Northumbrian houses—Lindisfarne, Whitby, and
Ripon—produced saints’ lives, and Bede was in touch with many
learned men, not only in Northumbria; there are also signs of
scholarly activity in London and in East Anglia.
Moreover, in this period religious poetry was composed in the
diction and technique of the older secular poetry in the
vernacular. Beowulf, considered the greatest Old English poem,
is sometimes assigned to this age, but the dating is uncertain.
Art flourished, with a combination of native elements and
influences from Ireland and the Mediterranean. The Hiberno-Saxon
(or Anglo-Irish) style of manuscript illumination was evolved,
its greatest example—the Lindisfarne Gospels—also showing
classical influence. Masons from Gaul and Rome built stone
churches. In Northumbria stone monuments with figure sculpture
and vine-scroll patterns were set up. Churches were equipped
with precious objects—some from abroad, some of native
manufacture (even in heathen times the English had been skilled
metalworkers). Manuscripts and works of art were taken abroad to
churches founded by the English missions, and these churches, in
turn, became centres of production. The great Sutton Hoo ship
burial, discovered in 1939 at the burial site of the East
Anglian royal house and perhaps the cenotaph of the bretwalda
Raedwald (d. c. 625), is further evidence of influences from
abroad, revealing important Anglo-Saxon contacts with
Scandinavia, Byzantium, France, and the Mediterranean.
The heptarchy
The supremacy of Northumbria and the rise
of Mercia
When Northumbria became eminent in scholarship, its age
of political importance was over. This political dominance had
begun when Aethelfrith, ruling over the united Northumbrian
kingdoms of Bernicia and Deira, defeated the Dalriadic Scots at
Degsastan in 603 and the Welsh at Chester in 613–616.
Aethelfrith was himself defeated and killed in 616 by Edwin, the
exiled heir to Deira, with the help of Raedwald of East Anglia,
then overlord of the southern peoples.
Edwin continued to defeat the Welsh and became the
acknowledged overlord of all England except Kent: he annexed the
British kingdom of Elmet, invaded North Wales, and captured
Anglesey and the Isle of Man. But he fell at Hatfield in 632
before the forces of Cadwallon, king of Gwynedd, and of Penda, a
Mercian chieftain. A year later Aethelfrith’s son Oswald
destroyed Cadwallon and restored the kingdom of Northumbria, and
he became overlord of all the lands south of the River Humber.
But Mercia was becoming a serious rival; originally a small
kingdom in the northwest Midlands, it had absorbed the peoples
of the Severn valley, including the Hwicce, a West Saxon people
annexed in 628 after a victory by Penda at Cirencester.
Penda threw off Northumbrian control when he defeated and
killed Oswald in 641. He drove out Cenwalh of Wessex, who took
refuge in East Anglia from 645 to 648. Penda’s control of Middle
Anglia, where he made his son subking in 653, brought him to the
East Anglian frontier; he invaded this kingdom three times,
killing three of its kings. He was able to draw an army from a
wide area, including East Anglia, when he invaded Northumbria in
654; nevertheless, he was defeated and killed by Oswiu, Oswald’s
successor.
For a short time Oswiu was overlord of southern England, but
a Mercian revolt put Penda’s son Wulfhere on the throne in 657,
and he greatly extended Mercian power to the southeast and
south. Wulfhere became overlord of Essex, with London, and of
Surrey. He also held the West Saxon lands along the middle
Thames and blocked any eastward advance of the West Saxons by
capturing the Isle of Wight and the mainland opposite and giving
them to his godson, Aethelwalh of Sussex. Yet Wulfhere’s reign
ended in disaster; the Kentish monk Aedde, in his Life of St.
Wilfrid, said Wulfhere roused all the southern peoples in an
attack on Ecgfrith of Northumbria in 674 but was defeated and
died soon after.
Ecgfrith took possession of Lindsey, a section of modern
Lincolnshire, but he lost it to Aethelred of Mercia after the
Battle of the Trent in 678. Thenceforward Northumbria was no
threat to Mercian dominance because it was occupied in fighting
the Picts in the north. After Ecgfrith was slain by them in 685,
his successors took little part in external affairs.
Yet Mercian power was threatened from the south. Caedwalla
had added Surrey, Sussex, and the Isle of Wight to the West
Saxon kingdom and thus came near to uniting all lands south of
the Thames into a single kingdom that might have held its own
against Mercia. But this kingdom was short-lived. Kent became
free from foreign interference in 694, two years after the
accession of Wihtred, who reestablished the Kentish royal line.
Sussex appears again as an independent kingdom; and Caedwalla’s
successor, Ine, was mainly occupied in extending his territory
to the west. After Wihtred’s death in 725 and Ine’s abdication
in 726, both Kent and Wessex had internal troubles and could not
resist the Mercian kings Aethelbald and Offa.
The great age of Mercia
Aethelbald succeeded in 716 to the rule of all the
Midlands and to the control of Essex and London. By 731 all
provinces south of the Humber were subject to him. Some of his
charters use a regnal style suited to this dignity, such as
“king not only of the Mercians but also of all provinces . . .
of the South English” and rex Britanniae (a Latinization of
bretwalda). Aethelbald held this position, with only occasional
warfare, until his death, in 757—far longer than any previous
holder of the imperium. St. Boniface praised the good order he
maintained in his kingdom, though complaining of his immoral
life and his encroachment on church privileges. Aethelbald was
murdered by his own household.
Offa did not at once attain the powerful position that later
caused Charles the Great (Charlemagne) to treat with him on
equal terms; Cynewulf of Wessex recovered West Saxon lands by
the middle Thames and did not submit until 779. Offa was
overlord in Kent by 764, in Sussex and the district of Hastings
by 771; he apparently lost his authority in Kent after the
Battle of Otford in 776 but recovered it in 785. His use of an
East Anglian mint shows him supreme there. He claimed greater
powers than earlier overlords—subkings among the Hwicce and in
Sussex dropped their royal titles and appeared as ealdermen, and
he referred to a Kentish king as his thegn. The English scholar
Alcuin spoke of the blood shed by Offa to secure the succession
of his son, and fugitives from his kingdom sought asylum with
Charles the Great. Charles treated Offa as if he were sole king
of England, at least of the region south of the Humber; the only
other king he acknowledged was the Northumbrian ruler. Offa
seemed not to have claimed authority beyond the Humber but
instead allied himself with King Aethelred of Northumbria by
giving him his daughter in 794.
Offa appears on the continental scene more than had any
previous English king. Charles wrote to him as “his dearest
brother” and wished for a marriage between his own son Charles
and Offa’s daughter. Offa’s refusal, unless Charles let one of
his daughters marry Offa’s son Ecgfrith, led to a three-year
quarrel in which Charles closed his ports to traders from
England. This and a letter about regulating trade, written when
the quarrel was over, provide evidence for the importance of
cross-Channel trade, which was one reason for Offa’s reform of
the coinage.
Imitating the action of Pippin III in 755, Offa took
responsibility for the coinage, and thenceforward the king’s
name normally appeared on coins. But the excellent quality in
design and workmanship of his coins, especially those with his
portrait, served an additional purpose: they had a propaganda
value in bringing home the preeminence of the Mercian king not
only to his English subjects but also to people on the
Continent. Pope Adrian I regarded Offa with awe and respect.
Because Offa’s laws are lost, little is known of his internal
government, though Alcuin praises it. Offa was able to draw on
immense resources to build a dike to demarcate his frontier
against Wales. In the greatness of its conception and the skill
of its construction, the dike forms a fitting memorial to him.
It probably belongs to his later years, and it secured Mercia
from sudden incursions.
The church and scholarship in Offa’s time
Northumbria was still preeminent in scholarship, and the
fame of the school of York, founded by Bede’s pupil Archbishop
Egbert, attracted students from the Continent and from Ireland.
Eventually it supplied Alcuin to take charge of the revival of
learning inaugurated by Charles the Great; Alcuin’s writings
exercised great influence on theological, biblical, and
liturgical studies, and his pupils carried on his work well into
the 9th century.
Learning was not confined to Northumbria; one Latin work was
produced in East Anglia, and recent attribution of manuscripts
to Lichfield suggests that Mercian scholarship has been
underestimated. Offa himself took an interest in education, and
men from all areas corresponded with the missionaries. The
Mercian schools that supplied Alfred with scholars in the 9th
century may go back to this period. Vernacular poetry was
composed, perhaps including Beowulf and the poems of Cynewulf.
A steady advance was made in the creation of parishes, and
monasticism flourished and received support from Offa. A great
event in ecclesiastical history was the arrival of a papal
legation in 787, the first since the conversion. It drew up
reforming statutes, which were accepted by the two
ecclesiastical provinces, meeting separately under the
presidency of Offa and Aelfwald of Northumbria. Offa used the
visit to secure the consecration of his son—the first recorded
coronation ceremony in England—and also to have Mercia made into
a metropolitan province with its see at Lichfield. The latter
seemed desirable partly because he disliked the Kentish
archbishop of Canterbury, Jaenberht, but also because it would
seem fitting to him that the leading kingdom should be free from
external interference in ecclesiastical affairs. This move was
unpopular with the church, and in 802, when relations with
Canterbury had improved, the archbishopric of Lichfield was
abolished.
The decline of Mercia and the rise of Wessex
Offa died in 796, and his son died a few weeks later. Cenwulf,
their successor, suppressed revolts in Kent and East Anglia, but
he never attained Offa’s position. Cenwulf allowed Charles to
intervene in Northumbria in 808 and restore Eardwulf (who had
been driven from his kingdom) to the throne—a unique incident in
Anglo-Saxon history. Mercian influence in Wessex was ended when
Egbert became king there in 802, though there is no recorded
warfare between the kingdoms for many years, during which Egbert
conquered Cornwall and Cenwulf fought in Wales. But in 825
Egbert defeated Beornwulf of Mercia and then sent an army into
Kent, with the result that he was accepted as king of Kent,
Surrey, Sussex, and Essex. In that same year the East Angles
threw off the Mercian yoke, killing Beornwulf. In 829 Egbert
became ruler of Mercia and all regions south of the Humber,
which caused the chronicler to add his name to Bede’s list of
kings who held the imperium, calling him bretwalda. The
Northumbrians accepted Egbert without fighting. Yet he held this
proud position only one year; then Wiglaf recovered the Mercian
throne and ruled without subjection to Egbert.
By this time Danish Viking raids were a grave menace, and
Aethelwulf, who succeeded his father Egbert in 839, had the
wisdom to see that Mercia and Wessex must combine against the
Vikings. Friendly relations between them were established by
marriage alliances and by a peaceful settlement of boundaries;
this paved the way for the acceptance in 886 of Alfred, king of
Wessex, as lord of all the English who had not fallen under
Danish rule.
The period of the Scandinavian invasions
Viking invasions and settlements
Small scattered Viking raids began in the last years of
the 8th century; in the 9th century large-scale plundering
incursions were made in Britain and in the Frankish empire as
well. Though Egbert defeated a large Viking force in 838 that
had combined with the Britons of Cornwall and Aethelwulf won a
great victory in 851 over a Viking army that had stormed
Canterbury and London and put the Mercian king to flight, it was
difficult to deal with an enemy that could attack anywhere on a
long and undefended coastline. Destructive raids are recorded
for Northumbria, East Anglia, Kent, and Wessex.
A large Danish army came to East Anglia in the autumn of 865,
apparently intent on conquest. By 871, when it first attacked
Wessex, it had already captured York, been bought off by Mercia,
and had taken possession of East Anglia. Many battles were
fought in Wessex, including one that led to a Danish defeat at
Ashdown in 871. Alfred the Great, a son of Aethelwulf, succeeded
to the throne in the course of the year and made peace; this
gave him a respite until 876. Meanwhile the Danes drove out
Burgred of Mercia, putting a puppet king in his place, and one
of their divisions made a permanent settlement in Northumbria.
Alfred was able to force the Danes to leave Wessex in 877,
and they settled northeastern Mercia; but a Viking attack in the
winter of 878 came near to conquering Wessex. That it did not
succeed is to be attributed to Alfred’s tenacity. He retired to
the Somerset marshes, and in the spring he secretly assembled an
army that routed the Danes at Edington. Their king, Guthrum,
accepted Christianity and took his forces to East Anglia, where
they settled.
The importance of Alfred’s victory cannot be exaggerated. It
prevented the Danes from becoming masters of the whole of
England. Wessex was never again in danger of falling under
Danish control, and in the next century the Danish areas were
reconquered from Wessex. Alfred’s capture of London in 886 and
the resultant acceptance of him by all the English outside the
Danish areas was a preliminary to this reconquest. That Wessex
stood when the other kingdoms had fallen must be put down to
Alfred’s courage and wisdom, to his defensive measures in
reorganizing his army, to his building fortresses and ships, and
to his diplomacy, which made the Welsh kings his allies. Renewed
attacks by Viking hosts in 892–896, supported by the Danes
resident in England, caused widespread damage but had no lasting
success.
Alfred’s government and his revival of
learning
Good internal government contributed to Alfred’s
successful resistance to the Danes. He reorganized his finances
and the services due from thegns, issued an important code of
laws, and scrutinized carefully the exercise of justice. Alfred
saw the Viking invasions as a punishment from God, especially
because of a neglect of learning, without which men could not
know and follow the will of God. He deplored the decay of Latin
and enjoined its study by those destined for the church, but he
also wished all young freemen of adequate means to learn to read
English, and he aimed at supplying men with “the books most
necessary for all men to know,” in their own language.
Alfred had acquired an education despite great difficulties,
and he translated some books himself with the help of scholars
from Mercia, the Continent, and Wales. Among them they made
available works of Bede and Orosius, Gregory and Augustine, and
the De consolatione philosophiae of Boethius. Compilation of the
Anglo-Saxon Chronicle began in his reign. The effects of
Alfred’s educational reforms can be glimpsed in succeeding
reigns, and his works continued to be copied. Only in his
attempt to revive monasticism did he achieve little, for the
monastic idea had lost its appeal—in England as well as on the
Continent—during the Viking Age.
The achievement of political unity
The reconquest of the Danelaw
When Alfred died in 899, his son Edward succeeded him. A
large-scale incursion by the Danes of Northumbria ended in their
crushing defeat at Tettenhall in 910. Edward completed his
father’s plan of building a ring of fortresses around Wessex,
and his sister Aethelflaed took similar measures in Mercia. In
912 Edward was ready to begin the series of campaigns by which
he relentlessly advanced into the Danelaw (Danish territory in
England), securing each advance by a fortress, until he won back
Essex, East Anglia, and the east-Midland Danish areas.
Aethelflaed moved similarly against the Danish territory of the
Five Boroughs (Derby, Leicester, Nottingham, Lincoln, and
Stamford). She obtained Derby and Leicester and gained a promise
of submission from the Northumbrian Danes before she died in
918. Edward had by then reached Stamford, but he broke off his
advance to secure his acceptance by the Mercians at Tamworth and
to prevent their setting up an independent kingdom. Then he took
Nottingham, and all the Danes in Mercia submitted to him.
Meanwhile another danger had arisen: Norsemen from Ireland
had been settling for some time west of the Pennines, and
Northumbria was threatened by Raegnald, a Norse leader from
Dublin, who made himself king at York in 919. Edward built
fortresses at Thelwall and Manchester, and in 920 he received
Raegnald’s submission, along with that of the Scots, the
Strathclyde Welsh, and all the Northumbrians. Yet Norse kings
reigned at York intermittently until 954.
The kingdom of England
Athelstan succeeded his father Edward in 924. He made
terms with Raegnald’s successor Sihtric and gave him his sister
in marriage. When Sihtric died in 927, Athelstan took possession
of Northumbria, thus becoming the first king to have direct rule
of all England. He received the submission of the kings of Wales
and Scotland and of the English ruler of Northumbria beyond the
Tyne.
Athelstan was proud of his position, calling himself “king of
all Britain” on some of his coins and using in his charters
flamboyant rhetoric carrying the same message; he held great
courts attended by dignitaries from all over England and by
Welsh kings; he subjected the Welsh to tribute and quelled a
revolt of the Britons of Cornwall. His sisters were married to
continental princes—Charles the Simple, king of the Franks;
Otto, son of Henry the Fowler; and Hugh, duke of the Franks.
Among those brought up at his court were Louis, Charles’s son;
Alan of Brittany, Athelstan’s godson; and Haakon, son of Harald
Fairhair of Norway; they all returned to win their respective
inheritances with his support. He was a generous donor to
continental and English churches. But Athelstan is remembered
chiefly as the victor at Brunanburh, against a combine of Olaf
Guthfrithson, king of Dublin; Owain of Strathclyde; and
Constantine, king of the Scots, whom Athelstan had defeated in
934. They invaded England in 937, and their defeat is celebrated
by a poem in the Anglo-Saxon Chronicle.
Immediately after Athelstan’s death in 939 Olaf seized not
only Northumbria but also the Five Boroughs. By 944 Athelstan’s
successor, his younger brother Edmund, had regained control, and
in 945 Edmund conquered Strathclyde and gave it to Malcolm of
Scotland. But Edmund’s successor, Eadred, lost control of
Northumbria for part of his reign to the Norse kings Erik
Bloodax (son of Harald Fairhair) and Olaf Sihtricson. When Erik
was killed in 954, Northumbria became a permanent part of the
kingdom of England.
By becoming rulers of all England, the West Saxon kings had
to administer regions with variant customs, governed under West
Saxon, Mercian, or Danish law. In some parts of the area of
Danish occupation, especially in northern England and the
district of the Five Boroughs, the evidence of place-names,
personal names, and dialect seems to indicate dense Danish
settlement, but this has been seriously questioned; many
“Danish” features are also found in Anglo-Saxon areas, and
Danish names do not always prove Danish institutions. Moreover,
the older Anglo-Saxon regions, such as Mercia, which often cut
across both Danish and English areas, were politically more
significant. Money, however, was calculated in marks and ores
instead of shillings in Danish areas, and arable land was
divided into plowlands and oxgangs instead of hides and virgates
in the northern and northeastern parts of the Danelaw. Most
important was the presence in some areas of a number of small
landholders with a much greater degree of independence than
their counterparts elsewhere; many ceorls had so suffered under
the Danish ravages that they had bought a lord’s support by
sacrificing some of their independence. Excavations (1976–81)
have shown 10th-century Jorvik (York), a Danish settlement, to
have been a centre of international trade, economic
specialization, and town planning; it was on its way to becoming
by 1086 (in the Domesday survey) one of Europe’s largest cities,
numbering at least 2,000 households.
The kings did not try to eradicate the local peculiarities.
King Edgar (reigned 959–975) expressly granted local autonomy to
the Danes. But from Athelstan’s time it was decreed that there
was to be one coinage for all the king’s dominion, and a measure
of uniformity in administrative divisions was gradually
achieved. Mercia became divided into shires on the pattern of
those of Wessex. It is uncertain how early the smaller divisions
of the shires were called “hundreds,” but they now became
universal (except in the northern Danelaw, where an area called
a wapentake carried on its fiscal and jurisdictional functions).
An ordinance of the mid-10th century laid down that the court in
each hundred (called “hundred courts”) must meet every four
weeks to handle local legal matters, and Edgar enjoined that the
shire courts must meet twice a year and the borough courts three
times. This pattern of local government survived the Norman
Conquest.
The church and the monastic revival
To those who judged the church solely by the state of its
monasteries, the first half of the 10th century seemed a period
of inertia. In fact, the great tasks of converting the heathen
settlers, restoring ecclesiastical organization in Danish areas,
and repairing the damages of the invasions elsewhere must have
absorbed much energy. Even so, learning and book production were
not at so low an ebb as monastic reformers claimed. Moreover,
new monasteries were founded and benefactions were made to older
ones, even though, by post-revival standards, none of these
monasteries was enforcing a strict monastic rule and several
benefactions were held by secular priests. Alfred had failed to
arouse much enthusiasm for monasticism. The movement for reform
began in England about 940 and soon came under the influence of
reforms in Fleury and Lorraine. King Edgar, an enthusiastic
supporter, promoted the three chief reformers to important
positions—Dunstan to Canterbury, Aethelwold to Winchester, and
Oswald to Worcester and later to York. The secular clergy were
violently ejected from Winchester and some other places; Oswald
gradually replaced them with monks at Worcester. All three
reformers founded new houses, including the great monasteries in
the Fenlands, where older houses had perished in the Danish
invasion; but Oswald had no success in Northumbria. The
reformers, however, were concerned with more than
monasticism—they paid great attention to other needs of their
dioceses; the scholars Abbot Aelfric and Archbishop Wulfstan,
trained by the reformers, directed much of their writings to
improving the education and morals of the parish clergy and,
through them, of the people.
The monastic revival resulted in a great revival of both
vernacular and Latin literature, of manuscript production and
illumination, and of other forms of art. It reached its zenith
in the troubled years of King Ethelred II (reigned 978–1016),
after a brief, though violent, reaction to monasticism following
Edgar’s death. In the 11th century monasteries continued to be
productive and new houses were founded; there was also a
movement to impose a communal life on bodies of secular priests
and to found houses of secular canons.
The Anglo-Danish state
The Danish conquest and the reigns of the
Danish kings
Ethelred succeeded as a child in 978, after the murder of
his stepbrother Edward. He took the throne in an atmosphere of
insecurity and distrust, which partly accounts for the
incompetence and treachery rife in his reign. Viking raids began
in 980 and steadily increased in intensity. They were led by
formidable leaders: from 991 to 994 by Olaf Tryggvason, later
king of Norway, and frequently from 994 by Sweyn, king of
Denmark. Ethelred’s massacre of the Danes in England on St.
Brice’s Day, 1002, called for vengeance by Sweyn and, from 1009
to 1012, by a famous Viking, Thorkell the Tall. In 1013 the
English, worn out by continuous warfare and heavy tributes to
buy off the invaders, accepted Sweyn as king. Ethelred, his wife
Emma, and his younger sons sought asylum with Richard, duke of
Normandy, brother of Emma. Ethelred was recalled to England
after Sweyn’s death in 1014; but Sweyn’s son Canute (Cnut)
renewed the invasions and, in spite of valiant resistance by
Ethelred’s son and successor, Edmund, obtained half of England
after a victory at Ashingdon in October 1016 and the rest after
Edmund’s death that November.
Canute rewarded some of his followers with English lands and
ruthlessly got rid of some prominent Englishmen, among them
Edmund’s brother Edwy. (Edmund’s infant sons, however, were
carried away to safety in Hungary.) Yet Canute’s rule was not
tyrannical, and his reign was remembered as a time of good
order. The Danish element in his entourage diminished; and the
Englishmen Leofric, Earl of Mercia, and Godwine, Earl of Wessex,
became the most powerful magnates. Canute married Ethelred’s
widow, Emma, thus removing the danger of Norman support for her
sons by Ethelred. Canute fought a successful campaign in
Scotland in 1031, and Englishmen were drawn into his wars in
Scandinavia, which made him lord of Norway. But at home there
was peace. Probably under the influence of Archbishop Wulfstan
he became a stout supporter of the church, which in his reign
had the vitality to engage in missionary work in Scandinavia.
Religious as well as political motives may have caused his
pilgrimage to Rome in 1027 to attend the coronation of the
emperor Conrad; from the pope, the emperor, and the princes whom
he met he obtained concessions for English pilgrims and traders
going to Rome. Canute’s laws, drafted by Archbishop Wulfstan,
are mainly based on those of earlier kings, especially Edgar.
Already in 1018 the English and Danes had come to an
agreement “according to Edgar’s law.” No important changes were
made in the machinery of government except that small earldoms
were combined to make great earldoms, a change that placed much
power in the hands of their holders. No attempt was made to
restore the English line when Canute died in 1035; he was
followed by his sons Harold and Hardecanute, whose reigns were
unpopular. Denmark passed to Sweyn, son of Canute’s sister
Estrith, in 1043. Meanwhile the Norwegians in 1035 had driven
out another Sweyn, the son whom Canute had set to rule over them
with his mother, Aelfgifu, and had elected Magnus.
The close links with Scandinavia had benefited English trade,
but they left one awkward heritage: Hardecanute and Magnus made
an agreement that if either died without a son, the survivor was
to succeed to both kingdoms. Hardecanute died without a son in
1042, but he was succeeded by Ethelred’s son Edward, who was
known as the Confessor or the Saint because of his reputation
for chastity. Magnus was prevented by trouble with Denmark from
invading England as he intended in 1046; but Harold Hardraada
inherited Magnus’ claim to the English throne, and he came to
enforce it in 1066.
The reign of Edward the Confessor and the
Norman Conquest
It is easy to regard the years of Edward’s rule simply as
a prelude to the catastrophe of 1066, yet there are other
aspects of his reign. Harrying caused by political disturbances
or by incursions of the Scots or Welsh was only occasional and
localized; friendly relations were usually maintained with
Malcolm of Scotland, whom Earl Siward of Northumbria had
supported against Macbeth in 1054; and in 1063 the victories of
Harold, Earl of Wessex, and his brother Tostig ended the trouble
from Wales. The normal course of administration was maintained,
with efficient mints, writing office, taxation system, and
courts of justice. Trade was prosperous. The church contained
several good and competent leaders, and bad appointments—like
those of the Normans, Ulf to Dorchester and Robert to London and
Canterbury, and of Stigand to Winchester—were the exception.
Scholarship was not in decline, and manuscripts were produced in
great number. English illumination and other forms of art were
admired abroad.
The troubles of the reign came from the excessive power
concentrated in the hands of the rival houses of Leofric of
Mercia and Godwine of Wessex and from resentment caused by the
king’s introduction of Norman friends, though their influence
has sometimes been exaggerated. A crisis arose in 1051 when
Godwine defied the king’s order to punish the men of Dover, who
had resisted an attempt by Eustace of Boulogne to quarter his
men on them by force. The support of Earl Leofric and Earl
Siward enabled Edward to secure the outlawry of Godwine and his
sons; and William of Normandy paid Edward a visit during which
Edward may have promised William succession to the English
throne, although this Norman claim may have been mere
propaganda. Godwine and his sons came back the following year
with a strong force, and the magnates were not prepared to
engage them in civil war but forced the king to make terms. Some
unpopular Normans were driven out, including Archbishop Robert,
whose archbishopric was given to Stigand; this act supplied one
excuse for the papal support of William’s cause.
Harold succeeded his father Godwine as earl of Wessex in
1053; Tostig was made earl of Northumbria in 1055; and their
younger brothers were also provided with earldoms. To settle the
question of succession, negotiations were begun in 1054 to bring
Edward, Edmund’s son (nephew of Edward the Confessor), from
Hungary; but Edward died in 1057, leaving a son, Edgar
Aetheling, then a child, who was passed over in 1066. In about
1064 Harold of Wessex, when visiting Normandy, swore to support
William’s claim. Only Norman versions of the incident survive
and the true circumstances cannot be ascertained, but William
used Harold’s broken oath to help secure papal support later. In
1065 Harold acquiesced in the appointment of Morcar, brother of
Edwin, Earl of Mercia, to replace Tostig when the Northumbrians
revolted against him, and thus Harold turned his brother into an
enemy. King Edward, when dying, named Harold to succeed him,
and, after overcoming Northumbrian reluctance with the help of
Bishop Wulfstan of Worcester, Harold was universally accepted.
Harold might have proved an effective ruler, but the forces
against him were too strong. The papacy, without hearing the
defense in favour of Harold’s succession, gave its blessing to
an invasion of a people who had always been distinguished for
their loyalty to Rome, and this papal support helped William to
collect his army widely. The threat from Harold III Hardraade,
who was joined by Tostig, prevented Harold from concentrating
his forces in the south and took him north at a critical moment.
He fought at Hastings only 24 days after the armies of Mercia
and Northumbria had been put out of action by enormous losses at
Fulford and only 19 days after he had defeated and killed Harold
III Hardraade and Tostig at Stamford Bridge. Harold was slain at
Hastings, and on Christmas Day, 1066, William of Normandy was
crowned king of England. Although the Anglo-Saxon fighting force
was perhaps the best in Europe and the defeat at Hastings due
largely to a series of historical accidents, it is not difficult
to understand the English chronicler’s view that God was angry
with the English people.
Dorothy Whitelock
William A. Chaney
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The Normans (1066–1154)
William I (1066–87)
The Norman Conquest has long been argued about. The
question has been whether William I introduced fundamental
changes in England or based his rule solidly on Anglo-Saxon
foundations. A particularly controversial issue has been the
introduction of feudalism. On balance, the debate has favoured
dramatic change while also granting that in some respects the
Normans learned much from the English past. Yet William replaced
his initial policy of trying to govern through Englishmen with
an increasingly thoroughgoing Normanization.
Resistance and rebellion
The Conquest was not achieved at a single stroke. In 1068
Exeter rose against the Normans, and a major rising began in the
north. A savage campaign in 1069–70, the so-called harrying of
the north, emphasized William’s military supremacy and his
brutality. A further English rising in the Fens achieved
nothing. In 1075 William put down rebellion by the earls of
Hereford, Norfolk, and Northumbria. The latter, the last
surviving English earl, was executed for treason.
The introduction of feudalism
The Conquest resulted in the subordination of England to
a Norman aristocracy. William probably distributed estates to
his followers on a piecemeal basis as lands came into his hands.
He granted lands directly to fewer than 180 men, making them his
tenants in chief. Their estates were often well distributed,
consisting of manors scattered through a number of shires. In
vulnerable regions, however, compact blocks of land were formed,
clustered around castles. The tenants in chief owed homage and
fealty to the king and held their land in return for military
service. They were under obligation to supply a certain number
of knights for the royal feudal host—a number that was not
necessarily related to the quantity or quality of land held.
Early in the reign many tenants in chief provided knights from
their own households to meet demands for service, but they soon
began to grant some of their own lands to knights who would
serve them just as they in turn served the king. They could not,
however, use their knights for private warfare, which, in
contrast to Normandy, was forbidden in England. In addition to
drawing on the forces provided by feudal means, William made
extensive use of mercenary troops to secure the military
strength he needed. Castles, which were virtually unknown in
pre-Conquest England and could only be built with royal
permission, provided bases for administration and military
organization. They were an essential element in the Norman
settlement of England.
Government and justice
William hoped to be able to rule England in much the same
way as his Anglo-Saxon predecessors had done, though in many
respects the old institutions and practices had to be changed in
response to the problems of ruling a conquered land. The
Anglo-Saxon witan, or council, became the king’s curia regis, a
meeting of the royal tenants in chief, both lay and
ecclesiastical. William was said by chroniclers to have held
full courts three times a year, at Christmas, Easter, and
Whitsuntide, to which all the great men of the realm were
summoned and at which he wore his crown. These were similar to
the great courts he held in Normandy. Inevitably there were many
disputes over land, and the curia regis was where justice was
done to the great tenants in chief. William himself is said to
have sat one Sunday “from morn till eve” to hear a plea between
William de Braose and the abbot of Fécamp.
William at first did little to change Anglo-Saxon
administrative organization. The royal household was at the
centre of royal government, and the system, such as it was,
under Edward the Confessor had probably been quite similar to
that which existed in Normandy at the same period, although the
actual titles of the officers were not the same. Initially under
William there also was little change in personnel. But, by the
end of his reign, all important administrative officials were
Norman, and their titles corresponded to those in use in
Normandy. There were a steward, a butler, a chamberlain, a
constable, a marshal, and a head of the royal scriptorium, or
chancellor. This scriptorium was the source from which all writs
(i.e., written royal commands) were issued. At the start of
William’s reign the writs were in English, and by the end of it,
in Latin.
In local government the Anglo-Saxon shire and hundred courts
continued to function as units of administration and justice,
but with important changes. Bishops and earls ceased to preside
over the shire courts. Bishops now had their own ecclesiastical
courts, while earls had their feudal courts. But although earls
no longer presided over shire courts, they were entitled to take
a third of the proceeds coming from them. The old Anglo-Saxon
office of sheriff was transformed into a position resembling
that of the Norman vicomte, as native sheriffs were replaced by
Norman nobles. They controlled the shire and hundred courts,
were responsible for collecting royal revenue, and controlled
the royal castles that had been built both to subdue and protect
the country.
William made the most of the financial system he had
inherited. In addition to customary dues, such as revenues from
justice and income from royal lands, his predecessors had been
able to levy a geld, or tax, assessed on the value of land and
originally intended to provide funds to buy off Danish invaders.
The Confessor had abandoned this tax, but the Conqueror
collected it at least four times. Profits from the ample royal
estates must have been significant, along with those from royal
mints and towns.
The Conqueror greatly strengthened the administration of
justice in his new land. He occasionally appointed justiciars to
preside over local cases and at times named commissioners to act
as his deputies in the localities. There were a number of great
trials during the reign. The most famous of them was the trial
at Pinnenden Heath of a case between Lanfranc, archbishop of
Canterbury, and the king’s half brother, Odo, bishop of Bayeux
and earl of Kent. Not only all the Normans of the shire but also
many Englishmen, especially those learned in the customary law,
attended. On occasion jurors were summoned to give a collective
verdict under oath. Historians have debated as to whether juries
were introduced as a result of the Viking conquests or were a
Norman innovation, derived from Carolingian practice in France.
Whichever argument is correct, it is evident that, under the
Normans, juries came into more frequent use. William introduced
one measure to protect his followers: he made the local
community of the hundred responsible for the murder of any
Norman.
Church–state relations
The upper ranks of the clergy were Normanized and
feudalized, following the pattern of lay society. Bishops
received their lands and the symbols of their spiritual office
from the king. They owed knight service and were under firm
royal control. Sees were reorganized, and most came to be held
by continental clergy. In 1070 Lanfranc replaced Stigand as
archbishop of Canterbury. An ecclesiastical lawyer, teacher, and
church statesman, Lanfranc, a native of Italy, had been a monk
at Bec and an abbot of Saint Stephen’s at Caen. Lanfranc and
William understood each other and worked together to introduce
discipline and order into the English church. The see of York
was subordinated to Canterbury, and efforts were made to bring
the ecclesiastical affairs of Ireland and Scotland under
Lanfranc’s control. Several church councils were held in England
to legislate for the English church, as similar councils did in
Normandy. William denied that he owed homage or fealty to the
pope for his English lands, although he acknowledged papal
support in winning the new realm. William and Lanfranc resisted
Pope Gregory VII’s claim to papal supremacy: the king decreed
that without his consent no pope was to be recognized in
England, no papal letter was to be received, no church council
was to legislate, and no baron or royal official was to be
excommunicated. During William’s reign the controversy over the
right of lay rulers to invest ecclesiastics with the symbols of
their office did not affect England, in contrast to other parts
of Latin Christendom.
William’s accomplishments
At Christmas 1085 William had “deep speech” with his
council and as a result ordered a general survey of the land to
be made. Historians have debated the purpose of this “Domesday”
survey, some seeing it as primarily a tax assessment, others
emphasizing its importance as a basis for assignment of feudal
rights and duties. Its form owed much to Anglo-Saxon precedent,
but within each county section it was organized on a feudal
basis. It was probably a multipurpose document with the main
emphasis on resources for taxation. It was incomplete, for the
far north of England, London, and Winchester were not included,
while the returns for Essex, Norfolk, and Suffolk were not
condensed into the same form as was used for the rest of the
country. Domesday is a unique record and offers rich materials
for research.
One policy that caused deep resentment under William I, and
even hatred under his successor William II, was the taking over
of vast tracts of land for the king’s forest. In some areas
whole villages were destroyed and the people driven out;
elsewhere, people living in forest areas, though not necessarily
removed, were subjected to a severe system of law with drastic
penalties for poaching.
William the Conqueror is presented in contemporary chronicles
as a ruthless tyrant who rigorously put down rebellion and
devastated vast areas, especially in his pacification of the
north in 1069–70. He was, however, an able administrator.
Perhaps one of his greatest contributions to England’s future
was the linking up of England with continental affairs. If the
country had been conquered again by the Danes, as seemed
possible, it might have remained in a backwater of European
development. In the event, England was linked, economically and
culturally, to France and continental Europe. The aristocracy
spoke French, while Latin was the language of the church and the
administration.
The sons of William I
William II Rufus (1087–1100)
Under William I’s two sons William II Rufus and Henry I,
strong, centralized government continued, and England’s link
with Normandy was strengthened. Rebellion by Norman barons, led
by the king’s half uncles, Odo of Bayeux and Robert of Mortain,
was soon put down by William II, who made promises of good
government and relief from taxation and the severity of the
forest laws. Odo of Bayeux was banished, and William of St.
Calais, bishop of Durham, tried for treason. As an ecclesiastic
he rejected the jurisdiction of the king’s court. But Lanfranc
pointed out that it was not as a churchman but as lord of his
temporal fiefs that he was being tried. He was finally allowed
to leave the country, in return for surrender of his fiefs.
William II’s main preoccupation was to win Normandy from his
elder brother Robert. After some initial skirmishing, William’s
plans were furthered by Robert’s decision to go on crusade in
1096. Robert mortgaged his lands to William for 10,000 marks,
which was raised in England by drastic and unpopular means. In
his last years William campaigned successfully in Maine and the
French Vexin so as to extend the borders of Normandy. His death
was the result of an “accident” possibly engineered by his
younger brother Henry: he was shot with an arrow in the New
Forest. Henry, who was conveniently with the hunting party, rode
posthaste to Winchester, seized the treasury, and was chosen
king the next day.
Henry I (1100–35)
A good politician and administrator, Henry I was the
ablest of the Conqueror’s sons. At his coronation on Aug. 5,
1100, he issued a charter intended to win the support of the
nation. This propaganda document, in which Henry promised to
give up many practices of the past, demonstrates how oppressive
Norman government had become. Henry promised not to exploit
church vacancies, as his brother had done, and guaranteed that
reliefs, sums paid by feudal vassals when they took over their
fathers’ estates, would be “just and legitimate.” He also
promised to return to the laws of Edward the Confessor, though
this cannot have been intended literally.
Following the suppression of rebellion in England, the
conquest of Normandy was an important priority for Henry. By
1105 he took the offensive, and in September 1106 he won a
decisive battle at Tinchebray that gave him control of the whole
of Normandy. Robert was captured and was to spend the rest of
his 80 years in castle dungeons. His son, William Clito, escaped
and remained until his death in 1128 a thorn in Henry’s flesh.
Success in Normandy was followed by wars against Louis VI of
France, but by 1120 Henry was everywhere successful in both
diplomacy and war. He had arranged a marriage for his only
legitimate son, William, to Matilda, daughter of Fulk of Anjou,
and had received Fulk’s homage for Maine. Pope Calixtus II, his
cousin, gave him full support for his control of Normandy on
condition that his son William should do homage to the French
king.
Relations with the church had not always been easy. Henry had
inherited from William II a quarrel with the church that became
part of the Europe-wide Investiture Controversy. After
Lanfranc’s death William had delayed appointing a successor,
presumably for the privilege of exploiting the resources of the
archbishopric. After four years, during a bout of illness, he
appointed Anselm of Bec, one of the great scholars of his time
(1093). Anselm did homage for his temporalities, but whether or
not he was ever invested with the symbols of spiritual office by
the king is not clear. Papal confirmation was complicated by the
fact that there were two claimants to the papal throne. Anselm
refused to accept a decision made by the king’s supporters and
insisted on receiving his pallium from Urban II, a reform pope
in the tradition of Gregory VII, rather than from the imperial
nominee, Clement III. Conflict between king and archbishop
flared up again in 1097 over what William considered to be an
inadequate Canterbury contingent for his Welsh war. The upshot
was that Anselm went into exile until William’s death. At Rome
he heard new papal decrees against lay investiture.
Anselm supported Henry’s bid for the throne and returned from
exile in 1100. Almost immediately he quarreled with Henry when
the king asked him to do homage and to receive his archbishopric
from his hands. After various ineffective appeals to Rome,
Anselm again went into exile. A compromise was finally arranged
in 1107, when it was agreed that the king would surrender
investiture with the symbols of spiritual office in return for
an agreement that he should supervise the election of the
archbishop and take homage for the temporalities before
investiture with the spiritual symbols took place. It was said
that the concession cost the king “a little, perhaps, of his
royal dignity, but nothing of his power to enthrone anyone he
pleased.”
Henry continued and extended the administrative work of his
father. His frequent absences from England prompted the
development of a system that could operate effectively in his
absence, under the guidance of such men as Roger, bishop of
Salisbury. The exchequer was developed as a department of
government dealing with royal revenues, and the first record of
the sheriffs’ regular accounting at the exchequer, or Pipe Roll,
to survive is that of 1129–30. Justices with wide-ranging
commissions were sent out into the shires to reinforce local
administration and to inquire into crown pleas, royal revenues,
and other matters of interest and profit for the king. Henry’s
government was highly efficient, but it was also harsh and
demanding.
During the last 15 years of his reign the succession was a
major issue. William, Henry’s only legitimate son, was drowned
in 1120, leaving Henry’s daughter Matilda, wife of the German
emperor Henry V, as heir. When Henry V died in 1125, Matilda
returned to England. Henry I persuaded his barons to swear an
oath in her support but did not consult them over her second
marriage to Geoffrey of Anjou, who at 14 was 11 years her
junior. Within a year Geoffrey repudiated Matilda, but during a
temporary reconciliation, Matilda and Geoffrey had three
children.
Henry was a skilled politician, adept at using the levers of
patronage. Men such as Geoffrey de Clinton, the royal
chamberlain, owed much to the favours they received from the
king, and they served him well in return. There was tension
between the established nobility and the “new men” raised to
high office by the king, but Henry maintained control with great
effect and distributed favours evenhandedly. In England his
rule, particularly when seen in retrospect, was characterized by
peace, order, and justice. He died, probably of a heart attack,
on Dec. 1, 1135.
The period of anarchy (1135–54)
Matilda and Stephen
Henry I’s death precipitated a 20-year crisis whose
immediate cause was a succession dispute. But there has been
much debate among historians as to whether the problems of these
years were the result of some deeper malaise.
No one was enthusiastic about accepting Matilda as queen,
especially as her husband, Geoffrey of Anjou, was actually at
war with Henry at the time of his death. Robert, Earl of
Gloucester, one of Henry’s many illegitimate sons, was an
impressive candidate for the throne, as were Henry’s nephews,
Theobald and Stephen of Blois. The outcome of the struggle in
1135 was unexpected: while Theobald, the elder brother, was
receiving the homage of continental vassals for Normandy,
Stephen took ship for England and claimed the throne. Having
secured the treasury at Winchester, he was crowned on December
22.
Stephen had been quick and resolute in securing the crown.
But after the first flush of victory he made concessions that,
instead of winning him support, served to expose his weakness.
One such concession was to King David of Scotland, who was also
the Earl of Huntingdon in England. When David learned of
Stephen’s succession, he crossed the border by force. He was
effectively bought off by Stephen’s agreeing that David’s son
Henry should receive Carlisle, Doncaster, and the honour of
Huntingdon. Stephen obtained the support of Robert of Gloucester
by a lavish charter. He also granted a charter to the church
forbidding simony and confirmed the rights of church courts to
all jurisdiction over clerics. Stephen’s lavish appointment of
new earls (19 in the course of the reign) was intended in part
as a way of undermining the power of the sheriffs and
constituted a shift of power away from the centre. Expenditure
in Stephen’s early years was heavy and achievements few.
Stephen soon alienated the church. Much power in central
government had been concentrated in the hands of Roger, bishop
of Salisbury, and his family. One of Roger’s nephews was bishop
of Ely, and another was bishop of Lincoln. This was resented by
the Beaumont family, headed by the Earl of Leicester, and their
allies, who formed a powerful court faction. They planned the
downfall of the bishops, and, when a council meeting was held at
Oxford in June 1139, they seized on the opportunity provided by
a brawl in which some of Roger’s men were involved. Rumours of
treason were spread, and Stephen demanded that the bishops
should make satisfaction. When they did not do so, he ordered
their arrest. Thenceforth Stephen was in disfavour with the
clergy; he had already forfeited the support of his brother
Henry of Blois, bishop of Winchester, by failing to make him
archbishop of Canterbury in 1137. As papal legate, Henry was to
be the most influential member of the clergy in the realm.
Civil war
Matilda did not land in England until 1139. She and her
half brother Robert of Gloucester established themselves in the
southwest; Stephen’s main strength lay in the east. In 1141
Stephen was defeated and taken prisoner at the battle of
Lincoln, but Matilda alienated the Londoners and lost support.
When Stephen was exchanged for Robert of Gloucester, who was
captured at Winchester, Matilda’s fortunes waned. The Angevin
cause, however, prospered in Normandy. Although Matilda’s son,
Henry, mounted an unsuccessful invasion from Normandy in 1147,
in 1153 he carried out a vigorous and effective campaign.
Stephen, saddened by the death of his elder son Eustace, agreed
to a compromise peace. He was to remain king, but he recognized
Henry as his heir.
One chronicler said, “In this king’s time there was nothing
but disturbance and wickedness and robbery.” Though this was an
exaggeration, it is clear that disorder was widespread, with a
great many adulterine castles built (that is, unlicensed
castles). It was possible for the earls of Chester and Leicester
to make a treaty without any reference to royal authority.
Stephen’s government lost control of much of England, and power
was fragmented and decentralized.
There has been much debate as to why men fought in the civil
war. It was much more than a simple succession dispute and can
be seen as a natural reaction both to the strong, centralized
government of Henry I and to the weak rule of Stephen. The aim
of many magnates was to recover lands and offices to which they
considered they had hereditary rights: much land had changed
hands under Henry I. Men such as Ranulf de Gernons, 4th Earl of
Chester, and Geoffrey de Mandeville, 1st Earl of Essex, changed
sides frequently, obtaining fresh grants each time. Essex wanted
to recover the lands and positions his grandfather had held.
Most men, however, probably did not want to demolish royal
government but rather wished to control and profit from it. The
institutions of government did not disappear altogether. The
period of the “anarchy” strengthened feudal principles of
succession to land, but such offices as those of sheriff and
castellan did not become hereditary.
England in the Norman period
Despite, or perhaps in part because of, the political
strains of this period, these were constructive years. The
economy, for which Domesday Book is a magnificent source, was
essentially agrarian, the main unit being the manor, where the
lord’s land (or demesne) was worked by unfree peasants who held
their land in return for performing labour services. Towns,
notably London, flourished, and many received new privileges
based on continental practice. The church benefited from closer
connections with the Continent in many ways. One such benefit
was the arrival of new religious orders: the first Cluniac house
was established at Lewes in 1077, and the Cistercians came to
England in 1129. A great many Augustinian houses were founded in
the first part of the 12th century. Imposing buildings such as
Durham Cathedral and the Tower of London give eloquent testimony
to the architectural achievement of the Normans, while the
illuminated Winchester Bible and Psalter, made for Henry of
Blois, bear witness to the artistic excellence of the age.
The early Plantagenets
Henry II (1154–89)
Matilda’s son Henry Plantagenet, the first and greatest
of three Angevin kings of England, succeeded Stephen in 1154.
Aged 21, he already possessed a reputation for restless energy
and decisive action. He was to inherit vast lands. As heir to
his mother and to Stephen he held England and Normandy; as heir
to his father he held Anjou (hence Angevin), Maine, and
Touraine; as heir to his brother Geoffrey he obtained Brittany;
as husband of Eleanor, the divorced wife of Louis VII of France,
he held Aquitaine, the major part of southwestern France.
Altogether his holdings in France were far larger than those of
the French king. They have become known as the Angevin empire,
although Henry never in fact claimed any imperial rights or used
the title of emperor. From the beginning Henry showed himself
determined to assert and maintain his rights in all his lands.
In England this meant reasserting the centralized power of his
grandfather, Henry I. His success in these aims is the measure
of his greatness.
Government of England
In the first decade of his reign Henry was largely
concerned with continental affairs, though he made sure that the
adulterine castles in England were destroyed. Many of the
earldoms created in the anarchy of Stephen’s reign were allowed
to lapse. Major change in England began in the mid-1160s. The
Assize of Clarendon of 1166, and that of Northampton 10 years
later, promoted public order. Juries were used to provide
evidence of what crimes had been committed and to bring
accusations. New forms of legal action were introduced, notably
the so-called possessory assizes, which determined who had the
right to immediate possession of land, not who had the best
fundamental right. That could be decided by the grand assize, by
means of which a jury of 12 knights would decide the case. The
use of standardized forms of writ greatly simplified judicial
administration. “Returnable” writs, which had to be sent back by
the sheriffs to the central administration, enabled the crown to
check that its instructions were obeyed. An increasing number of
cases came before royal courts rather than private feudal
courts. Henry I’s practice of sending out itinerant justices was
extended and systematized. In 1170 a major inquiry into local
administration, the Inquest of Sheriffs, was held, and many
sheriffs were dismissed.
There were important changes to the military system. In 1166
the tenants in chief were commanded to disclose the number of
knights enfeoffed on their lands so that Henry could take proper
financial advantage of changes that had taken place since his
grandfather’s day. Scutage (money payment in lieu of military
service) was an important source of funds, and Henry preferred
scutage to service because mercenaries were more efficient than
feudal contingents. In the Assize of Arms of 1181 Henry
determined the arms and equipment appropriate to every free man,
based on his income from land. This measure, which could be seen
as a revival of the principles of the Anglo-Saxon fyrd, was
intended to provide for a local militia, which could be used
against invasion, rebellion, or for peacekeeping.
Struggle with Thomas Becket
Henry attempted to restore the close relationship between
church and state that had existed under the Norman kings. His
first move was the appointment in 1162 of Thomas Becket as
archbishop of Canterbury. Henry assumed that Becket, who had
served efficiently as chancellor since 1155 and been a close
companion to him, would continue to do so as archbishop. Becket,
however, disappointed him. Once appointed archbishop, he became
a militant defender of the church against royal encroachment and
a champion of the papal ideology of ecclesiastical supremacy
over the lay world. The struggle between Henry and Becket
reached a crisis at the Council of Clarendon in 1164. In the
Constitutions of Clarendon Henry tried to set down in writing
the ancient customs of the land. The most controversial issue
proved to be that of jurisdiction over “criminous clerks”
(clerics who had committed crimes); the king demanded that such
men should, after trial in church courts, be sent for punishment
in royal courts.
Becket initially accepted the Constitutions but would not set
his seal to them. Shortly thereafter, however, he suspended
himself from office for the sin of yielding to the royal will in
the matter. Although he failed to obtain full papal support at
this stage, Alexander III ultimately came to his aid over the
Constitutions. Later in 1164 Becket was charged with peculation
of royal funds when chancellor. After Becket had taken flight
for France, the king confiscated the revenues of his province,
exiled his friends, and confiscated their revenues. In 1170
Henry had his eldest son crowned king by the archbishop of York,
not Canterbury, as was traditional. Becket, in exile, appealed
to Rome and excommunicated the clergy who had taken part in the
ceremony. A reconciliation between Becket and Henry at the end
of the same year settled none of the points at issue. When
Becket returned to England, he took further measures against the
clergy who had taken part in the coronation. In Normandy the
enraged king, hearing the news, burst out with the fateful words
that incited four of his knights to take ship for England and
murder the archbishop in Canterbury Cathedral.
Almost overnight the martyred Thomas became a saint in the
eyes of the people. Henry repudiated responsibility for the
murder and reconciled himself with the church. But despite
various royal promises to abolish customs injurious to the
church, royal control of the church was little affected.
Henceforth criminous clerks were to be tried in church courts,
save for offenses against the forest laws. Disputes over
ecclesiastical patronage and church lands that were held on the
same terms as lay estates were, however, to come under royal
jurisdiction. Finally Henry did penance at Canterbury, allowing
the monks to scourge him. But with Becket out of the way, it
proved possible to negotiate most of the points at issue between
church and state. The martyred archbishop, however, was to prove
a potent example for future prelates.
Rebellion of Henry’s sons and Eleanor of
Aquitaine
Henry’s sons, urged on by their mother and by a coalition
of his enemies, raised a rebellion throughout his domains in
1173. King William I the Lion of Scotland joined the rebel
coalition and invaded the north of England. Lack of cooperation
among the rebels, however, enabled Henry to defeat them one at a
time with a mercenary army. The Scottish king was taken prisoner
at Alnwick. Queen Eleanor was retired to polite imprisonment for
the rest of Henry’s life. The king’s sons and the baronial
rebels were treated with leniency, but many baronial castles
were destroyed following the rising. A brief period of amity
between Henry and Louis of France followed, and the years
between 1175 and 1182 marked the zenith of Henry’s prestige and
power. In 1183 the younger Henry again tried to organize
opposition to his father, but he died in June of that year.
Henry spent the last years of his life locked in combat with the
new French king, Philip II Augustus, with whom his son Richard
had entered into an alliance. Even his youngest son, John,
deserted him at the end.
Richard I (1189–99)
Henry II died in 1189, an embittered old man. He was
succeeded by his son Richard I, nicknamed the Lion-Heart.
Richard, a renowned and skillful warrior, was mainly interested
in the Crusade to recover Jerusalem and in the struggle to
maintain his French holdings against Philip Augustus. He spent
only about six months of his 10-year reign in England. During
his frequent absences he left a committee in charge of the
realm. The chancellor, William Longchamp, bishop of Ely,
dominated the early part of the reign until forced into exile by
baronial rebellion in 1191. Walter of Coutances, archbishop of
Rouen, succeeded Longchamp, but the most important and able of
Richard’s ministers was Hubert Walter, archbishop of Canterbury,
justiciar from 1193 to 1198, and chancellor from 1199 to 1205.
With the king’s mother, Eleanor, he put down a revolt by
Richard’s brother John in 1193 with strong and effective
measures. But when Richard returned from abroad, he forgave John
and promised him the succession.
This reign saw some important innovations in taxation and
military organization. Warfare was expensive, and in addition
Richard was captured on his return from the Crusade by Leopold V
of Austria and held for a high ransom of 150,000 marks. Various
methods of raising money were tried: an aid, or scutage; a
carucage, or tax on plow lands; a general tax of a fourth of
revenues and chattels (this was a development of the so-called
Saladin Tithe raised earlier for the Crusade); and a seizure of
the wool crop of Cistercian and Gilbertine houses. The ransom,
although never paid in full, caused Richard’s government to
become highly unpopular. Richard also faced some unwillingness
on the part of his English subjects to serve in France. A plan
to raise a force of 300 knights who would serve for a whole year
met with opposition led by the bishops of Lincoln and Salisbury.
Richard was, however, remarkably successful in mustering the
resources, financial and human, of his kingdom in support of his
wars. It can also be argued that his demands on England weakened
the realm unduly and that Richard left his successor a very
difficult legacy.
John (1199–1216)
Richard, mortally wounded at a siege in France in 1199,
was succeeded by his brother John, one of the most detested of
English kings. John’s reign was characterized by failure. Yet
while he must bear a heavy responsibility for his misfortunes,
it is only fair to recognize that he inherited the resentment
that had built up against his brother and father. Also, while
his reign ended in disaster, some of his financial and military
measures anticipated positive developments in Edward I’s reign.
Loss of French possessions
John had nothing like the military ability or reputation
of his brother. He could win a battle in a fit of energy, only
to lose his advantage in a spell of indolence. After repudiating
his first wife, Isabella of Gloucester, John married the fiancée
of Hugh IX the Brown of the Lusignan family, one of his vassals
in Poitou. For this offense he was summoned to answer to Philip
II, his feudal overlord for his holdings in France. When John
refused to attend, his lands in France were declared forfeit. In
the subsequent war he succeeded in capturing his nephew Arthur
of Brittany, whom many in Anjou and elsewhere regarded as
Richard I’s rightful heir. Arthur died in mysterious and
suspicious circumstances. But once the great castle of Château
Gaillard, Richard I’s pride and joy, had fallen in March 1204,
the collapse of Normandy followed swiftly. By 1206 all that was
left of the inheritance of the Norman kings was the Channel
Islands. John, however, was determined to recover his losses.
Struggle with the papacy
Upon his return to England John became involved in a
conflict with Pope Innocent III over the choice of an
archbishop. At Hubert Walter’s death in 1205 the monks at
Canterbury had secretly elected their subprior and sent him to
Rome to receive the pallium from the pope. The secret got out,
however, and John forced the election of one of his confidants,
John de Grey, bishop of Norwich, who then was also sent to Rome.
Innocent III was not a man to miss such a good opportunity to
demonstrate the plenitude of papal power. He quashed both
elections and engineered the election of the learned and
talented cardinal Stephen Langton. John, however, refused to
receive Stephen and seized the revenues of Canterbury. Since
John had already quarreled with his half brother the archbishop
of York, who had fled abroad, England was without either
archbishop. In 1208 Innocent imposed an interdict on England,
forbidding the administration of the sacraments and certain
church rites. In the following year he excommunicated John. The
bishops of Winchester and Norwich remained the sole support of
John’s power in the church. John made the most of the
opportunity to collect the revenues of the sees vacated by
bishops who had gone into exile.
In theory John’s excommunication freed his vassals from their
oaths of fealty to him, but there was no immediate rebellion.
John was able to conduct highly successful expeditions to
Scotland, Wales, and Ireland, and it was not until 1212 that a
plot, involving Robert Fitzwalter and Eustace de Vesci, was
first hatched against the king. John’s brilliant solution to the
problem of multiple threats was to effect a reconciliation with
the papacy. He agreed to accept Stephen Langton as archbishop,
to reinstate the exiled clergy, and to compensate the church for
his exactions. In addition he surrendered his kingdom to the
pope, receiving it back as a fief from the pope. He now had an
able ally at no great cost in terms of concessions on his part.
Revolt of the barons and Magna Carta
Ever since the loss of Normandy John had been building up
a coalition of rulers in Germany and the Low Countries to assist
him against the French king. His chief ally was Otto IV, king of
Germany and Holy Roman emperor. Plans for a campaign in Poitou
proved very unpopular in England, especially with the northern
barons. In 1214 John’s allies were defeated at Bouvines, and the
king’s own campaign in Poitou disintegrated. John had to
withdraw and return home to face his disgruntled barons.
John’s efforts had been very costly, and measures such as the
tax of a 13th in 1207 (which raised about £60,000) were highly
unpopular. In addition John levied massive reliefs (inheritance
duties) on some barons: Nicholas de Stuteville, for example, was
charged 10,000 marks (about £6,666) to inherit his brother’s
lands in 1205. The fact alone that John, unlike his predecessors
on the throne, spent most of his time in England made his rule
more oppressive. Resistance sprang chiefly from the northern
barons who had opposed service in Poitou, but by the spring of
1215 many others had joined them in protest against John’s abuse
or disregard of law and custom.
On June 15, 1215, the rebellious barons met John at Runnymede
on the Thames. The king was presented with a document known as
the Articles of the Barons, on the basis of which Magna Carta
was drawn up. For a document hallowed in history during more
than 750 years and frequently cited as a forerunner of the
Declaration of Independence and the Declaration of the Rights of
Man and of the Citizen, Magna Carta is a singularly undramatic
document. It is thorny with problems of feudal law and custom
that are largely untranslatable into modern idiom. Still, it was
remarkable in many ways, not least because it was not written in
a purely baronial interest but aimed to provide protection for
all freemen. It was an attempt to provide guarantees against the
sort of arbitrary disregard of feudal right that the three
Angevin kings had made familiar. The level of reliefs, for
example, was set at £100 for a barony. Some clauses derived from
concessions already offered by the king in efforts to divide
opposition. The celebrated clause 39, which promised judgment by
peers or by the law of the land to all freemen, had its origins
in a letter sent by Innocent III to the king. The barons,
however, were not attempting to dismantle royal government; in
fact, many of the legal reforms of Henry II’s day were
reinforced. Nor did they seek to legitimate rebellion but rather
they tried to ensure that the king was beneath rather than above
the law. In immediate terms Magna Carta was a failure, for it
was no more than a stage in ineffective negotiations to prevent
civil war. John was released by the pope from his obligations
under it. The document was, however, reissued with some changes
under John’s son, with papal approval, and so it became, in its
1225 version, a part of the permanent law of the land. John
himself died in October 1216, with the civil war still at an
inconclusive stage.
Economy and society
From about 1180 the pace of economic change quickened,
with a shift to what is known as “high farming.” The direct
management of estates began to replace a rentier system. There
was a marked price and wage inflation. Daily wages for a knight
rose from eight pence a day early in Henry II’s day to two
shillings under John. Landlords who relied upon fixed rents
found times difficult, but most responded by taking manors into
their own hands and by profiting from direct sales of demesne
produce at market. A new class of professional estate managers,
or stewards, began to appear. Towns continued to prosper, and
many bought privileges of self-government from Richard I and
John. The weaving industry was important, and England was noted
as a producer of very high quality woolen cloth.
England, notably under Henry II, participated in the
cosmopolitan movement that has come to be called the
“12th-century Renaissance.” Scholars frequented the court, and
works on law and administration, especially the Dialogue of the
Exchequer and the law book attributed to Ranulf de Glanville,
show how modern ideas were being applied to the arts of
government. In ecclesiastical architecture new methods of
vaulting gave builders greater freedom, as may be seen, for
example, in the construction of the choir at Canterbury, rebuilt
after a fire in 1174 by William of Sens. In military
architecture, the traditional rectangular plan was abandoned in
keeps such as those at Orford and Conisborough. It was a
self-confident, innovative, and assertive age.
The 13th century
The 13th century saw England develop a much clearer
identity. The loss of continental possessions under King John
focused the attention of the monarchy on England in a way that
had not happened since 1066. Not only did the concept of the
community of the realm develop—used both by the crown and its
opponents—but the period was also notable in constitutional
terms, seeing the beginning of Parliament.
The notion that the realm was a community and that it should
be governed by representatives of that community perhaps found
its first practical expression in the period following the issue
of Magna Carta in which a council of regency ruled on behalf of
a child king not yet able to govern in his own right. The phrase
“community of the land” initially meant little more than the
totality of the baronage. But the need to obtain a wider degree
of consent to taxation, and perhaps also the impact of new ideas
derived from Roman law, led to change. In addition the county
communities exerted some pressure. Knights were being asked to
play an increasingly important part in local government, and
soon they made their voice heard at a national level. In the
conflict that broke out between Henry III and the barons in the
latter part of that king’s reign, political terms acquired some
sophistication, and under Edward I the concept of representation
was further developed.
Henry III (1216–72)
Minority
The years until his death in 1219 were dominated by
William Marshal, 1st Earl of Pembroke. As regent in all but name
he achieved success in the civil war and, assisted by the papal
legate Guala, did much to restore royal government in its
aftermath. After Marshal’s death there was a struggle for
political power between Hubert de Burgh, the justiciar, and
Peter des Roches, bishop of Winchester. Despite factional
disputes, by the time Henry III declared himself to be of age in
1227, the minority government had achieved much. To have
retained control of royal castles was a notable achievement,
while the seizure of Bedford Castle from Fawkes de Breauté, a
former protégé of King John, was a spectacular triumph.
Early reign
Henry came under increasing foreign dominance. His
marriage in 1236 to Eleanor of Provence was followed by an
influx of her Savoyard relations, while the other significant
group of foreigners was headed by the king’s half brothers, the
Lusignans (children of his mother, Isabella, by her second
marriage). Attempts to recover the lost lands in France with
expeditions in 1230 and 1242 were unsuccessful. Only in Wales
did he achieve limited military success. In the 1250s plans,
backed by the papacy, were made to place Henry’s second son
Edmund on the Sicilian throne; by 1258 these plans had involved
the crown in an impossibly heavy financial commitment of 135,000
marks. A lenient policy toward the magnates did not yield much
support for the king, and after 1237 it proved impossible to
negotiate the grant of direct taxes with unwilling subjects.
Henry, moreover, faced a series of political crises. A
baronial revolt in 1233, led by Richard, son of William Marshal,
ended in tragedy. Richard was killed in Ireland, to the king’s
great grief: there were allegations that the king had been
tricked into agreeing to the earl’s destruction. Further
political crises in 1238 and 1244 did nothing to resolve
tensions. In 1238 the king’s brother, Richard, Earl of Cornwall,
rebelled, and leading advisers such as William of Savoy left the
royal council. In 1244 Henry III faced opposition in Parliament
from both lay and ecclesiastical magnates. A draft proposal
suggested a complex system for adding four men to the council,
who were to be “conservators of liberties” as well as overseers
of royal finance. The king was able, however, to exploit the
differences between his opponents, and their campaign achieved
little. Henry was naive; he was, on the one hand, overly
trustful and, on the other, bitter against those who betrayed
his trust. There was growing discontent at a local level with
the conduct of royal government.
The county communities
The society of the period should not be seen solely in
terms of the feudal hierarchy. There are indications that the
community of the county, dominated by local knights and the
stewards of the magnates, was of growing importance in this
period. Although the crown could and did rely extensively on the
knights in local government and administration, the knights were
resentful of any intrusion of royal officers from outside and
determined to defend local rights and privileges. Incidents such
as that in Lincolnshire in 1226, when the county community
protested against innovations in the holding of the county court
and appealed to Magna Carta, show a new political awareness at a
local level. The localities resented the increased burdens
placed on them by Henry III’s government, and tension between
court and country was evident.
Simon de Montfort and the Barons’ War
The main crisis of the reign came in 1258 and was brought on by
a cluster of causes. The Savoyard and Lusignan court factions
were divided; there were reverses in Wales; the costs of the
Sicilian affair were mounting; and there was perceived to be a
crisis in local government. In May 1258 the king was compelled
to agree to a meeting of Parliament and to the appointment of a
joint committee of dissident barons and his own supporters, 12
from each side, which was to recommend measures for the reform
of the kingdom. In the Provisions of Oxford, drawn up in June, a
scheme was set out for the creation of a council of 15 to
supervise royal government. Parliament was to be held three
times a year, at which the 15 would meet with 12 barons
representing “the community” (le commun in the original French).
The office of justiciar was to be revived, and he, with the
chancellor and treasurer, was to account annually before the
council. The new justiciar was to hear complaints throughout the
country against royal officials. Sheriffs were to be local men,
appointed for one year. The households of the king and queen
were to be reformed. The drafting of further measures took time.
In October 1259 a group calling itself the Community of
Bachelors, which seems to have claimed to represent the lesser
vassals and knights, petitioned for the fulfillment of the
promises of the magnates and king to remedy its grievances. As a
result the Provisions of Westminster were duly published,
comprising detailed legal measures that in many cases were in
the interests of the knightly class.
The Provisions of Oxford led to two years in which the king
was under tutelage; he was less even than the first among equals
because he was not free to choose his own councillors. The
Oxford settlement, however, began to break down in 1260. There
were divisions among the king’s opponents, notably between the
Earl of Gloucester and the ambitious Simon de Montfort, Earl of
Leicester, Henry’s brother-in-law. The king’s eldest son,
Edward, at first backed the unpopular Lusignans, whose exile had
been demanded, but then came to an agreement with Simon de
Montfort before being reconciled to his father. In 1261, when a
papal bull released Henry from his oath to support the
Provisions of Oxford, he dismissed the baronial sheriffs,
castellans, and other officials imposed on him. Simon de
Montfort, by now the undisputed leader of the opposition, raised
rebellion, but an agreement was reached to submit the dispute to
the arbitration of Louis IX of France. The verdict of the Mise
of Amiens in 1264, however, was so favourable to Henry III that
Simon de Montfort could not accept it.
Civil war was inevitable. In May 1264 Simon won a resounding
victory at Lewes, and a new form of government was set up.
Representatives of the boroughs were summoned to Parliament for
the first time early in 1265, along with knights of the shire.
Simon’s motive for summoning Parliament was undoubtedly
political: he needed support from many elements of society. In
May 1265 the young Edward, held hostage since 1264 to ensure
fulfillment of the terms of the peace of Lewes, escaped and
rallied the royalist forces, notably the Welsh marcher lords who
played a decisive part throughout these conflicts. In August,
Simon was defeated and slain at Evesham.
Later reign
Henry spent the remainder of his reign settling the
problems created by the rebellion. He deprived Simon’s
supporters of their lands, but “the Disinherited” fought back
from redoubts in forests or fens. The garrison of Kenilworth
Castle carried on a notable resistance. Terms were set in 1266
for former rebels to buy back their lands, and with the issue of
the Statute of Marlborough, which renewed some of the reform
measures of the Provisions of Westminster, the process of
reconstruction began. By 1270 the country was sufficiently
settled for Edward to be able to set off on crusade, from which
he did not return until two years after his father’s death. By
then the community of the realm was ready to begin working with,
not against, the crown.
Edward I (1272–1307)
Edward was in many ways the ideal medieval king. He went
through a difficult apprenticeship, was a good fighter, and was
a man who enjoyed both war and statecraft. His crusading
reputation gave him prestige, and his chivalric qualities were
admired. Although he had a gift for leadership, he lacked
sympathy for others and had an obstinacy that led to
inflexibility.
Law and government
In the 13th century the development of law became a
dominant concern, as is shown by the great treatise On the Laws
and Customs of England, attributed to the royal judge Bracton
but probably put together in the 1220s and ’30s under one of his
predecessors on the King’s Bench. Soon after Edward’s return to
England in 1274, a major inquiry into government in the
localities took place that yielded the so-called Hundred Rolls,
a heterogeneous group of records, and brought home the need for
changes in the law. In 1275 the First Statute of Westminster was
issued. A succession of other statutes followed in later years,
providing a kind of supplement to the common law. Some measures
protected the king’s rights; others remedied the grievances of
his subjects. In the quo warranto proceedings set up under the
Statute of Gloucester of 1278 the magnates were asked by what
warrant they claimed rights of jurisdiction and other
franchises. This created much argument, which was resolved in
the Statute of Quo Warranto of 1290. By the Statute of Mortmain
of 1279 it was provided that no more land was to be given to the
church without royal license. The Statute of Quia Emptores of
1290 had the effect of preventing further subinfeudation of
land. In the first and second statutes of Westminster, of 1275
and 1285, many deficiencies in the law were corrected, such as
those concerning the relationship between lords and tenants and
the way in which the system of distraint was operated. Merchants
benefited from the Statute of Acton Burnell of 1283 and the
Statute of Merchants of 1285, which facilitated debt collection.
Problems of law and order were tackled in the Statute of
Winchester of 1285.
Finance
Edward began his reign with heavy debts incurred on
crusade, and his various wars also were costly. In 1275 Edward
gained a secure financial basis when he negotiated a grant of
export duties on wool, woolfells, and hides that brought in an
average of £10,000 a year. He borrowed extensively from Italian
bankers on the security of these customs revenues. The system of
levying taxes on an assessment of the value of movable goods was
also of great value. Successive profitable taxes were granted,
mostly in Parliament. It was partly in return for one such tax,
in 1290, that Edward expelled the Jews from England. Their
moneylending activities had made them unpopular, and royal
exploitation had so impoverished the Jews that there was no
longer an advantage for Edward in keeping them in England.
The growth of Parliament
Edward fostered the concept of the community of the realm
and the practice of calling representative knights of the shire
and burgesses from the towns to Parliament. Representatives were
needed to give consent to taxation, as well as to enhance
communication between the king and his subjects. The process of
petitioning the king and his council in Parliament was greatly
encouraged. Historians have argued much about the nature of
Edward’s Parliament, some seeing the dispensation of justice as
the central element, others emphasizing the multifaceted
character of an increasingly complex institution. Some see
Edward as responding to the dictates of Roman law, while others
interpret the development of Parliament in terms of the
practical solution of financial and political problems.
Historians used to refer to the 1295 assembly as the Model
Parliament because it contained all the elements later
associated with the word parliament, but in fact these can all
be found earlier. The writs to the sheriffs asking them to call
knights and burgesses did, however, reach a more or less final
form in 1295. They were to be summoned “with full and sufficient
authority on behalf of themselves and the community . . . to do
whatever shall be ordained by common counsel.” Representatives
of the lower clergy were also summoned. This Parliament was
fully representative of local communities and of the whole
community of the realm, but many Parliaments were attended
solely by the magnates with no representatives present.
Edward’s wars
In the first half of his reign Edward was thoroughly
successful in Wales. Llywelyn ap Gruffudd, prince of Gwynedd,
had taken advantage of the Barons’ War to try to expand his
authority throughout Wales. He refused to do homage to Edward,
and in 1277 the English king conducted a short and methodical
campaign against him. Using a partly feudal, partly paid army,
the core of which was provided by the royal household knights,
and a fleet from the Cinque Ports, Edward won a quick victory
and exacted from Llywelyn the Treaty of Conway. Llywelyn agreed
to perform fealty and homage, to pay a large indemnity (from
which he was soon excused), and to surrender certain districts
of North Wales. There was considerable Welsh resentment after
1277 at the manner in which Edward imposed his jurisdiction in
Wales.
David, Llywelyn’s younger brother, was responsible for a
renewal of war in 1282. He was soon joined by Llywelyn, who was
killed in battle late in the year. David was captured and
executed as a traitor in 1283. This second Welsh war proved much
longer, more costly, and more difficult for the English than the
first. In the succeeding peace North Wales was organized into
counties, and law was revised along English lines. Major
castles, notably Flint and Rhuddlan, had been built after the
first Welsh war; now Conway, Caernarvon, and Harlech were
started, designed by a Savoyard expert, Master James of St.
George. Merchant settlements, colonized with English craftsmen
and merchants, were founded. Archbishop Pecham reorganized the
Welsh church and brought it more fully under the sway of
Canterbury. A brief revolt in 1287 was soon quelled, but Edward
faced a major rebellion in 1294–95, after which he founded the
last of his Welsh castles, Beaumaris in Anglesey.
Edward devoted much attention to Gascony, the land he held in
southwestern France. He went there prior to returning to England
at the start of the reign and spent the period 1286–89 there. In
1294 he had to undertake a costly defense of his French lands,
when war began with Philip IV, king of France. Open hostilities
lasted until 1297. In this case the French were the aggressors.
Following private naval warfare between Gascon and Norman
sailors, Philip summoned Edward (who, as Duke of Aquitaine, was
his vassal) to his court and, having deceived English
negotiators, decreed Gascony confiscate. Edward built up a grand
alliance against the French, but the war proved costly and
inconclusive.
Edward intervened in Scotland in 1291, when he claimed
jurisdiction over a complex succession dispute. King Alexander
III had been killed when his horse fell one stormy night in
1286. His heiress was his three-year-old granddaughter,
Margaret, the Maid of Norway. Arrangements were made for her to
marry Edward’s son Edward, but these plans were thwarted by
Margaret’s death in 1290. There were 13 claimants to the
Scottish throne, the two main candidates being John de Balliol
and Robert de Bruce, both descendants of David, 8th Earl of
Huntingdon, brother of William I the Lion. Balliol was the
grandson of David’s eldest daughter, and Bruce was the son of
his second daughter. A court of 104 auditors, of whom 40 were
chosen by Balliol and 40 by Bruce, was set up. Balliol was
designated king and performed fealty and homage to Edward.
Edward did all he could to emphasize his own claims to feudal
suzerainty over Scotland, and his efforts to put these into
effect provoked Scottish resistance. In 1295 the Scots, having
imposed a baronial council on Balliol, made a treaty with the
French. War was inevitable, and in a swift and successful
campaign Edward defeated Balliol in 1296, forcing him to
abdicate. The victory, however, had been too easy. Revolt
against the inept officials Edward had appointed to rule in
Scotland came in 1297, headed by William Wallace and Andrew
Moray. Victory for Edward at the battle of Falkirk in 1298,
however, did not win the war. A lengthy series of costly
campaigns appeared to have brought success by 1304, and in the
next year Edward set up a scheme for governing Scotland, by now
termed by the English a land, not a kingdom. But in 1306 Robert
de Bruce, grandson of the earlier claimant to the throne, a man
who had fought on both sides in the war, seized the Scottish
throne and reopened the conflict, which continued into the reign
of Edward II, who succeeded his father in 1307.
It has been claimed that during his wars Edward I transformed
the traditional feudal host into an efficient, paid army. In
fact, feudal summonses continued throughout his reign, though
only providing a proportion of the army. The paid forces of the
royal household were a very important element, but it is clear
that the magnates also provided substantial unpaid forces for
campaigns of which they approved. The scale of infantry
recruitment increased notably, enabling Edward to muster armies
up to 30,000 strong. The king’s military successes were
primarily due to the skill of his government in mobilizing
resources, in terms of men, money, and supplies, on an
unprecedented scale.
Domestic difficulties
The wars in the 1290s against the Welsh, French, and
Scots imposed an immense burden on England. The character of the
king’s rule changed as the preoccupation with war put an end to
further reform of government and law. Edward’s subjects resented
the heavy taxation, large-scale recruitment, and seizures of
food supplies and wool crops. Pope Boniface VIII forbade the
clergy to pay taxes to the king. A political crisis ensued in
1297, which was only partly resolved by the reissue of Magna
Carta and some additional concessions. Argument continued for
much of the rest of the reign, while the king’s debts mounted.
The Riccardi, Edward’s bankers in the first part of the reign,
were effectively bankrupted in 1294, and their eventual
successors, the Frescobaldi, were unable to give the king the
same level of support as their predecessors.
Social, economic, and cultural change
The population expanded rapidly in the 13th century,
reaching a level of about five million. Great landlords
prospered with the system of high farming, but the average size
of small peasant holdings fell, with no compensating rise in
productivity. There has been debate about the fate of the
knightly class: some historians have argued that lesser
landowners suffered a decline in wealth and numbers, while
others have pointed to their increased political importance as
evidence of their prosperity. Although there were probably both
gainers and losers, the overall number of knights in England
almost certainly fell to less than 2,000. Ties between magnates
and their feudal tenants slackened as the relationship became
increasingly a legal rather than a personal one. Lords began to
adopt new methods of recruiting their retinues, using contracts
demanding service either for life or for a short term, in
exchange for fees, robes, and wages. Towns continued to grow,
with many new ones being founded, but the weaving industry
suffered a decline, in part because of competition from rural
areas and in part as a result of restrictive guild practices. In
trade, England became increasingly dependent on exports of raw
wool.
The advent of the friars introduced a new element to the
church. The universities of Oxford and Cambridge were developing
rapidly, and in Robert Grosseteste and Roger Bacon, England
produced two major, if somewhat eccentric, intellectual figures.
Ecclesiastical architecture flourished, showing a strong French
influence: Henry III’s patronage of the new Westminster Abbey
was particularly notable. Edward I’s castles in North Wales rank
high among the finest examples of medieval military
architecture.
The 14th century
The 14th century, despite some gains, was a bleak age. At
its beginning and close were kings whose reigns ended in
failure. In between, however, came the 50-year reign of the
popular and successful Edward III. During the century the
importance of the Commons in Parliament continued to grow. But
dominant factors of the age were war and plague. The increased
scale, cost, and frequency of wars from the 1290s onward imposed
heavy burdens on state and society. Conflicts between England
and France continued intermittently throughout the century,
those from 1337 onward being called the Hundred Years’ War. The
Black Death struck in 1348–49; it became endemic, recurring
several times in the second half of the century, and brought
with it profound economic and social change.
Edward II (1307–27)
Edward II’s reign was an almost unmitigated disaster. He
inherited some of his problems from his father, the most
significant being a treasury deficit of some £200,000, and the
Scottish war. He inherited none of his father’s strengths. He
was a good horseman but did not enjoy swordplay or tournaments,
preferring swimming, ditch digging, thatching, and theatricals.
Although surrounded by a ruling class strongly tied to his
family by blood and service, Edward rejected the company of his
peers, preferring that of Piers Gaveston, son of a Gascon
knight, with whom he probably had a homosexual relationship.
Edward’s father had exiled Gaveston in an attempt to quash the
friendship. Edward the son recalled him and conferred on him the
highest honours he had to bestow: the earldom of Cornwall and
marriage to his niece Margaret de Clare, sister of the Earl of
Gloucester. Edward also recalled Archbishop Winchelsey and
Bishop Bek of Durham, both of whom had gone into exile under
Edward I. He dismissed and put on trial one of his father’s most
trusted servants, the treasurer, Walter Langton.
Historians used to emphasize the constitutional struggle that
took place in this reign, seeing a conflict between a baronial
ideal of government conducted with the advice of the magnates
and based on the great offices of state, the Chancery and the
Exchequer, on the one hand, and a royal policy of reliance upon
the departments of the royal household, notably the wardrobe and
chamber, on the other. More recent interpretations have shifted
the emphasis to personal rivalries and ambitions.
Opposition to Edward began to build as early as January 1308.
At the coronation in February a new clause was added to the
king’s oath that obligated him to promise that he would keep
such laws “as the community of the realm shall have chosen.” In
April the barons came armed to Parliament and warned the king
that “homage and the oath of allegiance are stronger and bind
more by reason of the crown than by reason of the person of the
king.” The first phase of the reign culminated in the production
of the Ordinances in 1311. They were in part directed against
Gaveston—who was again to be exiled—and other royal favourites,
but much of the document looked back to the grievances of Edward
I’s later years, echoing concessions made by the king in 1300.
Hostility was expressed to the practice of prise (compulsory
purchase of foodstuffs for royal armies). Baronial consent was
required for foreign war (possibly in remembrance of Edward I’s
Flanders campaign of 1297). The privy seal was not to be used to
interfere in justice. A long list of officials were to be chosen
with the advice and consent of the barons in Parliament. All
revenues were to be paid into the Exchequer. The king’s bankers,
the Frescobaldi, who had also served Edward I, were to be
expelled from the realm. Royal grants of land made since the
appointment of the Ordainers in 1310 were annulled. It is
noteworthy that the first clear statement that consent should be
given in Parliament is to be found in the Ordinances. No
explicit role, however, was given to the Commons, the
representative element in Parliament.
The middle years of Edward’s reign were dominated by the
enigmatic figure of Thomas, 2nd Earl of Lancaster, the king’s
cousin and chief opponent, whose surly inactivity for long
periods blocked effective political initiatives. His political
program never amounted to much more than enforcement of the
Ordinances. He supervised the capture and execution of Gaveston
in 1312 and came to dominance after the disastrous defeat of a
royal army at the hands of the Scottish pikemen and bowmen at
Bannockburn in 1314. At the Lincoln Parliament of 1316 he was
named chief councillor, but he soon withdrew from active
government.
A conciliar regime was set up with the Treaty of Leake of
1318. This was once thought to have been the work of a “middle
party,” but the political alliances of this period cannot be
categorized in such a manner. New royal favourites emerged, and
in 1321 the peace was broken when the Welsh marcher lords moved
against two of them, a father and son, both called Hugh
Despenser. When Parliament met, the two were exiled, but they
soon returned. In this brief civil war, which ended in 1322,
Edward was victorious. He had Lancaster executed for treason
after his ignominious defeat at Boroughbridge in 1322. In death
Lancaster attracted a popular sympathy he had rarely received in
life, with many rumours of miracles at his tomb. Edward had many
of Lancaster’s followers executed in a horrific bloodbath. In
the same year the Ordinances were repealed in Parliament at
York, and in the Statute of York the intention of returning to
the constitutional practices of the past was announced. But in
specifying that the “consent of the prelates, earls, and barons,
and of the community of the realm” was required for legislation,
the Statute of York provided much scope for historical argument;
some historians have made claims for a narrow baronial
interpretation of what is meant by “community of the realm,”
while others have seen the terminology as giving the
representative element in Parliament a new role. A tract written
in this period, the Modus tenendi parliamentum, certainly placed
a new emphasis on the representatives of shire, borough, and
lower clergy. In terms of practical politics, however, the
Statute of York permitted the fullest resumption of royal
authority.
The final period of the reign saw the Despensers restored to
power. They carried out various administrative reforms, ably
assisted by the treasurer, Walter Stapledon. For the first time
in many years, a substantial treasury of about £60,000 was built
up. At the same time, crude blackmail and blatant corruption
characterized this regime. A brief war against the French was
unsuccessful. The reign ended with the invasion of Edward’s
estranged queen, Isabella, assisted by Roger Mortimer, soon to
be Earl of March. With the support above all of the Londoners,
the government was overthrown, the Despensers executed, and the
king imprisoned. Parliament was called in his name, and he was
simultaneously deposed and persuaded to abdicate in favour of
his son, Edward III. After two conspiracies to release him, he
was almost certainly killed in Berkeley Castle.
Edward III (1327–77)
The Hundred Years’ War, to 1360
Edward III achieved personal power when he overthrew his
mother’s and Mortimer’s dominance in 1330 at the age of 17.
Their regime had been just as corrupt as that of the Despensers
but less constructive. The young king had been sadly
disappointed by an unsuccessful campaign against the Scots in
1327; in 1333 the tide turned when he achieved victory at
Halidon Hill. Edward gave his support to Edward Balliol as
claimant to the Scottish throne, rather than to Robert I’s son
David II. But as long as the Scots had the support of the French
king Philip VI, final success proved impossible, and this was
one of the causes for the outbreak of the French war in 1337.
Another was the long-standing friction over Gascony, chronic
since 1294 and stemming ultimately from the Treaty of Paris of
1259. By establishing that the kings of England owed homage to
the kings of France for Gascony the treaty had created an
awkward relationship. The building of bastides (fortified towns)
by each side contributed to friction, as did piracy by English
and French sailors. The English resented any appeals to the
French court by Gascons. English-French rivalry also extended
into the Netherlands, which was dependent on English wool for
industrial prosperity but some of whose states, including
Flanders, were subject to French claims of suzerainty. Finally,
there was the matter of the French throne itself. Edward,
through his mother, was closer in blood to the last ruler of the
Capetian dynasty than was the Valois Philip VI. The claim was of
great propaganda value to Edward, for it meant that he did not
appear as simply a rebellious vassal of the French king. His
allies could fight for him without dishonour.
The initial phase of the war was inconclusive. Edward won a
naval victory at Sluys in 1340, but he lacked the resources to
follow it up. Although intervention in a succession dispute in
Brittany saw the English register successes, stalemate came in
1343. The first great triumph came with the invasion of Normandy
in 1346. As Edward was retreating northward, he defeated the
French at Crécy and then settled to the siege of Calais, which
fell in 1347. The French allies, the Scots, were also defeated
in 1346 at Neville’s Cross, where their king, David II, was
taken prisoner. The focus of the war moved south in 1355, when
the king’s son, the Black Prince, was sent to Gascony. He
launched a successful raid in 1355 and another in 1356, and at
Poitiers he defeated and captured the French king John, for whom
a heavy ransom was charged. As at Crécy, English archery proved
decisive. A major campaign in 1359–60, planned as the decisive
blow, proved unsatisfactory to the English. Rheims did not open
its gates to Edward as he had hoped, and a storm caused severe
damage to the army and its baggage in April 1360. Negotiations
led to a truce at Brétigny, and in the subsequent negotiations
Edward agreed to drop his claim to the French throne. In return,
English possessions in France would be held in full sovereignty.
The terms, particularly those involving the exchange of
territory, were not carried out in full, but neither side wished
to reopen the war immediately. War was costly, and Edward III’s
armies were no longer recruited by feudal means. Most were
formed by contract, and all who fought received wages as well as
a share of the profits of campaigning. These could be
substantial if wealthy nobles were captured and ransomed.
Domestic achievements
The war, and the need to finance it, dominated domestic
affairs under Edward III. The king faced a crisis in 1340–41
because he found himself disastrously indebted by 1339, even
though he had received generous grants from Parliament since
1336. It was estimated that he owed £300,000. He had seized wool
exports and had borrowed recklessly from Italian, English, and
Flemish bankers and merchants. A grant in 1340 of a ninth of all
produce failed to yield the expected financial return. In the
autumn of 1340 Edward returned from abroad and charged John
Stratford, archbishop of Canterbury, the man who had been in
charge in his absence, with working against him. He also engaged
in a widespread purge of royal ministers. Stratford whipped up
opposition to the king, and in Parliament in 1341 statutes were
passed that were reminiscent of the kind of restraints put on
earlier and less popular kings. Officers of state and of the
king’s household were to be appointed and sworn in Parliament.
Commissioners were to be sworn in Parliament to audit the royal
accounts. Peers were to be entitled to trial before their peers
in Parliament. Breaches of the Charters were to be reported in
Parliament. Charges were brought against Stratford, only to be
dropped. But in 1343 Edward III was able to repudiate the
statutes. The crisis had little permanent effect, though it did
demonstrate the king’s dependence on Parliament, and within it
on the Commons, for supply.
In the following years the country was well governed, with
William Edington and John Thoresby serving the king loyally and
well. Edward’s compliance toward the requests of the Commons
made it relatively easy for him to obtain the grants he needed.
Discontent in 1346–47 was overcome by the good news from France.
Much of the legislation passed at this time was in the popular
interest. In 1352 the king agreed that no one should be bound to
find soldiers for the war save by common consent in Parliament,
and demands for purveyance were moderated. The Statute of
Provisors of 1351 set up statutory procedures against the
unpopular papal practice of making appointments to church
benefices in England, and the Statute of Praemunire two years
later forbade appeals to Rome in patronage disputes. The crown
in practice had sufficient weapons available to it to deal with
these matters, but Edward was ready to accept the views of his
subjects, even though he did little about them later. Much
attention was given to the organization of the wool trade
because it was intimately bound up with the finance of war. In
1363 the Calais staple was set up, under which all English
exports of raw wool were channeled through Calais. The currency
was reformed very effectively with the introduction in the 1340s
of a gold coinage alongside the traditional silver pennies.
Law and order
The maintenance of law and order, a prime duty for a
medieval king, had reached a point of crisis by the end of
Edward I’s reign when special commissions, known as commissions
of trailbaston, were set up to try to deal with the problem.
Matters became worse under Edward II, from whose reign there is
much evidence of gang warfare, often involving men of knightly
status. Maintaining law and order was also an urgent issue in
Edward III’s reign. In the early years there was conflict
between the magnates, who wanted to be given full authority in
the localities, and the county knights and gentry, who favoured
locally appointed keepers of the peace. A possible solution,
favoured by the chief justice, Geoffrey Scrope, was to extend
the jurisdiction of the king’s bench into the localities. There
was a major crime wave in 1346 and 1347, intensified by the
activities of soldiers returning from France. The justices
reacted by greatly extending the use of accusations of treason,
but the Commons protested against procedures they claimed did
little to promote order and much to impoverish the people. In
1352 the crown gave way, producing in the Statute of Treason a
narrow definition of great treason that made it impossible to
threaten common criminals with the harsh penalties which
followed conviction for treason. The concern of the Commons had
been that in cases of treason goods and land forfeited by those
found guilty went to the crown, not to the overlord. In 1361 the
position of justice of the peace was established by statute,
marking another success for the Commons.
The crises of Edward’s later years
The war with France was reopened in 1369 and went badly.
The king was in his dotage and, since the death of Queen
Philippa in 1369, in the clutches of his unscrupulous mistress
Alice Perrers. The heir to the throne, Edward the Black Prince,
was ill and died in 1376. Lionel of Antwerp, Duke of Clarence,
the next son, had died in 1368, and John of Gaunt, Duke of
Lancaster, the third surviving son, was largely occupied with
his claims to Castile, his inheritance through his second wife,
Constance. Edmund of Langley, the fourth surviving son, was a
nonentity, and the youngest, Thomas of Woodstock, was not yet of
age. In 1371 Parliament demanded the dismissal of William of
Wykeham, the chancellor, and the appointment of laymen to state
offices. The new government, dominated by men such as William
Latimer, the chamberlain, proved unpopular and ineffective. When
the so-called Good Parliament met in 1376, grievances had
accumulated and needed to be dealt with. As in previous crises,
a committee consisting of four bishops, four earls, and four
barons was set up to take responsibility for the reforms. Then,
under the leadership of Peter de la Mare, who may be termed the
first Speaker, the Commons impeached Latimer, Alice Perrers, and
a number of ministers and officials, some of whom had profited
personally from the administration of the royal finances. The
Commons took the role of prosecutors before the Lords in what
amounted to a new procedure.
John of Gaunt, an unpopular figure at this time, had, as a
result of the king’s illness, presided uncomfortably over the
Good Parliament. He ensured that the achievement of Peter de la
Mare and his colleagues was ephemeral, taking charge of the
government at the end of the reign. De la Mare was jailed in
Nottingham. William of Wykeham was attacked for alleged
peculation as chancellor, and Alice Perrers was restored to
court. The Parliament of 1377 reversed all important acts of the
Good Parliament. There were rumours in London that Gaunt aimed
at the throne. But the Black Prince’s widow made peace between
Gaunt and the Londoners, and Wykeham’s temporalities were
restored. The reign ended in truce, if not peace.
Richard II (1377–99)
Richard II’s reign was fraught with crises—economic,
social, political, and constitutional. He was 10 years old when
his grandfather died, and the first problem the country faced
was having to deal with his minority. A “continual council” was
set up to “govern the king and his kingdom.” Although John of
Gaunt was still the dominant figure in the royal family, neither
he nor his brothers were included.
The Peasants’ Revolt (1381)
Financing the increasingly expensive and unsuccessful war
with France was a major preoccupation. At the end of Edward
III’s reign a new device, a poll tax of four pence a head, had
been introduced. A similar but graduated tax followed in 1379,
and in 1380 another set at one shilling a head was granted. It
proved inequitable and impractical, and, when the government
tried to speed up collection in the spring of 1381, a popular
rebellion—the Peasants’ Revolt—ensued. Although the poll tax was
the spark that set it off, there were also deeper causes related
to changes in the economy and to political developments. The
government, in particular, engendered hostility to the legal
system by its policies of expanding the powers of the justices
of the peace at the expense of local and manorial courts. In
addition, popular poor preachers spread subversive ideas with
slogans such as: “When Adam delved and Eve span / Who was then
the gentleman?” The Peasants’ Revolt began in Essex and Kent.
Widespread outbreaks occurred through the southeast of England,
taking the form of assaults on tax collectors, attacks on
landlords and their manor houses, destruction of documentary
evidence of villein status, and attacks on lawyers. Attacks on
religious houses, such as that at St. Albans, were particularly
severe, perhaps because they had been among the most
conservative of landlords in commuting labour services.
The men of Essex and Kent moved on London to attack the
king’s councillors. Admitted to the city by sympathizers, they
attacked John of Gaunt’s palace of the Savoy as well as the
Fleet prison. On June 14 the young king made them various
promises at Mile End; on the same day they broke into the Tower
and killed Sudbury, the chancellor, Hales, the treasurer, and
other officials. On the next day Richard met the rebels again at
Smithfield, and their main leader, Wat Tyler, presented their
demands. But during the negotiations Tyler was attacked and
slain by the mayor of London. The young king rode forward and
reassured the rebels, asking them to follow him to Clerkenwell.
This proved to be a turning point, and the rebels, their
supplies exhausted, began to make their way home. Richard went
back on the promises he had made, saying, “Villeins ye are and
villeins ye shall remain.” In October Parliament confirmed the
king’s revocation of charters but demanded amnesty save for a
few special offenders.
The events of the Peasants’ Revolt may have given Richard an
exalted idea of his own powers and prerogative as a result of
his success at Smithfield, but for the rebels the gains of the
rising amounted to no more than the abolition of the poll taxes.
Improvements in the social position of the peasantry did occur,
but not so much as a consequence of the revolt as of changes in
the economy that would have occurred anyhow.
John Wycliffe
Religious unrest was another subversive factor under
Richard II. England had been virtually free from heresy until
John Wycliffe, a priest and an Oxford scholar, began his career
as a religious reformer with two treatises in 1375–76. He argued
that the exercise of lordship depended on grace and that,
therefore, a sinful man had no right to authority. Priests and
even the pope himself, Wycliffe went on to argue, might not
necessarily be in a state of grace and thus would lack
authority. Such doctrines appealed to anticlerical sentiments
and brought Wycliffe into direct conflict with the church
hierarchy, although he received protection from John of Gaunt.
The beginning of the Great Schism in 1378 gave Wycliffe fresh
opportunities to attack the papacy, and in a treatise of 1379 on
the Eucharist he openly denied the doctrine of
transubstantiation. He was ordered before a church court at
Lambeth in 1378. In 1380 his views were condemned by a
commission of theologians at Oxford, and he was forced to leave
the university. At Lutterworth he continued to write
voluminously until his death in 1384. The movement he inspired
was known as Lollardy. Two of his followers translated the Bible
into English, and others went out to spread Wycliffe’s
doctrines, which soon became debased and popularized. The
movement continued to expand despite the death of its founder
and the government’s attempts to destroy it.
Political struggles and Richard’s deposition
Soon after putting down the Peasants’ Revolt, Richard
began to build up a court party, partly in opposition to Gaunt.
A crisis was precipitated in 1386 when the king asked Parliament
for a grant to meet the French threat. Parliament responded by
demanding the dismissal of the king’s favourites, but Richard
insisted that he would not dismiss so much as a scullion in his
kitchen at the request of Parliament. In the end he was forced
by the impeachment of the chancellor, Michael de la Pole, to
agree to the appointment of a reforming commission. Richard
withdrew from London and went on a “gyration” of the country. He
called the judges before him at Shrewsbury and asked them to
pronounce the actions of Parliament illegal. An engagement at
Radcot Bridge, at which Richard’s favourite, Robert de Vere, 9th
Earl of Oxford, was defeated, settled the matter of ascendancy.
In the Merciless Parliament of 1388 five lords accused the
king’s friends of treason under an expansive definition of the
crime.
Richard was chastened, but he began to recover his authority
as early as the autumn of 1388 at the Cambridge Parliament.
Declaring himself to be of age in 1389, Richard announced that
he was taking over the government. He pardoned the Lords
Appellant and ruled with some moderation until 1394, when his
queen, Anne of Bohemia, died. After putting down a rebellion in
Ireland, he was, for a time, almost popular. He began to
implement his personal policy once more and rebuilt a royal
party with the help of a group of young nobles. He made a
28-year truce with France and married the French king’s
seven-year-old daughter. He built up a household of faithful
servants, including the notorious Sir John Bushy, Sir William
Bagot, and Sir Henry Green. He enlisted household troops and
built a wide network of “king’s knights” in the counties,
distributing to them his personal badge, the White Hart.
The first sign of renewed crisis emerged in January 1397,
when complaints were put forward in Parliament and their author,
Thomas Haxey, was adjudged a traitor. Richard’s rule, based on
fear rather than consent, became increasingly tyrannical. Three
of the Lords Appellant of 1388 were arrested in July and tried
in Parliament. The Earl of Arundel was executed and Warwick
exiled. Gloucester, whose death was reported to Parliament, had
probably been murdered. The acts of the 1388 Parliament were
repealed. Richard was granted the customs revenues for life, and
the powers of Parliament were delegated to a committee after the
assembly was dissolved. Richard also built up a power base in
Cheshire.
Events leading to Richard’s downfall followed quickly. The
Duke of Norfolk and Henry Bolingbroke, John of Gaunt’s son,
accused each other of treason and were banished, the former for
life, the latter for 10 years. When Gaunt himself died early in
1399, Richard confiscated his estates instead of allowing his
son to claim them. Richard, seemingly secure, went off to
Ireland. Henry, however, landed at Ravenspur in Yorkshire to
claim, as he said, his father’s estates and the hereditary
stewardship. The Percys, the chief lords in the north, welcomed
him. Popular support was widespread, and when Richard returned
from Ireland his cause was lost.
The precise course of events is hard to reconstruct, in view
of subsequent alterations to the records. A Parliament was
called in Richard’s name, but before it was fully assembled at
the end of September, its members were presented with Richard’s
alleged abdication and Henry’s claim to the throne as legitimate
descendant of Henry III as well as by right of conquest.
Thirty-three articles of deposition were set forth against
Richard, and his abdication and deposition were duly accepted.
Richard died at Pontefract Castle, either of self-starvation or
by smothering. Thus ended the last attempt of a medieval king to
exercise arbitrary power. Whether or not Richard had been
motivated by new theories about the nature of monarchy, as some
have claimed, he had failed in the practical measures necessary
to sustain his power. He had tried to rule through fear and
mistrust in his final years, but he had neither gained
sufficient support among the magnates by means of patronage nor
created a popular basis of support in the shires.
Economic crisis and cultural change
Although the outbreak of the Black Death in 1348
dominated the economy of the 14th century, a number of
adversities had already occurred in the preceding decades.
Severe rains in 1315 and 1316 caused famine, which led to the
spread of disease. Animal epidemics in succeeding years added to
the problems, as did an increasing shortage of currency in the
1330s. Economic expansion, which had been characteristic of the
13th century, had slowed to a halt. The Black Death, possibly a
combination of bubonic and pneumonic plagues, carried off from
one-third to one-half of the population. In some respects it
took time for its effects to become detrimental to the economy,
but with subsequent outbreaks, as in 1361 and 1369, the
population declined further, causing a severe labour shortage.
By the 1370s wages had risen dramatically and prices of
foodstuffs fallen. Hired labourers, being fewer, asked for
higher wages and better food, and peasant tenants, also fewer,
asked for better conditions of tenure when they took up land.
Some landlords responded by trying to reassert labour services
where they had been commuted. The Ordinance (1349) and Statute
(1351) of Labourers tried to set maximum wages at the levels of
the pre-Black Death years, but strict enforcement proved
impossible. The Peasants’ Revolt of 1381 was one result of the
social tension caused by the adjustments needed after the
epidemic. Great landlords saw their revenues fall as a result of
the Black Death, although probably by only about 10 percent,
whereas for the lower orders of society real wages rose sharply
by the last quarter of the 14th century because of low grain
prices and high wages.
Edward III ruined the major Italian banking companies in
England by failing to repay loans early in the Hundred Years’
War. This provided openings for English merchants, who were
given monopolies of wool exports by the crown in return for
their support. The most notable was William de la Pole of Hull,
whose family rose to noble status. Heavy taxation of wool
exports was one reason for the growth of the cloth industry and
cloth exports in the 14th century. The wine trade from Gascony
was also important. In contrast to the 13th century, no new
towns were founded, but London in particular continued to
prosper despite the ravages of plague.
In cultural terms, a striking change in the 14th century was
the increasing use of English. Although an attempt to make the
use of English mandatory in the law courts failed because
lawyers claimed that they could not plead accurately in the
language, the vernacular began to creep into public documents
and records. Henry of Lancaster even used English when he
claimed the throne in 1399. Chaucer wrote in both French and
English, but his important poetry is in the latter. The early
14th century was an impressive age for manuscript illumination
in England, with the so-called East Anglian school, of which the
celebrated Luttrell Psalter represents a late example. In
ecclesiastical architecture the development of the Perpendicular
style, largely in the second half of the 14th century, was
particularly notable.
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Lancaster and York
Recent scholarship has done much to transform the view
that the 15th century was a period dominated by a factious
nobility, when constructive achievements were few. In
particular, the character of the nobility has been reconceived,
and the century has emerged in a more positive light. It appears
that even in politics and administration much was done that
anticipated the achievements of the Tudors, while in the economy
the foundations for future growth and prosperity were laid.
Henry IV (1399–1413)
Henry of Lancaster gave promise of being able to develop
a better rapport with his people than his predecessor, Richard
II. He was a warrior of great renown who had traveled to
Jerusalem and had fought in Prussia against infidels. He also
had a reputation for affability and for statesmanlike
self-control, and he had won his crown with the support of “the
estates of the realm.” It did not matter much whether that meant
Parliament or something more vague and symbolic. Henry, however,
intended to rule as a true king, with the prerogatives of the
crown unimpaired, whereas his Parliaments, from the first,
expected him to govern with the advice and consent of his
council, and to listen to Parliament regarding requests for
money. Thus although Archbishop Arundel stressed in 1399 that
Henry wished to be properly advised and that he intended to be
governed by common advice and counsel, some argument and
conflict was inevitable.
The rebellions
Henry’s immediate task after his accession was to put
down a rebellion threatening to restore Richard. The earls of
Rutland, Kent, and Huntingdon, supported by the bishop of
Carlisle, conspired against the king. The rising was unexpected,
but Henry won support in London and defeated the rebels near
Cirencester. More significant was the revolt of Owain Glyn Dwr
that broke out in 1399 and became serious in 1402. Glyn Dwr
sought a French alliance and captured Edmund Mortimer, uncle of
the Earl of March, Richard II’s legitimate heir. Mortimer was
persuaded to join the rebellion, which now aimed to make March
king. In 1403 the Welsh rebels joined the Percys of
Northumberland in a powerful coalition. The younger Percy,
“Hotspur,” was killed at Shrewsbury in 1403. The elder was
pardoned, only to rebel once more in 1405, again in conjunction
with Glyn Dwr. Henry broke the alliance with a victory at
Shipton Moor. Percy was finally killed in 1408, but Glyn Dwr,
driven into the mountains of North Wales, was never captured.
Henry and Parliament
Henry’s relations with his Parliaments were uneasy. The
main problem, of course, was money. Henry, as Duke of Lancaster,
was a wealthy man, but as king he had forfeited some of his
income by repudiating Richard II’s tactics, though he also
avoided Richard’s extravagance. His needs were still great,
threatened as he was by rebellion in England and war in France.
A central issue was Parliament’s demand, as in 1404, that the
king take back all royal land that had been granted and leased
out since 1366. This was so that he might “live of his own.” The
king could hardly adopt a measure that would cause much
upheaval. Arguments in 1406 were so protracted that the
Parliament met for 159 days, becoming the longest Parliament of
the medieval period. On several occasions the Commons insisted
on taxes being spent in the way that they wished, primarily on
the defense of the realm.
The later Parliaments of Henry’s reign brought no new
problems, but the king became less active in government as he
was more and more incapacitated by illness. From 1408 to 1411
the government was dominated first by Archbishop Arundel and
then by the king’s son Henry, who, with the support of the
Beaufort brothers, sons of John of Gaunt by Katherine Swynford,
attempted to win control over the council. There was much
argument over the best political strategy to adopt in France,
where civil war was raging; young Henry wanted to resume the war
in France, but the king favoured peace. In 1411 the king
recovered his authority, and the Prince of Wales was dismissed
from the council. Uneasy relations between the prince and his
father lasted until Henry IV’s death in 1413.
Henry V (1413–22)
Henry V’s brief reign is important mainly for the
glorious victories in France, which visited on his infant son
the enormous and not-so-glorious burden of governing both France
and England. Two rebellions undermined the security of the realm
in the first two years of the reign. The first was organized by
Sir John Oldcastle, a Lollard and former confidant of the king.
Though Oldcastle was not arrested until 1417, little came of his
rising. Another plot gathered around Richard, 5th Earl of
Cambridge, a younger brother of the Duke of York. The aim was to
place the Earl of March on the throne, but March himself gave
the plot away, and the leading conspirators were tried and
executed on the eve of the king’s departure for France.
The French war
Henry invaded France in 1415 with a small army of some
9,000 men. The siege of Harfleur was followed by a march toward
Calais. At Agincourt the English were forced to fight because
their route onward was blocked; they won an astonishing victory.
Between 1417 and 1419 Henry followed up this success with the
conquest of Normandy and the grant of Norman lands to English
nobles and lesser men. This was a new strategy for the English
to adopt, replacing the plundering raids of the past. In 1420 in
the Treaty of Troyes it was agreed that Henry would marry
Catherine, Charles VI’s daughter. He was to be heir to the
French throne, and that throne was to descend to his heirs in
perpetuity. But Charles VI’s son, the Dauphin, was not a party
to the treaty, and so the war continued. Henry, still wanting
money but reluctant to ask for subsidies at a time when he
needed all the support he could get for the treaty, obtained
forced loans. There were increasing indications of unease in
England. In 1422 Henry contracted dysentery and died at the
siege of Meaux in August, leaving as his heir a son less than a
year old.
Domestic affairs
England was competently governed under Henry V. Problems
of law and order were dealt with by reviving the use of the
King’s Bench as a traveling court; central and local
administration operated smoothly. Henry proved adept at
persuading men to serve him energetically for limited rewards.
Parliament, well-satisfied with the course of events in France,
gave the king all the support he needed. War finance was
efficiently managed, and although Henry died in debt, the level
was a manageable one. His was a most successful reign.
Henry VI (1422–61 and 1470–71)
Henry VI was a pious and generous man, but he lacked the
attributes needed for effective kingship. Above all he lacked
political sense and was no judge of men. Until 1437 he was a
child, under the regency of a council of nobles dominated by his
uncles and his Beaufort kin. When he was declared of age, the
Beauforts were the real rulers of England. In 1445, through the
initiative of the Earl (later Duke) of Suffolk, he married
Margaret of Anjou, who with Suffolk dominated the king. Finally,
in the period from 1450 to 1461 he suffered two bouts of mental
illness. During these crises Richard, 3rd Duke of York, ruled
the kingdom as protector.
Domestic rivalries and the loss of France
In the first period of the reign John, Duke of Bedford,
proved to be as able a commander in the French war as had his
brother Henry V. But in 1429 Joan of Arc stepped forth and
rallied French resistance. Bedford died in 1435, and the
Congress of Arras, an effort at a general peace settlement,
failed. When Philip of Burgundy deserted the English alliance
and came to terms with Charles VII, the conflict became a war of
attrition. By 1453 the English had lost all their overseas
possessions save Calais.
Despite the factional nature of politics, there was no
breakdown at home. The country was ruled by a magnate council
with the increasingly reluctant financial support of Parliament.
Humphrey, Duke of Gloucester, and Henry Beaufort, bishop of
Winchester (cardinal from 1426), were the dominant figures. The
main problem was financing the war. The bishop had great wealth,
which he increased by lending to the crown, receiving repayment
out of the customs. Divisions in the council became more acute
after 1435, with Gloucester advocating an aggressive war policy.
He was, however, discredited when his wife was accused of
witchcraft in 1441.
In 1447 both Cardinal Beaufort and Gloucester died, the
latter in suspicious circumstances. The Duke of Suffolk was in
the ascendant; he had negotiated a peace with France in 1444 and
arranged the king’s marriage to Margaret of Anjou in 1445. When
war was renewed in 1446, the English position in Normandy
collapsed. Becoming the scapegoat for the English failure,
Suffolk was impeached in the Parliament of March 1450. As he was
fleeing into exile, he was slain by English sailors from a ship
called the Nicholas of the Tower. Edmund Beaufort, 2nd Duke of
Somerset, succeeded him as leader of the court party.
Cade’s rebellion
Less than three months later Jack Cade, a man of obscure
origins, led a popular rebellion in southeastern England. In
contrast to the rising of 1381, this was not a peasant movement;
Cade’s followers included many gentry, whose complaints were
mainly about lack of government rather than economic repression.
Thus the remedies they proposed were political, such as the
resumption of royal estates that had been granted out, the
removal of corrupt councillors, and improved methods of
collecting taxes. The rebels demanded that the king accept the
counsel of Henry’s rival, the Duke of York. They executed Lord
Saye and Sele, the treasurer, and the sheriff of Kent, but the
rising was soon put down.
The beginning of the Wars of the Roses
The so-called Wars of the Roses was the struggle between
the Yorkist and Lancastrian descendants of Edward III for
control of the throne and of local government. The origins of
the conflict have been the subject of much debate. It can be
seen as brought about as a result of Henry VI’s inadequacy and
the opposition of his dynastic rival Richard, Duke of York, but
local feuds between magnates added a further dimension. Because
of the crown’s failure to control these disputes, they acquired
national significance. Attempts have been made to link these
civil conflicts to what is known as “bastard feudalism,” the
system that allowed magnates to retain men in their service by
granting them fees and livery and made possible the recruiting
of private armies. Yet this system can be seen as promoting
stability in periods of strong rule as well as undermining weak
rule such as that of Henry VI. Many nobles sought good
government, rather than being factious, and were only forced
into war by the king’s incompetence. The outbreak of civil war
in England was indirectly linked to the failure in France, for
Henry VI’s government had suffered a disastrous loss of prestige
and, with it, authority.
The Duke of York had a claim to the throne in two lines of
descent. One was through his mother, great-granddaughter of
Lionel of Antwerp, Duke of Clarence, second surviving son of
Edward III, and the other was through his father, son of Edmund
of Langley, 1st Duke of York, fourth surviving son of Edward
III. According to feudal principles he had a better hereditary
right than anyone of the Lancastrian line. He had been sent as
royal lieutenant to Ireland in 1446, but he returned from there
with 4,000 men in 1450 to reassert his right to participate in
the king’s council and to counter Somerset’s machinations. In
1454 York was made protector of the king, who had become insane
in 1453, even though the queen and court party had tried to
disguise the king’s illness. Early in 1455 Henry recovered his
wits. During his spell of insanity his queen had a son, Edward,
which changed the balance of politics. York was no longer the
heir apparent, and the country was faced with the prospect,
should the king die, of another lengthy minority.
In 1455 York gathered forces in the north, alleging that he
could not safely attend a council called to meet at Leicester
without the support of his troops. He met the king at St.
Albans. Negotiations were unsuccessful, and in the ensuing
battle York’s forces, larger than the king’s, won a decisive
victory. Somerset was slain and the king captured. A Yorkist
regime was set up, with York as constable and the Earl of
Warwick, emerging as the strong support of the Yorkist cause, as
captain of Calais. The king fell ill again in the autumn of
1455, and York was again protector for a brief period; the king,
however, recovered early in 1456.
Hostilities were renewed in 1459. The Yorkists fled without
fighting before a royal force at Ludford Bridge, but the
Lancastrians failed to make the most of the opportunity. Demands
for money, purveyances, and commissions of array increased the
burdens but not the benefits of Lancastrian rule. The earls of
Warwick and Salisbury, with York’s son Edward, used Calais as a
base from which to invade England, landing at Sandwich in 1460.
A brief battle at Northampton in July went overwhelmingly for
the Yorkists, and the king was captured. At Parliament the Duke
of York claimed the throne as heir to Richard II. The Commons
and judges refused to consider a matter so high, leaving it to
the Lords’ decision. During the fortnight of debate the
Lancastrians regrouped, and when Richard met them at Wakefield,
he was defeated and killed. Warwick, somewhat later, was
defeated at St. Albans.
The Yorkist cause would have been lost if it had not been for
Richard’s son, Edward, Earl of March, who defeated the
Lancastrians first at Mortimer’s Cross and then at Towton Moor
early in 1461. He was crowned king on June 28, but dated his
reign from March 4, the day the London citizens and soldiers
recognized his right as king.
Edward IV (1461–70 and 1471–83)
During the early years of his reign, from 1461 to 1470,
Edward was chiefly concerned with putting down opposition to his
rule. Lancastrian resistance in the northeast and in Wales
caused problems. France and Burgundy were also of concern
because Margaret of Anjou’s chief hope of recovering Lancastrian
fortunes lay in French support; but Louis XI was miserly in his
aid. Edward’s main internal problem lay in his relations with
Warwick, who had been his chief supporter in 1461. Richard
Neville, 1st (or 16th) Earl of Warwick, called “the Kingmaker,”
was cousin to the king and related to much of the English
nobility. Edward, however, refused to be dominated by him,
particularly with respect to his marriage. When the crucial
moment came in Warwick’s negotiations for the king to marry the
French king’s sister-in-law, Edward disclosed his secret
marriage in 1464 to a commoner, Elizabeth Woodville. The
marriage of the king’s sister to Charles the Bold of Burgundy
was a success for the Woodvilles, for Warwick was not involved
in the negotiations. Warwick allied himself to Edward’s younger
brother George, Duke of Clarence, and ultimately, through the
machinations of Louis XI, joined forces with Margaret of Anjou,
deposed Edward in 1470, and brought back Henry VI. The old king,
dressed in worn and unregal clothing, was from time to time
exhibited to the London citizens, while Warwick conducted the
government. Edward IV went into brief exile in the Netherlands.
But with the help of his brother-in-law, Charles the Bold, he
recovered his throne in the spring of 1471 after a rapid
campaign with successes at Barnet and Tewkesbury. Henry VI was
put to death in the Tower, and his son was killed in battle.
The second half of Edward’s reign, 1471–83, was a period of
relative order, peace, and security. The one event reminiscent
of the politics of the early reign was the trial of the Duke of
Clarence, who was attainted in Parliament in 1478 and put to
death, reputedly by drowning in a butt of Malmsey wine. But
Edward was popular. Because his personal resources from the
duchy of York were considerable and because he agreed early in
his reign to acts of resumption whereby former royal estates
were taken back into royal hands, Edward had a large personal
income and was less in need of parliamentary grants than his
predecessors had been. Thus he levied few subsidies and called
Parliament only six times. Among the few subsidies Edward did
levy were benevolences, supposedly voluntary gifts, from his
subjects primarily to defray the expenses of war. In 1475 Edward
took an army to France but accepted a pension from the French
king for not fighting, thereby increasing his financial
independence still further. Councils were set up to govern in
the Marches of Wales and in the north, where Edward’s brother
Richard presided efficiently. Edward’s rule was characterized by
the use of his household, its servants, and its departments,
such as the chamber. He was a pragmatic ruler, whose greatest
achievement was to restore the prestige of the monarchy. Where
he failed was to make proper provision for the succession after
his death.
Edward died in 1483, at age 40, worn out, it was said, by
sexual excesses and by debauchery. He left two sons, Edward and
Richard, to the protection of his brother Richard, Duke of
Gloucester. After skirmishes with the queen’s party Richard
placed both of the boys in the Tower of London, then a royal
residence as well as a prison. He proceeded to eliminate those
who opposed his function as protector and defender of the realm
and guardian to the young Edward V. Even Lord Hastings, who had
sent word to Richard of Edward IV’s death and who had warned him
against the queen’s party, was accused of treachery and was
executed. On the day after the date originally set for Edward
V’s coronation the Lords and Commons summoned to Parliament
unanimously adopted a petition requesting Richard to take over
the throne. He accepted and was duly crowned king on July 6,
taking the oath in English.
Richard III (1483–85)
Richard was readily accepted no doubt because of his
reputed ability and because people feared the insecurity of a
long minority. The tide began to turn against him in October
1483, when it began to be rumoured that he had murdered or
connived at the murder of his nephews. Whether this was true or
not matters less than the fact that it was thought to be true
and that it obscured the king’s able government during his brief
reign. Legislation against benevolences and protection for
English merchants and craftsmen did little to counteract his
reputation as a treacherous friend and a wicked uncle. Rebellion
failed in 1483. But in the summer of 1485, when Henry Tudor,
sole male claimant to Lancastrian ancestry and the throne,
landed at Milford Haven, Richard’s supporters widely deserted
him, and he was defeated and killed at the Battle of Bosworth
Field.
England in the 15th century
Central to all social change in the 15th century was
change in the economy. Although plague remained endemic in
England, there was little change in the level of population.
Villein labour service largely disappeared, to be replaced by
copyhold tenure (tenure by copy of the record of the manorial
court). The period has been considered a golden age for the
English labourer, but individual prosperity varied widely. There
was a well-developed land market among peasants, some of whom
managed to rise above their neighbours and began to constitute a
class called yeomen. Large landlords entirely abandoned direct
management of their estates in favour of a leasehold system. In
many cases they faced growing arrears of rent and found it
difficult to maintain their income levels. Because many
landholders solved the problem of labour shortage by converting
their holdings to sheep pasture, much land enclosure took place.
As a result a great many villages were abandoned by their
inhabitants.
Though England remained a predominantly agrarian society,
significant development and change occurred in the towns. London
continued to grow, dominating the southeast. Elsewhere the
development of the woolen industry brought major changes.
Halifax and Leeds grew at the expense of York, and the West
Riding at the expense of the eastern part of Yorkshire. Suffolk
and the Cotswold region became important in the national
economy. As the cloth trade grew in importance, so did the
association of the Merchant Adventurers. The merchants of the
Staple, who had a monopoly on the export of raw wool, did less
well. Italian merchants prospered in 15th-century England, and
important privileges were accorded to the German Hanseatic
merchants by Edward IV.
Culturally the 15th century was a period of sterility.
Monastic chronicles came to an end, and the writing of history
declined. Thomas Walsingham (d. c. 1422) was the last of a
distinguished line of St. Albans chroniclers. Although there
were some chronicles written by citizens of London as well as
two lives of Henry V, distinguished works of history did not
come until later. Neither were there any superior works of
philosophy or theology. Reginald Pecock, an arid Scholastic
philosopher, wrote an English treatise against the Lollards and
various other works emphasizing the rational element in the
Christian faith; he was judged guilty of heresy for his pains.
No noteworthy poets succeeded Chaucer, though a considerable
quantity of English poetry was written in this period. John
Lydgate produced much verse in the Lancastrian interest. The
printer William Caxton set up his press in 1476 to publish
English works for the growing reading public. The first great
collections of family correspondence, those of the Pastons,
Stonors, and Celys, survive from this period.
The 15th century, however, was an important age in the
foundation of schools and colleges. Some schools were set up as
adjuncts to chantries, some by guilds, and some by collegiate
churches. Henry VI founded Eton College in 1440 and King’s
College, Cambridge, in 1441. Other colleges at Oxford and
Cambridge were also founded in this period. The Inns of Court
expanded their membership and systematized their teaching of
law. Many gentlemen’s sons became members of the Inns, though
not necessarily lawyers: they needed the rudiments of law to be
able to defend and extend their estates. The influence of the
Italian Renaissance in learning and culture was very limited
before 1485, although there were some notable patrons, such as
Humphrey, Duke of Gloucester, who collected books and supported
scholars interested in the new learning.
Only in architecture did England show great originality.
Large churches were built in English Perpendicular style,
especially in regions made rich by the woolen industry. The tomb
of Richard Beauchamp at Warwick and King’s College Chapel in
Cambridge show the quality of English architecture and sculpture
in the period.
Margaret Hastings
Michael Charles Prestwich
England under the Tudors
Henry VII (1485–1509)
When Henry Tudor, earl of Richmond, seized the throne on
Aug. 22, 1485, leaving the Yorkist Richard III dead upon the
field of battle, few Englishmen would have predicted that 118
years of Tudor rule had begun. Six sovereigns had come and gone,
and at least 15 major battles had been fought between rival
contenders to the throne since that moment in 1399 when the
divinity that “doth hedge a king” was violated and Richard II
was forced to abdicate. Simple arithmetic forecast that Henry
VII would last no more than a decade and that the Battle of
Bosworth Field was nothing more than another of the erratic
swings of the military pendulum in the struggle between the
house of York and the house of Lancaster. What gave Henry Tudor
victory in 1485 was not so much personal charisma as the fact
that key noblemen deserted Richard III at the moment of his
greatest need, that Thomas Stanley (2nd Baron Stanley) and his
brother Sir William stood aside during most of the battle in
order to be on the winning team, and that Louis XI of France
supplied the Lancastrian forces with 1,000 mercenary troops.
The desperateness of the new monarch’s gamble was equalled
only by the doubtfulness of his claim. Henry VII’s Lancastrian
blood was tainted by bastardy twice over. He was descended on
his mother’s side from the Beaufort family, the offspring of
John of Gaunt and his mistress Katherine Swynford, and, though
their children had been legitimized by act of Parliament, they
had been specifically barred from the succession. His father’s
genealogy was equally suspect: Edmund Tudor, earl of Richmond,
was born to Catherine of Valois, widowed queen of Henry V, by
her clerk of the wardrobe, Owen Tudor, and the precise marital
status of their relationship has never been established. Had
quality of Plantagenet blood, not military conquest, been the
essential condition of monarchy, Edward, earl of Warwick, the
10-year-old nephew of Edward IV, would have sat upon the throne.
Might, not soiled right, had won out on the high ground at
Bosworth Field, and Henry VII claimed his title by conquest. The
new king wisely sought to fortify his doubtful genealogical
pretension, however, first by parliamentary acclamation and then
by royal marriage. The Parliament of November 1485 did not
confer regal power on the first Tudor monarch—victory in war had
already done that—but it did acknowledge Henry as “our new
sovereign lord.” Then, on Jan. 18, 1486, Henry VII married
Elizabeth of York, the eldest daughter of Edward IV, thereby
uniting “the white rose and the red” and launching England upon
a century of “smooth-fac’d peace with smiling plenty.”
“God’s fair ordinance,” which Shakespeare and later
generations so clearly observed in the events of 1485–86, was
not limited to military victory, parliamentary sanction, and a
fruitful marriage; the hidden hand of economic, social, and
intellectual change was also on Henry’s side. The day was coming
when the successful prince would be more praised than the heroic
monarch and the solvent sovereign more admired than the pious
one. Henry Tudor was probably no better or worse than the first
Lancastrian, Henry IV; they both worked diligently at their
royal craft and had to fight hard to keep their crowns, but the
seventh Henry achieved what the fourth had not—a secure and
permanent dynasty—because England in 1485 was moving into a
period of unprecedented economic growth and social change.
Economy and society
By 1485 the kingdom had begun to recover from the
demographic catastrophe of the Black Death and the agricultural
depression of the late 14th century. As the 15th century came to
a close, the rate of population growth began to increase and
continued to rise throughout the following century. The
population, which in 1400 may have dropped as low as 2.5
million, had by 1600 grown to about 4 million. More people meant
more mouths to feed, more backs to cover, and more vanity to
satisfy. In response, yeoman farmers, gentleman sheep growers,
urban cloth manufacturers, and merchant adventurers produced a
social and economic revolution. With extraordinary speed, the
export of raw wool gave way to the export of woolen cloth
manufactured at home, and the wool clothier or entrepreneur was
soon buying fleece from sheep raisers, transporting the wool to
cottagers for spinning and weaving, paying the farmer’s wife and
children by the piece, and collecting the finished article for
shipment to Bristol, London, and eventually Europe. By the time
Henry VII seized the throne, the Merchant Adventurers, an
association of London cloth exporters, were controlling the
London-Antwerp market. By 1496 they were a chartered
organization with a legal monopoly of the woolen cloth trade,
and, largely as a consequence of their political and
international importance, Henry successfully negotiated the
Intercursus Magnus, a highly favourable commercial treaty
between England and the Low Countries.
As landlords increased the size of their flocks to the point
that ruminants outnumbered human beings 3 to 1 and as clothiers
grew rich on the wool trade, inflation injected new life into
the economy. England was caught up in a vast European spiral of
rising prices, declining real wages, and cheap money. Between
1500 and 1540, prices in England doubled, and they doubled again
in the next generation. In 1450 the cost of wheat was what it
had been in 1300; by 1550 it had tripled. Contemporaries blamed
inflation on human greed and only slowly began to perceive that
rising prices were the result of inflationary pressures brought
on by the increase in population, international war, and the
flood of gold and silver arriving from the New World.
Inflation and the wool trade together created an economic and
social upheaval. A surfeit of land, a labour shortage, low
rents, and high wages, which had prevailed throughout the early
15th century as a consequence of economic depression and reduced
population, were replaced by a land shortage, a labour surplus,
high rents, and declining wages. The landlord, who a century
before could find neither tenants nor labourers for his land and
had left his fields fallow, could now convert his meadows into
sheep runs. His rents and profits soared; his need for labour
declined, for one shepherd and his dog could do the work of half
a dozen men who had previously tilled the same field. Slowly the
medieval system of land tenure and communal farming broke down.
The common land of the manor was divided up and fenced in, and
the peasant farmer who held his tenure either by copy (a
document recorded in the manor court) or by unwritten custom was
evicted.
The total extent of enclosure and eviction is difficult to
assess, but, between 1455 and 1607, in 34 counties more than
500,000 acres (200,000 hectares), or about 2.75 percent of the
total, were enclosed, and some 50,000 persons were forced off
the land. Statistics, however, are deceptive regarding both the
emotional impact and the extent of change. The most disturbing
aspect of the land revolution was not the emergence of a vagrant
and unemployable labour force for whom society felt no social
responsibility but an unprecedented increase in what men feared
most—change. Farming techniques were transformed, the gap
between rich and poor increased, the timeless quality of village
life was upset, and, on all levels of society, old families were
being replaced by new.
The beneficiaries of change, as always, were the most
grasping, the most ruthless, and the best educated segments of
the population: the landed country gentlemen and their socially
inferior cousins, the merchants and lawyers. By 1500 the
essential economic basis for the landed country gentleman’s
future political and social ascendancy was being formed: the
15th-century knight of the shire was changing from a desperate
and irresponsible land proprietor, ready to support the baronial
feuding of the Wars of the Roses, into a respectable landowner
desiring strong, practical government and the rule of law. The
gentry did not care whether Henry VII’s royal pedigree could
bear close inspection; their own lineage was not above
suspicion, and they were willing to serve the prince “in
parliament, in council, in commission and other offices of the
commonwealth.”
Dynastic threats
It is no longer fashionable to call Henry VII a “new
monarch,” and, indeed, if the first Tudor had a model for
reconstructing the monarchy, it was the example of the great
medieval kings. Newness, however, should not be totally denied
Henry Tudor; his royal blood was very “new,” and the
extraordinary efficiency of his regime introduced a spirit into
government that had rarely been present in the medieval past. It
was, in fact, “newness” that governed the early policy of the
reign, for the Tudor dynasty had to be secured and all those
with a better or older claim to the throne liquidated. Elizabeth
of York was deftly handled by marriage; the sons of Edward IV
had already been removed from the list, presumably murdered by
their uncle Richard III; and Richard’s nephew Edward
Plantagenet, the young earl of Warwick, was promptly imprisoned.
But the descendants of Edward IV’s sister and daughters remained
a threat to the new government. Equally dangerous was the
persistent myth that the younger of the two princes murdered in
the Tower of London had escaped his assassin and that the earl
of Warwick had escaped his jailers.
The existence of pretenders acted as a catalyst for further
baronial discontent and Yorkist aspirations, and in 1487 John de
la Pole, a nephew of Edward IV by his sister Elizabeth, with the
support of 2,000 mercenary troops paid for with Burgundian gold,
landed in England to support the pretensions of Lambert Simnel,
who passed himself off as the authentic earl of Warwick. Again
Henry Tudor was triumphant in war; at the Battle of Stoke, de la
Pole was killed and Simnel captured and demoted to a scullery
boy in the royal kitchen. Ten years later Henry had to do it all
over again, this time with a handsome Flemish lad named Perkin
Warbeck, who for six years was accepted in Yorkist circles in
Europe as the real Richard IV, brother of the murdered Edward V.
Warbeck tried to take advantage of Cornish anger against heavy
royal taxation and increased government efficiency and sought to
lead a Cornish army of social malcontents against the Tudor
throne. It was a measure of the new vigour and popularity of the
Tudor monarchy, as well as the support of the gentry, that
social revolution and further dynastic war were total failures,
and Warbeck found himself in the Tower along with the earl of
Warwick. In the end both men proved too dangerous to live, even
in captivity, and in 1499 they were executed.
The policy of dynastic extermination did not cease with the
new century. Under Henry VIII, the duke of Buckingham (who was
descended from the youngest son of Edward III) was killed in
1521; the earl of Warwick’s sister, the countess of Salisbury,
was beheaded in 1541 and her descendants harried out of the
land; and in January 1547 the poet Henry Howard, earl of Surrey,
the grandson of Buckingham, was put to death. By the end of
Henry VIII’s reign, the job had been so well done that the curse
of Edward III’s fecundity had been replaced by the opposite
problem: the Tudor line proved to be infertile when it came to
producing healthy male heirs. Henry VII sired Arthur, who died
in 1502, and Henry VIII in turn produced only one legitimate
son, Edward VI, who died at the age of 16, thereby ending the
direct male descent.
Financial policy
It was not enough for Henry VII to secure his dynasty; he
also had to reestablish the financial credit of his crown and
reassert the authority of royal law. Medieval kings had
traditionally lived off four sources of nonparliamentary income:
rents from the royal estates, revenues from import and export
taxes, fees from the administration of justice, and feudal
moneys extracted on the basis of a vassal’s duty to his
overlord. The first Tudor was no different from his Yorkist or
medieval predecessors; he was simply more ruthless and
successful in demanding every penny that was owed him. Henry’s
first move was to confiscate all the estates of Yorkist
adherents and to restore all property over which the crown had
lost control since 1455 (in some cases as far back as 1377). To
these essentially statutory steps he added efficiency of rent
collection. In 1485 income from crown lands had totalled
£29,000; by 1509 annual land revenues had risen to £42,000, and
the profits from the duchy of Lancaster had jumped from £650 to
£6,500. At the same time, the Tudors profited from the growing
economic prosperity of the realm, and annual customs receipts
rose from more than £20,000 to an average of £40,000 by the time
Henry died.
The increase in customs and land revenues was applauded, for
it meant fewer parliamentary subsidies and fit the medieval
formula that kings should live on their own, not parliamentary,
income. But the collection of revenues from feudal and
prerogative sources and from the administration of justice
caused great discontent and earned Henry his reputation as a
miser and extortionist. Generally, Henry demanded no more than
his due as the highest feudal overlord, and, a year after he
became sovereign, he established a commission to look into land
tenure to discover who held property by knight’s fee—that is, by
obligation to perform military services. Occasionally he
overstepped the bounds of feudal decency and abused his rights.
In 1504, for instance, he levied a feudal aid (tax) to pay for
the knighting of his son—who had been knighted 15 years before
and had been dead for two. Henry VIII continued his father’s
policy of fiscal feudalism, forcing through Parliament in 1536
the Statute of Uses—to prevent any landowner from escaping
“relief” and wardship (feudal inheritance taxes) by settling the
ownership of his lands in a trustee for the sole benefit (“use”)
of himself—and establishing the Court of Wards and Liveries in
1540 to handle the profits of feudal wardship. The howl of
protest was so great that in 1540 Henry VIII had to compromise,
and by the Statute of Wills a subject who held his property by
knight’s fee was permitted to bequeath two-thirds of his land
without feudal obligation.
To fiscal feudalism Henry VII added rigorous administration
of justice. As law became more effective, it also became more
profitable, and the policy of levying heavy fines as punishment
upon those who dared break the king’s peace proved to be a
useful whip over the mighty magnate and a welcome addition to
the king’s exchequer. Even war and diplomacy were sources of
revenue; one of the major reasons Henry VII wanted his second
son, Henry, to marry his brother’s widow was that the king was
reluctant to return the dowry of 200,000 crowns that Ferdinand
and Isabella of Spain had given for the marriage of their
daughter Catherine of Aragon. Generally, Henry believed in a
good-neighbour policy—apparent in his alliance with Spain by the
marriage of Arthur and Catherine in 1501 and peace with Scotland
by the marriage of his daughter Margaret to James IV in 1503—on
the grounds that peace was cheap and trade profitable. In 1489,
however, he was faced with the threat of the union of the duchy
of Brittany with the French crown; and England, Spain, the
empire, and Burgundy went to war to stop it. Nevertheless, as
soon as it became clear that nothing could prevent France from
absorbing the duchy, Henry negotiated the unheroic but
financially rewarding Treaty of Étaples in 1492, whereby he
disclaimed all historic rights to French territory (except
Calais) in return for an indemnity of £159,000. By fair means or
foul, when the first Tudor died, his total nonparliamentary
annual income had risen at least twofold and stood in the
neighbourhood of £113,000 (some estimates put it as high as
£142,000). From land alone the king received £42,000, while the
greatest landlord in the realm had to make do with less than
£5,000; economically speaking, there were no longer any
overmighty magnates.
The administration of justice
Money could buy power, but respect could only be won by
law enforcement. The problem for Henry VII was not to replace an
old system of government with a new one—no Tudor was consciously
a revolutionary—but to make the ancient system work tolerably
well. He had to tame but not destroy the nobility, develop
organs of administration directly under his control, and wipe
out provincialism and privilege wherever they appeared. In the
task of curbing the old nobility, the king was immeasurably
helped by the high aristocratic death rate during the Wars of
the Roses; but where war left off, policy took over. Commissions
of Array composed of local notables were appointed by the crown
for each county in order to make use of the power of the
aristocracy in raising troops but to prevent them from
maintaining private armies (livery) with which to intimidate
justice (maintenance) or threaten the throne.
Previous monarchs had sought to enforce the laws against
livery and maintenance, but the first two Tudors, though they
never totally abolished such evils, built up a reasonably
efficient machine for enforcing the law, based on the historic
premise that the king in the midst of his council was the
fountain of justice. Traditionally, the royal council had heard
all sorts of cases, and its members rapidly began to specialize.
The Court of Chancery had for years dealt with civil offenses,
and the Court of Star Chamber evolved to handle alleged
corruption of justice (intimidation of witnesses and jurors,
bribing of judges, etc.), the Court of Requests poor men’s
suits, and the High Court of Admiralty piracy. The process by
which the conciliar courts developed was largely accidental, and
the Court of Star Chamber acquired its name from the
star-painted ceiling of the room in which the councillors sat,
not from the statute of 1487 that recognized its existence.
Conciliar justice was popular because the ordinary courts where
common law prevailed were slow, cumbersome, and more costly;
favoured the rich and mighty; and tended to break down when
asked to deal with riot, maintenance, livery, perjury, and
fraud. The same search for efficiency applied to matters of
finance. The traditional fiscal agency of the crown, the
exchequer, was burdened with archaic procedures and
restrictions, and Henry VII turned to the more intimate and
flexible departments of his personal household—specifically to
the treasurer of the chamber, whom he could supervise
directly—as the central tax-raising, rent-collecting, and
money-disbursing segment of government.
The Tudors sought to enforce law in every corner of their
kingdom, and step by step the blurred medieval profile of a
realm shattered by semiautonomous franchises, in which local law
and custom were obeyed more than the king’s law, was transformed
into the clear outline of a single state filled with loyal
subjects obeying the king’s decrees. By 1500 royal government
had been extended into the northern counties and Wales by the
creation of the Council of the North and the Council for the
Welsh Marches. The Welsh principalities had always been
difficult to control, and it was not until 1536 that Henry VIII
brought royal law directly into Wales and incorporated the 136
self-governing lordships into a greater England with five new
shires.
If the term new monarchy was inappropriate in 1485, the same
cannot be said for the year of Henry VII’s death, for when he
died in 1509, after 24 years of reign, he bequeathed to his son
something quite new in English history: a safe throne, a solvent
government, a prosperous land, and a reasonably united kingdom.
Only one vital aspect of the past remained untouched, the
semi-independent Roman Catholic Church, and it was left to the
second Tudor to challenge its authority and plunder its wealth.
Henry VIII (1509–47)
Cardinal Wolsey
An 18-year-old prince inherited his father’s throne, but
the son of an Ipswich butcher carried on the first Tudor’s
administrative policies. While the young sovereign enjoyed his
inheritance, Thomas Wolsey collected titles—archbishop of York
in 1514, lord chancellor and cardinal legate in 1515, and papal
legate for life in 1524. He exercised a degree of power never
before wielded by king or minister, for, as lord chancellor and
cardinal legate, he united in his portly person the authority of
church and state. He sought to tame both the lords temporal and
the lords spiritual—administering to the nobility the “new law
of the Star Chamber,” protecting the rights of the
underprivileged in the poor men’s Court of Requests, and
teaching the abbots and bishops that they were subjects as well
as ecclesiastical princes. Long before Henry assumed full power
over his subjects’ souls as well as their bodies, his servant
had marked the way. The cardinal’s administration, however, was
stronger on promise than on performance, and, for all his fine
qualities and many talents, he exposed himself to the accusation
that he prostituted policy for pecuniary gain and personal
pride.
Together, the king and cardinal plunged the kingdom into
international politics and war and helped to make England one of
the centres of Renaissance learning and brilliance. But the
sovereign and his chief servant overestimated England’s
international position in the Continental struggle between
Francis I of France and the Holy Roman emperor Charles V.
Militarily, the kingdom was of the same magnitude as the
papacy—the English king had about the same revenues and could
field an army about the same size—and, as one contemporary
noted, England, with its back door constantly exposed to
Scotland and its economy dependent upon the Flanders wool trade,
was a mere “morsel among those choppers” of Europe.
Nevertheless, Wolsey’s diplomacy was based on the expectation
that England could swing the balance of power either to France
or to the empire and, by holding that position, could maintain
the peace of Europe. The hollowness of the cardinal’s policy was
revealed in 1525 when Charles disastrously defeated and captured
Francis at the Battle of Pavia. Italy was overrun with the
emperor’s troops, the pope became an imperial chaplain, all of
Europe bowed before the conqueror, and England sank from being
the fulcrum of Continental diplomacy to the level of a
second-rate power just at the moment when Henry had decided to
rid himself of his wife, the 42-year-old Catherine of Aragon.
The king’s “Great Matter”
It is still a subject of debate whether Henry’s decision
to seek an annulment of his marriage and wed Anne Boleyn was a
matter of state, of love, or of conscience; quite possibly all
three operated. Catherine was fat, seven years her husband’s
senior, and incapable of bearing further children. Anne was
everything that the queen was not—pretty, vivacious, and
fruitful. Catherine had produced only one child that lived past
infancy, a girl, Princess Mary (later Mary I); it seemed ironic
indeed that the first Tudor should have solved the question of
the succession only to expose the kingdom to what was perceived
as an even greater peril in the second generation: a female
ruler. The need for a male heir was paramount, for the last
queen of England, Matilda, in the 12th century, had been a
disaster, and there was no reason to believe that another would
be any better. Finally, there was the question of the king’s
conscience. Henry had married his brother’s widow, and, though
the pope had granted a dispensation, the fact of the matter
remained that every male child born to Henry and Catherine had
died, proof of what was clearly written in the Bible: “If a man
takes his brother’s wife, it is impurity; he has uncovered his
brother’s nakedness; they shall be childless” (Leviticus 20:21).
Unfortunately, Henry’s annulment was not destined to stand or
fall upon the theological issue of whether a papal dispensation
could set aside such a prohibition, for Catherine was not simply
the king’s wife; she was also the aunt of the emperor Charles V,
the most powerful sovereign in Europe. Both Henry and his
cardinal knew that the annulment would never be granted unless
the emperor’s power in Italy could be overthrown by an
Anglo-French military alliance and the pope rescued from
imperial domination, and for three years Wolsey worked
desperately to achieve this diplomatic and military end. Caught
between an all-powerful emperor and a truculent English king,
Pope Clement VII procrastinated and offered all sorts of
doubtful solutions short of annulment, including the marriage of
Princess Mary and the king’s illegitimate son, Henry Fitzroy,
duke of Richmond; the legitimizing of all children begotten of
Anne Boleyn; and the transfer of Catherine into a nunnery so
that the king could be given permission to remarry. Wolsey’s
purpose was to have the marriage annulled and the trial held in
London. But in 1529, despite the arrival of Lorenzo Cardinal
Campeggio to set up the machinery for a hearing, Wolsey’s plans
exploded. In July the pope ordered Campeggio to move the case to
Rome, where a decision against the king was a foregone
conclusion, and in August Francis and the emperor made peace at
the Treaty of Cambrai. Wolsey’s policies were a failure, and he
was dismissed from office in October 1529. He died on November
29, just in time to escape trial for treason.
The Reformation background
Henry now began groping for new means to achieve his
purpose. At first he contemplated little more than blackmail to
frighten the pope into submission. But slowly, reluctantly, and
not realizing the full consequences of his actions, he moved
step by step to open defiance and a total break with Rome.
Wolsey, in his person and his policies, had represented the
past. He was the last of the great ecclesiastical statesmen who
had been as much at home in the cosmopolitan world of European
Christendom, with its spiritual centre in Rome, as in a
provincial capital such as London. By the time of Henry’s
matrimonial crisis, Christendom was dissolving. Not only were
late medieval kingdoms assuming the character of independent
nation-states, but the spiritual unity of Christ’s seamless
cloak was also being torn apart by heresy. Henry possibly would
never have won his annulment had there not existed in England
men who desired a break with Rome, not because it was
dynastically expedient but because they regarded the pope as the
“whore of Babylon.”
The religious life of the people was especially vibrant in
the early decades of the 16th century, and, although there were
numerous vociferous critics of clerical standards and behaviour,
the institutional church was generally in good heart. Only
during the extraordinary period in the 12th and 13th centuries,
when money was being poured into the creation of parishes and
the building of several thousand parish churches and 19 great
cathedrals, was more spent on religion than in the decades
between the arrival of the Tudors and the Reformation. And now
it was not just great landowners but the people in general who
poured money into their churches. Perhaps one in three parish
churches underwent major refurbishments in this period. Hundreds
of elaborate chantry chapels and altars were erected, money
invested in parish guilds doubled (for the benefit of the living
in the form of pensions and doles and for the benefit of the
dead in the form of masses), and the number of those seeking
ordination reached a new peak. In Bedfordshire at least
charitable giving was highly selective; some religious orders
were much more favoured than others. There is also some evidence
that the monastic life and the endowment of monasteries were
slowing down, but in essence the church was successfully meeting
the spiritual needs of huge numbers of people.
Precisely because of the religiosity of the people, there was
a growing volume of complaint about clerical absenteeism and
pluralism in general and about the unavailability of the bishops
in particular. Many prelates served as the top civil servants of
the crown rather than as shepherds of Christ’s flock. And as
inflation began to take off, so did attempts by clerics to
maximize their incomes by a rather ruthless determination to
collect everything to which they were entitled—such as the “best
beasts” demanded as mortuary fees from grieving and impoverished
parents of dead children. Spasmodic persecution had failed to
eradicate the Lollard legacy of John Wycliffe in substantial
pockets of southern England, and the infiltration of Lutheran
books and of printed Bibles opened the eyes of some among the
learned and among those who traded with the Baltic states and
the Low Countries to the possibility of alternative ways of
encountering God. The powerful force of the “Word” took hold of
some and made the mumbling of prayers, the billowing of incense,
and the selling of indulgences to rescue souls from the due
penalty of their sins seem the stuff of idolatry and not of true
worship. But in 1532, when Henry VIII began to contemplate a
schism from Rome, embracing Protestantism was the last thing on
his mind, and very few of his subjects would have wished him to
do so.
The break with Rome
With Wolsey and his papal authority gone, Henry turned to
the authority of the state to obtain his annulment. The
so-called Reformation Parliament that first met in November 1529
was unprecedented; it lasted seven years, enacted 137 statutes
(32 of which were of vital importance), and legislated in areas
that no medieval Parliament had ever dreamed of entering. “King
in Parliament” became the revolutionary instrument by which the
medieval church was destroyed.
The first step was to intimidate the church, and in 1531 the
representatives of the clergy who were gathered in Convocation
were forced under threat of praemunire (a statute prohibiting
the operation of the legal and financial jurisdiction of the
pope without royal consent) to grant Henry a gift of £119,000
and to acknowledge him supreme head of the church “as far as the
law of Christ allows.” Then the government struck at the papacy,
threatening to cut off its revenues; the Annates Statute of 1532
empowered Henry, if he saw fit, to abolish payment to Rome of
the first year’s income of all newly installed bishops. The
implied threat had little effect on the pope, and time was
running out, for by December 1532 Anne Boleyn was pregnant, and
on Jan. 25, 1533, she was secretly married to Henry. If the king
was to be saved from bigamy and if his child was to be born in
holy wedlock, he had less than eight months to get rid of
Catherine of Aragon. Archbishop William Warham had conveniently
died in August 1532, and in March 1533 a demoralized and
frightened pontiff sanctioned the installation of Thomas Cranmer
as primate of the English church.
Cranmer was a friend of the annulment, but, before he could
oblige his sovereign, the queen’s right of appeal from the
archbishop’s court to Rome had to be destroyed; this could be
done only by cutting the constitutional cords holding England to
the papacy. Consequently, in April 1533 the crucial statute was
enacted; the Act of Restraint of Appeals boldly decreed that
“this realm of England is an empire.” A month later an obliging
archbishop heard the case and adjudged the king’s marriage to be
null and void. On June 1 Anne was crowned rightful queen of
England, and three months and a week later, on Sept. 7, 1533,
the royal child was born. To “the great shame and confusion” of
astrologers, it turned out to be Elizabeth Tudor (later
Elizabeth I).
Henry was mortified; he had risked his soul and his crown for
yet another girl. But Anne had proved her fertility, and it was
hoped that a male heir would shortly follow. In the meantime it
was necessary to complete the break with Rome and rebuild the
Church of England. By the Act of Succession of March 1534,
subjects were ordered to accept the king’s marriage to Anne as
“undoubted, true, sincere and perfect.” A second Statute “in
Restraint of Annates” severed most of the financial ties with
Rome, and in November the constitutional revolution was
solemnized in the Act of Supremacy, which announced that Henry
Tudor was and always had been “Supreme Head of the Church of
England”; not even the qualifying phrase “as far as the law of
Christ allows” was retained.
The consolidation of the Reformation
The medieval tenet that church and state were separate
entities with divine law standing higher than human law had been
legislated out of existence; the new English church was in
effect a department of the Tudor state. The destruction of the
Roman Catholic Church led inevitably to the dissolution of the
monasteries. As monastic religious fervour and economic
resources had already begun to dry up, it was easy enough for
the government to build a case that monasteries were centres of
vice and corruption. In the end, however, what destroyed them
was neither apathy nor abuse but the fact that they were
contradictions within a national church, for religious
foundations by definition were international, supranational
organizations that traditionally supported papal authority.
Though the monasteries bowed to the royal supremacy, the
government continued to view them with suspicion, arguing that
they had obeyed only out of fear, and their destruction got
under way early in 1536. In the name of fiscal reform and
efficiency, foundations with endowments of under £200 a year
(nearly 400 of them) were dissolved on the grounds that they
were too small to do their job effectively. By late 1536
confiscation had become state policy, for the Pilgrimage of
Grace, a Roman Catholic-inspired uprising in the north, which
appeared to the government to have received significant support
from monastic clergy, seemed to be clear evidence that all
monasteries were potential nests of traitors. By 1539 the
foundations, both great and small, were gone. Moreover, property
constituting at least 13 percent of the land of England and
Wales was nationalized and incorporated into the crown lands,
thereby almost doubling the government’s normal peacetime,
nonparliamentary income.
Had those estates remained in the possession of the crown,
English history might have been very different, for the kings of
England would have been able to rule without calling upon
Parliament, and the constitutional authority that evolved out of
the crown’s fiscal dependence on Parliament would never have
developed. For better or for worse, Henry and his descendants
had to sell the profits of the Reformation, and by 1603
three-fourths of the monastic loot had passed into the hands of
the landed gentry. The legend of a “golden shower” is false;
monastic property was never given away at bargain prices, nor
was it consciously presented to the kingdom in order to win the
support of the ruling elite. Instead, most—though not all—of the
land was sold at its fair market value to pay for Henry’s wars
and foreign policy. The effect, however, was crucial: the most
powerful elements within Tudor society now had a vested interest
in protecting their property against papal Catholicism.
The marriage to Anne, the break with Rome, and even the
destruction of the monasteries went through with surprisingly
little opposition. It had been foreseen that the royal supremacy
might have to be enacted in blood, and the Act of Supremacy
(March 1534) and the Act of Treason (December 1534) were
designed to root out and liquidate the dissent. The former was a
loyalty test requiring subjects to take an oath swearing to
accept not only the matrimonial results of the break with Rome
but also the principles on which it stood; the latter extended
the meaning of treason to include all those who did “maliciously
wish, will or desire, by words or writing or by craft imagine”
the king’s death or slandered his marriage. Sir Thomas More (who
had succeeded Wolsey as lord chancellor), Bishop John Fisher
(who almost alone among the episcopate had defended Catherine
during her trial), and a handful of monks suffered death for
their refusal to accept the concept of a national church. Even
the Pilgrimage of Grace of 1536–37 was a short-lived eruption.
The uprisings in Lincolnshire in October and in Yorkshire during
the winter were without doubt religiously motivated, but they
were also as much feudal and social rebellions as revolts in
support of Rome. Peasants, landed country gentlemen, and barons
with traditional values united in defense of the monasteries and
the old religion, and for a moment the rebels seemed on the
verge of toppling the Tudor state. The nobility were angered
that they had been excluded from the king’s government by men of
inferior social status, and they resented the encroachment of
bureaucracy into the northern shires. The gentry were concerned
by rising taxes and the peasants by threatened enclosure. But
the three elements had little in common outside religion, and
the uprisings fell apart from within. The rebels were soon
crushed and their leaders—including Robert Aske, a charismatic
Yorkshire country attorney—were brutally executed. The
Reformation came to England piecemeal, which goes far to explain
the government’s success. Had the drift toward Protestantism,
the royal supremacy, and the destruction of the monasteries come
as a single religious revolution, it would have produced a
violent reaction. As it was, the Roman Catholic opposition could
always argue that each step along the way to Reformation would
be the last.
The expansion of the English state
The decade of Reformation led to a transformation in the
operations of Tudor government. Not only were new revenue courts
created to handle all the wealth of the monasteries, but
problems of dynastic and national security required a much more
hands-on royal control of provincial affairs. In and through the
English Parliament, Henry incorporated the principality of Wales
and the marcher lordships (previously independent of the crown’s
direct control) into the English legal and administrative
system. In the process, he not only shired the whole of Wales,
granted seats in the English Parliament to the Welsh shires and
boroughs, and extended the jurisdiction of the common-law courts
and judges to Wales, but he also insisted that legal processes
be conducted in English. The palatinates of the north were
similarly incorporated, and all those grants by which royal
justice was franchised out to private individuals and groups
were revoked. For the first time the king’s writ and the king’s
justice were ubiquitous in England.
In 1541 the Irish Parliament, which represented only the area
around Dublin known as the Pale, passed an act creating the
Kingdom of Ireland and declared it a perpetual appendage of the
English crown. Now, for the first time in 300 years, the king
set out to make good his claim to jurisdiction over the whole
island. English viceroys sought to impose English law, English
inheritance customs, English social norms, and the English
religious settlement upon all the people there. In an attempt to
achieve this in a peaceful and piecemeal way, the Anglo-Irish
lords and the heads of Gaelic clans were invited to surrender
their lands and titles to the crown on the promise of their
regrant on favourable terms. Thus began a century of wheedling
and cajoling, of rebellion and confiscation, of accommodation
and plantation, that was to be a constant drain on the English
Exchequer and a constant source of tragedy for the native people
of Ireland.
Henry VIII did not seek to incorporate Scotland into his
imperium. Though he tried to keep his nephew James V, then king
of Scotland, “on-side” during his feud with Rome and never
forgot that on 23 previous occasions Scottish kings had sworn
feudal obeisance to kings of England, Henry never laid claim to
the Scottish throne.
Henry’s last years
Henry was so securely seated upon his throne that the
French ambassador announced that he was more an idol to be
worshipped than a king to be obeyed. The king successfully
survived four more matrimonial experiments, the enmity of every
major power in Europe, and an international war. On May 19,
1536, Anne Boleyn’s career was terminated by the executioner’s
ax. She had failed in her promise to produce further children to
secure the succession. Her enemies poisoned the king’s mind
against her with accusations of multiple adulteries. The king’s
love turned to hatred, but what sealed the queen’s fate was
probably the death of her rival, Catherine of Aragon, on Jan. 8,
1536. From that moment it was clear that, should Henry again
marry, whoever was his wife, the children she might bear would
be legitimate in the eyes of Roman Catholics and Protestants
alike. How much policy, how much revulsion for Anne, and how
much attraction for Jane Seymour played in the final tragedy is
beyond analysis, but 11 days after Anne’s execution Henry
married Jane. Sixteen months later the future Edward VI was
born. Jane died as a consequence, but Henry finally had what it
had taken a revolution to achieve—a legitimate male heir.
Henry married thrice more, once for reasons of diplomacy,
once for love, and once for peace and quiet. Anne of Cleves, his
fourth wife, was the product of Reformation international
politics. For a time in 1539 it looked as if Charles V and
Francis would come to terms and unite against the schismatic
king of England, and the only allies Henry possessed were the
Lutheran princes of Germany. In something close to panic he was
stampeded into marriage with Anne of Cleves. But the following
year, the moment the diplomatic scene changed, he dropped both
his wife and the man who had engineered the marriage, his
vicar-general in matters spiritual, Thomas Cromwell. Anne was
divorced July 12, Cromwell was executed July 28, and Henry
married Catherine Howard the same day. The second Catherine did
not do as well as her cousin, the first Anne; she lasted only 18
months. Catherine proved to be neither a virgin before her
wedding nor a particularly faithful damsel after her marriage.
With the execution of his fifth wife, Henry turned into a sick
old man, and he took as his last spouse Catherine Parr, who was
as much a nursemaid as a wife. During those final years the
king’s interests turned to international affairs. Henry’s last
wars (1543–46) were fought not to defend his church against
resurgent European Catholicism but to renew much older policies
of military conquest in France and Scotland. Though he enlarged
the English Pale at Calais by seizing the small French port of
Boulogne and though his armies crushed the Scots at the Battles
of Solway Moss (1542) and Pinkie (1547) and ravaged much of
Lowland Scotland during the “Rough Wooing,” the wars had no
lasting diplomatic or international effects except to assure
that the monastic lands would pass into the hands of the gentry.
By the time Henry died (Jan. 28, 1547), medievalism had
nearly vanished. The crown stood at the pinnacle of its power,
able to demand and receive a degree of obedience from both great
and small that no medieval monarch had been able to achieve. The
measure of that authority was threefold: (1) the extent to which
Henry had been able to thrust a very unpopular annulment and
supremacy legislation down the throat of Parliament, (2) his
success in raising unprecedented sums of money through taxation,
and (3) his ability to establish a new church on the ashes of
the old. It is difficult to say whether these feats were the
work of the king or his chief minister, Thomas Cromwell. The
will was probably Henry’s and the parliamentary means his
minister’s, but, whoever was responsible, by 1547 England had
come a long way on the road of Reformation. The crown had
assumed the authority of the papacy without as yet fundamentally
changing the old creed, but the ancient structure was severely
shaken. Throughout England men were arguing that because the
pontiff had been proved false, the entire Roman Catholic creed
was suspect, and the cry went up to “get rid of the poison with
the author.” It was not long before every aspect of Roman
Catholicism was under attack—the miracle of the mass whereby the
bread and wine are transformed into the glorified body and blood
of Christ (see transubstantiation), the doctrine of purgatory,
the efficacy of saints and images, the concept of an ordained
priesthood with the power to mediate grace through the
sacraments, the discipline of priestly celibacy, and so on. The
time had come for Parliament and the supreme head to decide what
constituted the “true” faith for Englishmen.
Henry never worked out a consistent religious policy: the Ten
Articles of 1536 and the Bishop’s Book of the following year
tended to be somewhat Lutheran in tone; the Six Articles of
1539, or the Act for Abolishing Diversity of Opinion, and the
King’s Book of 1543 were mildly Roman Catholic. Whatever the
religious colouring, Henry’s ecclesiastical via media was based
on obedience to an authoritarian old king and on subjects who
were expected to live “soberly, justly and devoutly.”
Unfortunately for the religious, social, and political peace of
the kingdom, both these conditions disappeared the moment Henry
died and a nine-year-old boy sat upon the throne.
Edward VI (1547–53)
Henry was succeeded by his nine-year-old son, Edward VI,
but real power passed to his brother-in-law, Edward Seymour,
earl of Hertford, who became duke of Somerset and lord protector
shortly after the new reign began. Somerset ruled in loco
parentis; the divinity of the crown resided in the boy king, but
authority was exercised by an uncle who proved himself to be
more merciful than tactful and more idealistic than practical.
Sweet reason and tolerance were substituted for the old king’s
brutal laws. The treason and heresy acts were repealed or
modified, and the result came close to destroying the Tudor
state. The moment idle tongues could speak with impunity, the
kingdom broke into a chorus of religious and social discord.
To stem religious dissent, the lord protector introduced The
Book of Common Prayer in 1549 and an act of uniformity to
enforce it. Written primarily by Thomas Cranmer, the first
prayer book of Edward VI was a literary masterpiece but a
political flop, for it failed in its purpose. It sought to bring
into a single Protestant fold all varieties of
middle-of-the-road religious beliefs by deliberately obscuring
the central issue of the exact nature of the mass—whether it was
a miraculous sacrament or a commemorative service. The Book of
Common Prayer succeeded only in antagonizing Protestants and
Roman Catholics alike.
Somerset is best remembered for these religious reforms, but
their effectiveness was much blunted by their association with
greed. Henry VIII had plundered and dissolved the monasteries
and had mounted a half-successful campaign to accuse the
monastic communities of corruption, licentiousness, and putting
obedience to a foreign power above their obedience to him.
Somerset extended the state’s plunder to the parish churches and
to the gold and silver piously and generously given by thousands
of layfolk for the adornment of the parish churches. Their
descendants watched the desecration with sullen anger. The
rhetoric of cleansing parish churches of idolatrous and
sacrilegious images sounded hollow as wagonloads of gold and
silver objects headed toward the smelter’s shop in the lord
protector’s backyard.
All this in turn was linked to what has been called
Somerset’s idée fixe, the permanent solution to the problem of
the Anglo-Scottish frontier. Every time Henry VIII had tried to
assert his claims to French territories, kings of Scotland had
taken the opportunity to invade England. On each occasion—and
especially in 1513 and 1542—the Scottish armies had been
humiliated and a high proportion of the nobility killed or
captured (James IV had been killed at the Battle of Flodden,
and, when James V heard of the massacre of his nobility and men
at Solway Moss, “he turned his face to the wall and died”). In
1543 the captured nobles agreed to a marriage treaty that was
intended to see the marriage of Henry’s son and heir, Edward VI,
to the infant Mary (Mary, Queen of Scots), with the aim of
uniting the thrones of England and Scotland. But the Scots broke
their promise and shipped Mary off to France with the intention
of marrying her to the heir of the French throne. Foreseeing the
permanent annexation of Scotland to France in the same way that
the Netherlands had been annexed to Spain, Somerset determined
to conquer the Scottish Lowlands and to establish permanent
castles and strongholds as a buffer between the kingdoms. It
cost him most of the country’s remaining treasure and much of
his popularity, and the whole policy proved a failure.
Somerset was no more successful in solving the economic and
social difficulties of the reign. Rising prices, debasement of
the currency, and the cost of war had produced an inflationary
crisis in which prices doubled between 1547 and 1549. A false
prosperity ensued in which the wool trade boomed, but so also
did enclosures with all their explosive potential. The result
was social revolution. Whether Somerset deserved his title of
“the good duke” is a matter of opinion. Certainly, the peasants
thought that he favoured the element in the House of Commons
that was anxious to tax sheep raisers and to curb enclosures and
that section of the clergy that was lashing out at economic
inequality. In the summer of 1549, the peasantry in Cornwall and
Devonshire revolted against the Prayer Book in the name of the
good old religious days under Henry VIII, and, almost
simultaneously, the humble folk in Norfolk rose up against the
economic and social injustices of the century. At the same time
that domestic rebellion was stirring, the protector had to face
a political and international crisis, and he proved himself to
be neither a farsighted statesman nor a shrewd politician. He
embroiled the country in a war with Scotland that soon involved
France and ended in an inconclusive defeat, and he earned the
enmity and disrespect of the members of his own council. In the
eyes of the ruling elite, Somerset was responsible for
governmental ineptitude and social and religious revolution. The
result was inevitable: a palace revolution ensued in October
1549, in which he was arrested and deprived of office, and two
and a half years later he was executed on trumped-up charges of
treason.
The protector’s successor and the man largely responsible for
his fall was John Dudley, earl of Warwick, who became duke of
Northumberland. The duke was a man of action who represented
most of the acquisitive aspects of the landed elements in
society and who allied himself with the extreme section of the
Protestant reformers. Under Northumberland, England pulled out
of Scotland and in 1550 returned Boulogne to France; social
order was ruthlessly reestablished in the countryside, the more
conservative of the Henrician bishops were imprisoned, the
wealth of the parish churches was systematically looted, and
uncompromising Protestantism was officially sanctioned. The
Ordinal of 1550 transformed the divinely ordained priest into a
preacher and teacher, The Second Prayer Book of Edward VI (1552)
was avowedly Protestant, altars were turned into tables,
clerical vestments gave way to plain surplices, and religious
orthodoxy was enforced by a new and more stringent Act of
Uniformity.
How long a kingdom still attached to the outward trappings of
Roman Catholicism would have tolerated doctrinal radicalism and
the plundering of chantry lands and episcopal revenues under
Somerset and Northumberland is difficult to say, but in 1553 the
ground upon which Northumberland had built his power crumbled:
Edward was dying of consumption. To save the kingdom from Roman
Catholicism and himself from Roman Catholic Mary, who was
Edward’s successor under the terms of a statute of Henry VIII as
well as that king’s will, Northumberland—with the support,
perhaps even the encouragement, of the dying king—tried his hand
at kingmaking. Together they devised a new order of succession
in which Mary and Elizabeth were declared illegitimate and the
crown passed to Lady Jane Grey, the granddaughter of Henry
VIII’s sister (Mary, duchess of Suffolk) and, incidentally,
Northumberland’s daughter-in-law. The gamble failed, for when
Edward died on July 6, 1553, the kingdom rallied to the daughter
of Catherine of Aragon. Whatever their religious inclinations,
Englishmen preferred a Tudor on the throne. In nine days the
interlude was over, and Northumberland and his daughter-in-law
were in the Tower of London.
Mary I (1553–58)
Roman Catholicism was not a lost cause when Mary came to
the throne. If she had lived as long as her sister Elizabeth was
to live (the womb cancer from which Mary died in 1558 not only
brought her Catholic restoration to an end but rendered her
childless and heirless), England would probably have been an
irrevocably Catholic country. Mary was indeed determined to
restore Catholicism, but she was also determined to act in
accordance with the law. She worked with and through successive
Parliaments to reverse all the statutes that excluded papal
jurisdiction from England and to revoke her half-brother’s
doctrinal and liturgical reforms; however, she persuaded Rome to
allow her to confirm the dissolution of the monasteries and the
secularization of church properties. New monasteries were to be
created, but the vast wealth of the dissolved ones remained in
lay hands. She also gave the married Protestant clergy a
straight choice: to remain with their wives and surrender their
livings or to surrender their wives and resume their priestly
ministry. Her resolute Catholicism was laced with realism. With
her principal adviser, Reginald Cardinal Pole, she planned for a
long-term improvement in the education and training of the
clergy and the sumptuous refurbishment of parish churches. She
took her inspiration from the Erasmian humanist reforms long
championed by Pole in his Italian exile. But this liberal
Catholicism was in the process of being repudiated by the
Council of Trent, with its uncompromising policies. Pole was
recalled to Rome by a hard-line pope and accused of heresy for
his previous attempts to achieve an accommodation with
Protestantism. Mary’s plans were torpedoed as much by the
internal struggle for control of the Roman church as by the
strength of Protestant opposition in England. Most potential
leaders of a resistance movement had been encouraged by Mary to
emigrate and had done so, but there were scores of underground
Protestant cells during her reign. In thousands of parish
churches, the restored liturgy and worship were welcomed.
Mary’s decision to marry Prince Philip of Spain (later Philip
II), her Habsburg cousin and the son of Charles V, the man who
had defended her mother’s marital rights, proved to be unwise.
Given her age—she was 32 when she came to the throne—a quick
marriage was essential to childbearing, but this one proved to
be a failure. Her marriage was without love or children, and, by
associating Roman Catholicism in the popular mind with Spanish
arrogance, it triggered a rebellion that almost overthrew the
Tudor throne. In January 1554, under the leadership of Sir
Thomas Wyatt the Younger, the peasants of Kent rose up against
the queen’s Roman Catholic and Spanish policies, and 3,000 men
marched on London. The rebellion was crushed, but it revealed to
Mary and her chief minister, Cardinal Pole, that the kingdom was
filled with disloyal hearts who placed Protestantism and
nationalism higher than their obedience to the throne.
The tragedy of Mary’s reign was the belief not only that the
old church of her mother’s day could be restored but also that
it could be best served by fire and blood. At least 282 men and
women were martyred in the Smithfield Fires during the last
three years of her reign; compared with events on the Continent,
the numbers were not large, but the emotional impact was great.
Among the first half-dozen martyrs were the Protestant leaders
Cranmer, Nicholas Ridley, Hugh Latimer, and John Hooper, who
were burned to strike terror into the hearts of lesser men.
Their deaths, however, had the opposite effect; their bravery
encouraged others to withstand the flames, and the Smithfield
Fires continued to burn because nobody could think of what to do
with heretics except put them to death. The law required it, the
prisons were overflowing, and the martyrs themselves offered the
government no way out except to enforce the grisly laws.
Mary’s reign was a study in failure. Her husband, who was 10
years her junior, remained in England as short a time as
possible; the war between France and the Habsburg empire, into
which her Spanish marriage had dragged the kingdom, was a
disaster and resulted in the loss of England’s last Continental
outpost, Calais; her subjects came to call her “Bloody Mary” and
greeted the news of her death and the succession of her sister,
Elizabeth, on Nov. 17, 1558, with ringing bells and bonfires.
Elizabeth I (1558–1603)
No one in 1558, any more than in 1485, would have
predicted that—despite the social discord, political
floundering, and international humiliation of the past
decade—the kingdom again stood on the threshold of an
extraordinary reign. To make matters worse, the new monarch was
the wrong sex. Englishmen knew that it was unholy and unnatural
that “a woman should reign and have empire above men.” At age
25, however, Elizabeth I was better prepared than most women to
have empire over men. She had survived the palace revolutions of
her brother’s reign and the Roman Catholicism of her sister’s;
she was the product of a fine Renaissance education, and she had
learned the need for strong secular leadership devoid of
religious bigotry. Moreover, she possessed her father’s
magnetism without his egotism or ruthlessness. She was also her
mother’s daughter, and the offspring of Anne Boleyn had no
choice but to reestablish the royal supremacy and once again
sever the ties with Rome.
Elizabeth’s religious settlement was constructed on the
doctrine of adiaphorism, the belief that, except for a few
fundamentals, there exists in religion a wide area of “things
indifferent” that could be decided by the government on the
basis of expediency. Conservative opposition was blunted by
entitling the queen “supreme governor,” not “head,” of the
church and by combining the words of the 1552 prayer book with
the more conservative liturgical actions of the 1549 prayer
book. At the same time, many of the old papal trappings of the
church were retained. Protestant radicals went along with this
compromise in the expectation that the principle of “things
indifferent” meant that Elizabeth would, when the political dust
had settled, rid her church of the “livery of Antichrist” and
discard its “papal rags.” In this they were badly mistaken, for
the queen was determined to keep her religious settlement
exactly as it had been negotiated in 1559. As it turned out,
Roman Catholics proved to be better losers than Protestants: of
the 900 parish clergy, only 189 refused to accept Elizabeth as
supreme governor, but the Protestant radicals—the future
Puritans—were soon at loggerheads with their new sovereign.
The Tudor ideal of government
The religious settlement was part of a larger social
arrangement that was authoritarian to its core. Elizabeth was
determined to be queen in fact as well as in name. She tamed the
House of Commons with tact combined with firmness, and she
carried on a love affair with her kingdom in which womanhood,
instead of being a disadvantage, became her greatest asset. The
men she appointed to help her run and stage-manage the
government were politiques like herself: William Cecil, Baron
Burghley, her principal secretary and in 1572 her lord
treasurer; Matthew Parker, archbishop of Canterbury; and a small
group of other moderate and secular men.
In setting her house in order, the queen followed the
hierarchical assumptions of her day. All creation was presumed
to be a great chain of being, running from the tiniest insect to
the Godhead itself, and the universe was seen as an organic
whole in which each part played a divinely prescribed role. In
politics every element was expected to obey “one head, one
governor, one law” in exactly the same way as all parts of the
human body obeyed the brain. The crown was divine and gave
leadership, but it did not exist alone, nor could it claim a
monopoly of divinity, for all parts of the body politic had been
created by God. The organ that spoke for the entire kingdom was
not the king alone but “king in Parliament,” and, when Elizabeth
sat in the midst of her Lords and Commons, it was said that
“every Englishman is intended to be there present from the
prince to the lowest person in England.” The Tudors needed no
standing army in “the French fashion” because God’s will and the
monarch’s decrees were enshrined in acts of Parliament, and this
was society’s greatest defense against rebellion. The
controlling mind within this mystical union of crown and
Parliament belonged to the queen. The Privy Council, acting as
the spokesman of royalty, planned and initiated all legislation,
and Parliament was expected to turn that legislation into law.
Inside and outside Parliament the goal of Tudor government was
benevolent paternalism in which the strong hand of
authoritarianism was masked by the careful shaping of public
opinion, the artistry of pomp and ceremony, and the deliberate
effort to tie the ruling elite to the crown by catering to the
financial and social aspirations of the landed country
gentleman. Every aspect of government was intimate because it
was small and rested on the support of probably no more than
5,000 key persons. The bureaucracy consisted of a handful of
privy councillors at the top and possibly 500 paid civil
servants at the bottom—the 15 members of the secretariat, the
265 clerks and custom officials of the treasury, a staff of 50
in the judiciary, and approximately 150 more scattered in other
departments. Tudor government was not predominantly
professional. Most of the work was done by unpaid amateurs: the
sheriffs of the shires, the lord lieutenants of the counties,
and, above all, the Tudor maids of all work, the 1,500 or so
justices of the peace. Meanwhile, each of the 180 “corporate”
towns and cities was governed by men chosen locally by a variety
of means laid down in the particular royal charter each had been
granted.
Smallness did not mean lack of government, for the
16th-century state was conceived of as an organic totality in
which the possession of land carried with it duties of
leadership and service to the throne, and the inferior part of
society was obligated to accept the decisions of its elders and
betters. The Tudors were essentially medieval in their economic
and social philosophy. The aim of government was to curb
competition and regulate life so as to attain an ordered and
stable society in which all could share according to status. The
Statute of Apprentices of 1563 embodied this concept, for it
assumed the moral obligation of all men to work, the existence
of divinely ordered social distinctions, and the need for the
state to define and control all occupations in terms of their
utility to society. The same assumption operated in the famous
Elizabethan Poor Law of 1601—the need to ensure a minimum
standard of living to all men and women within an organic and
noncompetitive society (see Poor Law). By 1600 poverty,
unemployment, and vagrancy had become too widespread for the
church to handle, and the state had to take over, instructing
each parish to levy taxes to pay for poor relief and to provide
work for the able-bodied, punishment for the indolent, and
charity for the sick, the aged, and the disabled. The Tudor
social ideal was to achieve a static class structure by
guaranteeing a fixed labour supply, restricting social mobility,
curbing economic freedom, and creating a kingdom in which
subjects could fulfill their ultimate purpose in life—spiritual
salvation, not material well-being.
Elizabethan society
Social reality, at least for the poor and powerless, was
probably a far cry from the ideal, but for a few years
Elizabethan England seemed to possess an extraordinary internal
balance and external dynamism. In part the queen herself was
responsible. She demanded no windows into men’s souls, and she
charmed both great and small with her artistry and tact. In
part, however, the Elizabethan Age was a success because men had
at their disposal new and exciting areas, both of mind and
geography, into which to channel their energies.
A revolution in reading (and to a lesser extent writing) was
taking place. By 1640 a majority of men, and just possibly a
majority of men and women, could read, and there were plenty of
things for them to read. In the year that Henry VIII came to the
throne (1509), the number of works licensed to be published was
38. In the year of Elizabeth’s accession (1558), it was 77; in
the year of her death (1603), it was 328. In the year of Charles
I’s execution (1649), the number had risen to 1,383. And by the
time of the Glorious Revolution (1688–89), it had reached 1,570.
These figures do not include the ever-rising tide of broadsheets
and ballads that were intended to be posted on the walls of inns
and alehouses as well as in other public places. Given that a
large proportion of the illiterate population spent at least
part of their lives in service in homes with literate members
and given that reading in the early modern period was frequently
an aural experience—official documents being read aloud in
market squares and parish churches and all manner of
publications being read aloud to whole households—a very high
proportion of the population had direct or indirect access to
the printed word.
There was very little church building in the century after
the Reformation, but there was an unprecedented growth of school
building, with grammar schools springing up in most boroughs and
in many market towns. By 1600 schools were provided for more
than 10 percent of the adolescent population, who were taught
Latin and given an introduction to Classical civilization and
the foundations of biblical faith. There was also a great
expansion of university education; the number of colleges in
Oxford and Cambridge doubled in the 16th century, and the number
of students went up fourfold to 1,200 by 1640 (see University of
Oxford; University of Cambridge). The aim of Tudor education was
less to teach the “three Rs” (reading, writing, and arithmetic)
than to establish mind control: to drill children “in the
knowledge of their duty toward God, their prince and all
other[s] in their degree.” A knowledge of Latin and a smattering
of Greek became, even more than elegant clothing, the mark of
the social elite. The educated Englishman was no longer a cleric
but a justice of the peace or a member of Parliament, a merchant
or a landed gentleman who for the first time was able to express
his economic, political, and religious dreams and his grievances
in terms of abstract principles that were capable of galvanizing
people into religious and political parties. Without literacy,
the spiritual impact of the Puritans or, later, the formation of
parties based on ideologies that engulfed the kingdom in civil
war would have been impossible. So too would have been the
cultural explosion that produced William Shakespeare,
Christopher Marlowe, Edmund Spenser, Francis Bacon, and John
Donne.
Poets, scholars, and playwrights dreamed and put pen to
paper. Adventurers responded differently; they went
“a-voyaging.” From a kingdom that had once been known for its
“sluggish security,” Englishmen suddenly turned to the sea and
the world that was opening up around them. The first hesitant
steps had been taken under Henry VII when John Cabot in 1497
sailed in search of a northwest route to China and as a
consequence discovered Cape Breton Island. The search for Cathay
became an economic necessity in 1550 when the wool trade
collapsed and merchants had to find new markets for their cloth.
In response, the Muscovy Company was established to trade with
Russia; by 1588, 100 vessels a year were visiting the Baltic.
Martin Frobisher made a series of voyages to northern Canada
during the 1570s in the hope of finding gold and a shortcut to
the Orient; John Hawkins encroached upon Spanish and Portuguese
preserves and in 1562 sailed for Africa in quest of slaves to
sell to West Indian plantation owners; and Sir Francis Drake
circumnavigated the globe (Dec. 13, 1577–Sept. 26, 1580) in
search of the riches not only of the East Indies but also of
Terra Australis, the great southern continent. Suddenly,
Englishmen were on the move: Sir Humphrey Gilbert and his band
of settlers set forth for Newfoundland (1583); Sir Walter
Raleigh organized what became the equally ill-fated “lost
colony” at Roanoke (1587–91); John Davis in his two small ships,
the Moonshine and the Sunshine, reached 72° north (1585–87), the
farthest north any Englishman had ever been; and the honourable
East India Company was founded to organize the silk and spice
trade with the Orient on a permanent basis. The outpouring was
inspired not only by the urge for riches but also by
religion—the desire to labour in the Lord’s vineyard and to
found in the wilderness a new and better nation. As it was said,
Englishmen went forth “to seek new worlds for gold, for praise,
for glory.” Even the dangers of the reign—the precariousness of
Elizabeth’s throne and the struggle with Roman Catholic
Spain—somehow contrived to generate a self-confidence that had
been lacking under “the little Tudors.”
Mary, Queen of Scots
The first decade of Elizabeth’s reign was relatively
quiet, but after 1568 three interrelated matters set the stage
for the crisis of the century: the queen’s refusal to marry, the
various plots to replace her with Mary of Scotland, and the
religious and economic clash with Spain. Elizabeth Tudor’s
virginity was the cause of great international discussion, for
every bachelor prince of Europe hoped to win a throne through
marriage with Gloriana (the queen of the fairies, as she was
sometimes portrayed), and was the source of even greater
domestic concern, for everyone except the queen herself was
convinced that Elizabeth should marry and produce heirs. The
issue was the cause of her first major confrontation with the
House of Commons, which was informed that royal matrimony was
not a subject for commoners to discuss. Elizabeth preferred
maidenhood—it was politically safer and her most useful
diplomatic weapon—but it gave poignancy to the intrigues of her
cousin Mary, Queen of Scots.
Mary had been an unwanted visitor-prisoner in England ever
since 1568, after she had been forced to abdicate her Scottish
throne in favour of her 13-month-old son, James VI (later James
I). She was Henry VIII’s grandniece and, in the eyes of many
Roman Catholics and a number of political malcontents, the
rightful ruler of England, for Mary of Scotland was a Roman
Catholic. As the religious hysteria mounted, there was steady
pressure put on Elizabeth to rid England of this dangerous
threat, but the queen delayed a final decision for almost 19
years. In the end, however, she had little choice. Mary played
into the hands of her religious and political enemies by
involving herself in a series of schemes to unseat her cousin.
One plot helped to trigger the rebellion of the northern earls
in 1569. Another, the Ridolfi plot of 1571 (see Ridolfi,
Roberto), called for an invasion by Spanish troops stationed in
the Netherlands and for the removal of Elizabeth from the throne
and resulted in the execution in 1572 of Thomas Howard, duke of
Norfolk, the ranking peer of the realm. Yet another, the
Babington plot of 1586, led by Anthony Babington, allowed the
queen’s ministers to pressure her into agreeing to the trial and
execution of Mary for high treason.
The clash with Spain
Mary was executed on Feb. 8, 1587; by then England had
moved from cold war to open war against Spain. Philip II was the
colossus of Europe and leader of resurgent Roman Catholicism.
His kingdom was strong: Spanish troops were the best in Europe,
Spain itself had been carved out of territory held by the
infidel and still retained its Crusading zeal, and the wealth of
the New World poured into the treasury at Madrid. Spanish
preeminence was directly related to the weakness of France,
which, ever since the accidental death of Henry II in 1559, had
been torn by factional strife and civil and religious war. In
response to this diplomatic and military imbalance, English
foreign policy underwent a fundamental change. By the Treaty of
Blois in 1572, England gave up its historic enmity with France,
accepting by implication that Spain was the greater danger. It
is difficult to say at what point a showdown between Elizabeth
and her former brother-in-law became unavoidable—there were so
many areas of disagreement—but the two chief points were the
refusal of English merchants-cum-buccaneers to recognize
Philip’s claims to a monopoly of trade wherever the Spanish flag
flew throughout the world and the military and financial support
given by the English to Philip’s rebellious and heretical
subjects in the Netherlands.
The most blatant act of English poaching in Spanish imperial
waters was Drake’s circumnavigation of the Earth, during which
Spanish shipping was looted, Spanish claims to California
ignored, and Spanish world dominion proved to be a paper empire.
But the encounter that really poisoned Anglo-Iberian relations
was the Battle of San Juan de Ulúa in September 1568, where a
small fleet captained by Hawkins and Drake was ambushed and
almost annihilated through Spanish perfidy. Only Hawkins in the
Minion and Drake in the Judith escaped. The English cried foul
treachery, but the Spanish dismissed the action as sensible
tactics when dealing with pirates. Drake and Hawkins never
forgot or forgave, and it was Hawkins who, as treasurer of the
navy, began to build the revolutionary ships that would later
destroy the old-fashioned galleons of the Spanish Armada.
If the English never forgave Philip’s treachery at San Juan
de Ulúa, the Spanish never forgot Elizabeth’s interference in
the Netherlands, where Dutch Protestants were in full revolt. At
first, aid had been limited to money and the harbouring of Dutch
ships in English ports, but, after the assassination of the
Protestant leader, William I, in 1584, the position of the
rebels became so desperate that in August 1585 Elizabeth sent
over an army of 6,000 under the command of Robert Dudley, earl
of Leicester. Reluctantly, Philip decided on war against England
as the only way of exterminating heresy and disciplining his
subjects in the Netherlands. Methodically, he began to build a
fleet of 130 vessels, 31,000 men, and 2,431 cannons to hold
naval supremacy in the English Channel long enough for
Alessandro Farnese, duke of Parma, and his army, stationed at
Dunkirk, to cross over to England.
Nothing Elizabeth could do seemed to be able to stop the
Armada Catholica. She sent Drake to Spain in April 1587 in a
spectacular strike at that portion of the fleet forming at
Cádiz, but it succeeded only in delaying the sailing date. That
delay, however, was important, for Philip’s admiral of the ocean
seas, the veteran Álvaro de Bazán, marqués de Santa Cruz, died,
and the job of sailing the Armada was given to Alonso Pérez de
Guzmán, duque de Medina-Sidonia, who was invariably seasick and
confessed that he knew more about gardening than war. What
ensued was not the new commander’s fault. He did the best he
could in an impossible situation, for Philip’s Armada was
invincible in name only. It was technologically and numerically
outclassed by an English fleet of close to 200. Worse, its
strategic purpose was grounded on a fallacy: that Parma’s troops
could be conveyed to England. The Spanish controlled no
deepwater port in the Netherlands in which the Armada’s great
galleons and Parma’s light troop-carrying barges could
rendezvous. Even the Deity seemed to be more English than
Spanish, and in the end the fleet, buffeted by gales, was dashed
to pieces as it sought to escape home via the northern route
around Scotland and Ireland. Of the 130 ships that had left
Spain, perhaps 85 crept home; 10 were captured, sunk, or driven
aground by English guns, 23 were sacrificed to wind and storm,
and 12 others were “lost, fate unknown.”
Internal discontent
When the Armada was defeated during the first weeks of
August 1588, the crisis of Elizabeth’s reign was reached and
successfully passed. The last years of her reign were an
anticlimax, for the moment the international danger was
surmounted, domestic strife ensued. There were moments of great
heroism and success—as when Robert Devereux, earl of Essex,
Raleigh, and Thomas Howard, earl of Suffolk, made a second
descent on Cádiz in 1596, seized the city, and burned the entire
West Indian treasure fleet—but the war so gloriously begun
deteriorated into a costly campaign in the Netherlands and
France and an endless guerrilla action in Ireland, where Philip
discovered he could do to Elizabeth what she had been doing to
him in the Low Countries. Even on the high seas, the days of
fabulous victories were over, for the king of Spain soon learned
to defend his empire and his treasure fleets. Both Drake and
Hawkins died in 1596 on the same ill-conceived expedition into
Spanish Caribbean waters—symbolic proof that the good old days
of buccaneering were gone forever. At home the cost of almost
two decades of war (£4 million) raised havoc with the queen’s
finances. It forced her to sell her capital (about £800,000, or
roughly one-fourth of all crown lands) and increased her
dependence upon parliamentary sources of income, which rose from
an annual average of £35,000 to over £112,000 a year.
The expedition to the Netherlands was not, however, the most
costly component of the protracted conflict; indeed, the
privateering war against Spain more than paid for itself. The
really costly war of the final years of Elizabeth’s reign was in
Ireland, where a major rebellion in response to the exclusion of
native Catholics from government and to the exploitation of
every opportunity to replace native Catholics with Protestant
English planters tied down thousands of English soldiers. The
rebellion was exacerbated by Spanish intervention and even by a
Spanish invasion force (the element of the Armada that
temporarily succeeded). This Nine Years War (1594–1603) was
eventually won by the English but only with great brutality and
at great expense of men and treasure.
Elizabeth’s financial difficulties were a symptom of a
mounting political crisis that under her successors would
destroy the entire Tudor system of government. The 1590s were
years of depression—bad harvests, soaring prices, peasant
unrest, high taxes, and increasing parliamentary criticism of
the queen’s economic policies and political leadership.
Imperceptibly, the House of Commons was becoming the instrument
through which the will of the landed classes could be heard and
not an obliging organ of royal control. In Tudor political
theory this was a distortion of the proper function of
Parliament, which was meant to beseech and petition, never to
command or initiate. Three things, however, forced theory to
make way for reality. First was the government’s financial
dependence on the Commons, for the organ that paid the royal
piper eventually demanded that it also call the governmental
tune. Second, under the Tudors, Parliament had been summoned so
often and forced to legislate on such crucial matters of church
and state—legitimizing and bastardizing monarchs, breaking with
Rome, proclaiming the supreme headship (governorship under
Elizabeth), establishing the royal succession, and legislating
in areas that no Parliament had ever dared enter before—that the
Commons got into the habit of being consulted. Inevitably, a
different constitutional question emerged: If Parliament is
asked to give authority to the crown, can it also take away that
authority? Finally, there was the growth of a vocal, politically
conscious, and economically dominant gentry; the increase in the
size of the House of Commons reflected the activity and
importance of that class. In Henry VIII’s first Parliament,
there were 74 knights who sat for 37 shires and 224 burgesses
who represented the chartered boroughs and towns of the kingdom.
By the end of Elizabeth’s reign, borough representation had been
increased by 135 seats. The Commons was replacing the Lords in
importance because the social element it represented had become
economically and politically more important than the nobility.
Should the crown’s leadership falter, there existed by the end
of the century an organization that was quite capable of seizing
the political initiative, for as one disgruntled contemporary
noted: “the foot taketh upon him the part of the head and
commons is become a king.” Elizabeth had sense enough to avoid a
showdown with the Commons, and she retreated under parliamentary
attack on the issue of her prerogative rights to grant
monopolies regulating and licensing the economic life of the
kingdom, but on the subject of her religious settlement she
refused to budge.
By the last decade of her reign, Puritanism was on the
increase. During the 1570s and ’80s, “cells” had sprung up to
spread God’s word and rejuvenate the land, and Puritan strength
was centred in exactly that segment of society that had the
economic and social means to control the realm—the gentry and
merchant classes. What set a Puritan off from other Protestants
was the literalness with which he held to his creed, the
discipline with which he watched his soul’s health, the
militancy of his faith, and the sense that he was somehow apart
from the rest of corrupt humanity. This disciplined spiritual
elite clashed with the queen over the purification of the church
and the stamping out of the last vestiges of Roman Catholicism.
The controversy went to the root of society: Was the purpose of
life spiritual or political? Was the role of the church to serve
God or the crown? In 1576 two brothers, Paul and Peter
Wentworth, led the Puritan attack in the Commons, criticizing
the queen for her refusal to allow Parliament to debate
religious issues. The crisis came to a head in 1586, when
Puritans called for legislation to abolish the episcopacy and
the Anglican prayer book. Elizabeth ordered the bills to be
withdrawn, and, when Peter Wentworth raised the issue of freedom
of speech in the Commons, she answered by clapping him in the
Tower of London. There was emerging in England a group of
religious idealists who derived their spiritual authority from a
source that stood higher than the crown and who thereby violated
the concept of the organic society and endangered the very
existence of the Tudor paternalistic monarchy. As early as 1573
the threat had been recognized:
At the beginning it was but a cap, a surplice, and a tippet
[over which Puritans complained]; now, it is grown to bishops,
archbishops, and cathedral churches, to the overthrow of the
established order, and to the Queen’s authority in causes
ecclesiastical.
James I later reduced the problem to one of his usual bons
mots—“no bishop, no king.” Elizabeth’s answer was less catchy
but more effective; she appointed as archbishop John Whitgift,
who was determined to destroy Puritanism as a politically
organized sect. Whitgift was only partially successful, but the
queen was correct: the moment the international crisis was over
and a premium was no longer placed on loyalty, Puritans were
potential security risks.
Puritans were a loyal opposition, a church within the church.
Elizabethan governments never feared that there would or could
be a Puritan insurrection in the way they constantly feared that
there could and would be an insurrection by papists. Perhaps 1
in 5 of the peerage, 1 in 10 of the gentry, and 1 in 50 of the
population were practicing Catholics, many of them also being
occasional conformists in the Anglican church to avoid the
severity of the law. Absence from church made householders
liable to heavy fines; associating with priests made them liable
to incarceration or death. To be a priest in England was itself
treasonous; in the second half of the reign, more than 300
Catholics were tortured to death, even more than the number of
Protestants burned at the stake by Mary. Some priests,
especially Jesuits, did indeed preach political revolution, but
many others preached a dual allegiance—to the queen in all civil
matters and to Rome in matters of the soul. Most laymen were
willing to follow this more moderate advice, but it did not stem
the persecution or alleviate the paranoia of the Elizabethan
establishment.
Catholicism posed a political threat to Elizabethan England.
Witches posed a cultural threat. From early in Elizabeth’s
reign, concern grew that men and (more particularly) women on
the margins of society were casting spells on respectable folk
with whom they were in conflict. Explanations abound.
Accusations seem to have often arisen when someone with wealth
denied a request for personal charity to someone in need, with
the excuse that the state had now taken over responsibility for
institutional relief through the Poor Laws; guilt about this
refusal of charity would give way to blaming the poor person who
had been turned away for any ensuing misfortunes. Sometimes
magisterial encouragement of witchcraft prosecutions was related
to the intellectual search for the causes of natural disasters
that fell short of an explanation more plausible than the
casting of spells. Sometimes there was concern over the
existence of “cunning men and women” with inherited knowledge
based on a cosmology incompatible with the new Protestantism.
This was especially the case when the cunning men and women were
taking over the casting of spells and incantations that had been
the province of the Catholic priest but were not the province of
the Protestant minister. Certainly, the rise in incidence of
witchcraft trials and executions can be taken as evidence of a
society not at peace with itself. As the century ended, there
was a crescendo of social unrest and controlled crowd violence.
There were riots about the enclosure of common land, about the
enforced movement of grain from producing regions to areas of
shortage, about high taxes and low wages, and about the
volatility of trade. The decades on either side of the turn of
the century saw roaring inflation and the first real evidence of
the very young and the very old starving to death in remote
areas and in London itself. Elizabethan England ended in a rich
cultural harvest and real physical misery for people at the two
ends of the social scale, respectively.
The final years of Gloriana’s life were difficult both for
the theory of Tudor kingship and for Elizabeth herself. She
began to lose hold over the imaginations of her subjects, and
she faced the only palace revolution of her reign when her
favourite, the earl of Essex, sought to take her crown. There
was still fight in the old queen, and Essex ended on the
scaffold in 1601, but his angry demand could not be ignored:
What! Cannot princes err? Cannot subjects receive wrong? Is
an earthly power or authority infinite? Pardon me, pardon me, my
good Lord, I can never subscribe to these principles.
When the queen died on March 24, 1603, it was as if the
critics of her style of rule and her concept of government had
been waiting patiently for her to step down. It was almost with
relief that men looked forward to the problems of a new dynasty
and a new century, as well as to a man, not a woman, upon the
throne.
Lacey Baldwin Smith
John S. Morrill
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The early Stuarts and the Commonwealth
England in 1603
Economy and society
At the beginning of the 17th century, England and Wales
contained more than four million people. The population had
nearly doubled over the previous century, and it continued to
grow for another 50 years. The heaviest concentrations of
population were in the southeast and along the coasts.
Population increase created severe social and economic problems,
not the least of which was a long-term price inflation. English
society was predominantly rural, with as much as 85 percent of
its people living on the land. About 800 small market towns of
several hundred inhabitants facilitated local exchange, and, in
contrast to most of western Europe, there were few large urban
areas. Norwich and Bristol were the biggest provincial cities,
with populations of around 15,000. Exeter, York, and Newcastle
were important regional centres, though they each had about
10,000 inhabitants. Only London could be ranked with the great
continental cities. Its growth had outstripped even the doubling
of the general population. By the beginning of the 17th century,
it contained more than a quarter of a million people and by the
end nearly half a million, most of them poor migrants who
flocked to the capital in search of work or charity. London was
the centre of government, of overseas trade and finance, and of
fashion, taste, and culture. It was ruled by a merchant
oligarchy, whose wealth increased tremendously over the course
of the century as international trade expanded.
London not only ruled the English mercantile world, but it
also dominated the rural economy of the southeast by its
insatiable demand for food and clothing. The rural economy was
predominately agricultural, with mixed animal and grain
husbandry practiced wherever the land allowed. The population
increase, however, placed great pressure upon the resources of
local communities, and efforts by landlords and tenants to raise
productivity for either profit or survival were the key feature
of agricultural development. Systematic efforts to grow luxury
market crops like wheat, especially in the environs of London,
drove many smaller tenants from the land. So too did the
practice of enclosure, which allowed for more productive land
use by large holders at the expense of their poorer neighbours.
There is evidence of a rural subsistence crisis lasting
throughout the first two decades of the century. Marginally
productive land came under the plow, rural revolts became more
common, and harvest failures resulted in starvation rather than
hunger, both in London and in the areas remote from the
grain-growing lowlands—such as north Wales and the Lake
District. It was not until the middle of the century that the
rural economy fully recovered and entered a period of sustained
growth. A nation that could barely feed itself in 1600 was an
exporter of grain by 1700.
In the northeast and southwest the harsher climate and poorer
soils were more suited for sheep raising than for large-scale
cereal production. The northeast and southwest were the location
of the only significant manufacturing activity in England, the
woolen cloth industry. Wool was spun into large cloths for
export to Holland, where the highly technical finishing
processes were performed before it was sold commercially.
Because spinning and weaving provided employment for thousands
of families, the downturn of the cloth trade at the beginning of
the 17th century compounded the economic problems brought about
by population increase. This situation worsened considerably
after the opening of the Thirty Years’ War (1618–48), as trade
routes became disrupted and as new and cheaper sources of wool
were developed. But the transformation of the English mercantile
economy from its previous dependence upon a single commodity
into a diversified entrepôt that transshipped dozens of domestic
and colonial products was one of the most significant
developments of the century.
The economic divide between rich and poor, between surplus
and subsistence producers, was a principal determinant of rank
and status. English society was organized hierarchically with a
tightly defined ascending order of privileges and
responsibilities. This hierarchy was as apparent in the family
as it was in the state. In the family, as elsewhere, male
domination was the rule; husbands ruled their wives, masters
their servants, parents their children. But if hierarchy was
stratified, it was not ossified; those who attained wealth could
achieve status. The social hierarchy reflected gradations of
wealth and responded to changes in the economic fortunes of
individuals. In this sense it was more open than most European
societies. Old wealth was not preferred to new, and an ancient
title conferred no greater privileges than recent elevation; the
humble could rise to become gentle, and the gentle could fall to
become humble.
During the early 17th century a small titular peerage
composed of between 75 and 100 peers formed the apex of the
social structure. Their titles were hereditary, passed from
father to eldest son, and they were among the wealthiest
subjects of the state. Most were local magnates, inheriting vast
county estates and occupying honorific positions in local
government. The peerage was the military class of the nation,
and in the counties peers held the office of lord lieutenant.
Most were also called to serve at court, but at the beginning of
the century their power was still local rather than central.
Below them were the gentry, who probably composed only about
5 percent of the rural population but who were rising in
importance and prestige. The gentry were not distinguished by
title, though many were knights and several hundred purchased
the rank of baronet (hereditary knighthoods) after it was
created in 1611. Sir Thomas Smith defined a member of the gentry
as “he that can bear the port and charge of a gentleman.” The
gentry were expected to provide hospitality for their
neighbours, treat their tenants paternally, and govern their
counties. They served as deputy lieutenants, militia captains,
and most important, as justices of the peace. To the justices
fell the responsibility of enforcing the king’s law and keeping
the king’s peace. They worked individually to mediate local
disputes and collectively at quarter sessions to try petty
crimes. As the magistracy the gentry were the backbone of county
governance, and they maintained a fierce local independence even
while enforcing the edicts of the crown.
Beneath the gentry were those who laboured for their
survival. There were many prosperous tenants who were styled
yeomen to denote their economic independence and the social gulf
between them and those who eked out a bare existence. Some were
the younger sons of gentlemen; others aspired to enter the ranks
of the gentry, having amassed sufficient wealth to be secure
against the fluctuations of the early modern economy. Like the
gentry, the yeomanry were involved in local government,
performing most of the day-to-day, face-to-face tasks. Yeomen
were village elders, constables, and tax collectors, and they
composed the juries that heard cases at quarter sessions. Most
owned sufficient freehold land to be politically enfranchised
and to participate in parliamentary selections. Filling out the
ranks of rural society were husbandmen, cottagers, and
labourers. Husbandmen were tenant farmers at or near
self-sufficiency; cottagers were tenants with cottages and
scraps of land, dependent on a range of by-employments to make
ends meet (“an economy of makeshifts”); and labourers were those
who were entirely dependent on waged employment on the land of
others. They were the vast majority of local inhabitants, and
their lives were bound up in the struggle for survival.
In towns, tradesmen and shopkeepers occupied the ranks below
the ruling elites, but their occupational status clearly
separated them from artisans, apprentices, and labourers. They
were called the middling sort and were active in both civic and
church affairs, holding the same minor offices as yeomen or
husbandmen. Because of the greater concentrations of wealth and
educational opportunities, the urban middling sort were active
participants in urban politics.
Government and society
Seventeenth-century government was inextricably bound
together with the social hierarchy that dominated local
communities. Rank, status, and reputation were the criteria that
enabled members of the local elite to serve the crown either in
the counties or at court. Political theory stressed hierarchy,
patriarchy, and deference in describing the natural order of
English society. Most of the aristocracy and gentry were the
king’s own tenants, whose obligations to him included military
service, taxes, and local office holding. The monarch’s claim to
be God’s vice-regent on earth was relatively uncontroversial,
especially since his obligations to God included good
governance. Except in dire emergency, the monarch could not
abridge the laws and customs of England nor seize the persons or
property of his subjects.
The monarch ruled personally, and the permanent institutions
of government were constantly being reshaped. Around the king
was the court, a floating body of royal servants, officeholders,
and place seekers. Personal service to the king was considered a
social honour and thus fitting to those who already enjoyed rank
and privilege. Most of the aristocracy and many gentlemen were
in constant attendance at court, some with lucrative offices to
defray their expenses, others extravagantly running through
their fortunes. There was no essential preparation for royal
service, no necessary skills or experiences. Commonly, members
of the elite were educated at universities and the law courts,
and most made a grand tour of Europe, where they studied
languages and culture. But their entry into royal service was
normally through the patronage of family members and connections
rather than through ability.
From among his court the monarch chose the Privy Council. Its
size and composition remained fluid, but it was largely composed
of the chief officers of state: the lord treasurer, who oversaw
revenue; the lord chancellor, who was the crown’s chief legal
officer; and the lord chamberlain, who was in charge of the
king’s household. The archbishop of Canterbury was the leading
churchman of the realm, and he advised the king, who was the
head of the established church. The Privy Council advised the
king on foreign and domestic policy and was charged with the
administration of government. It communicated with the host of
unpaid local officials who governed in the communities, ordering
the justices to enforce statutes or the deputy lieutenants to
raise forces. In these tasks the privy councillors relied not
only upon the king’s warrant but upon their own local power and
prestige as well. Thus, while the king was free to choose his
own councillors, he was constrained to pick those who were
capable of commanding respect. The advice that he received at
the council table was from men who kept one eye on their
localities and the other on the needs of central policy.
This interconnection between the centre and the localities
was also seen in the composition of Parliament. Parliament was
another of the king’s councils, though its role in government
was less well defined than the Privy Council’s and its summoning
was intermittent. In the early 17th century, Parliament was less
an institution than an event; it was convened when the king
sought the aid of his subjects in the process of creating new
laws or to provide extraordinary revenue. Like everything else
in English society, Parliament was constituted in a hierarchy,
composed of the king, Lords, and Commons. Every peer of the
realm was personally summoned to sit in the House of Lords,
which was dominated by the greatest of the king’s officers. The
lower house was composed of representatives selected from the
counties and boroughs of the nation. The House of Commons was
growing as local communities petitioned for the right to be
represented in Parliament and local gentry scrambled for the
prestige of being chosen. It had 464 members in 1604 and 507
forty years later. Selection to the House of Commons was a mark
of distinction, and many communities rotated the honour among
their most important citizens and neighbours. Although there
were elaborate regulations governing who could choose and who
could be chosen, in fact very few members of the House of
Commons were selected competitively. Contests for places were
uncommon, and elections in which individual votes were cast were
extremely rare.
Members of Parliament served the dual function of
representing the views of the localities to the king and of
representing the views of the king to the localities. Most were
members of royal government, either at court or in their local
communities, and nearly all had responsibility for enforcing the
laws that were created at Westminster. Most Parliaments were
summoned to provide revenue in times of emergency, usually for
defense, and most members were willing to provide it within
appropriate limits. They came to Parliament to do the king’s
business, the business of their communities, and their own
personal business in London. Such conflicting obligations were
not always easily resolved, but Parliament was not perceived as
an institution in opposition to the king any more than the
stomach was seen as opposing the head of the body. There were
upsets, however, and, increasingly during the 17th century, king
and Parliament clashed over specific issues, but until the
middle of the century they were part of one system of royal
government.
James I (1603–25)
James VI, king of Scotland (1567–1625), was the most
experienced monarch to accede to the English throne since
William the Conqueror, as well as one of the greatest of all
Scottish kings. A model of the philosopher prince, James wrote
political treatises such as The Trew Law of a Free Monarchy
(1598), debated theology with learned divines, and reflected
continually on the art of statecraft. He governed his poor by
balancing its factions of clans and by restraining the
enthusiastic leaders of its Presbyterian church. In Scotland,
James was described as pleasing to look at and pleasing to hear.
He was sober in habit, enjoyed vigorous exercise, and doted on
his Danish wife, Anne, who had borne him two male heirs.
But James I was viewed with suspicion by his new subjects.
Centuries of hostility between the two nations had created deep
enmities, and these could be seen in English descriptions of the
king. In them he was characterized as hunchbacked and ugly, with
a tongue too large for his mouth and a speech impediment that
obscured his words. It was said that he drank to excess and
spewed upon his filthy clothing. It was also rumoured that he
was homosexual and that he took advantage of the young boys
brought to service at court. This caricature, which has long
dominated the popular view of James I, was largely the work of
disappointed English office seekers whose pique clouded their
observations and the judgments of generations of historians.
In fact, James showed his abilities from the first. In the
counties through which he passed on his way to London, he
lavished royal bounty upon the elites who had been starved for
honours during Elizabeth’s parsimonious reign. He knighted
hundreds as he went, enjoying the bountiful entertainments that
formed such a contrast with his indigent homeland. He would
never forget these first encounters with his English subjects,
“their eyes flaming nothing but sparkles of affection.” On his
progress James also received a petition, putatively signed by a
thousand ministers, calling his attention to the unfinished
business of church reform.
Triple monarchy
James had one overriding ambition: to create a single
unified monarchy out of the congeries of territories he now
found himself ruling. He wanted a union not only of the crown
but of the kingdoms. He made it plain to his first Parliament
that he wanted a single name for this new single kingdom: he
wanted to be king not of England, Scotland, and Ireland but of
Great Britain, and that is what he put on his seals and on his
coins. He wanted common citizenship, the end of trade barriers,
and gradual movement toward a union of laws, of institutions,
and of churches, although he knew this could not be achieved
overnight. The chauvinism of too many English elite, however,
meant he was not to achieve all of his goals. A common coinage,
a common flag, the abolition of hostile laws, and a joint
Anglo-Scottish plantation of Ulster were all he was able to
manage. Even free trade between the kingdoms was prevented by
the amateur lawyers in the English House of Commons. Having
failed to promote union by legislation, he tried to promote it
by stealth, creating a pan-British court and royal household,
elevating Scots to the English peerage and Englishmen to the
Scottish and Irish peerage, rewarding those who intermarried
across borders, and seeking to remove from each of the churches
those features objectionable to members of the other national
churches. Progress was negligible and, under his son Charles I,
went into reverse.
Religious policy
The Millenary Petition (1603) initiated a debate over the
religious establishment that James intended to defend. The king
called a number of his leading bishops to hold a formal
disputation with the reformers. The Hampton Court Conference
(1604) saw the king in his element. He took a personal role in
the debate and made clear that he hoped to find a place in his
church for moderates of all stripes. It was only extremists that
he intended to “harry from the land,” those who, unlike the
supporters of the Millenary Petition, sought to tear down the
established church. The king responded favourably to the call
for creating a better-educated and better-paid clergy and
referred several doctrinal matters to the consideration of
convocation. But only a few of the points raised by the
petitioners found their way into the revised canons of 1604. In
fact, the most important result of the conference was the
establishment of a commission to provide an authorized English
translation of the Bible, the King James Version (1611).
Indeed, James’s hope was that moderates of all persuasions,
Roman Catholic and Protestant alike, might dwell together in his
church. He offered to preside at a general council of all the
Christian churches—Catholic and Protestant—to seek a general
reconciliation. Liberals in all churches took his offer
seriously. He sought to find a formula for suspending or
ameliorating the laws against Catholics if they would take a
binding oath of political obedience. Most Catholics were
attracted by the offer, but James’s plans took a tremendous
knock when an unrepresentative group of Catholics, disappointed
that this son of a Catholic queen had not immediately restored
Catholic liberties, plotted to kill him, his family, and his
leading supporters by blowing up the Houses of Parliament in the
course of a state opening, using gunpowder secreted in a cellar
immediately beneath the House of Lords. The failure of the
Gunpowder Plot (1605) led to reprisals against Catholics and
prevented James from going any further than exhibiting humane
leniency toward them in the later years of his reign.
Nevertheless, James’s ecumenical outlook did much to defuse
religious conflict and led to 20 years of relative peace within
the English church.
Finance and politics
To a king whose annual budget in Scotland was barely
£50,000, England looked like the land of milk and honey. But in
fact James I inherited serious financial problems, which his own
liberality quickly compounded. Elizabeth had left a debt of more
than £400,000, and James, with a wife and two sons, had much
larger household expenses than the unmarried queen. Land and
duties from customs were the major sources of royal revenue, and
it was James’s good fortune that the latter increased
dramatically after the judges ruled in Bate’s case (1606) that
the king could make impositions on imported commodities without
the consent of Parliament. Two years later, under the direction
of James’s able minister Robert Cecil, earl of Salisbury,
impositions were levied on an expanded list of goods, and a
revised book of rates was issued in 1608 that increased the
level of duties. By these measures customs revenues grew by
£70,000 per year.
But even this windfall was not enough to stem the effects of
inflation on the one hand and James’s own free spending on the
other. By 1606 royal debt was more than £600,000, and the
crown’s financial ministers had turned their attention to
prerogative income from wardships, purveyance, and the discovery
of concealed lands (i.e., crown lands on which rents and dues
were not being paid). The revival and rationalization of these
ancient rights created an outcry. As early as 1604 Salisbury was
examining proposals to commute these fiscal rights into an
annual sum to be raised by a land tax. By 1610 negotiations
began for the Great Contract between the king and his taxpaying
subjects that aimed to raise £200,000 a year. But at the last
moment both royal officials and leaders of the House of Commons
backed away from the deal, the government believing that the sum
was too low and the leaders of the Commons that a land tax was
too unpopular. The failure of the Great Contract drove Salisbury
to squeeze even more revenue out of the king’s feudal rights,
including the sale of titles. This policy violated the spirit of
principles about property and personal liberty held by the
governing classes and, along with impositions, was identified as
a grievance during James’s first Parliaments.
There was much suspicion that the Scottish king would not
understand the procedures and privileges of an English
Parliament, and this suspicion was reinforced by James’s
speeches in the first session of the Parliament of 1604–10. The
conventional ban upon the selection of outlaws to the Commons
led to the Buckinghamshire Election Case (1604). The Commons
reversed a decision by the lord chancellor and ordered Francis
Goodwin, an outlaw, to be seated in the House of Commons. James
clumsily intervened in the proceedings, stating that the
privileges of the Commons had been granted by the grace of the
monarch, a pronouncement that stirred the embers of Elizabethan
disputes over parliamentary privilege. Although a compromise
solution to the case was found, from this time forward the
Commons took an active role in scrutinizing the returns of its
members. A standing committee on elections was formed, and the
freedom of members from arrest during sessions was reasserted.
Some wanted to go even further and present the king with a
defense of the ancient rights of their house. But this so-called
apology was the work of a minority and was never accepted by the
whole House of Commons or presented to the king.
Factions and favourites
As in the previous reign, court politics were
factionalized around noble groups tied together by kinship and
interest. James had promoted members of the Howard family to
places of leadership in his government; Henry Howard, earl of
Northampton, adeptly led a family group that included Thomas
Howard, earl of Suffolk, and Thomas Howard, earl of Arundel. All
managed to enrich themselves at the expense of the king, whose
debts reached £900,000 by 1618. A stink of corruption pervaded
the court during these years. The Howards formed the core of a
pro-Spanish faction that desired better relations with Spain and
better treatment of English Catholics. They also played upon the
king’s desire for peace in Europe.
The Howards were opposed by an anti-Spanish group that
included the queen; George Abbot, archbishop of Canterbury; and
William Herbert, earl of Pembroke. This group wished to pursue
an aggressively Protestant foreign policy and, after the opening
of the Thirty Years’ War, to support James’s son-in-law,
Frederick V, the elector of the Palatinate. It was the
anti-Spanish group that introduced the king to George Villiers,
reputedly one of the handsomest men in Europe. Through Villiers
they sought a conduit to power.
Even at the time it was thought unseemly that a lover should
be provided for the king at the connivance of the queen and the
archbishop. But Villiers was nobody’s fool, and, while he
succeeded spectacularly in gaining James’s confidence, he
refused to be a cipher for those who had advanced him. Soon he
had risen to the pinnacle of the aristocracy. First knighted in
1615, he was created duke of Buckingham in 1623, the first
nonroyal duke in half a century. Buckingham proved an able
politician. He supported the movement for fiscal reform that led
to the disgrace of Lord Treasurer Suffolk and the promotion of
Lionel Cranfield, later earl of Middlesex. Cranfield, a skilled
London merchant, took the royal accounts in hand and made the
unpopular economies that kept government afloat.
Buckingham, whose power rested upon his relationship with the
king, wholeheartedly supported James’s desire to reestablish
peace in Europe. For years James had angled to marry his son
Charles to a Spanish princess. There were, however, many
obstacles to this plan, not the least of which was the
insistence of the pope that the marriage lead to the
reconversion of England to Roman Catholicism. When negotiations
remained inconclusive, James, in 1621, called his third
Parliament with the intention of asking for money to support the
Protestant cause. By this means he hoped to bully Philip IV of
Spain into concluding the marriage negotiations and into using
his influence to put an end to the German war.
Parliament, believing that James intended to initiate a trade
war with Spain, readily granted the king’s request for
subsidies. But some members mistakenly also believed that the
king wished their advice on military matters and on the prince’s
marriage. When James learned that foreign policy was being
debated in the lower house, he rebuked the members for their
temerity in breaching the royal prerogative. Stunned, both
because they thought that they were following the king’s wishes
and because they believed in their freedom to discuss such
matters, members of the Commons prepared the Protestation of
1621, exculpating their conduct and setting forth a statement of
the liberties of the house. James sent for the Commons journal
and personally ripped the protestation from it. He reiterated
his claim that royal marriages and foreign policy were beyond
the ken of Parliament and dryly noted that less than one-third
of the elected members of the house had been present when the
protestation was passed.
The Parliament of 1621 was a failure at all levels. No
legislation other than the subsidy bill was passed; a simple
misunderstanding among the members had led to a dramatic
confrontation with the king; and judicial impeachments were
revived, costing the king the services of Lord Chancellor Bacon.
James, moreover, was unable to make any progress with the
Spaniards, and supporting the European Protestants drained his
revenue. By 1624 royal indebtedness had reached £1 million. The
old king was clearly at the end of his power and influence. His
health was visibly deteriorating, and his policies were openly
derided in court and country. Prince Charles (later Charles I)
and Buckingham decided to take matters into their own hands. In
1623 they traveled incognito to Madrid.
Their gambit created as much consternation in England as it
did in Spain. James wept inconsolably, believing that his son
would be killed or imprisoned. The Spaniards saw the end of
their purposely drawn-out negotiations. Every effort was made to
keep Charles away from the infanta, and he only managed to catch
two fleeting glimpses of the heavily veiled princess.
Nevertheless, he confided in Buckingham that he was hopelessly
in love. Buckingham and John Digby, earl of Bristol, the
ambassador to Spain, were almost powerless to prevent the most
damaging concessions. Charles even confessed himself willing to
be instructed in the Catholic faith. Yet the more the prince
conceded, the more embarrassed the Spaniards became. Nothing
short of an ultimate Catholic reestablishment in England would
be satisfactory, and they began to raise obviously artificial
barriers. Even the lovesick prince realized that he was being
humiliated. Shame turned to rage as he and Buckingham journeyed
home.
There they persuaded the bedridden king to call another
Parliament for the purpose of declaring war on Spain. The
Parliament of 1624 was given free rein. All manner of
legislation was passed; subsidies for a trade war with Spain
were voted; and issues of foreign policy were openly discussed.
Firmly in control of political decision making, Charles and
Buckingham worked to stave off attacks on James’s fiscal
policies, especially the granting of monopolies to royal
favourites. The last Parliament of James’s reign was his most
successful. On March 27, 1625, the old king died.
Charles I (1625–49)
Father and son could hardly be more different than were
James and Charles. Charles was shy and physically deformed. He
had a speech defect that made his pronouncements painful for him
and his audiences alike. Charles had not been raised to rule.
His childhood had been spent in the shadow of his brother,
Prince Henry, who had died in 1612, and Charles had little
practical experience of government. He was introverted and clung
tenaciously to a few intimates. His wife, Henrietta
Maria—French, Roman Catholic, and hugely unpopular—received
Charles’s loyalty despite great political cost. So did
Buckingham, who survived the change in monarchs and consolidated
his grip on government.
The politics of war
Along with his kingdom, Charles I inherited a domestic
economic crisis and the war with Spain. A series of bad grain
harvests, continued dislocation of the cloth trade, and a
virulent plague that killed tens of thousands all conspired
against the new king. Under the pressure of economic crisis,
members of the Parliament of 1625 were determined to reform the
customs and to limit the crown’s right to levy impositions. The
traditional lifelong grant of tonnage and poundage was thus
withheld from Charles so that reform could be considered. But
reform was delayed, and, despite the appearance of illegality,
the king collected these levies to prevent bankruptcy.
The Spanish war progressed no better than the domestic
economy. Buckingham organized an expedition to Cádiz, but its
failure forced Charles to summon another Parliament. From the
start the Parliament of 1626 was badly managed, and members of
both houses thirsted for Buckingham’s blood. Where James had
sacrificed his ministers to further policy, Charles would not.
Parliament was dissolved without granting any subsidies.
Charles now fell back upon desperate remedies. All his
predecessors had collected “forced loans” at times of imminent
crisis when there was no time to await parliamentary elections,
returns, and the vote of subsidies. It was widely accepted that
the king must have discretion to require loans from his subjects
in such circumstances—loans that were routinely converted into
grants when the next Parliament met. What was unprecedented was
the collection of forced loans to replace lost parliamentary
subsidies. The £260,000 Charles collected in 1627 was precisely
the sum he had turned down when it was made conditional upon his
surrender of Buckingham to the wrath of the Commons. But he
collected it at a heavy price: Charles was compelled to lock up
180 refusers, including many prominent gentry. However, he
refused to show cause for his imprisonment of five leading
knights, controversially relying on a rarely used discretionary
power to arrest “by special commandment” those suspected of
crimes it was not in the general interest to make public—a
contingency normally used to nip conspiracies in the bud. The
inevitable result was furor in the next Parliament, to which he
again had to go cap in hand because he was desperate for money
to fund simultaneous naval wars against the two superpowers,
France and Spain. Lawyers, such as Sir Edward Coke, and country
gentlemen, such as Sir John Eliot, now feared that the common
law insufficiently protected their lives and liberties. This
sentiment was compounded by the fact that soldiers were being
billeted in citizens’ homes; local militias were forced to
raise, equip, and transport men to fight abroad; and provost
marshals declared martial law in peaceful English communities.
Yet the extremity of these expedients was matched by the
seriousness of the international situation. Incredibly, England
was now at war with both France and Spain, and Buckingham was
determined to restore his reputation. Instead, the campaign of
1627 was a disaster, and the duke’s landing at the Île de Ré a
debacle. It was hard to see how Charles could protect him from
his critics once the Parliament of 1628–29 assembled.
The defeats of 1627 made emergency taxation more necessary
than ever, and the new Parliament, 27 of whose members had been
imprisoned for refusing to contribute to the loan, assembled
with a sense of profound disquiet. It was proposed to grant the
king five subsidies for defense but to delay their passage until
the Petition of Right (1628) could be prepared. The petition
asserted four liberties: freedom from arbitrary arrest, freedom
from nonparliamentary taxation, freedom from the billeting of
troops, and freedom from martial law. Couched in the language of
tradition, it was presented to the king as a restatement of
ancient liberties. In this spirit he accepted it, more in hope
of receiving his subsidies than in fear that the petition would
restrain his actions.
Between the two sessions of this Parliament, the duke of
Buckingham was assassinated (Aug. 23, 1628). While the king wept
in his palace, people drank to the health of the assassin in the
streets; Buckingham had become a symbol of all that was wrong in
the country. But with the king’s favourite removed, there was a
void in government. Buckingham had been in charge of military
and domestic policy, and there was no one else who had the
confidence of the king or the ability to direct the royal
program. When Charles I, grief-stricken, attempted to manage the
second session of Parliament by himself, all the tensions came
to a head. In the Commons some members wanted to challenge
violations of the Petition of Right, especially the continued
collection of tonnage and poundage without parliamentary
authority. Others were equally agitated about changes in
religious policy caused by the emergence of Arminianism. When
the level of bitterness reached new heights, the king decided to
end the session. But before he could do so, two hotheaded
members physically restrained the speaker while the Three
Resolutions (1629), condemning the collection of tonnage and
poundage as well as the doctrine and practice of Arminianism,
were introduced. Parliament broke up in pandemonium, with both
king and members shocked by the “carriage of diverse fiery
spirits.”
Peace and reform
The dissolution of the Parliament of 1628 in 1629 and the
king’s clear intention to govern for a period without this
troublesome institution necessitated a reversal of policy. Over
the next two years, peace treaties ended England’s fruitless
involvement in continental warfare in which more than £2 million
had been wasted and royal government brought into disrepute. The
king was also able to pacify his subjects by launching a
campaign of administrative and fiscal reform that finally
allowed the crown to live within its own revenues. Customs
increased to £500,000 as both European and North American trade
expanded. Under capable ministers such as Richard Weston, earl
of Portland, prerogative income also increased. Ancient
precedents were carefully searched to ensure that the crown
received its full and lawful dues. Fines were imposed on those
who had not come forward to be knighted at the king’s accession.
These distraints of knighthood yielded more than £170,000. The
boundaries of royal forests were resurveyed and encroachers
fined. Fees in the court of wards were raised and procedures
streamlined. With effort and application annual royal revenue
reached £1 million.
The most important of Charles’s fiscal schemes was not
technically a design to squeeze monies into the royal coffers.
While the king’s own rights might underwrite the needs of
government, they could do nothing toward maintaining the navy,
England’s sole military establishment. Thus, Charles expanded
the collection of ship money, an ancient levy by which revenue
was raised for the outfitting of warships. Although ship money
was normally only collected in the ports in times of emergency,
Charles extended it to inland communities and declared pirates a
national menace. At first there was little resistance to the
collection of ship money, but, as it was levied year after year,
questions about its legitimacy were raised. The case of John
Hampden (1637) turned upon the king’s emergency powers and
divided the royal judges, who narrowly decided for the crown.
But legal opinion varied so significantly that revenue dropped,
and the stirring of a taxpayer revolt could be felt.
Religious reform
Fears about the state of the church, which erupted at the
end of the Parliament of 1628, had been building for several
years. Charles had become drawn to a movement of church reform
that aroused deep hostility among his Calvinist subjects. The
doctrines of predestination and justification by faith alone
formed the core of beliefs in the traditional English church.
Yet slowly competing doctrines of free will and the importance
of works along with faith, advocated by the Dutch theologian
Jacobus Arminius, spread to the English church. Arminians were
viewed as radical reformers despite the fact that their leaders
were elevated to the highest positions in church government. In
1633 William Laud, one of the ablest of the Arminians, became
archbishop of Canterbury. Laud stressed ceremony over preaching.
He believed in the “beauty of holiness” and introduced measures
to decorate churches and to separate the communion table from
the congregation. Both of these practices were reminiscent of
Roman Catholicism, and they came at a time when Protestants
everywhere feared for the survival of their religion. Nor did it
help that the queen openly attended mass along with some highly
placed converted courtiers. Anti-popery was the single strain
that had united the diverse elements of Protestant reform, and
it was now a rallying cry against innovations at home rather
than abominations abroad.
But perhaps Laud’s greatest offense was to promote the
authority of the clergy in general and of the bishops in
particular, against the laity. He challenged head-on the central
thrust of the English Reformation: the assault on the
institutional wealth and power of the church as a clerical
corporation. He wanted to restore the authority of the church
courts and threatened to excommunicate the king’s judges if they
persisted in trying cases that belonged to ecclesiastical
jurisdiction. He also tried to restore the value of tithes and
prevent the misappropriation of churchyards for secular
purposes. Moreover, he sought to penalize those who did not pay
the (much-enhanced) levies for the refurbishment of church
buildings. Menacingly, in Scotland and Ireland (as a prelude,
many assumed, to actions to come in England) he tried to
renegotiate by a policy of surrender the terms on which all
former monastic and cathedral lands were held. In all this he
appeared to act more like an aggressive papal nuncio than a
compliant appointee of the royal supreme governor of the church,
and Charles I’s purring complaisance in Laud’s activities was
unendurable to most of his subjects. The master of Westminster
School was whipped in front of his pupils for saying of Laud
that, like “a busie, angry wasp, his sting is in the tayl of
everything.” Others were flogged through the streets of London
or had their ears cut off for “libeling” Laud and his work. He
alienated not only everyone with a Puritan scruple but everyone
with a strong sense of the supremacy of common law or with an
inherited suspicion of clerical pride. No wonder the archbishop
had so few friends by 1640.
His program extended to Ireland and—especially
disastrously—to Scotland. Without consulting Parliament, the
General Assembly, the Scottish bishops in conclave, or even the
Scottish Privy Council, but rather by royal diktat, Laud ordered
the introduction of new canons, a new ordinal, and a new prayer
book based not on the English prayer book of 1559 but on the
more ceremonialist and crypto-Catholic English prayer book of
1549. This was met by riot and, eventually, rebellion. Vast
numbers of Scots bound themselves passively to disobey the
“unlawful” religious innovations. Charles I decided to use force
to compel them, and he twice sought to use troops raised by a
loyal (largely Catholic) Scottish minority, troops from Ireland,
and troops from England to achieve this end.
The Bishops’ Wars (1639–40) brought an end to the
tranquillity of the 1630s. Charles had to meet rebellion with
force, and force required money from Parliament. He genuinely
believed that he would be supported against the rebels, failing
to comprehend the profound hostility that Laud’s innovations had
created in England. The Short Parliament (1640) lasted less than
a month before the king dissolved it rather than permit an
extended discussion of his inadequacies. He scraped some money
together and placed his troops under the command of his able and
ruthless deputy, Thomas Wentworth, earl of Strafford. But
English troops fighting for pay proved no match for Scottish
troops fighting for religion. In 1640 the Scots invaded England
and captured Newcastle, the vital source of London’s coal.
Charles was forced to accept a humiliating treaty whereby he
paid for the upkeep of the Scottish army and agreed to call
another Parliament.
The Long Parliament
With his circumstances more desperate than ever, Charles
I summoned Parliament to meet in November 1640. The king faced a
body profoundly mistrustful of his intentions. The reform
movement in the Commons was led by John Pym, a minor Somerset
landowner, who was prominent by his oratorical skills in debate
and his political skills in committee. Pym was a moderate, and
for the next three years he ably steered compromises between
those who wanted too much and those who would settle for too
little. In the Lords, Viscount Saye and Sele and the earl of
Warwick and the earl of Bedford worked in tandem with Pym and
his allies, leading or following as occasion required.
The Long Parliament (1640–53) opened with the imprisonment of
Strafford and Laud, the architects of the Scottish fiasco.
Strafford was put on trial and ultimately attainted for treason.
The dubious legality of the charges against him forced the
Commons to proceed by bill rather than impeachment, and thus
both the House of Lords and the monarch had to approve the
charge. The Lords were cowed by crowds of angry London citizens
and apprentices and Charles by the mistaken belief that
Strafford’s blood would placate his opponents. But Strafford’s
execution in May was just the beginning.
In fact, parliamentary reform took two different tacks. The
first was to limit the king’s constitutional authority in order
to protect the existence of Parliament and the liberties of
subjects. The second was to reconstitute the church. In February
the Triennial Act (1641) was passed, mandating the summoning of
Parliament every three years. In May the king’s power to
dissolve the Long Parliament was removed. Charles was forced to
accept both bills. Meanwhile, the Commons relentlessly
investigated the legal basis of the king’s fiscal expedients,
amending the laws that Charles had so scrupulously followed.
Ship money and distraints of knighthood were declared illegal,
royal forests were defined, and the prerogative courts of High
Commission and Star Chamber were abolished. Again the king
acceded.
Church reform proved more treacherous. Parliamentary leaders
agreed that Charles and Laud had introduced intolerable
innovations, but where some were satisfied by their removal,
others wished that they be replaced by even greater novelties.
In December 1640 an orchestrated petitioning campaign called
upon Parliament to abolish episcopacy, root and branch. Pym and
his supporters were as yet unwilling to propose such a sweeping
change, fearing lest it divide the Commons and create a crisis
with the Lords. Nevertheless, the equally radical proposal to
remove the bishops from the upper house was passed in May, and,
when the Lords rejected it, the Commons responded with the Root
and Branch Bill.
Pym’s fear that the religious issue might break apart the
parliamentary consensus was compounded by his fear of provoking
the king to counterattack. Throughout the first six months of
the session, Charles had meekly followed Parliament’s lead. But
there were ominous signs that the worm would turn. His leading
advisers, the queen among them, were searching for military
options. The radical attack upon the church allowed the king to
portray himself as the conservator of “the pure religion of
Queen Elizabeth and King James” without “any connivance of
popery or innovation”—a coded repudiation of Laudianism and
Arminianism. Week by week, sympathy for the king was growing,
and in August Charles determined to conclude a peace treaty with
the Scots. This successful negotiation removed the crisis that
had brought the Long Parliament into being. When Charles
returned to London at the end of November, he was met by
cheering crowds and a large body of members of the two houses,
who were unaware that he had been behind a failed attempt to
arrest the leading conservator and overturn the Scottish
settlement.
While the king resolved one crisis in Scotland, another
emerged in Ireland. Catholics, stung by the harsh repression of
Strafford’s rule and by the threat of plantation and of the
direct rule from England planned by the Long Parliament, rose
against their Protestant overlords and slaughtered thousands in
a bloody rebellion. Though the reality was grim enough, the
exaggerated reports that reached London seemed to fulfill the
worst fears of a popish plot. Urgently an army had to be raised,
but only the king had military authority, and in the present
circumstance he could not be trusted with a force that might be
used in London rather than Londonderry. In despair over the
situation in Ireland and deeply suspicious of the king’s
intentions, the leaders of the Long Parliament debated the Grand
Remonstrance, a catalog of their grievances against the king.
The Grand Remonstrance (1641) divided the Commons as nothing
else had. It passed by only 11 votes, and the move to have it
printed failed. Many were appalled that the remonstrance was to
be used as propaganda “to tell stories to the people.” For the
first time, members of Commons began to coalesce into opposing
factions of royalists and parliamentarians.
The passage of the Grand Remonstrance was followed by Pym’s
attempt to transfer control of the militia (the appointment of
lords, lieutenants, military officers, etc.) from the crown to
Parliament. The political situation had reached a state of
crisis. In Parliament, rumours spread of a royal attack upon the
houses, and at court wild talk of an impeachment of the queen
was reported. It was Charles who broke the deadlock. On Jan. 4,
1642, he rode to Westminster intending to impeach five members
of the Commons and one of the Lords on charges of treason. It
was the same device that had already failed in Scotland. But,
because the king’s plan was no secret, the members had already
fled. Thus, Charles’s dramatic breach of parliamentary privilege
badly backfired. He not only failed to obtain his objective but
also lost the confidence of many of the moderates left in
Parliament. After ensuring the safe departure of his wife and
children out of the country, Charles abandoned his capital and
headed north.
The initiative had returned to Pym and his allies, who now
proceeded to pass much of their stalled legislation, including
the exclusion of the bishops from the Lords and the Impressment
Bill (1642), which allowed Parliament to raise the army for
Ireland. In June a series of proposals for a treaty, the
Nineteen Propositions (1642), was presented to the king. The
proposals called for parliamentary control over the militia, the
choice of royal counselors, and religious reform. Charles
rejected them outright, though in his answer he seemed to grant
Parliament a coordinate power in government, making the king but
one of the three estates. The king, however, had determined to
settle the matter by main force. His principal advisers believed
that the greatest lords and gentlemen would rally to their king
and that Parliament would not have the stomach for rebellion. On
Aug. 22, 1642, the king raised his standard bearing the device
“Give Caesar His Due.”
Civil war and revolution
The war that began in 1642 was a war within three
kingdoms and between three kingdoms. There was a civil war in
Ireland that pitted the Catholic majority against the Protestant
minority, buttressed by English and Scottish armies. This war
festered nastily throughout the 1640s and was settled only by a
devastating use of force and terror by Oliver Cromwell in
1649–50 and his successors in 1651–54. Whenever they were in the
ascendancy, the Catholic Irish were willing to send armies into
England to assist Charles I, on condition that he give them
religious freedom and effective control of the political
institutions of the Irish kingdom. After the Cromwellian
conquest, the English set out to destroy the power and wealth of
the Catholic elite—at one point even proposing to transport
every native Catholic from 26 of the 32 counties of Ireland into
the western region comprising the 5 counties of Connacht and
County Clare; in the event, they settled for a confiscation of
two-fifths of the land and its redistribution to Protestant
Englishmen.
Scotland also was embroiled in civil war, but, at one time or
another, all the groups involved demonstrated a willingness to
send armies into England. The Anglo-Scottish wars were fought
from 1643 to 1646, resumed from 1648 to 1651, and resulted in an
English military occupation and complete political subjugation
(the incorporation of Scotland into an enhanced English state)
that lasted until the Restoration in 1660.
And then there was the English Civil War that began in 1642,
a war that neither king, Parliament, nor the country wanted. It
was a war that was as dangerous to win as to lose. The
parliamentarians could only maintain the fiction that they were
fighting to “preserve the safety of the king,” as the commission
of their commander, Robert Devereux, earl of Essex, stated. The
king’s fiction was that he was opposing a rebellion. Most of the
country remained neutral, hoping that differences would be
composed and fighting ended.
The first years of war were as halfhearted as these
justifications. Parliament held the tactical advantages of
controlling the navy and London. While the navy protected the
coast from foreign invasion, London provided the funds and
manpower for battle. The king held the strategic advantage of
knowing that he had to recapture his capital. He relied upon the
aristocracy for men and arms. In the first substantial
engagement of the war, the Battle of Edgehill (1642), Charles’s
cavalry proved superior to Parliament’s, and he followed this
first encounter by marching on the capital. At Brentford (1642),
on the outskirts of London, the City militia narrowly averted
the king’s triumph. For the next two years, however, the war was
fought to a desultory standstill.
Almost from the beginning, the members of Parliament were
divided over their goals. A war group argued that Charles could
not be trusted until he learned the lesson of military defeat. A
peace group countered that the longer the war ground on, the
less likely Charles would be to compromise. Both of these groups
were loose coalitions, and neither of them dominated
parliamentary politics. Until his death in 1643, Pym steered a
course between them, supporting the Oxford Propositions (1643)
for peace as well as creating the administrative machinery to
raise and finance armies. The excise, modeled on impositions,
and the monthly assessments, modeled on ship money, increased
levels of taxation to new heights. The king burdened the
communities his forces controlled just as heavily.
In 1643 the war widened. Charles negotiated a cease-fire with
the Catholic rebels in Ireland that allowed him to bring Irish
troops to England. Parliament negotiated the Solemn League and
Covenant (1643) with the Scots, who brought an army to England
in return for guarantees of a presbyterian church establishment.
Initially Parliament benefited most. A combination of English
and Scottish troops defeated royalist forces at the Battle of
Marston Moor (1644) and took York. But ultimately religious
differences between Scottish Presbyterians and English
Independents vitiated the alliance. As the parliamentary
commanders bickered, their forces were defeated at Lostwithiel
(1644) and Newbury (1644). While another round of peace
negotiations began, the unsuccessful Uxbridge Proposals (1645),
Parliament recast its military establishment and formed the New
Model Army.
There was little new about the New Model Army other than
centralization. Remnants of three armies were combined to be
directed by a parliamentary committee. This committee included
the parliamentary generals who were displaced by the
Self-Denying Ordinance (1645), an act that excluded members of
Parliament from civil and military office. The New Model Army
was commanded by Thomas Fairfax, Baron Fairfax, and eventually
the cavalry was led by Lieut. Gen. Oliver Cromwell.
The new parliamentary army was thought so weak that the king
hoped to crush it in a single blow and thus end the war.
Instead, the Battle of Naseby on June 14, 1645, delivered the
decisive blow to the royalists. Even though the parliamentary
forces only just managed to carry the day despite their
numerical superiority, their victory was decisive. It destroyed
the king’s main armies and left open a path to the west, where
his other substantial forces were defeated at Langport (1645).
The following year, the king surrendered to the Scots,
erroneously believing that they would strike a better bargain.
For four years the political divisions at Westminster had
been held in check by the military emergency. But the king’s
defeat released all restraints. In Parliament coherent parties
began to form around the religious poles provided by
Presbyterians and Independents and around the political poles of
peace and war. Denzil Holles, one of the five members of
Parliament Charles had tried to arrest in 1642, came to head the
most powerful group. He pushed through a presbyterian church
settlement, negotiated a large loan from the City of London, and
used the money to ransom the king from the Scots. Holles’s peace
plan was to remove the main points of difference between king
and Parliament by disbanding the army and settling the disputes
about the church, the militia, and the rebellion in Ireland. His
party was opposed by a group led by Sir Henry Vane the Younger
and Oliver Cromwell, who desired toleration for Independents and
were fearful of disbanding the army before an agreement was
reached with Charles I.
But war weariness in both Parliament and the country swept
all before it. In January 1647 Charles was returned to English
custody, and Holles moved forward with his plan to send a
portion of the army to Ireland, assign a small force to English
garrisons, and disband the rest. But in this he reckoned without
the army. In the rank and file, concern about arrears of pay,
indemnity, and liability for impressment stirred the soldiers to
resist Irish service. A movement that began over material
grievances soon turned political as representatives were chosen
from the rank and file to present demands through their officers
to Parliament. Holles attempted to brush this movement aside and
push through his disbandment scheme. At this the army rose up,
driving out those of its officers who supported the disbandment,
seizing Charles at Holmby House on June 3 and demanding the
impeachment of Holles and his main supporters. At the beginning
of August 1647, the army marched into London, and Holles, with
10 of his allies, fled the capital.
The army’s intervention transformed civil war into
revolution. Parliament, which in 1646 had argued that it was the
fundamental authority in the country, by 1647 was but a pawn in
a new game of power politics. The perceived corruption of
Parliament made it, like the king, a target of reform.
Initiative was now in the hands of the king and the army, and
Charles I tried to entice Cromwell and Henry Ireton, the army’s
leading strategist, to bargain his restoration for a tolerant
church settlement. But the officers were only one part of a
politicized army that was bombarded with plans for reorganizing
the state. Among the most potent plans were those of the
Levelers, led by John Lilburne, who desired that a new compact
between ruler and ruled, the Agreement of the People (1647), be
made. This was debated by the council of the army at Putney in
October. The Levelers’ proposals, which had much in common with
the army’s, called for the reform of Parliament through
elections based upon a broad franchise and for a generally
tolerant church settlement. Turmoil in the army led Fairfax and
Cromwell to reassert military discipline, while the machinations
of Charles led to the second Civil War (1648).
Charles had now managed to join his English supporters with
discontented Scots who opposed the army’s intervention in
politics. Though the fighting was brief, it was bloody. Fairfax
stormed Colchester (1648) and executed the ringleaders of the
English rebellion, and Cromwell and several New Model regiments
defeated the invading Scots at the Battle of Preston (1648).
The second Civil War hardened attitudes in the army. The king
was directly blamed for the unnecessary loss of life, and for
the first time alternatives to Charles Stuart, “that man of
blood,” were openly contemplated. Parliament too was appalled by
the renewal of fighting. Moderate members believed that there
was still a chance to bring the king to terms, despite the fact
that he had rejected treaty after treaty. While the army made
plans to put the king on trial, Parliament summoned its strength
for one last negotiation, the abortive Treaty of Newport. Even
now the king remained intransigent, especially over the issue of
episcopacy. New negotiations infuriated the army, because it
believed that Parliament would sell out its sacrifices and
compromise its ideals. On Dec. 6, 1648, army troops, under the
direction of Col. Thomas Pride, purged the House of Commons.
Forty-five members were arrested, and 186 were kept away. A rump
of about 75 active members were left to do the army’s bidding.
They were to establish a High Court of Justice, prepare a charge
of treason against the king, and place him on trial in the name
of the people of England. Pride’s Purge was a last-minute
compromise made to prevent absolute military rule. With Cromwell
deliberately absent in the north, Ireton was left to stave off
the argument, made by the Levelers, that Parliament was
hopelessly corrupt and should be dissolved. The decision to
proceed by trial in the High Court of Parliament was a decision
in favour of constitutional forms, however much a shadow they
had become.
The king’s trial took place at the end of January. The Court
of Justice was composed of members of Parliament, civilians, and
army officers. There was little enthusiasm for the work that had
to be done. No more senior judge than John Bradshaw could be
found to preside, and he wore a hat ringed with iron in fear of
assassination. The charges against the king, however politically
correct, had little legal basis, and Charles deftly exposed
their weakness. But like Strafford before him, Charles was to be
sacrificed to the law of necessity if not the law of England. On
Jan. 30, 1649, at the wall of his own palace, Charles I was
beheaded. A witness recorded in his diary, “Such a groan went up
as I had never before heard.”
Commonwealth and Protectorate
The execution of the king aroused hostility not only in
England but also throughout Europe. Regicide was considered the
worst of all crimes, and not even the brilliance of John Milton
in The Tenure of Kings and Magistrates (1649) could persuade
either Catholic or Protestant powers that the execution of
Charles I was just. Open season was declared against English
shipping, and Charles II was encouraged to reclaim his father’s
three kingdoms.
Despite opposition and continued external threats, the
government of the Commonwealth was declared in May 1649 after
acts had been passed to abolish the monarchy and the House of
Lords. Political power resided in a Council of State, the Rump
Parliament (which swelled from 75 to 213 members in the year
following the king’s execution), and the army. The military was
now a permanent part of English government. Though the soldiers
had assigned the complex tasks of reform to Parliament, they
made sure of their ability to intervene in political affairs.
At first, however, the soldiers had other things to occupy
them. For reasons of security and revenge, Ireland had to be
pacified. In the autumn of 1649, Cromwell crossed to Ireland to
deal once and for all with the Irish Confederate rebels. He came
first to Drogheda. When the town refused to surrender, he
stormed it and put the garrison of 3,000 to the sword, acting
both as the avenger of the massacres of 1641 (“I am persuaded
that this is a righteous judgement of God upon those barbarous
wretches who have imbrued their hands in so much innocent
blood”) and as a deliberate instrument of terror to induce
others to surrender. He repeated his policy of massacre at
Wexford, this time choosing not to spare the civilian
population. These actions had the desired effect, and most other
towns surrendered at Cromwell’s approach. He departed Ireland
after nine months, leaving his successors with only a mopping-up
operation. His reputation at a new high, Cromwell was next put
in charge of dealing with those Scots who had welcomed Charles
I’s son, Charles II, to Scotland and who were soon to crown him
at Scone as king of all of Great Britain and Ireland. Although
outnumbered and in a weak defensive position, Cromwell won a
stunning victory in the Battle of Dunbar on Sept. 3, 1650. A
year later to the day, having chased Charles II and a second
Scottish army into England, he gained an overwhelming victory at
Worcester. Charles II barely escaped with his life.
Victorious wars against the Irish, Scots, and Dutch (1652)
made the Commonwealth a feared military power. But the struggle
for survival defined the Rump’s conservative policies. Little
was done to reform the law. An attempt to abolish the court of
chancery created chaos in the central courts. Little agreement
could be reached on religious matters, especially on the vexing
question of the compulsory payment of tithes. The Rump failed
both to make long-term provision for a new “national church” and
to define the state’s right to confer and place limits on the
freedom of those who wished to worship and gather outside the
church. Most ominously, nothing at all had been done to set a
limit for the sitting of the Rump and to provide for franchise
reform and the election of a new Parliament. This had been the
principal demand of the army, and the more the Rump protested
the difficulty of the problem, the less patient the soldiers
became. In April, when it was clear that the Rump would set a
limit to its sitting but would nominate its own members to judge
new elections, Cromwell marched to Westminster and dissolved
Parliament. The Rump was replaced by an assembly nominated
mostly by the army high command. The Nominated Parliament (1653)
was no better able to overcome its internal divisions or
untangle the threads of reform than the Rump. After five months
it dissolved itself and returned power to Cromwell and the army.
The problems that beset both the Rump and the Nominated
Parliament resulted from the diversity of groups that supported
the revolution, ranging from pragmatic men of affairs, lawyers,
officeholders, and local magistrates whose principal desire was
to restore and maintain order to zealous visionaries who wished
to establish heaven on earth. The republicans, like Sir Henry
Vane the Younger, hoped to create a government based upon the
model of ancient Rome and modern Venice. They were proud of the
achievements of the Commonwealth and reviled Cromwell for
dissolving the Rump. But most political reformers based their
programs on dreams of the future rather than the past. They were
millenarians, expecting the imminent Second Coming of Christ.
Some were social reformers, such as Gerrard Winstanley, whose
followers, agrarian communists known as Diggers, believed that
the common lands should be returned to the common people. Others
were mystics, such as the Ranters, led by Laurence Claxton, who
believed that they were infused with a holy spirit that removed
sin from even their most reprehensible acts. The most enduring
of these groups were the Quakers (Society of Friends), whose
social radicalism was seen in their refusal to take oaths or
doff their hats and whose religious radicalism was contained in
their emphasis upon inner light. Ultimately, all these groups
were persecuted by successive revolutionary governments, which
were continually being forced to establish conservative limits
to individual and collective behaviour.
The failure of the Nominated Parliament led to the creation
of the first British constitution, the Instrument of Government
(1653). Drafted by Maj. Gen. John Lambert, the Instrument
created a lord protector, a Council of State, and a reformed
Parliament that was to be elected at least once every three
years. Cromwell was named protector, and he chose a
civilian-dominated Council to help him govern. The Protectorate
tackled many of the central issues of reform head-on.
Commissions were appointed to study law reform and the question
of tithes. Social legislation against swearing, drunkenness, and
stage plays was introduced. Steps were taken to provide for the
training of a godly ministry, and even a new university at
Durham was begun.
But the protector was no better able to manage his
Parliaments than had been the king. The Parliament of 1654
immediately questioned the entire basis of the newly established
government, with the republicans vigorously disputing the office
of lord protector. The Parliament of 1656, despite the exclusion
of many known opponents, was no more pliable. Both were a focus
for the manifold discontents of supporters and opponents of the
regime.
Nothing was more central to the Cromwellian experiment than
the cause of religious liberty. Cromwell believed that no one
church had a monopoly on truth and that no one form of
government or worship was necessary or desirable. Moreover, he
believed in a loosely federated national church, with each
parish free to worship as it wished within very broad limits and
staffed by a clergy licensed by the state on the basis of their
knowledge of the Bible and the uprightness of their lives,
without reference to their religious beliefs. On the other hand,
Cromwell felt that there should be freedom for “all species of
protestant” to gather if they wished into religious assemblies
outside the national church. He did not believe, however, that
religious liberty was a natural right, but one conferred by the
Christian magistrate, who could place prudential limits on the
exercise of that liberty. Thus, those who claimed that their
religion permitted or even promoted licentiousness and sexual
freedom, who denied the Trinity, or who claimed the right to
disrupt the worship of others were subject to proscription or
penalty. Furthermore, for the only time between the Reformation
and the mid-19th century, there was no religious test for the
holding of public office. Although Cromwell made his detestation
of Catholicism very plain, Catholics benefited from the repeal
of the laws requiring attendance at parish churches, and they
were less persecuted for the private exercise of their own faith
than at any other time in the century. Cromwell’s policy of
religious tolerance was far from total, but it was exceptional
in the early modern world.
Among opponents, royalists were again active, though by now
they were reduced to secret associations and conspiracies. In
the west, Penruddock’s rising, the most successful of a series
of otherwise feeble royalist actions in March 1655, was
effectively suppressed, but Cromwell reacted by reducing both
the standing army and the level of taxation on all. He also
appointed senior army officers “major generals,” raising
ultra-loyal militias from among the demobbed veterans paid for
by penal taxation on all those convicted of active royalism in
the previous decade. The major generals were also charged with
superintending “a reformation of manners”—the imposition of
strict Puritan codes of social and sexual conduct. They were
extremely unpopular, and, despite their effectiveness, the
offices were abolished within a year.
By now it was apparent that the regime was held together by
Cromwell alone. Within his personality resided the
contradictions of the revolution. Like the gentry, he desired a
fixed and stable constitution, but, like the zealous, he was
infused with a millenarian vision of a more glorious world to
come (see millennialism). As a member of Parliament from 1640,
he respected the fundamental authority that Parliament
represented, but, as a member of the army, he understood power
and the decisive demands of necessity. In the 1650s many wished
him to become king, but he refused the crown, preferring the
authority of the people to the authority of the sword. When he
died in 1658, all hope of continued reform died with him.
For a time, Richard Cromwell was elevated to his father’s
titles and dignity, but he was no match in power or skill. The
republicans and the army officers who had fought Oliver tooth
and nail now hoped to use his son to dismantle the civil
government that under the Humble Petition and Advice (1657) had
come to resemble nothing so much as the old monarchy. An upper
House of Lords had been created, and the court at Whitehall was
every bit as ceremonious as that of the Stuarts. While some
demanded that the Rump be restored to power, others clamoured
for the selection of a new Parliament on the basis of the old
franchise, and this took place in 1659. By then there was a
vacuum of power at the centre; Richard Cromwell, incapable of
governing, simply left office. A rebellion of junior officers
led to the reestablishment of the Rump.
But all was confusion. The Rump was incapable of governing
without financial support from the City and military support
from the army. Just as in 1647, the City demanded military
disbandment and the army demanded satisfaction of its material
grievances. But the army was no longer a unified force.
Contentions among the senior officers led to an attempt to
arrest Lambert, and the widely scattered regiments had their own
grievances to propound. The most powerful force was in Scotland,
commanded by George Monck, once a royalist and now one of the
ablest of the army’s senior officers. When one group of officers
determined to dissolve the Rump, Monck marched his forces south,
determined to restore it. Arriving in London, Monck quickly
realized that the Rump could never govern effectively and that
only the restoration of Charles II could put an end to the
political chaos that now gripped the state. In February 1660
Monck reversed Pride’s Purge, inviting all of the secluded
members of the Long Parliament to return to their seats under
army protection. A month later the Long Parliament dissolved
itself, paving the way for the return of the king.
The later Stuarts
Charles II (1660–85)
The Restoration
Charles II arrived in London on the 30th birthday of what
had already been a remarkably eventful life. He came of age in
Europe, a child of diplomatic intrigues, broken promises, and
unfulfilled hopes. By necessity he had developed a thick skin
and a shrewd political realism. This was displayed in the
Declaration of Breda (1660), in which Charles offered something
to everyone in his terms for resuming government. A general
pardon would be issued, a tolerant religious settlement would be
sought, and security for private property would be assured.
Never a man for details, Charles left the specifics to the
Convention Parliament (1660), which was composed of members of
the competing religious and political parties that contended for
power amid the rubble of the Commonwealth.
The Convention declared the restoration of the king and the
lords, disbanded the army, established a fixed income for the
king by maintaining the parliamentary innovation of the excise
tax, and returned to the crown and the bishops their confiscated
estates. But it made no headway on a religious settlement.
Despite Charles’s promise of a limited toleration and his desire
to accept Presbyterians into the Anglican fold as detailed in
the Worcester House Declaration (1660), enthusiasts from both
left and right wrecked every compromise.
It was left to the Cavalier Parliament (1661–79) to make the
hard choices and to demonstrate that one of the changes that had
survived the revolution was the independence of Parliament.
Despite Charles’s desire to treat his father’s adversaries
leniently and to find a broad church settlement, the Cavalier
Parliament sought to establish a rigid Anglican orthodoxy. It
began the alliance between squire and parson that was to
dominate English local society for centuries. The bishops were
returned to Parliament, a new prayer book was authorized, and
repressive acts were passed to compel conformity. The imposition
of oaths of allegiance and nonresistance to the crown and an
oath recognizing the king’s supremacy in the church upon all
members of local government in the Corporation Act (1661) and
then upon the clergy in the Act of Uniformity (1662) led to a
massive purge of officeholders. Town governors were put out of
their places, and nearly one-fifth of all clergymen were
deprived of their livings. Authority in the localities was now
firmly in the hands of the gentry. The Conventicle Act (1664)
barred Nonconformists (Dissenters) from holding separate church
services, and the Five Mile Act (1665) prohibited dispossessed
ministers from even visiting their former congregations.
This program of repressive religious legislation was the
first of many missed opportunities to remove the underlying
causes of political discontent. Though religious dissenters were
not a large percentage of the population, their treatment raised
the spectre of permanently divided local communities and of
potentially arbitrary government. This legislation (the
Clarendon Code) is inappropriately associated with the name of
Lord Chancellor Clarendon, for he, as well as the king, realized
the dangers of religious repression and attempted to soften its
effects. Indeed, in central government the king relied upon men
of diverse political backgrounds and religious beliefs.
Clarendon, who had lived with the king in exile, was his chief
political adviser, and Charles’s brother James, duke of York
(later James II), was his closest confidant and was entrusted
with the vital post of lord admiral. Monck, who had made the
restoration possible, was raised to duke of Albemarle and
continued to hold military authority over the small standing
army that, for the first time in English history, the king
maintained.
War and government
Charles II could not undo the effects of the revolution,
but they were not all negative. The Commonwealth had had to
fight for its survival, and in the process England had become a
potent military power. Wars against France and Spain had
expanded English colonial dominions. Dunkirk and Jamaica were
seized, Barbados was colonized, and the North American colonies
flourished. Colonial trade was an important source of royal
revenue, and Charles II continued Cromwell’s policy of
restricting trade to English ships and imposing duties on
imports and exports. The Navigation Acts (1660 and 1663) were
directed against the Dutch, still the most powerful commercial
force in Europe. The Cromwellian Navigation Act (1651) had
resulted in the first Anglo-Dutch War (1652–54), and Charles’s
policy had the same effect. In military terms the Dutch Wars
(1665–67; 1672–74) were a standoff, but in economic terms they
were an English triumph (see Anglo-Dutch Wars). The American
colonies were consolidated by the capture of New York, and the
policy of the Navigation Acts was effectively established.
Colonial trade and English shipping mushroomed.
In the long run Charles’s spasmodically aggressive foreign
policy solved the crown’s perpetual fiscal crises. But in the
short run it made matters worse. The Great Plague of London
(1664–66) and the Great Fire of London (1666) were interpreted
as divine judgments against a sinful nation. These catastrophes
were compounded when the Dutch burned a large portion of the
English fleet in 1667, which led to the dismissal and exile of
Clarendon. The crown’s debts led to the Stop of the Exchequer
(1672), by which Charles suspended payment of his bills. The
king now ruled through a group of ministers known as the Cabal,
an anagram of the first letters of their names. None of the five
was Anglican, and two were Roman Catholic.
Charles had wearied of repressive Anglicanism,
underestimating its strength among rural gentry and clergy, and
desired comprehension and toleration in his church. This fit
with his foreign-policy objectives, for in the Treaty of Dover
(1670) he allied himself with Catholic France against Protestant
Holland. In exchange he received a large subsidy from Louis XIV
and, in the treaty’s secret clauses, known only to the king’s
Catholic ministers, the promise of an even larger one if Charles
undertook, at some unspecified moment, to declare himself a
Catholic. That moment came for the king on his deathbed, by
which time his brother and heir, the duke of York, had already
openly professed his conversion. In 1672 Charles promulgated the
Declaration of Indulgence, which suspended the penal code
against all religious Nonconformists, Catholic and Dissenter
alike. But a declaration of toleration could not bring together
these mortal enemies, and the king found himself faced by a
unified Protestant front. Parliamentary Anglicans would not vote
money for war until the declaration was abrogated. The passage
of the Test Act (1673), which the king reluctantly signed,
effectively barred all but Anglicans from holding national
office and forced the duke of York to resign the admiralty.
The Popish Plot
Anti-Catholicism united the disparate elements of English
Protestantism as did nothing else. Anglicans vigorously
persecuted the Protestant sects, especially Quakers and
Baptists, who were imprisoned by the thousands whenever the
government claimed to have discovered a radical plot. John
Bunyan’s Pilgrim’s Progress (1678), which became one of the most
popular works in the English language, was composed in jail. Yet
dissenters held out against persecution and continued to make
their converts in towns and cities. They railed against the
debauchery of court life, naming the duke of York, whose shotgun
wedding had scandalized even his own family, and the king
himself, who acknowledged 17 bastard children but did not
produce one legitimate heir. Most of all they feared a Catholic
revival, which by the late 1670s was no paranoid delusion. The
alliance with Catholic France and rumours of the secret treaty,
the open conversion of the duke of York, heir to the throne, and
the king’s efforts to suspend the laws against Catholic
officeholders were potent signs.
Not even the policy of Charles’s new chief minister, Thomas
Osborne, earl of Danby, could stem the tide of suspicion. An
Anglican, Danby tried to move the crown back into alliance with
the majority of country gentry, who wanted the enforcement of
the penal code and the end of the pro-French foreign policy. He
arranged the marriage of Mary (later Mary II), the eldest
daughter of the duke of York, to William of Orange (later
William III), the Dutch stadtholder. Yet, like the king, Danby
admired Louis XIV and the French style of monarchy. He attempted
to manage Parliament, centralize crown patronage, shore up royal
finance, and maintain a standing army—in short, to build a base
for royal absolutism. Catholicism and absolutism were so firmly
linked in the popular mind that Danby was soon tarred by this
broad brush. In 1678 a London Dissenter named Titus Oates
revealed evidence of a plot by the Jesuits to murder the king
and establish Roman Catholicism in England. Although both the
evidence and the plot were a total fabrication, England was
quickly swept up in anti-Catholic hysteria. The murder of the
Protestant magistrate who had first heard Oates’s revelations
lent credence to a tissue of lies. Thirty-five alleged
conspirators in the Popish Plot were tried and executed, harsh
laws against Catholics were revived and extended, and Danby’s
political position was undermined when it was revealed that he
had been in secret negotiation with the French. Parliament voted
his impeachment and began to investigate the clauses of the
Anglo-French treaties. A second Test Act (1678) was passed,
barring all but Anglicans from Parliament, and an exception for
the duke of York to sit in the Lords was carried by only two
votes. After 18 years Charles II dissolved the Cavalier
Parliament.
The exclusion crisis and the Tory reaction
The mass hysteria that resulted from the Popish Plot also
had its effects on the country’s governors. When Parliament
assembled in 1679, a bill was introduced to exclude the duke of
York from the throne. This plunged the state into its most
serious political crisis since the revolution. But, unlike his
father, Charles II reacted calmly and decisively. First he
co-opted the leading exclusionists, including the earl of
Shaftesbury, the earl of Halifax, and the earl of Essex, into
his government, and then he offered a plan for safeguarding the
church during his brother’s reign. But when the Commons passed
the Exclusion Bill, Charles dissolved Parliament and called new
elections. These did not change the mood of the country, for in
the second Exclusion Parliament (1679) the Commons also voted to
bypass the duke of York in favour of his daughter Mary and
William of Orange, though this was rejected by the Lords. Again
Parliament was dissolved, again the king appealed to the
country, and again an unyielding Parliament met at Oxford
(1681). By now the king had shown his determination and had
frightened the local elites into believing that there was danger
of another civil war. The Oxford Parliament was dissolved in a
week, the “Whig” (Scottish Gaelic: “Horse Thief”) councillors,
as they were now called, were dismissed from their places, and
the king appealed directly to the country for support.
The king also appealed to his cousin Louis XIV, who feared
exclusion as much as Charles did, if for different reasons.
Louis provided a large annual subsidy to increase Charles’s
already plentiful revenues, which had grown with English
commerce. Louis also encouraged him to strike out against the
Whigs. An attempt to impeach the earl of Shaftesbury was foiled
only because a Whig grand jury refused to return an indictment.
But the earl was forced into exile in Holland, where he died in
1683. The king next attacked the government of London, calling
in its charter and reorganizing its institutions so that
“Tories” (Irish: “Thieving Outlaws”), as his supporters were now
called, held power. Quo warranto proceedings against the
charters of many urban corporations followed, forcing surrenders
and reincorporations that gave the crown the ability to replace
disloyal local governors. (See Whig and Tory.)
In 1683 government informants named the earl of Essex, Lord
William Russell, and Algernon Sidney as conspirators in the Rye
House Plot, a plan to assassinate the king. Though the evidence
was flimsy, Russell and Sidney were executed and Essex took his
own life. There was hardly a murmur of protest when Charles II
failed to summon a Parliament in 1684, as he was bound to do by
the Triennial Act. He was now fully master of his
state—financially independent of Parliament and politically
secure, with loyal Tory servants predominating in local and
national government. He died in 1685 at the height of his power.
James II (1685–88)
Church and king
Unlike his brother, James II did not dissimulate for the
sake of policy. He dealt plainly with friend and foe alike.
James did not desire to establish Catholicism or absolutism and
offered ironclad guarantees for the preservation of the Anglican
church. He did desire better treatment for his coreligionists
and the repeal of the Test Acts. James came to the throne amid
declarations of loyalty from the ruling elite. The Parliament of
1685 was decidedly royalist, granting the king customs revenues
for life as well as emergency military aid to suppress
Monmouth’s Rebellion (1685). James Scott, duke of Monmouth, an
illegitimate son of Charles II, was Shaftesbury’s personal
choice for the throne had Exclusion succeeded. Monmouth
recruited tradesmen and farmers as he marched through the west
country on the way to defeat at the Battle of Sedgemoor. The
rebellion was a fiasco, as the local gentry refused to sanction
civil war. Monmouth was executed, and more than 600 of his
supporters were either hanged or deported in the brutal
aftermath of the rebellion, the Bloody Assizes (1685).
The king misinterpreted Monmouth’s failure to mean that the
country would place the legitimate succession above all else.
During the rebellion, James had dispensed with the Test Act and
appointed Catholics to military command. This led to a
confrontation with Parliament, but the king’s dispensing power
was upheld in Godden v. Hales (1686). James made it clear that
he intended to maintain his large military establishment, to
promote Catholics to positions of leadership, and to dispense
with the penal code.
These decisions could hardly have come at a worse moment. In
France Louis XIV revoked the Edict of Nantes, the legislation
that had protected the rights of French Protestants for nearly a
century. The repression of Huguenot congregations inflamed
English public opinion. Thus, the king’s effort on behalf of
Catholics was doomed from the start. He had vainly hoped the
Parliament of 1685 would repeal the Test Acts. When his attempt
to open the universities to Catholics was met by rigid
opposition, he forced a Catholic head upon Magdelan College,
Oxford, but only after an open break with the fellows and
unpleasant publicity. Moreover, his effort to forge an alliance
with Dissenters proved unsuccessful. When James showed favour to
William Penn and the Quakers, his leading Anglican ministers,
Henry Hyde, earl of Clarendon, and Lawrence Hyde, earl of
Rochester, resigned.
By now the king was set upon a collision course with his
natural supporters. The Tory interest was made up of solid
support for church and king; it was James’s mistake to believe
that they would support one without the other. In 1687 he
reissued the Declaration of Indulgence, which suspended the
penal laws against Catholics and Dissenters. This was a
temporary measure, for James hoped that his next Parliament
would repeal the penal code in its entirety. To that end he
began a systematic investigation of the parliamentary boroughs.
Agents were sent to question mayors, lieutenants, and justices
of the peace about their loyalty to the regime and their
willingness to vote for members of Parliament (MPs) who would
repeal the Test Acts. Most gave temporizing answers, but those
who stood out were purged from their places. For the first time
in English history, the crown was undertaking to pack
Parliament.
The Revolution of 1688
The final crisis of James’s reign resulted from two
related events. The first was the refusal of seven bishops to
instruct the clergy of their dioceses to read the Declaration of
Indulgence in their churches. The king was so infuriated by this
unexpected check to his plans that he had the bishops
imprisoned, charged with seditious libel, and tried. Meanwhile,
in June 1688 Queen Mary (Mary of Modena) gave birth to a male
heir, raising the prospect that there would be a Catholic
successor to James. When the bishops were triumphantly acquitted
by a London jury, leaders of all political groups within the
state were persuaded that the time had come to take action.
Seven leading Protestants drafted a carefully worded invitation
for William of Orange to come to England to investigate the
circumstances of the birth of the king’s heir. In effect, the
leaders of the political nation had invited a foreign prince to
invade their land.
This came as no surprise to William, who had been
contemplating an invasion since the spring of 1688. William, who
was organizing the Grand Alliance against Louis XIV, needed
England as an ally rather than a rival. All Europe was readying
for war in the summer of 1688, and James had powerful land and
sea forces at his disposal to repel William’s invasion. The
crossing, begun on October 19, was a feat of military genius,
however propitious the strong eastern “Protestant wind” that
kept the English fleet at anchor while Dutch ships landed at
Torbay (November 5). William took Exeter and issued a
declaration calling for the election of a free Parliament. From
the beginning, the Anglican interest flocked to him. James could
only watch as parts of his army melted away.
Yet there was no plan to depose the king. Many Tories hoped
that William’s presence would force James to change his
policies; many Whigs believed that a free Parliament could
fetter his excesses. When James marched out of London, there was
even the prospect of battle. But the result was completely
unforeseen. James lost his nerve, sent his family to France, and
followed after them, tossing the Great Seal into the Thames.
James’s flight was a godsend, and, when he was captured en
route, William allowed him to escape again. At the end of
December, William arrived in London, summoned the leading peers
and bishops to help him keep order, and called Parliament into
being.
The Convention Parliament (1689) met amid the confusion
created by James’s flight. For some Tories, James II was still
the king. Some were willing to contemplate a regency and others
to allow Mary to rule with William as consort. But neither
William nor the Whigs would accept such a solution. William was
to be king in his own right, and in February the Convention
agreed that James had “abdicated the government and that the
throne has thereby become vacant.” At the same time, the leaders
of the Convention prepared the Declaration of Rights to be
presented to William and Mary. The declaration was a restatement
of traditional rights, but the conflicts between Whigs and
Tories caused it to be watered down considerably. Nevertheless,
the Whigs did manage to declare the suspending power and the
maintenance of a standing army in peacetime illegal. But many of
the other clauses protecting free speech, free elections, and
frequent Parliaments were cast in anodyne formulas, and the
offer of the throne was not conditional upon the acceptance of
the Declaration of Rights.
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William III (1689–1702) and Mary II (1689–94)
The revolution settlement
The Glorious Revolution (the Revolution of 1688) was a
constitutional crisis, which was resolved in England, if not in
Scotland and Ireland, through legislation. The Bill of Rights
(1689), a more conservative document than even the declaration,
was passed into law, and it established the principle that only
a Protestant could wear the crown of England. A new coronation
oath required the monarch to uphold Protestantism and the
statutes, laws, and customs of the realm as well. A Triennial
Act (1694) reestablished the principle of regular parliamentary
sessions.
Two other pieces of legislation tackled problems that had
vexed the country since 1640. The Mutiny Act (1689) restrained
the monarch’s control over military forces in England by
restricting the use of martial law. It was passed for one year
only; however, when it lapsed between 1698 and 1701, the crown’s
military power was not appreciably affected. The Toleration Act
(1689) was the most disappointing part of the whole settlement.
It was originally intended to be part of a new comprehensive
religious settlement in which most mainline Dissenters would be
admitted into the church. This failed for the same reasons that
comprehension had been failing for 30 years; the Anglican clergy
would not give up its monopoly, and Dissenters would not
compromise their principles. The Toleration Act permitted most
forms of Protestant worship; Unitarians were explicitly
excluded, as were Catholics and Jews. But the Test Acts that
prevented Dissenters from holding government office or sitting
in Parliament were continued in force.
A new society
In the decades before, and especially following, the
Glorious Revolution, profound realignments can be seen in
English society. Hitherto, the great divide was between landed
wealth and urban wealth derived from trade and the law. A new
fault line became ever clearer within landed society, and new
ties emerged between the super-rich of the city and countryside.
The old social values that had tied the peerage, or nobilitas
maior (greater nobility), and gentry, or nobilitas minor (lesser
nobility), withered. A new social term emerged, the aristocracy.
Previously it had been used to describe not a social group but a
system of government; now it referred to an elite whose wealth
was vicarious, encompassing not only vast estates but also great
profits from urban redevelopment—such as the Russells’
redevelopment of Covent Garden and later of Bloomsbury (from the
time of Francis Russell, 4th earl of Bedford) and the
Grosvenors’ development of Mayfair, Belgravia, and Pimlico (from
the time of Sir Thomas Grosvenor in the early 18th century).
Profits also came to them from investment in overseas trading
companies and from government stock. They built elegant town
houses to go with their huge country houses, often pulling down
or shifting whole villages (as Sir Robert Walpole did at
Houghton Hall and Philip Yorke, earl of Hardwicke, did at
Wimpole) so as to produce spacious parks and noble vistas for
themselves. They patronized the secular arts in one sense and
the ‘‘squires’’ (another new term for the ‘‘mere” gentry) in
another sense. The squires faced financial decline as their rent
rolls sagged and new, expensive forms of capital-intensive
rather than labour-intensive agriculture passed them by. Two new
political epithets were introduced: Whig aristocrat and Tory
squire. They represented two social realities and two political
visions: the Whig vision of a cosmopolitan, religiously and
culturally liberal society and the Tory vision of a world gone
bad that had abandoned the paternalism of manor house and parish
church and of the confessional state and the organic society
(the body politic) in favour of a materialistic possessive
individualism. Post-revolution society was based much less on
the rule of social leaders voluntarily leading in public service
and on private philanthropy than on a rule of law made by the
elite for the elite and upon the professionalism of government.
These changes to the social order made many Tories
temperamentally Jacobite, not in the sense that they believed in
the cause of James Edward, the Old Pretender, or Charles Edward,
the Young Pretender, but in the sense that they were in
perpetual mourning for the world they had lost.
The sinews of war
William III had come to England to further his
continental designs, but English politics conspired against him.
The first years of his reign were dominated by the
constitutional issues of the revolution settlement, and he
became increasingly frustrated with the political squabbling of
Whigs and Tories. Moreover, holding the English throne was
proving more difficult than taking it. In 1690, with French
backing, James II invaded Ireland. William personally led an
army to the Battle of the Boyne (1690), where James’s forces
were crushed. But the compromise settlement that his
plenipotentiaries reached with the Catholic leaders as the price
of their abandonment of resistance (the Treaty of Limerick) was
rejected by the Irish Parliament, which executed the full
rigours of the penal code upon Irish Catholics.
The Irish wars impressed upon William’s English subjects
that, as long as the French backed James, they were now part of
the great European struggle. Parliament granted William vast
subsidies for the War of the Grand Alliance (1688–97), more than
£4.5 million in a two-year period alone, but also established a
right to oversee the expenditure of public monies. This led to
both economies and accountability, and it forged a new political
alliance among “country” (that is, anti-court) forces that were
uneasy about foreign entanglements and suspicious of corruption
at court. William’s war was going badly on land and sea. The
French fleet inflicted heavy losses on a combined Anglo-Dutch
force and heavier losses on English merchant shipping. The land
war was a desultory series of sieges and reliefs, which again
tipped in favour of France.
For some time it looked as if Scotland might go its own way.
Whereas in England the centre held and compromises were reached,
in Scotland James’s supporters first held their ground and then
crumbled, and a vindictive Parliament not only decreed a
proscription of his supporters but set out to place much greater
limits on the crown. James was formally deposed. Moreover,
measures were taken to ensure that Westminster could not dictate
what was done in Edinburgh. And there was to be religious
toleration in Scotland. Episcopacy was abolished, and all those
who had taken part in the persecution of covenanting
conventicles in previous years were expelled from a vengeful
kirk (church). There was spasmodic resistance from Jacobites,
and it took several years and some atrocities—most notoriously,
the slaughter of the MacDonalds, instigated by their ancient
enemies the Campbells, in the Massacre of Glencoe in 1692—for
William to secure complete control.
Year by year the financial costs mounted. Between 1688 and
1702 England accumulated more than £14 million of debt, which
was financed through the creation of the Bank of England (1694).
The bank was a joint-stock company empowered to discount bills
and issue notes. It lent to the government at a fixed rate of
interest—initially 8 percent—and this interest was secured by a
specific customs grant. Investors scrambled for the bank’s
notes, which were considered gilt-edged securities, and more
than £1.2 million was raised on the initial offering. Not
surprisingly, a growing funded debt created inflation and led to
a financial crisis in 1696. But the underlying English economy
was sound, and military expenditures fueled production.
The establishment of a funded national debt and the Bank of
England was the work of the Whigs in alliance with the London
mercantile establishment. The Tories and the country party were
alternately suspicious and jealous of Whig success. In order to
secure funds for his campaigns, William had been forced to allow
the Whigs to dominate government, much against his inclination.
An attempted assassination of the king in 1696 gave the Whigs an
opportunity to impose an oath on the political nation that
William was the “rightful and lawful king.” This directly
challenged Tory consciences, which had been tender since the
death of Queen Mary in 1694. Many resigned office rather than
affirm what they did not believe. The ascendancy of the
so-called Junto Whigs might have been secured had not European
events once again intruded into English affairs. In 1697 the War
of the Grand Alliance ended with the Treaty of Rijswijk, in
which Louis XIV formally recognized William III as king of
England.
A great revulsion and war weariness now took hold of the
country. Parliament voted to disband most of the military
establishment, including William’s own Dutch guards, and a
vigorous public debate against the existence of a standing army
ensued. Taxes were slashed, accounts were audited, and
irregularities were exposed. The Junto Whigs, who were
associated with war and war profiteers, fell. A new coalition of
country and Tory MPs, led by Robert Harley, earl of Oxford,
launched a vigorous campaign of retrenchment. It had not
progressed very far by 1700, when the deaths of the duke of
Gloucester and Charles II of Spain redefined English and
European priorities.
The duke of Gloucester was the only surviving child of Queen
Mary’s sister, Princess Anne, despite her 18 pregnancies.
Because William and Mary were childless, the duke was the
long-term Protestant heir to the throne. His death created a
complicated problem that was resolved in the Act of Settlement
(1701), which bypassed 48 legitimate but Catholic heirs and
devolved the throne upon a granddaughter of James I, that is, on
Sophia of Hanover and her son George (later George I). In
clauses that read like a criticism of the policies of William
III, the act stipulated that the sovereign must be—and could
only be—married to a member of the Anglican church and that his
foreign policy was to be directed by Parliament and his domestic
policy by the Privy Council. It also limited the right of the
king to dismiss judges at pleasure. Although many of the more
restrictive clauses of the act were repealed in 1706, the Act of
Settlement asserted a greater degree of parliamentary control
over the monarchy than had been obtained since 1649.
The consequences of the death of Charles II of Spain were no
less momentous. Years of futile negotiations to divide the vast
Spanish empire among several claimants came to an end when Louis
XIV placed his grandson on the Spanish throne and began making
preparations to unite the kingdoms into a grand Bourbon
alliance. Louis’s aggressive stance overcame even the torpor of
British public opinion, especially when he renounced William’s
legitimacy and welcomed James Edward, the Old Pretender, to his
court as rightful king of England. William constructed another
anti-French coalition and bequeathed to Queen Anne the War of
the Spanish Succession (1701–14).
Anne (1702–14)
Queen Anne, daughter of James II and the last of the
Stuarts, inherited a country that was bitterly divided
politically. Her weak eyesight and indifferent health forced her
to rely more upon her ministers than had any of her Stuart
predecessors, but she was no less effective for that. Anne had
decided views about people and policies, and these did much to
shape her reign. She detested the party divisions that now
dominated central politics and did all she could to avoid being
controlled by either Whigs or Tories. While she only briefly
achieved her ideal of a nonpartisan ministry, Anne did much to
disappoint the ambitions of nearly all party leaders.
Whigs and Tories
The most significant development in political life over
the previous quarter century had been the growth of clearly
defined and opposing parties, which had taken the opprobrious
titles Whigs and Tories. Parties had first formed during the
exclusion crisis of 1679–81, but it was the Triennial Act (1694)
that unintentionally gave life to party conflict. Nine general
elections were held between 1695 and 1713, and these provided
the structure whereby party issues and party leaders were pushed
to the fore. Though party discipline was still in its infancy
and ideology was a novel aspect of politics, clearly
recognizable political parties had emerged by the end of the
reign of William III. In general, the Tories stood for the
Anglican church, the land, and the principle of passive
obedience. They remained divided over the impending Hanoverian
succession (see house of Hanover), wistfully dreaming that James
Edward might convert to Protestantism so that the sanctity of
the legitimate succession could be reaffirmed. From their
country houses, the Tories opposed an expensive land war and
favoured the “blue sea” strategy of dominating the Atlantic and
Mediterranean shipping lanes. Their leaders had a
self-destructive streak. Only Robert Harley, earl of Oxford, was
a politician of the first rank, and he always shrank from being
labeled a Tory. The Tories generally had a majority in the
Commons and a friend on the throne, but they rarely attained
power.
The Whigs stood for Parliament’s right to determine the
succession to the throne, for all necessary measures to blunt
the international pretensions of Catholic-absolutist France, and
for a latitudinarian approach to religion and a broad, generous
interpretation of the Toleration Act. They were blessed with
brilliant leadership and an inexhaustible supply of good luck.
John Churchill, duke of Marlborough, was the outstanding
military figure of his day. His victories at the Battle of
Blenheim (1704) and the Battle of Ramillies (1706) rank among
the greatest in British history. During the first part of the
reign, his wife, Sarah, duchess of Marlborough, was the queen’s
confidante, and together the Marlboroughs were able to push Anne
to support an aggressive and expensive foreign policy.
Continental warfare was costing £4 million a year, paid for by a
tax on land, and, after the early years, successes were few and
far between. Sidney Godolphin kept the duke supplied and
financed and ably managed the Whig interest by disciplining
government officeholders to vote for Whig policies in
Parliament. Among these policies was support for Dissenters who,
to avoid the rigours of the Test Acts, would take Anglican
communion. Both the queen and the Tories were opposed to these
occasional conformists, and three bills to outlaw the practice
were passed through the Commons but defeated in the Lords. When
the Tories attempted to attach one of these to the military
appropriations bill, even the queen condemned the maneuver.
For the first half of Anne’s reign, Whig policies were
dominant. The duke of Marlborough’s victories set off a wave of
nationalistic pride and forced even Tories to concede the wisdom
of a land war. Unfortunately, military success built
overconfidence, prompting the Whigs to adopt the fruitless
policy of “no peace without Spain,” which committed them to an
increasingly unattainable conquest of Iberia. Yet the capture of
both Gibraltar (1704) and Minorca (1708) made England the
dominant sea power in the western Mediterranean and paid
handsome commercial dividends. So too did the unexpected union
with Scotland in 1707 (see Act of Union). Here again, Godolphin
was the dominant figure, calling the Scottish Parliament’s bluff
when it announced it would not accept the Hanoverian succession.
Godolphin passed the Aliens Act (1705), which would have
prohibited all trade between England and Scotland—no mere scare
tactic in light of the commercial policy that was crippling the
Irish economy. Rather than risk economic strangulation, Scottish
leaders negotiated for a permanent union, a compact the English
monarchy had sought for more than a century. The union was a
well-balanced bargain: free trade was established; Scottish
Presbyterianism and the Scottish legal system were protected;
and provisions were made to include 45 Scottish members in the
English House of Commons and 18 members in the House of Lords.
England gained security on its northern border, and the Whigs
gained the promise of a peaceful Hanoverian succession.
Tories and Jacobites
Whig successes were not welcomed by the queen, who had a
personal aversion to most of their leaders, especially after her
estrangement from Sarah Churchill. As in the reign of William,
war weariness and tax resistance combined to bring down the
Whigs. The earl of Oxford and Henry St. John, Viscount
Bolingbroke, vied for leadership of a reinvigorated Tory party
that rallied support with the cry “church in danger.” In 1710 a
Whig prosecution of a bigoted Anglican minister, Henry
Sacheverell, badly backfired. Orchestrated mob violence was
directed against dissenting churches, and Sacheverell was
impeached by only a narrow margin and given a light punishment.
When the Tories gained power, they were able to pass legislation
directed against Dissenters, including the Occasional Conformity
Act (1711), which forbade Dissenters to circumvent the test acts
by occasionally taking Anglican communion, and the Schism Act,
which prevented them from opening schools (they were barred from
Anglican schools and colleges). The Tories also concluded the
War of the Spanish Succession. By the Treaty of Utrecht (1713),
England expanded its colonial empire in Canada and the Caribbean
and maintained possession of Gibraltar and Minorca in the
Mediterranean.
But the Tories had their own Achilles’ heel. They were deeply
divided over who should succeed Anne, which became public during
the queen’s serious illness in 1713. Though there were far more
Hanoverian Tories than Jacobite Tories (supporters of James II
and his son, James Edward, the Old Pretender), the prospect of
the succession of a German Lutheran prince with continental
possessions to defend did not warm the hearts of isolationist
Anglican country gentlemen. Both Oxford and Bolingbroke were in
correspondence with James Edward, but Oxford made it plain that
he would only support a Protestant succession. Bolingbroke’s
position was more complicated. A brilliant politician, he
realized that the Tories would have little to hope for from the
Hanoverians and that they could only survive by creating huge
majorities in Parliament and an unshakable alliance with the
church. Conflict between Tory leaders and divisions within the
rank and file combined to defeat Bolingbroke’s plans. After Anne
died in August 1714, George I acceded to the British throne, and
Bolingbroke, having tainted the Tory party with Jacobitism for
the next half century, fled to France.
Mark A. Kishlansky
John S. Morrill
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18th-century Britain, 1714–1815
The state of Britain in 1714
When Georg Ludwig, elector of Hanover, became king of
Great Britain on August 1, 1714, the country was in some
respects bitterly divided. Fundamentally, however, it was
prosperous, cohesive, and already a leading European and
imperial power. Abroad, Britain’s involvement in the War of the
Spanish Succession had been brought to a satisfactory conclusion
by the Treaty of Utrecht (1713). It had acquired new colonies in
Gibraltar, Minorca, Nova Scotia, Newfoundland, and Hudson’s Bay,
as well as trading concessions in the Spanish New World. By
contrast, Britain’s rivals, France, Spain, and the Dutch
Republic, were left weakened or war-weary by the conflict. It
took France a decade to recover, and Spain and Holland were
unable to reverse their military and economic decline. As a
result Britain was able to remain aloof from war on the
Continent for a quarter of a century after the Hanoverian
succession, and this protracted peace was to be crucial to the
new dynasty’s survival and success.
War had also strengthened the British state at home. The need
to raise men and money had increased the size and scope of the
executive as well as the power and prestige of the House of
Commons. Taxation had accounted for 70 percent of Britain’s
wartime expenditure (£93,644,560 between 1702 and 1713), so the
Commons’ control over taxation became a powerful guarantee of
its continuing importance.
Britain’s ability to pay for war on this scale demonstrated
the extent of its wealth. Agriculture was still the bedrock of
the economy, but trade was increasing, and more men and women
were employed in industry in Britain than in any other European
nation. Wealth, however, was unequally distributed, with almost
a third of the national income belonging to only 5 percent of
the population. But British society was not polarized simply
between the rich and the poor; according to writer Daniel Defoe
there were seven different and more subtle categories:
1. The great, who live profusely.
2. The rich, who live plentifully.
3. The middle sort, who live well.
4. The working trades, who labour hard, but feel no want.
5. The country people, farmers etc., who fare indifferently.
6. The poor, who fare hard.
7. The miserable, that really pinch and suffer want.
From 1700 to the 1740s Britain’s population remained stable
at about seven million, and agricultural production increased.
So, although men and women from Defoe’s 6th and 7th categories
could still die of hunger and hunger-related diseases, in most
regions of Britain there was usually enough basic food to go
around. This was crucial to social stability and to popular
acquiescence in the new Hanoverian regime.
But early 18th-century Britain also had its weaknesses. Its
Celtic fringe—Wales, Ireland, and Scotland—had been barely
assimilated. The vast majority of Welsh men and women could
neither speak nor understand the English language. Most Irish
men and women spoke Gaelic and belonged to the Roman Catholic
church, in contrast with the population of the British mainland,
which was staunchly Protestant. Scotland, which had only been
united to England and Wales in 1707, still retained its
traditional educational, religious, legal, and cultural
practices. These internal divisions were made more dangerous by
the existence of rival claimants to the British throne. James
II, who had been expelled in the Glorious Revolution of 1688,
died 13 years later, but his son, James Francis Edward Stuart,
the Old Pretender, pressed his family’s claims from his exile in
France. His Catholicism and Scottish ancestry ensured him wide
support in Ireland and the Scottish Highlands; his cause also
commanded sympathy among sections of the Welsh and English
gentry and, arguably, among the masses.
Controversy over the succession sharpened partisan infighting
between the Whig and Tory parties. About 50 Tory MPs (less than
a seventh of the total number) may have been covert Jacobites in
1714. More generally, Tories differed from Whigs over religious
issues and foreign policy. They were more anxious to preserve
the privileges of the Anglican church and more hostile to
military involvement in continental Europe than Whig politicians
were inclined to be. These attitudes made the Tories vulnerable
in 1714. The new king was a Lutheran by upbringing and wanted to
establish wider religious toleration in his new kingdom. As a
German he was deeply interested in European affairs.
Consequently he regarded the Tory party as insular in its
outlook as well as suspect in its allegiance.
Britain from 1715 to 1742
The supremacy of the Whigs
Even before he arrived in Britain, George I had decided
to exclude the two leading Tory ministers, Robert Harley, earl
of Oxford, and Henry St. John, Viscount Bolingbroke. In their
place he appointed two Whig politicians, Charles, Viscount
Townshend, and James, Viscount Stanhope, as secretaries of
state. Townshend’s brother-in-law, Robert Walpole, became
paymaster general. Walpole, who came from a minor Norfolk gentry
family, was an extremely able politician, shrewd, greedy, and
undeviatingly Whig. He encouraged the new king’s partisan bias,
turning it unremittingly to his advantage. A general election
was held in February 1715, and, due in part to royal influence,
the Whigs won 341 seats to the Tories’ 217. In December the Old
Pretender landed in Scotland, provoking an armed rebellion that
was quickly suppressed. The proved involvement of a small number
of Tory landowners led to Tories being purged not only from
state office but also from the higher ranks of the army and
navy, the diplomatic service, and the judicial system. To make
their capture of the state even more secure, the Whigs passed
the Septennial Act in 1716. It allowed general elections to
occur at seven-year intervals instead of every three years, as
mandated by the Triennial Act of 1694. The intention was to tame
the electorate, which during Anne’s reign had shown itself to be
volatile and far more inclined to vote Tory than Whig.
Having defeated their Tory opponents, the Whig leaders began
to quarrel among themselves. In 1717 Walpole and Townshend left
office and went into open opposition. Stanhope stayed on, with
Charles Spencer, earl of Sunderland, now serving as secretary of
state. At the same time the heir apparent to the throne, George,
prince of Wales, quarreled with his father and began to flirt
with Opposition groups in Parliament. These events set the
pattern for future political conflicts. From then on until the
1750s the Opposition in Parliament would be a hybrid group of
Whig and Tory sympathizers. And from then on until the early
19th century Oppositions in Parliament would enjoy sporadic
support from successive princes of Wales. In 1717 the rebel
Whigs were a serious threat in large part because Walpole was
such a skillful House-of-Commons politician. As peers,
Sunderland and Stanhope were confined to the House of Lords and
lacked spokesmen in the Commons who could match Walpole’s
ruthlessness and talent. He showed his power by mobilizing a
majority of MPs against the Peerage Bill in 1719. Had this
legislation passed, it would have limited the king’s prerogative
to create new peers, thereby cementing the Whig administration’s
majority in the House of Lords. To prevent further blows of this
kind, the Whig elite ended its schism in April 1720. The royal
family temporarily buried its differences at the same time.
The restoration of unity was just as well, as 1720 saw the
bursting of what became known as the South Sea Bubble. The South
Sea Company had been founded in 1711 as a trading and finance
company. In 1719 its directors offered to take over a large
portion of the national debt previously managed by the Bank of
England. The Whig administration supported this takeover, and in
return the company made gifts (in effect, bribes) of its new
stock to influential Whig politicians, including Stanhope and
Sunderland, and to the king’s mistress, the Duchess of Kendal.
In 1720 investing in the South Sea Company became a mania among
those who could afford it and some who could not; South Sea
stock was at 120 in January and rose to 1,000 by August. But in
September the inevitable crash came. Many landed and mercantile
families were ruined, and there was a nationwide shortage of
specie. Parliament demanded an inquiry, thus raising the
possibility that members of the government and the royal family
would be openly implicated in financial scandal. This disaster
proved to be Walpole’s opportunity, and he did not waste it. He
used his influence in the Commons to blunt the parliamentary
inquiry and managed gradually to restore financial confidence.
The strain of the investigation killed Stanhope, and Sunderland
too died in 1722. Walpole duly became first lord of the treasury
and chancellor of exchequer, while Townshend returned to his
post as secretary of state.
Walpole’s position as the king’s favourite minister was
finally assured when he exposed the Atterbury plot. Francis
Atterbury was bishop of Rochester. Always a Tory and High
Churchman, he drifted after the Hanoverian succession into
Jacobite intrigue. In 1721–22 he and a small group of
conspirators plotted an armed invasion of Britain on behalf of
the Old Pretender. The plot was uncovered by the secret service,
which was more efficient in this period than it was until World
War II. Atterbury was tried for treason by Parliament and sent
into exile. This coup, one politician aptly wrote at the time,
was the “most fortunate and greatest circumstance of Mr
Walpole’s life. It fixed him with the King, and united for a
time the whole body of Whigs to him, and gave him the universal
credit of an able and vigilant Minister.”
Robert Walpole
Walpole has often been referred to as Britain’s first
prime minister, but historically this is incorrect. The title
had in fact been applied to certain ministers in Anne’s reign
and was commonly used as a slur or simply as a synonym for first
minister. During Walpole’s period of dominance it was certainly
used more frequently, but it did not become an official title
until the early 20th century. Some historians have also claimed
that Walpole was the architect of political stability in
Britain, but this interpretation needs to be qualified. There is
no doubt that from 1722 to his resignation in 1742 Walpole
stabilized political power in himself and a section of the Whig
party. Nor can there be any doubt that his foreign and economic
policies helped the Hanoverian dynasty to become securely
entrenched in Britain. But it should not be forgotten that
Walpole inherited a nation that was already wealthy and at
peace. He built on foundations that were already very strong.
And, although he was to dominate political life for 20 years, he
never succeeded in stamping out political, religious, and
cultural opposition entirely, nor did he expect to do so.
Opposition to Walpole in Parliament began to develop as early
as 1725. When William Pulteney, an ambitious and talented
politician, was dismissed from state office, he and 17 other
Whig MPs aligned themselves with the 150 Tory MPs remaining in
the House of Commons. These dissidents (who called themselves
Patriot Whigs) grew in number until, by the mid-1730s, more than
100 Whig MPs were collaborating with the Tories against
Walpole’s nominally Whig administration. Some were motivated
primarily by disappointed ambition. But many Whigs and Tories
genuinely believed that Walpole had arrogated too much power to
himself and that he was corrupt and an enemy to liberty. These
accusations were expressed not just among politicians in London
but also in the growing number of newspapers and periodicals in
Britain at large. In 1726 Pulteney and the one-time Tory
minister Lord Bolingbroke founded their own journal, The
Craftsman (the implication of the title being that Walpole
governed by craft alone). It was widely read among the political
classes, not least because many of the most gifted writers
working in London had been drawn into the Opposition camp.
Jonathan Swift, Alexander Pope, and, for a time, Henry Fielding
all wrote against Walpole. So did John Gay, whose triumphantly
successful The Beggar’s Opera (1728) was a satire on ministerial
corruption.
But, despite its flamboyance and innovative tactics, the
Opposition for a long time lacked high-level support. Frequent
disagreements occurred between its Patriot Whig and Tory
sectors. These weaknesses helped Walpole to keep the Opposition
at bay until 1742. But there were other reasons for his
prolonged stay in power: he retained the support of the crown,
resisted military involvement in Europe, pursued a moderate
religious policy, and adopted a skillful economic policy.
Moreover, in the general elections of 1727 and 1734 he was able
to manipulate the electoral system to maintain himself in power.
George II and Walpole
George I died in June 1727 and was buried in Hanover. He
was succeeded by his eldest son, who became George II. Initially
the new king planned to dismiss Walpole and appoint his personal
favourite, Spencer Compton, in his place. Closer familiarity
with Walpole’s gifts, however, dissuaded him from taking this
step, as did his formidable wife, Queen Caroline, who remained
an important ally of the minister until her death in 1737.
Walpole cemented his advantage by securing the king a Civil List
(money allowance) from Parliament of £800,000, a considerably
larger sum than previous monarchs had been able to enjoy. Royal
favour, in turn, shored up Walpole’s parliamentary majority.
Because the monarch appointed and promoted peers, he had massive
influence in the House of Lords. In addition, he appointed the
26 bishops of the Church of England, who also possessed seats in
the House of Lords. He alone could promote men to high office in
the army, navy, diplomatic service, and bureaucracy.
Consequently, MPs who held such offices (the so-called
placemen), and those who wanted to hold them in the future, were
likely to support Walpole as the king’s minister out of
self-interest, if for no other reason. Walpole, however, could
never take royal support for granted. George II was an irritable
but by no means an insignificant figure who retained great
influence in terms of patronage, military affairs, and foreign
policy. He demanded respect from his minister and had to be
carefully managed.
Foreign policy
Once the Hanoverian succession had taken place, Whig
ministers became as eager to remain at peace with France as the
Tories had been. Walpole certainly adhered to this view, and for
good reasons. Although Britain now possessed the world’s most
powerful navy, it could not match France in land forces. War
with France, moreover, was likely to lead to an invasion of
Hanover, which was naturally unwelcome to George I and his
successor. It would also give the Old Pretender the prospect of
French military aid to launch an invasion against Britain
itself. In 1717 Stanhope negotiated a Triple Alliance with the
French and the Dutch. This treaty was maintained by Walpole and
Townshend throughout the 1720s. By 1730, however, it was
attracting considerable criticism from the Opposition, and in
the Second Treaty of Vienna, signed in March 1731, Walpole
jettisoned the Anglo-French alliance in favour of an alliance
with Austria. But whether forming an alliance with the French or
the Austrians, Walpole always considered it his primary aim to
keep Britain out of war in continental Europe. In 1733 Austria,
Saxony, and Russia went to war against France, Spain, and
Sardinia in the War of the Polish Succession (1733–38). The
Austrians asked for British aid under the terms of the Treaty of
Vienna, but Walpole refused to give it. By keeping out of
European entanglements for so long, Walpole appeased some of the
traditionally insular Tory MPs. He also kept direct taxation
low, which pleased many landed families. The land tax was cut to
two shillings in the pound (10 percent) in 1730 and to one
shilling in the pound two years later.
Religious policy
Walpole’s religious policy was also designed to foster
social and political quiescence. Traditionally the Whig party
had supported wider concessions to the Protestant dissenters
(Protestants who believed in the doctrine of the Trinity but who
refused to join in the worship of the state church, the Church
of England). They had been given freedom of worship under the
Toleration Act of 1689 but were barred from full civil rights
and access to university education in England. In 1719 the Whigs
had repealed two pieces of Tory legislation aimed against
dissent, the Schism and the Occasional Conformity acts. These
concessions ensured that Protestant dissenters would be able to
establish their own educational academies and hold public office
in the localities, if not in the state.
There was always a danger, however, that too many concessions
to Protestant dissent would alienate the Church of England,
which enjoyed wide support in England and Wales. There were
5,000 parishes in these two countries, each containing at least
one church served by a vicar (minister) or a curate (his
deputy). For much of the 18th century these Anglican churches
provided the only large, covered meeting places available
outside of towns. They served as sources of spiritual comfort
and also as centres for village social life. At religious
services vicars would not only preach the word of God but also
explain to congregations important national developments: wars,
victories, and royal deaths and births. Thus churches often
supplied the poor, the illiterate, and particularly women with
the only political information available to them. Weakening the
Church of England therefore struck Walpole as unwise, for at
least two reasons. Its ministers provided a vital service to the
state by communicating political instruction to the people. The
church, moreover, commanded massive popular loyalty, and
assaults on its position would arouse nationwide discontent.
Walpole therefore determined to reach an accommodation with the
church, and in 1723 he came to an agreement with Edmund Gibson,
Bishop of London. Gibson was to ensure that only clergymen
sympathetic to the Whig administration were appointed to
influential positions in the Church of England. In return,
Walpole undertook that no further extensive concessions would be
made to Protestant dissenters. This arrangement continued until
1736.
Economic policies
Finally, Walpole’s long tenure of power was assisted by
national prosperity. The gross national product rose from £57.5
million in 1720 to £64.1 million in 1740, an increase of 11.5
percent. Walpole encouraged trade by abolishing some customs
duties, but his main economic concerns were to reduce interest
payments on the national debt and to foster agriculture by
switching taxation from land to consumption. He succeeded in
reducing interest payments on the debt by 26 percent during his
time in office, but his efforts to reduce the land tax in favour
of more excises almost led to political disaster. In 1732 he
revived a duty on salt, which enabled him to cut the land tax to
one shilling in the pound. In 1733 he proposed to levy excise
taxes on the sale of wine and tobacco, but the Opposition in
Parliament launched a ferocious and successful campaign against
these proposals. It claimed that excises weighed unfairly on the
poor, whereas the land tax was mainly paid by the prosperous. It
claimed, too, that excise collectors, and there were more than
6,000 of them employed by the state by this time, intruded into
citizens’ private affairs and were a danger to British
liberties. This crisis led to nationwide riots and
demonstrations, and Walpole’s House-of-Commons majority seemed
in jeopardy. In April 1733 he decided to retreat. He continued,
however, until 1740 to keep the land tax at a low rate, thereby
winning important support from the nation’s dominant landed
class.
The electoral system
The fiasco over the excise might have toppled Walpole,
since a general election was scheduled for 1734. In fact,
however, his administration retained a comfortable majority in
the House of Commons. One reason for this was that Britain’s
electoral system at this time did not adequately reflect the
state of public opinion. Until the Reform Act of 1832 England
returned 489 MPs. Eighty of these were elected by the 40 county
constituencies; 196 smaller constituencies called boroughs
returned two MPs each, and two other boroughs, including London,
the capital city, returned four MPs each. Oxford and Cambridge
universities were also allowed four representatives in
Parliament. Wales returned only 24 members of Parliament and
Scotland 45. Their limited representation indicated the extent
to which these countries were subordinated to England in the
British political system at this time.
The system was not even remotely democratic. Power in this
society was intimately and inextricably connected with the
possession of property, particularly landed property. To be
eligible for election as an MP, a man had to possess land worth
£600 per annum if he was representing a county constituency and
worth £300 per annum in the case of a borough constituency. To
vote, adult males had to possess some kind of residential
property or, in certain borough constituencies, be registered as
freemen. Women were not given the vote until 1918.
In all, some 350,000 Britons may have been able to vote in
the 1720s, which was roughly one in four of the adult male
population. There was no secret ballot, and voting took place in
public. Consequently, many voters were liable to be influenced
or coerced by their landlords or employers or bribed by the
candidates themselves. Bribery was particularly widespread and
effective in the smaller boroughs where there were often fewer
than 100 voters and sometimes fewer than 50. These
constituencies were called rotten or pocket boroughs. In the
borough of Malmesbury, for example, in the English county of
Wiltshire, there were only 13 voters, few of whom voted strictly
in accordance with their own conscience or opinions: “It was no
odds to them who they voted for,” one inhabitant declared, “it
was as master pleased.” Large electorates could be found,
however, in some areas. The northern English county constituency
of Yorkshire had 15,000 voters in 1741. In Bristol, a major port
on the western coast of England, 5,000 men had the
vote—approximately one-third of the city’s adult male
population. In these larger constituencies public opinion could
make itself felt at election time. The problem for the
Opposition in 1734 was that there were few such populous, open
constituencies but very many rotten borough seats such as
Malmesbury. Since government candidates usually had more to
bribe voters with in the way of money and favours, Walpole was
able to win the majority of these boroughs and therefore retain
his majority in the House of Commons despite his unpopularity
after the excise crisis.
Walpole’s loss of power
Walpole’s luck and political grasp only began to fail in
1737. In that year Queen Caroline, one of his most important
allies, died. At this time, too, Frederick Louis, prince of
Wales, George II’s eldest son and heir apparent, followed
Hanoverian family tradition; he quarreled with his father and
aligned himself with the Opposition. This damaged Walpole’s
position in two ways. The king, born in 1683, was now in his
50s, which was elderly by the standards of the time. Many young
ambitious MPs, such as William Pitt, were inclined to join
Prince Frederick, because they saw in him the political future.
Moreover, as Prince of Wales, Frederick owned a large part of
the county of Cornwall and consequently controlled numerous
rotten boroughs. In the 1734 election the Cornish constituencies
had returned 32 pro-government MPs to Parliament; but at the
next general election in 1741, when Prince Frederick used his
electoral influence against Walpole, only 17 pro-government
candidates were returned by this county. Walpole lost another
important ally to the opposition, John, duke of Argyll. Argyll
was a member of the Cabinet, the most important Whig landowner
in Scotland, and head of Clan Campbell. In the 1734 election his
influence in Scotland helped to ensure that 34 of the country’s
45 elected MPs were pro-government. But by the 1741 election he
had defected to the Opposition, and the electoral repercussions
were serious. On this occasion Scottish constituencies only
elected 17 pro-government MPs.
But Walpole’s main enemies were time and war. By 1737 he was
in his 60s and had dominated politics for 15 years. Some
ambitious Whigs resented his prolonged monopoly on power; others
anticipated his retirement or death and judged it prudent to
distance themselves from his administration. And some of
Walpole’s policies were now widely viewed as dubious, even
anachronistic. Whereas he wanted to keep Britain out of war,
many government and Opposition MPs, and even some members of
Walpole’s own Cabinet, favoured going to war with Spain to gain
colonial and commercial objectives. Such a war policy was
strongly backed by commercial opinion in London and in the
nation’s main trading cities.
It was a sign of Walpole’s declining powers that he was
unable to prevent the drift into war in 1739. The War of
Jenkins’ Ear (so called after an alleged Spanish atrocity
against a British merchant navy officer, Captain Robert Jenkins)
was initially successful. Admiral Edward Vernon became a popular
and Opposition hero when he captured the Spanish settlement of
Portobelo (in what is now Panama) in November 1739. But his
victory was followed by several defeats, and Britain soon became
embroiled in a wider European conflict, the War of the Austrian
Succession. Walpole survived the general election of 1741, but
with a greatly reduced majority. His political doom was sealed
in the fall of that year when the Tory and Whig sectors of the
Opposition managed finally to agree on a strategy to defeat him.
Walpole eventually resigned from his offices in early 1742. He
still retained the king’s favour, and, although sections of the
Opposition wanted to impeach him for corruption, he was given a
peerage, entered the House of Lords as earl of Orford, and died
in his bed in 1745. Nonetheless, the fact that he had to resign
despite George II’s continuing support indicated an important
development in the British political system. Although monarchs
retained the rights to choose their own ministers, they could no
longer retain a chief minister who was unable to command a
majority of votes in the House of Commons. If they wanted to
remain in office, chief ministers now needed to possess
parliamentary as well as royal support.
Britain from 1742 to 1754
Political events after Walpole’s resignation demonstrated
once again the artificiality and inner tensions of the
Opposition. Its Tory sector (some 140 MPs strong) had expected
that a new administration would be formed in which some of their
leaders would be given state office. They hoped that the
proscription of their party, implemented after 1714, would be
reversed and that various changes in domestic and foreign policy
would be made. But now that Walpole was out of the picture many
of their Patriot Whig allies wanted nothing more to do with
Tories or Tory measures. The leading Patriot Whig, William
Pulteney, accepted a peerage and became earl of Bath. Six other
Patriot Whigs accepted government office, including John, Baron
Carteret (later earl of Granville), who became the new secretary
of state. Spencer Compton, now earl of Wilmington, became the
new first lord of the treasury and nominal head of the
government. Fourteen former members of Walpole’s administration
retained their posts, including Henry Pelham and his older
brother, Thomas Pelham-Holles, duke of Newcastle. The Tories, as
well as many people outside Parliament, had expected the fall of
Walpole to result in a revolution in government and society, but
this did not occur. Instead, all that had happened was a
reshuffling of state employment among patrician Whigs, which
caused widespread disillusionment and anger. It was with the
Patriot Whigs in mind that Samuel Johnson, a staunch Tory, was
later to describe patriotism in his Dictionary as the last
resort of the scoundrel.
When Wilmington died in 1743, Carteret took over as head of
the administration. He was a clever and subtle man, able to
speak many European languages, and fascinated by foreign
affairs. These qualities naturally endeared him to the king. His
status as a royal favourite was confirmed when he accompanied
George on a military expedition to Germany in defense of the
electorate of Hanover. In June George commanded his British and
Hanoverian troops at the Battle of Dettingen (the last battle in
which a British monarch commanded), defeating the opposing
French forces. But the victory was not followed up and aroused
little patriotic enthusiasm in Britain. Instead, accusations
that the king and Carteret were sacrificing British interests to
Hanoverian priorities were openly expressed in Parliament and in
the press. The Pelham brothers took advantage of this discontent
(and Carteret’s absence) to undermine his political position. In
November 1744 he was forced to resign, though during the next 18
months George II continued to consult with him privately on
political business. These intrigues infuriated Henry Pelham, who
was now first lord of the treasury and chancellor of the
exchequer, and his brother Newcastle, who was secretary of
state.
The Jacobite rebellion
Britain’s involvement in the War of the Austrian
Succession, Tory and popular anger at the political deals that
followed Walpole’s resignation, and the infighting among the
Whig elite were the background to the Jacobite rebellion of
1745–46 (the Forty-five). Since Britain was now at odds with
France, the latter power was willing to sponsor an invasion on
behalf of the Stuart dynasty. It hoped that such an invasion
would win support from the masses and from the Tory sector of
the landed class. Although a handful of Tory conspirators
encouraged these hopes, the degree of their commitment is open
to question. A large-scale French naval invasion of Britain in
early 1744 failed in part because these men would not commit
themselves to action. In July 1745 the Old Pretender’s eldest
son, Charles Edward Stuart (the Young Pretender), landed in
Scotland without substantial French aid. In September he and
some 2,500 Scottish supporters defeated a British force of the
same size at the Battle of Prestonpans. In December, with an
army of 5,000 men, he marched into England and got as far south
as the town of Derby, some 150 miles from London.
Charles’s initial success owed much to the ineptitude, the
unconcern even, of Britain’s rulers. One problem was that the
standing army was too small, consisting of some 62,000 men.
Because of Britain’s involvement in the War of the Austrian
Succession, the bulk of this force was in Flanders and Germany.
Only 4,000 men had been left to defend Scotland, and most of
them were raw recruits. Moreover, hampered by internal
divisions, the administration was slow to respond. When the
Young Pretender landed, the Pelhams were anxious but Carteret,
now earl of Granville, was not. Nor, at the beginning, was
George II, who was actually in Hanover when his rival for the
throne landed. As a result of these squabbles and
misunderstandings, Parliament did not assemble until October 17,
1745. Because by law only Parliament could authorize money to
pay the militia (Britain’s civil defense force), this delay
seriously impeded early resistance to the Jacobite force. The
city of Carlisle in the north of England surrendered to the
rebels in November largely because its militia had received no
pay from the government or from anyone else for two months.
Some historians have argued that the mass of Britain’s
population cared little which dynasty ruled them at this time
and that the Young Pretender would have regained the kingdom for
the Stuarts if only he had pressed on to London. Clearly, this
thesis can never be proved one way or the other. The Jacobites,
however, did not try to march on to London but retreated to
Scotland. Nonetheless, it is probably significant that the Young
Pretender attracted scarcely any English supporters on his march
to Derby. Only in Manchester, which had a large Catholic
population, did he gain recruits—some 200 men, mostly unemployed
weavers. No Tory landowner or politician joined him, nor did any
men of influence or wealth come out in his favour. By contrast,
once the seriousness of the invasion was recognized, many
individuals joined home-defense units or subscribed money
against it. Between September and December 57 civilian loyal
associations are known to have been founded in 38 different
counties. Merchants and traders in the prosperous
towns—Liverpool, Norwich, Exeter, Bristol, and most of all
London—were particularly prominent in loyalist activity.
Although many Britons had become disillusioned by events
after Walpole’s fall, probably few were seriously tempted by the
prospect of a Jacobite restoration. The Young Pretender, a Roman
Catholic, was viewed as the pawn of France, Britain’s enemy and
prime commercial and imperial competitor. Traditionally the
Catholic religion and French politics were associated with
absolutist government, religious persecution, and assaults on
liberty. These prejudices worked against the Young Pretender’s
appeal, as did prejudices against the Scottish Highlanders, the
bulk of his armed supporters, who were regarded as terrifying
barbarians by many of the English. The lack of mass English
support for the Stuarts in 1745 dissuaded the French government
from sending substantial military aid to the rebels. On April
16, 1746, the duke of Cumberland (George II’s second son)
defeated the Jacobite army at Culloden in northern Scotland.
This was the last major land battle to occur in Great Britain.
The Young Pretender escaped to France and finally died in 1788,
sodden with drink and disillusionment.
The main result of the Forty-five was the British
government’s decision to integrate Scotland, and particularly
the Scottish Highlands, more fully into the rest of the kingdom.
Despite the Act of Union of 1707, clan chieftains had retained
considerable judicial and military powers over their followers.
But these powers were destroyed by the Abolition of Heritable
Jurisdictions (Scotland) Act of 1747. Other statutes required
oaths of allegiance to the Hanoverian dynasty from the
Episcopalian clergy, banned the wearing of kilts and tartans in
an attempt to erode distinctive Highlands practices, and
confiscated arms. The administration also confiscated the
estates of Highlands chieftains who had rebelled and used the
proceeds to encourage trade and agriculture in Scotland. Indeed,
the gradual pacification of Scotland and its partial integration
into a united Britain probably owed more to growing prosperity
than to legal changes. By the mid-1750s Scotland’s population
was estimated at 1,265,380, and it continued to grow at a rapid
rate until the 1830s. Linen production doubled between 1750 and
1775, and coal mining, iron smelting, and agricultural
productivity also began to expand. Economic and demographic
growth was particularly dramatic in towns such as Glasgow,
Edinburgh, Aberdeen, and Dundee. The Act of Union had made
Britain the largest free-trade area in Europe, and, as more
Scots came to profit from trading and manufacturing links with
England, more had a vested interest in maintaining the status
quo.
The rule of the Pelhams
Defeating the rebellion also strengthened the position of
the Pelhams. In February 1746, George II attempted to replace
them with Granville but failed. Thereafter Henry Pelham and
Newcastle insisted upon and received the king’s full confidence.
The attempted invasion widened once again the gulf between the
Whig and Tory parties. The Whigs became for a time more united,
and the Tories did badly in the general election of 1747,
winning only 110 seats. The only serious opposition Pelham faced
after that date came from the heir to the throne, Frederick,
prince of Wales. Although Frederick had abandoned the Opposition
in 1742, his impatience to succeed to the throne soon prompted
him to drift back into political intrigue against his father and
his father’s ministers. He claimed to be motivated by some of
Lord Bolingbroke’s political ideas. In 1738, during Frederick’s
earlier phase of opposition, Bolingbroke had written The Idea of
a Patriot King, arguing that a future ideal monarch could unify
and purify the nation by seizing the initiative to abolish
faction and ruling over an administration based on virtue rather
than on party. Frederick’s avowed commitment to a nonparty
government attracted Tory as well as a few Whig MPs to his
support in the late 1740s. But their schemes and hopes were
dashed when Frederick died in 1751. His eldest son, George (the
future George III), became heir to the throne, and serious
opposition to Pelham effectively ceased. Debate in Parliament
became so muted, one politician wrote, that a bird might have
built its nest in the Speaker’s wig and never be disturbed.
Both Pelham and Newcastle were overshadowed by their more
famous predecessor Robert Walpole and by their charismatic
successor, William Pitt the Elder. Like Walpole, both brothers
regarded themselves as staunchly Whig though their ideology was
by no means clear-cut. Like Walpole, they had little enthusiasm
for British involvement in European wars. They helped to
negotiate the Treaty of Aix-la-Chapelle (1748), which ended the
War of the Austrian Succession. Like Walpole, too, the Pelhams
sought to reduce the national debt and to keep taxation on land
low. But unlike Walpole, they avoided corruption; both lost
rather than made money during their political careers. And Henry
Pelham was more interested in domestic reform than Walpole had
been.
Domestic reforms
The Gin Act of 1751 was designed to reduce consumption of
raw spirits, regarded by contemporaries as one of the main
causes of crime in London. In 1752 Britain’s calendar was
brought into conformity with that used in continental Europe.
Throughout the continent, the calendar reformed in the 16th
century by Pope Gregory XIII had gained widespread use by the
mid-18th century and was 11 days ahead of the Julian calendar,
which had been used in Britain. It was once believed that
protests against this change—“give us back our 11 days,” crowds
are supposed to have chanted—represented nothing more than
parochial ignorance. In fact the adoption of the new calendar,
though it ultimately benefited commerce and international
relations, initially played havoc with monthly rental payments
and wages in the short term. In 1753 the Marriage Act was passed
to prevent secret marriages by unqualified clergymen. From then
on, every bride and groom had to sign a marriage register or, if
they were illiterate, make their mark upon it. This innovation
has been of enormous value to historians, enabling them to
establish how many Britons were able to write at this time and,
by inference, how many could read.
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British society by the mid-18th century
Joseph Massie’s categories
From the Hanoverian succession to the mid-18th century
the texture and quality of life in Britain changed considerably
but by no means evenly. Change was far more pronounced in the
towns than in the countryside and among the prosperous than
among the poor. The latter category was still very large; in the
late 1750s an economist named Joseph Massie estimated that the
bottom 40 percent of the population had to survive on less than
14 percent of the nation’s income. The rest of his calculations
can be summarized as follows:
Massie’s calculations were not exact since no official census
was implemented in Britain until 1800. But his figures were
probably broadly correct and are the best available for this
period. It is noticeable that his top three categories had close
connections with the land, still the bedrock of wealth, status,
and power. The greatest landowners (Massie’s 310 families) owned
estates ranging from 10,000 to 20,000 acres. Many of them
belonged to the peerage, that is, they were dukes, marquesses,
earls, viscounts, or barons. Such hereditary titles, which could
only be granted by the crown, carried with them the right to sit
in the House of Lords. In the reigns of George I and George II
there were some 170 of these peers. Almost all of them possessed
fine houses in London as well as one or more mansions in the
counties where their land lay. The dukes of Marlborough (Winston
Churchill’s ancestors), for example, dominated large parts of
Oxfordshire from their stately home of Blenheim (built 1705–30).
The earls of Carlisle in Cumberland built Castle Howard in the
same period, spending £35,000 on the house and a further £24,000
on the gardens. Together with the greater gentry and the
squires, listed in Massie’s second and third categories, great
landowners such as these owned considerably more than half of
the cultivatable land in Britain.
Not all wealthy men were landowners. The foundation of the
Bank of England in 1694 and other finance companies made it
possible to make fortunes on the stock market, and the expansion
of trade and industry forged powerful mercantile dynasties such
as the Whitbreads (brewing), Smiths (banking), and Strutts
(textiles). Some of these self-made families purchased landed
estates to advertise their new wealth; others made do with smart
town houses or country villas. But, although it was possible to
be rich and influential in this society without owning broad
acres, it was the landed elite that set the cultural tone and
dominated positions of power in both central and local
government. Every peer in the House of Lords and a majority of
MPs in the House of Commons owned land. Landowners also
monopolized the office of lord lieutenant. Lords lieutenant were
the crown’s leading representatives in each of the English and
Welsh counties. (Only in the 1790s was this office extended to
Scotland.) Appointed by the king, they were responsible for
maintaining law and order in their counties and for organizing
civil defense measures during time of war. To assist them in
these tasks, they appointed deputy lieutenants and justices of
the peace—offices usually held by the squires and lesser gentry
in the countryside and by merchants and landed gentlemen in the
towns. None of these offices carried salaries—a clear indication
that they were confined to the prosperous. But they brought with
them considerable local influence and status and were often much
sought after.
Less is known about Massie’s 4th, 5th, and 6th social
categories than about the landowning classes. And much less is
known about small merchants, tradesmen, professionals, artisans,
and labourers in Wales and Scotland than about their English
equivalents. Most historians believe that the middle-income
groups were increasing in number in the mid-18th century.
Professional opportunities in law, medicine, schoolteaching,
banking, and government service certainly expanded at this time.
In the town of Preston in Lancashire, for example, there was
only one attorney in 1702; by 1728 there were 17. Growing
prosperity also increased job opportunities in the leisure and
luxury industries. Urban directories show that there were more
musicians and music teachers and more dancing masters,
booksellers, caterers, and landscape gardeners than in the 17th
century. And there were more shops. Shops had expanded even into
rural areas by the 1680s, but in the 18th century they
proliferated at a much faster rate. By 1770 the new town of
Birmingham in Warwickshire had 129 shops dealing in buttons and
56 selling toys, as well as 35 jewelers. Not for nothing would
Napoleon Bonaparte later describe Britain as a nation of
shopkeepers.
Urban development
The centre of this commercial culture was the city of
London. As the only real national metropolis, London was unique
in its size and multiplicity of functions. By 1750 it contained
more than 650,000 citizens—just under one in 10 of Britain’s
population. By contrast, only one in 40 Frenchmen lived in Paris
in this period. The Hague held only one in 50 of the inhabitants
of the Netherlands, and Madrid was the home of just one in 80
Spaniards. Some of these great European capitals had no resident
sovereign. Many others, such as Vienna and St. Petersburg, were
grand ceremonial and cultural centres but effectively isolated
from the economic life of their national hinterland. London was
different. It was not only the location of the Court and of
Parliament but also the nation’s chief port, its financial
centre, the home of its printing industry, and the hub of its
communications network. Britain’s rulers were brought into
constant proximity with powerful economic lobbies from all parts
of the nation and with a large and constantly fluctuating
portion of their subjects. Britons seem to have been more mobile
than their fellow Europeans in this period, and then as now many
traveled to the capital to find work and excitement. Perhaps as
many as one in six Britons spent a portion of their working life
in London in the 18th century.
London easily dwarfed the other British towns. In 1750 its
nearest rival, Norwich, had fewer than 50,000 people.
Nonetheless, the provincial towns, although functioning on quite
a different scale from that of the metropolis, were also growing
in size and importance at this time. In 1700 only 10 of them
contained more than 10,000 people. By 1750 there were 17 towns
with populations of that size, and by 1800 there were more than
50. As towns grew, they became better organized and safer, more
pleasant places to live in. Because more stone was used in
buildings, the risk of destruction by fire began to lessen.
Towns acquired insurance companies and fire engines to protect
their citizens. Supplies of clean water improved. Urban planning
and architecture became more sophisticated and splendid, and the
results can still be seen today in towns like Stamford in
Lincolnshire or Bath in Somerset. These provincial centres
developed cultural lives of their own, with new theatres,
assembly rooms, libraries, Freemason lodges, and coffeehouses.
By mid-century there were at least nine coffeehouses in Bristol,
six in both Liverpool and Chester, two in Northampton, and at
least one in most substantial market towns. Such establishments
supplied their customers with newspapers and a place to gossip
as well as with liquid refreshments. They also often served as a
base for clubs, debating societies, and spontaneous political
activity. Schools grew in number, in both the towns and the
surrounding countryside. In just one English county,
Northamptonshire, the local newspaper press advertised the
establishment of more than 100 new schools between 1720 and
1760.
Change and continuity
Historians have differed sharply over the impact these
commercial and cultural innovations had on British society as a
whole. Some have argued that only a minority of men and women
were touched by them and that the countryside, which contained
the majority of the population, continued on in its traditional
ways and values. This is certainly true of parts of Britain. The
Scottish Highlands, the mountainous central regions of Wales,
and some English regions such as East Anglia remained
predominately rural and agricultural. Old beliefs and
superstitions lingered on there and elsewhere, often into the
late 19th century. Although Parliament repealed the laws against
witchcraft in the 1730s, for example, many men and women, and
not just the illiterate, continued to believe in its power.
(John Wesley, the founder of Methodism, was convinced that
witches and the Devil had a real corporeal existence on earth.)
It is true, too, that many of the new consumer goods that
improved the quality of life for the prosperous—porcelain china,
armchairs, fine mirrors, newspapers, and manufactured toys—were
beyond the economic reach of the poor. And, although new styles
of interior decoration transformed the dwellings of the landed
and mercantile classes—the sale of wallpaper, for example, had
risen from 197,000 yards in 1713 to more than two million yards
in 1785, a 10-fold increase—they rarely reached the
impoverished. Some agricultural labourers and miners had only
one set of clothes and lived in mud-lined cottages, caves, or
cellars. Beggars, vagrants, and the unemployed might not possess
even these basic commodities.
Yet it would be wrong to postulate too stark a contrast in
life-styles between the town and countryside, between the
wealthy and the lower orders. Points of contact between the
various layers of British society were in fact increasing at
this time. More and more country landowners, their womenfolk,
and their servants succumbed (without, one suspects, too much
trouble) to the temptation of spending some months every year
sampling the pleasures of their neighbourhood provincial town,
consulting its lawyers and financial agents, and patronizing its
shops. Many urban merchants, taking advantage of better roads
and coach services, went to live in the countryside while
maintaining their businesses in town. Lower down the social
scale, hawkers and peddlers (itinerant traders) carried
town-produced goods into the country areas and sold them there.
Conversely, the growing demand for food in urban areas sucked in
men and goods from the countryside. English drovers braved the
old Roman roads and faltering bridle paths, the only routes
available in Welsh counties such as Caernarvon and Anglesey, in
order to purchase meat cattle for London and other towns. Every
year tens of thousands of black cattle from the Scottish
Highlands were driven southward until they reached the
Smithfield meat market in London. Demand for manufactured goods
fostered the spread of inland trade, as did increasing
industrial specialization in the different British regions.
Daniel Defoe illustrated this point by describing the multiple
provenance of an affluent man’s suit of clothes:
A coat of woollen cloth from Yorkshire, a waistcoat of
cullamancoe from Norwich, breeches of strong drugget from
Devizes and Wiltshire, stockings of yarn from Westmoreland, a
hat of felt from Leicestershire, gloves of leather from
Somerset, shoes from Northampton, buttons from Macclesfield, or,
if metal, from Birmingham, garters from Manchester, and a shirt
of handmade linen from Lancashire or Scotland.
In short, Britain was not a static society, and the towns and
the countryside were not entirely separate spheres. Men and
women moved about to seek pleasure, to do business, to sell
goods, to marry, or to find work; and their ideas and
impressions shifted over time.
The revolution in communications
Increased mobility was made possible by a revolution in
communications. In the earlier 18th century long-distance travel
was rare and the idea of long-distance travel for pleasure was a
contradiction in terms. The speediest coach journey between
London and Cambridge (just 60 miles) took at least a day.
Traveling from the capital to the town of Shrewsbury by coach
took more than three days, and the journey to Edinburgh could
last as long as 10 days. Some travelers made their wills before
starting, as coaches easily overturned on bad roads or in
swollen rivers. By 1750, however, privately financed turnpike
roads had spread from London and its environs to major English
provincial centres like Bristol, Manchester, Newcastle, Leeds,
and Birmingham. In the 1760s and ’70s they spread further into
Wales and Scotland. The postal service also improved in this
period, though again much more slowly in the Celtic fringe than
in England. In 1765 only 30 Scottish towns enjoyed a daily
postal service.
But the most dramatic advance in inland communication came in
the form of the printed word. London’s first daily newspaper
appeared in 1702. By 1760 it had four dailies and six tri-weekly
evening papers that circulated in the country at large as well
as in the capital. But the provinces also generated their own
newspapers, their own books, dictionaries, magazines, printed
advertisements, and primers. In 1695 Parliament passed
legislation allowing printing presses to be established freely
outside London. Between 1700 and 1750 presses were founded in 57
English provincial towns, and they proliferated at an even
faster rate in the last third of the 18th century:
By 1725 no fewer than 22 provincial newspapers had emerged.
By 1760 there were 37 such papers and by 1780, 50. In Scotland
seven newspapers and periodicals were in existence by 1750,
including the monthly Scots Magazine, which was printed in
Edinburgh but could also be purchased from booksellers at
Aberdeen, Glasgow, Dundee, Perth, and Stirling. Wales had no
English-language newspaper until 1804, but many English papers
found their way there.
By 1760 more than nine million newspapers were sold in
Britain every year. Because they were expensive by the standards
of the time (three or four pennies), one copy of a paper may
have been shared and read by as many as 20 different people.
There is little doubt that this explosion of newsprint helped to
integrate the nation. All provincial newspapers and periodicals
were parasitic on the London press. They borrowed large extracts
from the more popular and controversial London papers and
pamphlets. Increasingly, too, they broke the law and reprinted
London journalists’ accounts of debates in the House of Commons
and House of Lords (printing parliamentary debates was illegal
until 1770). Consequently, by the time of the Seven Years’ War
(1756–63), larger numbers of Britons than ever before had some
access to political information. They were more aware of their
country’s military victories and defeats and more conscious of
political scandals and protest. Politics was no longer just the
preserve of the politicians at court, in Parliament, and in the
country houses.
Britain from 1754 to 1783
Henry Pelham died in 1754 and was replaced as head of the
administration by his brother, the duke of Newcastle. Newcastle
was shrewd, intelligent, and hard-working and possessed massive
political experience. But he lacked self-confidence and a
certain breadth of vision, and he was hampered by being in the
House of Lords. In 1755 Henry Fox was appointed secretary of
state and acted as the administration’s spokesman in the
Commons. Fox’s promotion alienated a man who was far more
interesting and remarkable than either of these ministers,
William Pitt the Elder. Pitt had entered Parliament as an
Opposition MP in the 1730s. In 1746 he had been appointed
paymaster general, a highly lucrative state office. But Pitt,
whose ambition was for fame and recognition rather than money,
remained unsatisfied. The king, however, disliked him and
successfully obstructed his career. In 1755 he dismissed Pitt,
who began to attack Newcastle on imperial and foreign policy
issues.
Conflict abroad
Although Britain and France had technically been at peace
since 1748, both powers continued to harass each other in their
colonial settlements in North America, the West Indies, and
India. When the French attacked the British colony of Minorca in
May 1756, war broke out; Britain allied itself with Prussia and
France with Austria. Like every 18th-century war, this one began
badly for Britain; it lost Oswego in North America as well as
Minorca. There was an outcry in the press, and Newcastle and Fox
resigned. In November Pitt was appointed secretary of state with
William Cavendish, duke of Devonshire, serving as nominal head
of the new administration. But Pitt, still lacking royal
approval or an adequate majority in the Commons, was dismissed
by the king in April 1757. He returned to power in June, forming
what was to be a highly effective wartime coalition with
Newcastle. Pitt captured the attention and imagination of
Parliament and of the people by his rhetoric and charisma;
Newcastle employed his experience and industry to raise more
than £160 million during the course of the war. But what
cemented the coalition was Britain’s naval and military
successes. In India, where Britain and France were keen
competitors, General Robert Clive captured the French settlement
of Chandernagore and then, with the forces of the East India
Company, defeated the army of Siraj-ud-Dawlah, the nawab (ruler)
of Bengal, at the Battle of Plassey on June 23, 1757. The battle
lasted only a few hours but decided the fate of India by
establishing British dominance in Bengal and the Carnatic, the
two most profitable regions of India for European traders. The
year 1757, as a consequence, is often cited as the beginning of
Britain’s supremacy over India, the start of Calcutta’s
significance as the headquarters of the East India Company, and
the beginning of the end of French influence on the
subcontinent. Two years later large sections of the French fleet
were destroyed at the naval battle of Quiberon Bay. When Quebec
fell to General James Wolfe in 1759, British control of Canada
was effectively secured. The island of Guadeloupe was captured
in the same dramatic year, as were French trading bases on the
west coast of Africa.
Most of these gains were confirmed by the Treaty of Paris
(1763), though Britain restored Guadeloupe to the French in
return for control of Canada. In the short term these victories
resulted in a mood of patriotic exultation, especially among
merchants. They looked to the new colonies to provide both fresh
stocks of raw materials and eager markets for British
manufactured goods: “Trade,” Edmund Burke gloated, “had been
made to flourish by war.” This global victory, however, had been
purchased at a high price. The conquest of Canada freed the
American colonists from the fear of a French invasion from the
north. Anxiety on this score had helped to foster American
attachment to Britain. Now these fears had been relieved, and as
early as 1760 some Britons and Americans anticipated that this
would lead to difficulties. Furthermore, the enormous cost of
the conflict led to drastic and sometimes damaging postwar
economies, not least the deterioration of the Royal Navy, which
would be an important factor in Britain’s defeat in the American
Revolution (1775–83). Postwar economies also forced British
governments to explore new fiscal expedients, which aroused
discontent at home and in the American colonies. Finally, the
apparent unity and strength of Britain’s elite during the Seven
Years’ War was deceptive: Newcastle and many of his allies were
elderly men, Pitt was difficult and unstable, and old Whig and
Tory alignments had ceased to have much meaning. All these
factors helped to make the early reign of George III a period of
conflict and instability.
Political instability in Britain
George II died in October 1760 and was succeeded by his
grandson, who became George III. The new king became one of the
most controversial British monarchs. In the first 10 years of
his reign administrations changed no fewer than seven times. In
October 1761 Pitt resigned and Newcastle was made to share power
with the royal favourite, John Stuart, earl of Bute. In May 1762
Newcastle too resigned, and Bute alone led the government until
his resignation in April 1763. Bute was replaced by George
Grenville, who was in turn dismissed in July 1765. For the next
year Charles Watson-Wentworth, marquess of Rockingham, served as
first lord of the treasury. But in July 1766 Rockingham was
sacked and replaced by Pitt, now elevated to the House of Lords
as earl of Chatham. Chatham soon lapsed into manic depression,
and from 1768 to 1770 Augustus Henry Fitzroy, duke of Grafton,
led the government. Only in 1770 did the king find a minister
whom he felt he could trust and deal with: Frederick, Lord
North. Such high political instability undoubtedly hampered
British efforts to resolve the problem of its American colonies.
But division and instability were not just confined to the
court and parliament. The 1760s were a period of bad harvests,
rising food prices, and sporadic unemployment. These economic
and social problems helped to fuel the public agitation over
John Wilkes, a Protestant dissenter and the son of a London malt
distiller. In 1757 he bribed a rotten borough to elect him as
its member of Parliament. An interesting, irresponsible, and
cheerfully immoral man, Wilkes became well known in London
society but failed to obtain a government post. His
disappointment, as well as a bent toward iconoclasm, pushed him
into opposition journalism. In April 1763 issue number 45 of his
paper, the North Briton (a reference to the then chief minister
Lord Bute, who was Scottish), was judged seditious. The
government reacted by issuing a general warrant under which
Wilkes and 48 additional persons were arrested. But Sir Charles
Pratt, chief justice of the court of commons pleas, determined
that this was a breach of Wilkes’s parliamentary privilege, and
he acquitted him. Soon after Wilkes fled to France to avoid
another trial, this time for obscenity. In 1764 he was expelled
from the Commons and tried in absentia for sedition, libel, and
obscenity. But, as he did not return, he was declared an outlaw
for impeding royal justice. In 1768, deeply in debt, he returned
and was elected MP for the county of Middlesex, the most
populous county constituency in England.
Since Wilkes was still an outlaw, Parliament declared him
ineligible for election, and for a time he was imprisoned in the
Tower of London. Due in large part to Wilkes’s organizational
and propaganda skills, this precipitated a nationwide agitation;
Wilkes was seen not only in England but also in the American
colonies as a martyr for liberty. His plight raised the question
of whether the will of the people or the decision of a
Parliament elected by only a fraction of the people was supreme.
In 1769 the Society for the Supporters of the Bill of Rights was
founded to aid Wilkes and to press for parliamentary reform. Its
members demanded parliamentary representation for important new
towns such as Birmingham, Leeds, and Manchester, the abolition
of rotten boroughs, and general admission to the franchise for
men of movable property (i.e., traders, merchants, and
professionals). The English, as well as the American colonists,
were becoming more interested in the connection between
parliamentary representation (or the lack of it) and the
obligation to pay taxes.
The American Revolution
The American issue was the final and most volatile
element in the instability of the 1760s. Tension mounted, as far
as British governments were concerned, primarily for two
reasons. First, from this decade onward imperial organization
received increased attention, and attempts were made to tighten
British rule in Ireland and India as well as in the American
colonies, a development that caused friction. Fiscal need was
the second and more pressing problem. In 1763 the national debt
stood at £114 million, and it continued to grow. Since the
burden of taxation was already heavy for Britons, the government
naturally looked to other sources of revenue. This was the
background to George Grenville’s decision, in 1765, to pass the
Stamp Act, a measure designed to raise revenue in the American
colonies by putting a tax on all legal and commercial papers.
But it stirred up intense resentment in the colonies and,
indirectly, in Britain, when the Americans boycotted British
goods. In 1766 Rockingham repealed the Stamp Act while
maintaining Parliament’s right to legislate for the colonies. In
1767 Charles Townshend, then chancellor of exchequer, levied
duties on certain imports into the colonies, including a duty on
tea, and linked this proposal with plans to remodel colonial
government. These measures exacerbated American discontent,
though Parliament was not made to realize how much until 1774.
Historians have long disagreed over the question of how far
George III himself was responsible for these tumultuous events.
The Declaration of Independence (1776) unambiguously condemned
the king as a tyrant. The so-called 19th-century British Whig
historians also criticized the king in very harsh terms,
maintaining, at their most extreme, that as a young prince he
was indoctrinated with archaic and inflated ideas of royal
power. When he came to the throne, he supposedly ousted his Whig
ministers, replacing them with Tories, who were more sympathetic
to royal ambitions. His arbitrary aims and policies, it was
claimed, provoked the Wilkite agitation in Britain and drove the
American colonists to rebel. George was consequently held
directly responsible for the break-up of the British Empire.
Finally, he was charged with employing bribery and corruption to
persuade Parliament to do his bidding.
Twentieth-century historians, in particular the Polish-born
scholar Lewis Namier, have revised many of these extreme
judgments. It has now been established that the king was neither
educated in arbitrary ideas, nor did he preside over a Tory
revival. Ministers such as Bute, Grenville, Townshend, and North
regarded themselves as Whigs. But by the 1760s and ’70s “Whig”
and “Tory” were terms that had lost precise ideological
significance, and the breakdown of these old partisan divisions
undoubtedly contributed to ministerial instability at this time.
There is little evidence that the king used corrupt influence to
make Parliament accept his American policy. Indeed, it is
unlikely that he initially even possessed an American policy;
royal correspondence shows that he was rarely closely interested
in American affairs before 1774. The colonists’ drift toward
opposition and independence was probably caused as much by their
distance from London and their increasing prosperity as it was
by British fiscal measures.
But George III cannot be entirely exonerated. When he
succeeded, he was only 22, immature, idealistic, and not
well-educated. His appointment of his decorative favourite, Lord
Bute, was a breach of the convention that monarchs should choose
chief ministers possessed of political experience and proven
abilities. In his dealings with other politicians George showed
himself throughout his reign to be intransigent and obstinate,
and he often confused his own personal feelings with the public
welfare. He can scarcely be blamed for wanting to retain such an
important part of his empire as the American colonies, but he
can legitimately be criticized for insisting that the American
war be continued after 1780, by which time it had become clear
to his chief minister, Lord North, that Britain had lost.
Domestic responses to the American Revolution
Even at its outbreak in 1775 British attitudes to the
American war were mixed. Many Protestant dissenters regarded the
Americans as their brethren, for political and religious
reasons. The City of London, and other commercial centres such
as Glasgow, Norwich, and Newcastle, objected to the war because
it disrupted highly profitable Anglo-American trade. Many
British newspapers and cartoons adopted a pacifist and sometimes
even a pro-American line. Other Britons believed, with George
III, that rebellion against a monarch was sinful and that
Parliament’s authority must be preserved. Conventional
patriotism became stronger after 1778, when France, Spain, and
belatedly the Dutch, allied themselves with the Americans
against Britain.
The next two years proved profoundly difficult. Fears that
the French would invade Ireland as a prelude to invading the
British mainland led ministers to encourage the creation of an
Irish volunteer force some 40,000 strong. The Irish Protestant
elite, led by Henry Grattan, used this force and the French
threat to extract concessions from London. In 1783 Ireland was
granted legislative independence, though it remained subject to
George III. Declining British fortunes abroad also revived the
issue of parliamentary reform. By 1779 three different reform
groups had emerged, all of whom favoured peace with America. The
marquess of Rockingham and his parliamentary supporters
(including his secretary, Edmund Burke) wanted to reduce
official corruption and George III’s influence in government.
Another group, led by Christopher Wyvill, a one-time Anglican
clergyman, wanted a moderate reform of the representative
system. Wyvill and some of his supporters played with the idea
of a national association, an assembly of reformers from each
county in Britain, that would exist parallel to Parliament and
be superior to it in constitutional zeal. A third small group,
led by Charles James Fox, a Whig MP, and by former Wilkite
activists, wanted more extensive political reform, including the
secret ballot and annual general elections. In 1780 they founded
the Society for Constitutional Information, which was designed
to build public support for political change through the
systematic production and distribution of libertarian
propaganda.
It was unlikely that any of these reforms would be
implemented. But the Gordon Riots of June 1780 made it certain
that they would not be. In 1778 Parliament had made minor
concessions to British Roman Catholics, who were excluded from
civil rights. Anti-Catholic prejudice, however, had been a
powerful emotion in Britain since the Reformation in the 16th
century, and Roman Catholicism tended to be associated by many
with political absolutism and persecution. A movement to repeal
the Catholic Relief Act of 1778, the Protestant Association,
started in Scotland under the leadership of an unstable
individual called Lord George Gordon. The movement reached
London and exploded there in riots that lasted for eight days.
More than 300 people were killed, and more damage was done to
property than would be done in Paris during the French
Revolution. For a time these riots gave reform and popular
agitation a bad name. To many, the very name of Wyvill’s
National Association was dangerously suggestive of the
Protestant Association, and the parliamentary reform movement
lapsed until the 1790s.
Disasters at home were followed by further disasters abroad.
Late in 1781 Britain learned of General Charles Cornwallis’s
surrender in America at the Battle of Yorktown. Parliamentary
pressure to end the war now became irresistible. When in March
1782 Lord North’s majority in the Commons fell to nine votes, he
resigned, against the wishes of George III. A new
administration, formed under Lord Rockingham, was committed to
peace with America and moderate constitutional reform at home.
When Rockingham died in July 1782, William Petty, earl of
Shelburne, became first lord of the treasury. In November of
that year it was he who had the thankless task of concluding
peace with the Americans and formally acknowledging their
independence and British defeat in the Treaty of Paris.
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Britain from 1783 to 1815
Defeat abroad and division at home led many Britons to
believe that their country was in irreversible decline. The war
had cost more than £236.4 million and had apparently brought
only humiliation and the loss of one of the most profitable
regions of the British Empire. Yet recovery was rapid, and by
the time Britain again went to war—in 1793, against
revolutionary France—it was wealthier and more powerful than it
had been at the beginning of George III’s reign.
In February 1783 Britain made a far from disadvantageous
peace with its European enemies. Minorca and Florida were ceded
to the Spanish, but Gibraltar was retained. France was given
settlements in Senegal and Tobago, but Britain recovered other
West Indian islands lost during the war. Holland gave Britain
freedom of navigation in its spice islands and an important
trading base in India. Nonetheless, this peace damaged
Shelburne’s reputation, and he resigned. A coalition
administration was formed, led by Lord North and Charles James
Fox. The king disliked it and ruthlessly sabotaged it. The
Fox–North coalition planned to cement its authority by passing a
bill to reform the government of British settlements in India,
previously administered by the East India Company alone. The
India Bill passed the Commons but, like every other piece of
legislation not directly concerned with taxation, it had to be
approved by a majority in the House of Lords. In advance of the
vote the king let it be known that he would regard any peer who
supported the bill with disfavour. The Lords duly threw the bill
out in December 1783, providing the king with an excuse to
dismiss Fox and North and replace them with William Pitt the
Younger, the second son of the late earl of Chatham. The general
election of 1784 supplied Pitt with a parliamentary majority.
William Pitt the Younger
Pitt lived and died a bachelor, totally obsessed with
political office. He was clever, single-minded, confident of his
own abilities, and a natural politician. But perhaps his
greatest asset in the early 1780s was his youth. He had entered
Parliament in 1780 and was just 24 when he became first minister
in 1783. Consequently, he was not associated in the public mind
with the American debacle but seemed instead to promise a new
era. Moreover, although he and George III never developed a
close relationship, he did enjoy the king’s support. Knowing
that the alternative to Pitt was Fox (whom he hated), the king
dealt with Pitt in a responsible manner. In 1788–89 the king
suffered a major bout of insanity (or, according to some
scholars, porphyria, a hereditary blood disease). Although he
recovered, he thereafter interfered in politics far less than in
his early reign. Pitt in turn treated the king tactfully. He
dropped his early enthusiasm for parliamentary reform, and in
1801 he resigned over the issue of Roman Catholic emancipation
(the extension of civil rights to Catholics) rather than force
the king to accept it.
Royal support aided Pitt’s control of his cabinet and
political patronage. But what sustained him most in the 1780s
and early 1790s was the quality and success of his measures. He
reduced the national debt by £10 million between 1784 and 1793,
in part by increasing tax revenue. He fostered legitimate trade
and reduced smuggling by cutting import duties on certain
commodities such as tea. In 1786 he signed an important
commercial agreement, the Eden Treaty, with France. It was in
keeping with the argument made by the economist Adam Smith in
his The Wealth of Nations (1776) that Britain should be less
economically dependent on trade with America and become more
adventurous in exploring trading opportunities in continental
Europe. At home, Pitt strove for cheaper and more efficient
administration; for example, he set up a stationery department
to supply government offices with the necessary paper at a more
economical rate. Abroad, he restored Britain’s links with
continental Europe and implemented imperial reorganization. In
1788 he signed the Triple Alliance between Britain, Prussia, and
Holland, thereby ensuring that in a future war his country would
not be bereft of allies as it had been during the American
Revolution. In 1790 he demonstrated Britain’s renewed power and
prestige by negotiating a peace between Austria and Turkey. In
1784 he passed his own India Act, creating a board of control
regulating Indian affairs and the East India Company. The
board’s members were nominated by the king from among the privy
councillors. Finally, in 1791 the Canada Constitutional Act was
passed. London became responsible for the government of both
Lower and Upper Canada, but both provinces were given
representative assemblies.
Economic growth and prosperity
Many of Pitt’s reforms and policies, such as his India
Act, had been devised by previous ministers. But even though he
did not originate all of his schemes, Pitt nonetheless deserves
credit for actually implementing them. For all his priggish
ruthlessness and occasional dishonesties (perhaps because of
them), Pitt undoubtedly contributed to the restoration of
national confidence; indeed, for many people, he became its very
personification. But British recovery had wider and more complex
causes than just one man’s measures. At bottom, it was rooted in
accelerating economic growth and unprecedented national
prosperity:
These figures illustrate two striking points. First, in the
1770s British export performance and industrial productivity
were perceptibly damaged by the American war. But, second,
Britain’s economic recovery after the war was rapid and
dramatic. Particularly noticeable is the fact that the wars with
revolutionary and Napoleonic France (1793–1802 and 1803–15) did
not slow Britain’s buoyant prosperity. Although Napoleon tried
to blockade Britain in 1808 and again in 1811–12, he never
succeeded in cutting the lifeline of its trade. In the period
1794–96 British exports averaged £21.7 million per annum. In the
period 1804–06 the equivalent figure was £37.5 million, and
during 1814–16, £44.4 million. These figures demonstrate how
quickly Britain regained its American markets after 1783 and how
extensive its other colonial markets were. But they are also one
of many signs that the nation was experiencing the first
Industrial Revolution.
The Industrial Revolution
Some historians have questioned whether the term
Industrial Revolution can really be applied to the economic
transformation of late 18th- and early 19th-century Britain.
They point out that in terms of employment the industrial sector
may not have overtaken the agricultural sector until the 1850s
and that even then the average unit of production employed only
10 people. Large, anonymous factories did not become common
until the late 19th century. Other scholars have argued,
rightly, that industry did not suddenly take off in the 1780s
and that even in 1700 Britain was a more industrialized state
than its European competitors. But, despite all these
qualifications, the available evidence suggests that by 1800
Britain was by far the most industrialized state in the world
and that, because of this, its rate of economic growth must have
accelerated in the last third of the 18th century.
Perhaps the most powerful evidence one can cite for these
statements (which are inevitably controversial, given the
ferocity and rapid fluctuations of the debate on the Industrial
Revolution) is Britain’s ability to sustain an unprecedented
growth in its population from 1780 onward without suffering from
major famines or acute unemployment. In 1770 the population was
about 8.3 million. By 1790 it had reached 9.7 million; by 1811,
12.1 million; and by 1821, 14.2 million. By the latter date, it
is estimated that 60 percent of Britain’s population was 25
years of age or below. By comparison, while a similar rate of
demographic growth occurred in Ireland, there was no Irish
Industrial Revolution. Partly as a result of this, Ireland
suffered the great famine in the 1840s, whereas there was no
similar famine in Britain.
To say this is not to deny the dark side of early
industrialization. The conditions of work were often brutal,
particularly for the young. Industrial safety was minimal, and
environmental pollution and unguarded machines led to horrific
injuries. Mechanization ruined the livelihoods of some skilled
craftsmen, most notably the handloom weavers. Nonetheless, it is
probable that without industrialization the social costs of
rapid population growth in Britain would have been far greater.
Although it is not easy to account for Britain’s early
industrialization, some facts stand out. Britain, unlike its
prime European rival, France, was a small, compact island.
Except in northern Scotland, it had no major forests or
mountains to disrupt or impede its internal communications. The
country possessed a range of natural ports facing the Atlantic,
plenty of coastal shipping, and a good system of internal
waterways. By the 1760s there were already 1,000 miles of inland
canals in Britain; over the next 70 years 3,000 more miles of
canals were constructed. Britain was also richly endowed with
coal and iron ore, and these minerals were often located close
together in counties such as Staffordshire, Northumberland,
Lancashire, and Yorkshire.
Most importantly perhaps, Britain could draw on an ample
supply of customers for its goods, both at home and overseas.
Its colonies fed it with raw materials while also serving as
captive customers. And its expanding population meant buoyant
demand at home even in wartime when foreign trade was disrupted.
The best illustration of these advantages is the cotton
industry. Its Indian settlements supplied Britain with
ever-increasing amounts of raw cotton, and annual cloth
production soared from 50,000 pieces of cloth in 1770 to 400,000
pieces in 1800. Much of this output in textiles was consumed by
the home market. Some scholars have argued that the increased
wearing of cotton (which could be easily washed) as distinct
from woolen clothes (which could not) improved health
conditions, thus contributing to Britain’s population expansion.
Britain during the French Revolution
The outbreak of the French Revolution in July 1789
initially heightened British national confidence. Some Britons
welcomed it in the belief that civil commotion would weaken
their prime European competitor. Many others, William
Wordsworth, Samuel Taylor Coleridge, William Godwin, and Mary
Wollstonecraft among them, felt confident that revolutionary
France would become a new and enlightened state and that this
process would in turn accelerate political, religious, and
social change in Britain. By contrast, Edmund Burke’s fierce
denunciation in Reflections on the Revolution in France (1790)
met with little immediate support, even among the political
elite. Only when the new French regime guillotined Louis XVI and
threatened to invade Holland did mainstream opinion in Britain
begin to change and harden. In February 1793 Britain and France
went to war.
There has been much debate over the degree to which British
opinion on the war was united. Some historians have argued that
Thomas Paine’s best-seller, The Rights of Man (1791–92),
fostered mass enthusiasm for democratic reform and mass
alienation from Britain’s ruling class. Paine attacked the
monarchy, aristocracy, and all forms of privilege, and he
demanded not only manhood suffrage and peace but also public
education, old-age pensions, maternity benefits, and full
employment. While he did not directly advocate a redistribution
of property to fund these reforms, some contemporary radicals
certainly did. A Newcastle schoolmaster, Thomas Spence, for
example, issued a penny periodical, Pig’s Meat (a reference to
Burke’s savage description of the British masses as “the swinish
multitude”), calling for the forcible nationalization of land.
These developments in radical ideology were made more
significant by simultaneous developments in radical
organization. In January 1792 a small coterie of London artisans
led by a shoemaker, Thomas Hardy, formed a society to press for
manhood suffrage. It cost only a shilling to join, and the
weekly subscription was set at a penny so as to attract as many
members as possible. These plebeian reformers, making use of
Britain’s growing communications network, corresponded with
similar societies that had sprung up in response to the
Revolution in the English provinces and in Scotland. In October
1793 Scottish radicals held what they styled a British
Convention in Edinburgh, and a few of the English corresponding
societies managed to send delegates there. They issued a
manifesto demanding universal manhood suffrage and annual
elections and affirming their faith in the principles of the
French Revolution.
In terms of the number of men involved, these initiatives
were always limited. Corresponding societies were far more
widespread in London and the industrial north than in
predominantly rural areas such as central Wales. Only a small
proportion of rural and industrial labourers, as distinct from
artisans, seems to have joined them. Even in the radical bastion
of Sheffield (population 31,000) the local corresponding society
attracted only 2,000 members, and most of these did not attend
its meetings regularly. A minority of these activists were
overtly Francophile and some may have wanted a French invasion
of Britain and the establishment of a republican regime. Most
corresponding-society members, however, seem to have been deeply
attached to the British constitution and to have wanted only to
reform it. But if these societies were not extensive or
proto-revolutionary, they were still important and recognized as
such. Contemporaries realized that for the first time in the
18th century working men throughout the nation were beginning to
organize to achieve political change.
Pitt’s ministry acted ruthlessly to suppress them. Leading
Scottish radicals were arrested and given harsh sentences. In
England habeas corpus was temporarily suspended, laws were
passed prohibiting public meetings and demonstrations, and
Thomas Hardy was tried for treason but acquitted. By 1795 the
corresponding societies had formally ceased to meet. A minority
of radicals, however, continued to agitate for reform in secret,
some of them engaging in sedition. Particularly prominent in
this respect were Irish dissidents. By now large numbers of
Irish immigrants lived and worked in British towns. Some of them
sympathized with the Irish Rising of 1798 and formed secret
societies to overturn the government. Several Irish agitators
were involved in the Spithead and Nore naval mutinies of 1797
that for a time immobilized the Royal Navy. In 1803 an Irishman
and former shipmate of Horatio Nelson, Edward Despard, was
executed in London for plotting a coup d’état. Just how
dangerous and well-supported these various incidents were is
uncertain. But there can be no doubt that successive British
wartime administrations felt obliged to devote extensive
resources to maintaining order at home. even though they were
also fighting an unprecedentedly massive war abroad.
The Napoleonic Wars
The Napoleonic Wars were massive in their geographic
scope, ranging, as far as Britain was concerned, over all of the
five continents. They were massive, too, in terms of expense.
From 1793 to the Battle of Waterloo in June 1815 the wars cost
Britain more than £1,650,000,000. Only 25 percent of this sum
was raised by government loans, the rest coming largely from
taxation, not least from the income tax that was introduced in
1798. But the wars were massive most of all in terms of
manpower. Between 1789 and 1815 the British army had to expand
more than sixfold, to about a quarter of a million men. The
Royal Navy, bedrock of British defense, aggression, trade, and
empire, grew further and faster still. Before the wars it had
employed 16,000 men; by the end of them, it employed more than
140,000. Because there was an acute danger between 1797 and 1805
that France would invade Britain, the civil defense force also
had to be expanded. The militia was increased, and by 1803 more
than 380,000 men were acting as volunteers in home-based cavalry
and infantry regiments. In all, one in four adult males in
Britain may have been in uniform by the early 19th century.
Despite these financial and military exertions, British
governments found it extremely difficult to defeat France. In
part this was because Pitt the Younger’s abilities were more
suited to peace than to war. But the main reason the conflict
was so protracted was France’s overwhelming military superiority
on land. The historian Paul Kennedy has written of British and
French power in this period:
Like the whale and the elephant, each was by far the largest
creature in its own domain. But British control of the sea
routes could not by itself destroy the French hegemony in
Europe, nor could Napoleon’s military mastery reduce the
islanders to surrender.
The first coalition of anti-French states, consisting of
Britain, Russia, Prussia, Spain, Holland, and Austria,
disintegrated by 1796. A British expeditionary force to aid
Flanders and Holland was defeated, and Holland was occupied by
the French. By 1797 the cost of maintaining its own forces and
subsidizing those of its European allies had brought Britain to
the verge of bankruptcy. For a time the Bank of England
suspended payments in cash.
The British response to these developments was to concentrate
on home defense and to consolidate its imperial and naval
assets. Britain won a string of important naval victories in
1797, and in 1798 at the Battle of the Nile, Nelson defeated the
French fleet anchored off Egypt, thereby safeguarding British
possessions in India. Pitt also tried to solve the problem of
Ireland. In 1801 the Act of Union took effect amalgamating
Ireland with Great Britain and creating the United Kingdom. The
Dublin Parliament ceased to exist, and Ireland’s Protestant
voters were allowed to return 100 MPs to Westminster. Pitt had
hoped to sweeten the union by accompanying it with Roman
Catholic emancipation, that is, by allowing Irish Catholics to
vote and hold state office if they possessed the necessary
property qualifications. George III opposed this concession,
however, and Catholics were not admitted to full British
citizenship until 1829. Pitt resigned and was succeeded as first
minister by Henry Addington, the deeply conservative son of a
successful doctor. It was his administration that signed the
short-lived Treaty of Amiens with France in 1802.
War broke out again in May 1803. Once again, Britain
demonstrated its power at sea but, until 1809, was unable to win
substantial victories on land. Its fleet captured St. Lucia,
Tobago, Dutch Guiana, the Cape of Good Hope, French Guiana,
Java, Martinique, and other West Indian and African territories.
Most importantly, in October 1805 Nelson defeated the French and
Spanish fleets at Trafalgar, thereby preventing an invasion of
Britain. Napoleon, however, inflicted serious military defeats
on the Austrians, Prussians, and Russians and invaded Spain. At
one stage Britain’s only remaining European allies were Sweden,
Portugal, Sicily, and Sardinia; in short, the country was
without any significant allies at all. Political leadership was
uneven and sometimes weak, and the long duration of the war and
its damaging effects on trade aroused increasing criticism at
home. Pitt had resumed his post as chancellor of the Exchequer
and first lord of the Treasury in May 1804, but he died worn out
by work and drink in January 1806. None of the three men who
succeeded him as premier, William Wyndham Grenville, Baron
Grenville (1806–07), William Henry Cavendish Bentinck, duke of
Portland (1807–09), and Spencer Perceval (1809–12), was able to
establish himself in power for very long or to capture the
public imagination.
Yet the war began to turn in Britain’s favour in 1809, in
large part because of Napoleon’s strategic mistakes. When the
Spanish rebelled against French rule, substantial British armed
forces were dispatched to assist them under the command of
Arthur Wellesley, later duke of Wellington. Spain’s new
anti-French posture meant that Spain was once again open to
British manufactured goods, as were its colonies in Latin
America. For a time this helped to reduce the commercial
community’s criticism of the conduct of the war. But demands for
peace revived during the slump of 1811–12 and intensified when
British relations with the United States, a vitally important
market, began to deteriorate. One of the main irritants was the
so-called Orders in Council, prohibiting neutral powers (like
the United States) from trading with France. In 1812 commercial
lobbies in Liverpool, Sheffield, Leeds, and Birmingham succeeded
in getting the orders repealed, an indication of the growing
political weight exercised by the manufacturing interest in
Britain. Although this failed to prevent the Anglo-American War
of 1812, neither Britain’s trade nor its war efforts in Europe
was seriously damaged by that conflict. Russia’s break with
Napoleon in 1812 opened up large markets for British goods in
the Baltic and in northern Europe.
From 1812 onward Napoleon’s defeat was merely a matter of
time. In June 1813 Wellington defeated the French army in Spain
at Victoria. The forces of Austria, Sweden, Prussia, and Russia
expelled the French from Germany in the Battle of Leipzig
(October 1813). This victory allowed Wellington, who had already
crossed the Pyrenees, to advance upon Bayonne and Toulouse.
Robert Stewart, Viscount Castlereagh, the secretary of state for
foreign affairs, played the leading part in negotiating the
Treaty of Chaumont in March 1814, which clarified allied war
aims (including the expulsion of Napoleon), tightened allied
unity, and made provision for a durable European settlement. The
subsequent squabbles over the spoils of war were interrupted for
a time when Napoleon escaped from his genteel exile on Elba and
fought his last campaign from March to June 1815. Although his
final defeat at Waterloo was accomplished by the allied armies,
Britain secured prime credit. This textbook victory was to help
Britain dominate Europe and much of the world for the next 100
years.
Imperial expansion
Britain’s ultimate success against Napoleon, like its
importance in this period as a whole, owed much to its
wealth—its capacity to raise loans through its financial
machinery and revenue through the prosperity of its inhabitants
and the extent of its trade. But British success also owed much
to the power of its navy and to the energy and aggressiveness of
its ruling class, which was particularly apparent in the
imperial expansion of this period. Britain sought to extend its
control by legislation, by war, and by individual enterprise.
The Acts of Union with Scotland in 1707 and with Ireland in 1801
tightened London’s rule over its Celtic periphery, as did the
laws passed to erode the autonomy of the Scottish Highlands
after the rebellion of 1745. In the 1760s Britain sought not
only to increase the revenue it gained from its North American
colonies but also to shore up its military and administrative
influence there. These measures failed, but Britain had more
success with its Indian possessions. Between 1768 and 1774, in
fact, the House of Commons devoted far more time to Indian
affairs than to those of North America. Its discussions
culminated in the passing of the India Act in 1784, which
indicatively increased the government’s authority over the East
India Company and therefore over Britain’s possessions in India.
Every major war Britain engaged in during this period
increased its colonial power. The Seven Years’ War was
particularly successful in this respect, and so were the
Napoleonic Wars. Between 1793 and 1815 Britain gained 20
colonies, including Tobago, Mauritius, Malta, St. Lucia, the
Cape, and the United Provinces of Āgra and Oudh in India. By
1820 the total population of the territories it governed was 200
million, 26 percent of the world’s total population. Not all of
these acquisitions were formally directed by London. Captain
James Cook’s explorations of Australia and New Zealand after
1770 were in part an exercise in private enterprise and
scientific inquiry. Nonetheless, British settlement of Australia
at New South Wales began in 1787, in part because the mother
country needed another repository for transported convicts
previously sent to the North American colonies. The East India
Company also retained considerable initiative in its military
strategies. In 1819 Sir Thomas Stamford Raffles seized Singapore
for the company and not on London’s instructions. But, however
acquired, all these acquisitions added to Britain’s power and
reputation. It was no accident, perhaps, that its two national
anthems, “God Save the King” and “Rule Britannia,” were composed
in this period. For the privileged and the rich, this was
preeminently an era of confidence and arrogance.
Linda J. Colley
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Great Britain, 1815–1914
Britain after the Napoleonic Wars
State and society
The relationship between state and society in Britain
after the Napoleonic Wars assumed the shape that was to remain
apparent into the 20th and 21st centuries. In contrast to most
other European societies, many of the functions performed by
central government elsewhere were performed in Britain by groups
of self-governing citizens, either on an elective, but unpaid,
official basis, as in the institutions of local government, or
through voluntary organizations. Britain in the 19th century did
not develop a strong bureaucratic element with interests of its
own, a strong sense of popular expectations concerning the role
of the state, nor a strong popular sense of identification with
it. This understanding of the limited role of government
(contemporaries would have used this term rather than the
“state”) reflected and served to further entrench what in the
18th century had become a relatively homogeneous and stable
society—relative to the great majority of European states, that
is. This was particularly so after the integration of Scotland
into what was increasingly, with the clear exception of Ireland,
a United Kingdom. Internal differences of course remained
strong, but, nonetheless, linguistic and geographical unity was
paralleled by the increasing integration of communications, seen
in the improved road system of the first three decades of the
new century, a precursor of the integration later evident in the
railway system.
However, this decentralized state combined considerable
strength with considerable flexibility; indeed, these two
characteristics were mutually reinforcing. Even in the 18th
century, central government showed sensitivity to the dangers of
trespassing upon the limits of consent. Although in no sense a
democratic state, this combination of strength and liberality
was made possible by the close link between central government
and the decentralized channels through which it ruled. If ruling
at a distance often, this rule was all the stronger for being
experienced as a kind of freedom. This experience in turn
strengthened central government, enabling it all the more firmly
to coordinate decentralized rule.
Nonetheless, if liberal, the late 18th- and early
19th-century state was marked by a strong sense of rights,
enforceable by law and enjoyed by all members of the community,
however unequally, including rights of subsistence by means of
the poor-relief system. However limited, the propertied and the
powerful felt it their responsibility to uphold these rights,
rights that they and the poor and unpropertied regarded as the
birthright of the “Free-Born Englishman.” Those with
governmental responsibility did not generally try to exclude the
mass of the population from at least some participation in the
regulation of their own lives. In the courts, by the means of
petition, and through attendance at parish meetings, for
example, the less powerful could exert some influence. This
influence, among both the high and the low in society, was felt
to operate at the level of the representation of communities,
rather than the individual, and was reflected in the system of
parliamentary representation itself. This sense of rights also
took the form of strong attachments to customary observances and
regulations—for instance, those associated with particular
trades and localities, such as the parish. The country was
governed through a process of negotiation and reciprocity,
albeit between unequal sides, in which what has been called a
“rebellious but traditional popular culture” set limits on the
power of the governors, while at the same time respecting this
power when justly implemented.
This was to change in the aftermath of the Napoleonic Wars.
The moves of William Pitt, the Younger, toward more
professional, economically liberal, politically authoritarian
government were carried forward by the “liberal Tory”
governments of the years after 1815. This new understanding of
government built upon the old liberality of the 18th-century
state but divested it of many of the rights intrinsic to it.
This involved a reconstruction of the roles of Parliament, the
executive, and the party, with the purpose of reducing these to
the provision of a framework within which individuals and
institutions could operate with maximum safety and freedom.
While retaining and modernizing its basic public order and
foreign policy functions—thereby retaining at the centre a
strong directive power—this new notion of government involved
stripping away what were perceived to be the great premodern
accretions of intrusive legislation, regulation, and custom,
particularly in relation to economic activity and the “Old
Corruption” of the ancien régime.
Instead, what would be constructed were mechanisms that would
facilitate the automatic operations of the “natural order”
believed to lie beneath and to be prevented from its beneficial
operation by the unnecessary weight of custom and regulation
created over the centuries. Liberated in this way, it was
thought, individuals and the economy would be set free to
achieve their full potential. This understanding of government
was supported by particular appropriations of political economy,
utilitarian thought, and evangelical religion, whereby the
workings of the political system could be equated with the
workings of Providence. This understanding of government
conflicted with older notions of rights and responsibilities, so
that arguments about the role of a strong central state and
institutional and personal freedom, as well as the question of
what was public and what was private, were at the heart of
political discussion throughout the century and, indeed, through
the course of the 20th century too. These arguments were
reflected in the uneven movement toward the liberalization of
society and the economy in the first two decades of the century,
though of the direction of this movement there could be no
doubt.
The political situation
The end of the long wars against Napoleon did not usher
in a period of peace and contentment in Britain. Instead, the
postwar period was marked by open social conflicts, most of them
exacerbated by an economic slump. As the long-run process of
industrialization continued, with a rising population and a
cyclic pattern of relative prosperity and depression, many
social conflicts centred on questions of what contemporaries
called “corn and currency”—that is, agriculture and credit.
Others were directly related to the growth of factories and
towns and to the parallel development of middle-class and
working-class consciousness.
The agriculturalists, who were predominant in Parliament,
attempted to safeguard their wartime economic position by
securing, in 1815, a new Corn Law designed to keep up grain
prices and rents by taxing imported grain. Their political power
enabled them to maintain economic protection. Many of the
industrialists, an increasingly vociferous group outside
Parliament, resented the passing of the Corn Law because it
favoured the landed interests. Others objected to the return in
1819 of the gold standard, which was put into effect in 1821.
Whatever their outlook, industrialists were beginning to demand
a voice in Parliament.
The term middle classes began to be used more frequently in
social and political debate. So too were working class and
classes. Recent historical research indicates that the awareness
of class identity was not simply the direct outcome of economic
and social experience but was articulated in terms of public
discourse, particularly in the political sphere. For example,
claims to be middle-class were actively contested in the
political life of the time, and different groups, for different
purposes, sought to appropriate or stigmatize the term. In the
same manner, working-class identity was formed differently by
different political and social movements, and the poorer
sections of society were politically mobilized around collective
identities that were not only about class but also about the
poor (versus the propertied) and especially “the people” (versus
the privileged and the powerful). This understanding of how
collective identity was politically shaped according to the
cultural contexts of the time has marked the formation of
collective identities more broadly in British history down to
the present.
Town and village labourers were also unrepresented in
Parliament, and they bore the main brunt of the postwar
difficulties. Bad harvests and high food prices left them hungry
and discontented, but it was as much their political as their
economic situation that served as the basis of their
mobilization. However, new forms of industrial production, as
well as the growth of towns with structures of communication
that were quite different from those of villages or
preindustrial urban communities, enabled new kinds of political
appeal and of collective identity to take root. There were
radical riots in 1816, in 1817, and particularly in 1819, the
year of the Peterloo Massacre, when there was a clash in
Manchester between workers and troops of the yeomanry, or local
citizenry.
The Six Acts of 1819, associated with Henry Addington,
Viscount Sidmouth, the home secretary, were designed to reduce
disturbances and to check the extension of radical propaganda
and organization. They provoked sharp criticism even from the
more moderate Whigs as well as from the radicals, and they did
not dispel the fear and suspicion that seemed to be threatening
the stability of the whole social order. There was a revival of
confidence after 1821, as economic conditions improved and the
government itself embarked on a program of economic reform. Even
after the collapse of the economic boom of 1824–25, no attempt
was made to return to policies of repression.
There was a change of tone, if not of principle, in foreign
policy, as in home affairs, after the suicide of the foreign
secretary, Robert Stewart, Viscount Castlereagh. Castlereagh,
who had represented Britain at the Congress of Vienna in 1815,
pursued a policy of nonintervention, refusing to follow up the
peace settlement he had signed, which entailed provisions for
converting the Quadruple Alliance of the victorious wartime
allies into an instrument of police action to suppress
liberalism and nationalism anywhere in Europe. His successor at
the Foreign Office, George Canning, propounded British
objectives with a strong appeal to British public opinion and
emphasized differences between British viewpoints and interests
and those of the European great powers more than their common
interests. In 1824 he recognized the independence of Spain’s
American colonies, declaring in a famous phrase that he was
calling “the New World into existence to redress the balance of
the Old.” In 1826 he used British force to defend constitutional
government in Portugal, whereas in the tension-ridden area of
the eastern Mediterranean, he supported the cause of Greek
independence. His policies and styles were reasserted by Henry
John Temple, Viscount Palmerston, who became foreign minister in
1830.
The situation in Ireland heralded the end of one pillar of
the old order—namely, legal restrictions on the civil liberties
of Roman Catholics. Irish disorders centred, as they had since
the Act of Union in 1801, on the issue of Catholic emancipation,
a favourite cause of the Whigs, who had been out of power since
1807. During the 18th century, Catholics in England had achieved
a measure of unofficial toleration, but in Ireland restrictions
against Catholics holding office were still rigorously enforced.
In 1823 Daniel O’Connell, a Dublin Roman Catholic lawyer,
founded the Catholic Association, the object of which was to
give Roman Catholics in Ireland the same political and civil
freedoms as Protestants. Employing pioneering techniques of
organization, involving the mobilization of the large numbers of
the poor and the excluded in great open-air demonstrations,
O’Connell introduced a new form of mass politics that galvanized
opinion in Ireland while at the same time mobilized radical
allies in England. The result was the passing of the Catholic
Emancipation Act in 1829.
The death in June 1830 of George IV (whose reign had begun in
1820) heralded the end of another pillar of the old order, the
unreformed system of parliamentary representation. In a year of
renewed economic distress and of revolution in France, when the
political reform issue was being raised again at public meetings
in different parts of Britain, Wellington, the military hero of
the Napoleonic Wars who had assumed the premiership in 1828, had
not made matters easier for himself by expressing complete
confidence in the constitution as it stood. In consequence he
resigned, and the new king, William IV (1830–37), invited
Charles Grey, 2nd Earl Grey, to form a government. Grey’s
cabinet was predominantly aristocratic—including Canningites as
well as Whigs—but the new prime minister, like most of his
colleagues, was committed to introducing a measure of
parliamentary reform. For this reason, 1830 marked a real
parting of the ways. At last there was a break in the continuity
of regime that dated from the victory of William Pitt, the
Younger, over Charles James Fox in the 1780s and that had only
temporarily been interrupted in 1806–07. Moreover, the new
government, aristocratic or not, was the parent of most of the
Whig-Liberal administrations of the next 35 years.
The year 1830 was also one of economic and social grievances,
with religious issues still being thrown into the melee. In the
Midlands and in northern towns and cities, well-organized
political reform movements were winning widespread support. Corn
Laws and Poor Laws, as well as currency and game laws, were all
being attacked, while in the industrial north the demand was
growing for new laws to protect factory labour. It was in such
an atmosphere that the new Whig-led government prepared its
promised reform bill.
Early and mid-Victorian Britain
State and society
The implementation of the liberal, regulative state
emerging after the Napoleonic Wars involved a number of new
departures. The first of these concerned the new machinery of
government, which, instead of relying on patronage and custom,
involved an institutionalized bureaucracy. This was evident in
the development of the factory inspectorate, established by the
1833 Factory Act, though the characteristic way in which the
state institutionalized itself was by means of local bodies
administering such areas as the fast-developing realm of “public
health” and the Poor Law. In fact, towns and cities themselves
became very important new locations for the expression of the
power of the decentralized state. After the 1835 Municipal
Corporations Act, local government, if developing unevenly, was
a major part of the new machinery of government. There was a
great flowering of civic administration and civic pride during
the early and mid-Victorian period in Britain. This was
particularly reflected in the architecture and infrastructure of
British cities—one of the most notable legacies of the period.
Magnificent town halls, libraries, concert halls, museums, and,
not least, the great civil engineering projects of the time all
inculcated the virtues of civic identity and therefore of
instituting civic power.
Beyond the machinery of government, the Poor Law of 1834
represented the clearest example of the new ideological
departures that characterized the liberal state. Its
encouragement of self-supporting actors within the greater
scheme of a natural order expressed the mixture of
utilitarianism and evangelicalism that was characteristic of the
new order. New areas of state action were also evident in
education as well as in factory reform, and with these
departures a new kind of bureaucratic expertise arose. Expert
bureaucrats from outside of government, including the physician
and medical reformer James Kay-Shuttleworth in education and the
lawyer Edwin Chadwick in Poor Law and health reform, were
brought in to advise the government. Figures such as these
indicate the permeability of the Victorian state and its
closeness to civil society, for they established their
reputations and gained their expertise outside the attenuated
structure of the state bureaucracy. From the 1850s onward,
however, centralized bureaucracy accrued to itself increasing
powers. The reforms of 1853–54 engineered by Charles Edward
Trevelyan and Sir Stafford Northcote instituted, by means of
public and competitive examination, a system based not on
patronage but on merit. In fact, public examination was designed
to create meritocracy of a very particular sort, one based on
the classically educated Englishman of Oxford and Cambridge
universities. For the first time in British history and the
history of Oxbridge (the two universities viewed as an
institution), though in both cases decidedly not the last time,
the ideology of merit was employed to reproduce a particular
kind of ruling elite. This elite was built upon the idea of
public duty, inculcated by an Oxbridge education, but above all
it was based upon the notion that the state and its bureaucracy
could be neutral. This neutrality was to stem from the open,
competitive examination itself but also from the idea of that
the neutrality of the civil service could be guaranteed by the
ethics of the Oxbridge-educated English gentleman.
Nonetheless, gentleman of an even higher social station than
that of these new civil servants—that is, the aristocracy and
gentry—were still very much a part of government, and, despite
all these reforms, the role of patronage remained important. The
mid-Victorian implementation of the liberal state by the
government of William Gladstone therefore still had considerable
work to do. Gladstone, Whig and later Liberal prime minister,
was the major single influence on the 19th-century liberal state
and arguably the most gifted British politician of his time. The
liberal state’s attempt to rule through freedom and through the
natural order was implemented not merely in social but also in
economic terms: Gladstonian finance, particularly the taxation
system, was aimed at encouraging the belief that all groups in
society had a responsibility for sanctioning and financing
government activity and that therefore they should have an
incentive to keep it under control. Economic and social
government came together dramatically in the case of the Irish
Potato Famine in the late 1840s. The outcome of the famine, a
disaster for Ireland involving the death or emigration of
millions of people, has to be seen in the context of the
long-term agenda of the liberal state, which included Ireland as
a sort of laboratory for experimentation in this new kind of
government (India was a similar kind of laboratory). The
experimental methods in the Irish case involved an agenda
including population control, the Poor Law relief system, and
the consolidation of property through a variety of means,
including emigration, the elimination of smallholdings, and the
sale of large but bankrupt estates. The government measured the
success of its relief policies in terms of this agenda rather
than its effectiveness in addressing the immediate question of
need. The goal of this agenda was the creation of a society of
“rational” small-farm production on the model of the natural
order of the free market, rather than the “irrational”
production of a mass of small peasant proprietors.
However, subsequent implementation of the liberal state—for
instance, that of Gladstone—should not be seen simply as guided
by the amoral market. In the third quarter of the century,
Gladstone’s version of the liberal state represented the
apotheosis of the approach to government favoured by the
reformer Sir Robert Peel (the Conservative prime minister from
1834 to 1835 and again from 1841 to 1846). This version of the
liberal state took the form of an individualism ostensibly based
not upon greed and self-interest but upon probity, self-control,
and a sense of duty and Christian morality. In this regard, as
indeed much more widely in British history, this version of
individualism accorded with many of the beliefs of society in
general—not least those held by the working classes—so that the
attempt to rule through the moral characteristics of society
proved in many respects to be an extraordinarily successful
venture in government. Rather like the thinking behind the
reformed civil service, the moral rule at the heart of
Gladstonian economic reform was designed to establish the
neutrality, and therefore the high moral ground, of government:
if government were independent of a self-regulating economy, it
would also be free from the influence of powerful economic
interests. This view of liberal government in the period of Tory
power instituted after 1874 changed little and went unchallenged
until the late 19th century, even if Tory administrations had a
somewhat more positive idea of the state.
The political situation
Whig reforms
Whig interest in parliamentary reform went back to the
18th century, and Grey himself provided a link between two
separate periods of public agitation. Yet, in the country as a
whole, there were at least three approaches to the reform
question. Middle-class reformers were anxious to secure
representation for commercial and industrial interests and for
towns and cities such as Birmingham and Manchester that had no
direct voice in Parliament. “Popular radicals,” of both
middle-class and working-class origin, were concerned with
asserting rights as well as with relieving distress.
“Philosophic radicals,” the followers of the utilitarianism of
philosopher Jeremy Bentham, were strong ideological protagonists
of parliamentary reform but were deeply hostile to both the
arguments and the tactics of the popular radicals, except when
confident that they were in a position to deploy or control
them. Agitation in the country kept the reform question on the
boil between 1830 and 1832, while an aloof Grey faced
unprecedented constitutional difficulties with both the king and
Parliament.
The Reform Act of 1832 (see Reform Bill) was in no sense a
democratic measure. It defined more clearly than ever before the
distinction between those who were and those who were not
sanctioned to wield power, and it did so entirely in terms of
property ownership, entrenching the power of landed wealth as
well as acknowledging new sources of power in the middle classes
and the consequent claims upon the rights and virtues of their
new political identity. The bill entailed a substantial
redistribution of parliamentary constituencies and a change in
the franchise. The total electorate was increased by 57 percent
to 217,000, but artisans, labourers, and large sections of the
lower middle classes still remained disenfranchised. No radical
demands were met, even though the manner of passing the bill had
demonstrated the force of organized opinion in the country,
particularly in the large cities, which were also now given
representation.
Returned with a huge majority in the general election of
December 1832, the Whigs carried out a number of other important
reforms. A statute in 1833 ended slavery in the British
colonies; in that same year the East India Company lost its
monopoly of the China trade and became a purely governing body
with no commercial functions.
The new Poor Law of 1834 turned out to be an unpopular
measure in many parts of the country, however, and led to
violent outbreaks of disorder. Its basic principle—that “outdoor
poor relief” (i.e., outside the workhouse) should cease and that
conditions in workhouses should be “less eligible” (i.e., less
inviting) than the worst conditions in the labour market
outside—was as bitterly attacked by writers such as Thomas
Carlyle as it was by the workingmen themselves.
All of these contentious issues multiplied after 1836, when a
financial crisis ushered in a period of economic depression
accompanied by a series of bad harvests. Social conflict, never
far from the surface, became more open and dramatic. Grey’s
successor, William Lamb, Viscount Melbourne, proved incapable of
finding effective answers to any of the pressing financial,
economic, and social questions of the day, but he did prove
adept in his dealings with Queen Victoria, who ascended the
throne in 1837.
Chartism and the Anti-Corn Law League
As the economic skies darkened after 1836 and prophets
such as Carlyle anticipated cataclysmic upheaval, the two most
disgruntled groups in society were the industrial workers and
their employers. Each group developed new forms of organization,
and each turned from local to national extra-parliamentary
action. The two most important organizations were the Chartists
and the Anti-Corn Law League. Chartism drew on a multiplicity of
workers’ grievances, extending working-class consciousness as it
grew. The Anti-Corn Law League, founded as a national
organization in Manchester in 1839, was the spearhead of
middle-class energies, and it enjoyed the advantage not only of
lavish funds but also of a single-point program—the repeal of
the restrictive Corn Laws.
Taking its name from the People’s Charter published in London
in May 1838, Chartism aimed at parliamentary reform. The charter
contained six points, all of them political and all with a
radical pedigree: (1) annual parliaments, (2) universal male
suffrage, (3) the ballot, (4) no property qualifications for
members of Parliament, (5) payment of members of Parliament, and
(6) equal electoral districts. These were old demands that would
have been supported by 18th-century radicals. Localized Poor Law
and factory reform agitations centring on such grievances were
subsumed in Chartism because of its commitment to national
political action. However, for a variety of reasons—not least
that the politicians had been able again to convey the sense
that the state was benign and neutral and not, as Chartists
perceived it, repressive and sectional—the mass movement of
Chartism ultimately failed.
By contrast, the Anti-Corn Law League, led by Richard Cobden
and John Bright, met with success. It employed every device of
propaganda, including the use of new media of communication,
such as the Penny Post, which was introduced in 1840. The
formula of the league was a simple one designed to secure
working-class as well as middle-class support. Repeal of the
Corn Laws, it was argued, would settle the two great issues that
faced Britain in the “hungry forties”—securing the prosperity of
industry and guaranteeing the livelihood of the poor. So
enormous was religion’s influence on the league that when it
identified the landlord as the only barrier to salvation, it
meant religious as well economic salvation. Most Chartists were
unconvinced by this logic, but, in a landed Parliament, Peel
carried the measure against his own party.
Peel and the Peelite heritage
Peel was the presiding genius of a powerful
administration, strictly supervising the business of each
separate branch of government; nevertheless, a substantial
section of the squirearchy rebelled, roused by the brilliant
speeches of a young politician, Benjamin Disraeli, who in his
writings had already approached the “condition of England
question” in a totally different style than that of Peel. The
results of repeal were important politically as well as
economically. As a result of the split, party boundaries
remained blurred until 1859, with the “Peelites” retaining a
sense of identity even after Peel’s premature death following a
riding accident in 1850. Some of them, particularly Gladstone,
eventually became leaders of the late 19th-century Liberal
Party, which emerged from the mid-century confusion. The
protectionists, most of whom abandoned protection after 1852,
formed the nucleus (around Edward Stanley, earl of Derby, and
Disraeli) of the later Conservative Party, but they were unable
to secure a majority in any election until 1874. The minority
governments they formed in 1852, 1858, and 1866 lacked any
secure sense of authority. The Whigs, themselves divided into
factions, returned to office in 1847 and held it for most of the
mid-century years, but they were often dependent on support from
radical and Irish colleagues. There was no time between 1846 and
1866, however, when extra-parliamentary agitation assumed the
dimensions it had between 1838 and 1846.
Matters of religion helped divide the limited mid-Victorian
electorate, with the Nonconformists (Dissenters) encouraging,
from their local bases, the development of liberalism and with
the Anglican churchmen often—but by no means
universally—supporting the Conservative Party. Nonelectors’
associations (representing the disenfranchised) tried with
varying degrees of success to keep radical issues alive, but
party divisions remained based on customary allegiance as much
as on careful scrutiny of issues, and there was still
considerable scope for bribery at election times. The civil
service might be pure, but the electors often were not. The
Corrupt Practices Act of 1854 provided a more exact definition
of bribery than there had been before, but it was not until a
further act of 1883 that election expenses were rigorously
controlled. It was then that, quite emphatically, parliamentary
representation became not a matter of communities but of
individuals, a process taken a considerable step further in 1872
with institution of electoral secrecy by the Ballot Act.
The prestige of the individual members of Parliament was
high, and the fragmentation of parties after 1846 allowed them
considerable independence. Groups of members supporting
particular economic interests, especially the railways, could
often determine parliamentary strategies. Nevertheless,
contemporaries feared such interests less than they feared what
was often called the most dangerous of all interests, executive
government. Powerful government and large-scale “organic” reform
were considered dangerous, and even those radicals who supported
organic reform, like Cobden and Bright, were suspicious of
powerful government.
Palmerston
Lord Palmerston, who became prime minister for the first
time in 1855, stood out as the dominant political personality of
mid-Victorian Britain precisely because he was opposed to
dramatic change and because he knew through long experience how
to maneuver politics within the half-reformed constitution. In a
period when it was difficult to collect parliamentary
majorities, he often forced decisions, as in the general
election of 1857, on the simple question “Are you for or against
me?” He also was skillful in using the growing power of the
press to reinforce his influence. At a time of party confusion,
when the queen might well have played a key part in politics,
Palmerston found the answer to royal opposition in popular
prestige, carefully stage-managed. His chief preoccupation was
with foreign affairs, and his approach was, on several
occasions, diametrically opposed to that of the court.
There was no contradiction between his views on domestic and
foreign policy. He preferred the British system of
constitutional government, resting on secure social foundations,
to Continental absolutism, but, like Canning, his predecessor as
foreign secretary, Palmerston was anxious above all else to
advance the interests of Britain as he saw them. The supremacy
of British sea power, British economic ascendancy, and political
divisions inside each of the main countries of Europe before and
after the Revolutions of 1848 gave him his opportunity.
His interventions were not confined to Europe. In 1840–41 he
had forced the Chinese ports open to foreign trade, and, by the
Treaty of Nanjing (1842), he had acquired Hong Kong for Britain.
In 1857 he went to war in China again and, when defeated in
Parliament, appealed triumphantly to the country. He also
intervened in Russia. The Crimean War (1853–56) was designed to
curb what were interpreted as Russian designs on the Ottoman
Empire and a Russian threat to British power in the eastern
Mediterranean. The outcome greatly favoured the British and
their main allies, the French and the Ottoman Empire. Although
Palmerston’s government was defeated in 1858, he was back again
as prime minister, for the last time, a year later.
During Palmerston’s remarkable ministry of 1859–65, which
included Peel’s successor as prime minister, Lord John Russell,
as foreign secretary and the Peelite Gladstone as chancellor of
the Exchequer, it was impossible for Britain to dominate the
international scene as effectively as in previous periods of
Palmerstonian power. With efficient military power at his
disposal, the Prussian prime minister, Otto von Bismarck, proved
more than a match for Palmerston. The union of modern Italy,
which Palmerston supported, the American Civil War, in which his
sympathies were with the Confederacy, and the rise of Bismarck’s
Germany, which he did not understand, were developments that
reshaped the world in which he had been able to achieve so much
by forceful opportunism. When Palmerston died, in October 1865,
it was clear that in foreign relations as well as in home
politics there would have to be what Gladstone described as “a
new commencement.”
Gladstone and Disraeli
In the large urban constituencies the demand for a new
and active liberalism had already been gaining ground, and at
Westminster itself Gladstone was beginning to identify himself
not only with the continued advance of free trade but also with
the demand for parliamentary reform. In 1864 he forecast new
directions in politics when he stated that the burden of proof
concerning the case for reform rested not with the reformers but
with their opponents. A year later he lost his seat representing
the University of Oxford and was returned as member of
Parliament for a populous Lancashire constituency. The timing
was right, because, after the death of Palmerston, the question
of parliamentary reform was reopened and the Second Reform Bill
was passed in 1867.
The reform of 1867 almost doubled the electorate, adding
938,000 new names to the register and extending the franchise to
many workingmen in the towns and cities. The county franchise
was not substantially changed, but 45 new seats were created by
taking one seat from existing borough constituencies with a
population of fewer than 10,000. Disraeli hoped that, in return
for his support in passing this measure, urban workers would
vote for him. He believed rightly that many of them were
Conservatives already by instinct and allegiance, but in 1868,
in the first general election under the new system, it was
Gladstone who was returned as prime minister.
In both parties, new forces were stirring at the local level,
and energetic efforts were under way to organize the electorate
and the political parties along new lines. Even though Gladstone
resumed power, it became apparent that the popular vote was not
Liberal by divine right. In several parts of England,
particularly in the industrial north, there developed a strong
popular Toryism, which in Lancashire, a great centre of the
cotton industry, was based partly upon deference to industrial
employers, partly upon dislike of Irish immigrants, partly upon
popular Protestant associations with Englishness, and not least
upon what to many was a surprisingly strong support for the
principles of church and state.
With the development of central party machinery and local
organization, the role of the crown was reduced during this
period to that of merely ratifying the result of elections.
Although the queen greatly preferred Disraeli to Gladstone, she
could not keep Gladstone out. Her obvious partisanship made some
of her acts look unconstitutional, but they would not have been
deemed unconstitutional in any previous period of history. The
public during this period was more interested in the political
leaders than in the queen, who lived in retirement and was
sharply criticized in sections of the press.
Gladstone’s first administration had several notable
achievements: the disestablishment and partial disendowment of
the Irish church, accomplished in 1869 in face of the opposition
of the House of Lords; the Irish Land Act of 1870, providing
some safeguards to Irish tenant farmers; William Edward
Forster’s Education Act of the same year, the first national act
dealing with primary education; the Trade-Union Act of 1871,
legalizing unions and giving them the protection of the courts;
and the Ballot Act of 1872, introducing secret voting. Moreover,
the Universities of Oxford and Cambridge were opened to
Nonconformists, or Dissenters (Protestants who did not conform
to the practices of the Church of England), while between 1868
and 1873 the cumbrous military machine was renovated by
Gladstone’s secretary for war, Edward Cardwell. The system of
dual responsibility of commander in chief and secretary for war
also was abolished, and the subordination of the former to the
latter was asserted. In 1873 the Judicature Act, amended in
1876, simplified the tangle of legal institutions and
procedures. Gladstone, throughout his life, preferred cheap and
free government to expensive and socially committed government.
He was anxious indeed in 1873 to abolish income tax, on which
the public finances of the future were to depend.
Many of these reforms did not satisfy affected interests. The
Irish Church Disestablishment Act failed to placate the Irish
and alarmed many English churchmen, while the Education Act was
passed only in the face of bitter opposition from
Nonconformists, who objected that Forster’s system did not break
the power of the church over primary education. Although the act
was extended in 1880 when primary education was made compulsory
and in 1891 when it became free, there were often noisy
struggles between churchmen and Nonconformists on the new school
boards set up locally under Forster’s act. If the Education Act
alienated many Nonconformists, the Licensing Bills of 1871 and
1872 alienated their enemies, the brewers. In the general
election of 1874, therefore, months after Disraeli had described
the Liberal leaders in one of his many memorable phrases as a
“range of exhausted volcanoes,” the brewers threw all their
influence behind the Conservatives. “We have been borne down in
a torrent of gin and beer,” Gladstone complained.
In his subsequent ministry, with the assistance of men like
Richard Cross, the home secretary, Disraeli justified at last
his reputation as a social reformer. By the Employers and
Workmen Act of 1875, “masters” and “men” were put on an equal
footing regarding breaches of contract, while by the Trade-Union
Act of 1875, which went much further than the Liberal Act of
1871, trade unionists were allowed to engage in peaceful
picketing and to do whatever would not be criminal if done by an
individual. The Public Health Act of 1875 created a public
health authority in every area; the Artizans’ and Labourers’
Dwellings Improvement Act of the same year enabled local
authorities to embark upon schemes of slum clearance; a factory
act of 1878 fixed a 56-hour workweek; while further legislation
dealt with friendly societies (private societies for
mutual-health and old-age insurance), the protection of seamen,
land improvements carried out by tenants, and the adulteration
of food. There was no similar burst of social legislation until
after 1906.
If there were significant, though not fully acknowledged,
differences between the records of the two governments on
domestic issues, there were open, even strident differences on
questions of foreign policy. Gladstone had never been a
Palmerstonian. He was always anxious to avoid the resort to
force, and he put his trust not in national prejudices but in an
enlightened public opinion in Europe as well as in Britain. His
object was justice rather than power. In practice, however, he
often gave the impression of a man who vacillated and could not
act firmly. Disraeli, on the other hand, was willing to take
risks to enhance British prestige and to seek to profit from,
rather than to moralize about, foreign dissensions. His first
ventures in “imperialism”—a speech at the Crystal Palace in
1872, the purchase of the Suez Canal shares in 1875, and the
proclamation of the queen as “Empress of India”—showed that he
had abandoned the view, popular during the middle years of the
century, that colonies were millstones around the mother
country’s neck. But these moves did not involve him in any
European entanglements, nor did the costly, if brilliantly led,
campaigns of Maj. Gen. Frederick Roberts in Afghanistan
(1878–80) and the annexation of the Transvaal in South Africa in
1877.
It was the Middle Eastern crisis of 1875–78 that produced the
liveliest 19th-century debate on foreign policy issues. In May
1876 Disraeli rejected overtures made by Russia,
Austria-Hungary, and Germany to deal jointly with the Ottoman
Empire, which was faced with revolt in Serbia. His pro-Turkish
sympathies irritated many Liberals, and, after Turkey had gone
on to suppress with great violence a revolt in Bulgaria in 1876,
the Liberal conscience was stirred, and mass meetings were held
in many parts of the country. Gladstone, who had gone into
retirement as Liberal leader in 1875, was slower to respond to
the issue than many of his followers, but, once roused, he
emerged from retirement, wrote an immensely influential pamphlet
on the atrocities, and led a public campaign on the platform and
in the press. For him the Turks were “inhuman and despotic,”
and, whatever the national interests involved, Britain, in his
view, should do nothing to support them. Disraeli’s calculations
concerned strategic and imperial necessities rather than ideals
of conduct, and his suspicions were justified when the Russians
attacked Turkey in April 1877. Opinion swung back to his side,
and in 1878 Disraeli sent a British fleet to the Dardanelles.
London was seized by war fever—the term jingoism was coined to
describe it—which intensified when news arrived that a peace
agreement, the Treaty of San Stefano, had been signed whereby
Turkey accepted maximum Russian demands. Reservists were
mobilized in Britain, and Indian troops were sent to the
Mediterranean. Disraeli’s foreign minister, who disapproved of
such action, resigned, to be succeeded by Robert Gascoyne-Cecil,
marquess of Salisbury, who was eventually to serve as prime
minister in the last Conservative administrations of the 19th
century. The immediate crisis passed, and, at the Congress of
Berlin, an international conference held in June and July 1878,
which Disraeli attended, the inroads into Turkish territory were
reduced, Russia was kept well away from Constantinople, and
Britain acquired Cyprus. Disraeli brought back “peace with
honour.” But the swings of public opinion continued, and in 1879
Gladstone, starting at Midlothian in Scotland, fought a
nationwide political campaign of unprecedented excitement and
drama. In the general election of April 1880, the Liberals
returned to power triumphantly, with a majority of 137 over the
Conservatives. Disraeli, who had moved to the House of Lords in
1876, died in 1881.
Economy and society
Although the Industrial Revolution traditionally has
dominated accounts of change over the course of this period,
recent research has emphasized the uneven and complex nature of
this change. Nevertheless, over the course of the 19th century,
the rise of manufacturing industry was striking, with the
decisive shift occurring in the first three decades of the
century. In 1801, 22 percent of the active British workforce was
employed in manufacturing, mining, and construction, while 36
percent was involved in agriculture; by 1851, manufacturing,
mining, and construction had increased to 40 percent, while
agriculture had dropped to 21 percent. By 1901, agriculture had
fallen even farther, to only 9 percent.
Cotton textiles remained the dominant new industry, centred
in Manchester, with the textile factory being thought of by one
of its contemporary admirers, the Leeds manufacturer Edward
Baines, as “the most striking example of the dominion obtained
by human science over the powers of nature of which modern times
can boast.” By 1851 there were some 1,800 cotton factories in
Britain. From 1815 to 1851 raw cotton imports had increased
unevenly from 101 million pounds to 757 million pounds, while
exports of manufactured cotton piece goods increased from 253
million yards to 1.543 billion yards. Manchester was the centre
of the cotton industry. During the same period, however, similar
steam-driven technology accounted for the expansion of the
woolen textiles industry, with Australia, which had provided no
raw wool for Britain in 1815, supplying about 30 million pounds
in 1851. Bradford and Leeds were the centres of the woolen
textile industry. It was the textiles industry more than any
other that illustrated Britain’s dependence on international
trade, a trade that it commanded not only through the volume of
its imports and of its manufacturing output but also through the
strength of its banking and other financial institutions, as
well as the extent of its shipping industry.
The second, capital goods, phase of industrialization,
beginning in the mid-19th century, broadened the manufacturing
base into areas such as shipping and engineering. In tandem with
this advance was the growth of the service industry as the
economy expanded over time. The advent of mass consumption in
the second half of the 19th-century—resulting in the slow
development of mass retailing by multiple stores—was one
consequence of this. While the factory and mechanized production
played important roles in the process of industrialization, this
process has been usefully described as “combined and uneven
development.” Undoubtedly, hand technology and muscle power
continued to play a considerable role far beyond the mid-19th
century, and, as older forms of production continued alongside
new, they were incorporated in, and to some extent regenerated
by, factory production. The artisan sector, the conduct of work
in people’s homes, and subcontracting all remained central to
many industries—for example, the hosiery industry in Nottingham.
Much production was in fact small-scale and characterized to
varying degrees by employers’ dependence on the skills and
authority of the worker; if in some areas—for example, the
trades in London—capitalism made progress by degrading the
status of craft workers, in other areas workers were able to
hold their own and adapt to new situations by organizing through
the trade unions that gave them leverage over employers. Even in
mechanized industries, managerial hierarchies were weakly
elaborated, and there was a considerable dependence on worker
skill and authority as well as a limited penetration of
technology. Also of great importance were domestic service and
small shop keeping. The upshot was not a linear process of
change in which the end result was de-skilled factory production
and the homogenization of the condition of workers but rather a
complex set of outcomes in which the relations of capital and
labour represented a variegated division of power.
In fact the decentralized nature of industrial production
paralleled the decentralized state, and workers’ understanding
of the economy was in many ways similar to their view of the
state—namely, one of guarded acceptance. As it did with all
other sectors of British life, the state for the most part
studiously stayed outside the field of industrial relations;
nonetheless, developments in the economy and in labour relations
had a decisive role in shaping British workers’ views of the
state. Within labour itself, there were divisions between
“honourable” (traditional, apprenticeship-based, well-paid) and
“dishonourable” (low-status, corner-cutting) trades, between
those with a trade and those without, between the skilled and
the unskilled, between union and nonunion workers, and between
men and women. The labour movement itself reflected these
divisions, as the increasingly strong trade union movement of
this period was in fact largely shaped to meet the interests and
demands of the skilled male head of household.
People were concerned too about the rising population as well
as the nature and pace of economic change. In the first census
of 1801, the population of England and Wales was about 9 million
and that of Scotland about 1.5 million. By 1851 the comparable
figures were 18 million and 3 million. At its peak in the decade
between 1811 and 1821, the growth rate for Britain as a whole
was 17 percent. It took time to realize that Thomas Malthus’s
eloquently expressed fears that population would outrun
subsistence were exaggerated and that, as population grew,
national production would also grow. Indeed, national income at
constant prices increased nearly threefold between 1801 and
1851, substantially more than the increase in population.
The new technology reached its peak in the age of the railway
and the steamship. Coal production, about 13 million tons in
1815, increased five times during the next 50 years, and by 1850
Britain was producing more than 2 million tons of pig iron, half
the world’s output. Both coal and iron exports increased
dramatically, with coal exports amounting to 3.3 million tons in
1851, as opposed to less than 250,000 tons at the end of the
French revolutionary and Napoleonic wars. Coal mining was
scattered in the coal-producing districts; there were few large
towns, and miners lived a distinctive life, having their own
patterns of work and leisure. Iron production was associated
with larger plants and considerable urbanization. In South
Wales, for example, one of the areas of industrial expansion,
the Dowlais works employed 6,000 people and turned out 20,000
tons of pig iron each year during the 1840s. Birmingham,
Britain’s second largest city, was the centre of a broad range
of metallurgical industries that were organized mainly in small
workshops that differed sharply in character from the huge
textile mills of Lancashire and Yorkshire.
Industrialization preceded the coming of the railway, but the
railroad did much to lower transport costs, to consume raw
materials, to stimulate investment through an extended capital
market, and to influence the location of industry. The railway
age may be said to have begun in 1830, when the line from
Manchester to Liverpool, the country’s most vigorously expanding
port, was opened, and to have gone through its most hectic
phases during the 1840s, when contemporaries talked of a
“railway mania.” By 1851, 6,800 miles (11,000 km) of railway
were open, some of which involved engineering feats of great
complexity. There was as much argument among contemporaries
about the impact of railways as there was about the impact of
steam engines in factories, but there was general agreement
about the fact that the coming of the railway marked a great
divide in British social history. It was not until the 1870s and
’80s that steamship production came to its full realization, and
by then British engineers and workers had been responsible for
building railways in all parts of the world. By 1890 Britain had
more registered shipping tonnage than the rest of the world put
together.
Cultural change
The development of private life
It was in this period that private life achieved a new
prominence in British society. The very term “Victorianism,”
perhaps the only “ism” in history attached to the name of a
sovereign, not only became synonymous with a cluster of
restraining moral attributes—character, duty, will, earnestness,
hard work, respectable comportment and behaviour, and thrift—but
also came to be strongly associated with a new version of
private life. Victoria herself symbolized much of these new
patterns of life, particularly through her married life with her
husband, Albert, and—much later in her reign—through the early
emergence of the phenomenon of the “royal family.” That private,
conjugal life was played out on the public stage of the monarchy
was only one of the contradictions marking the new privacy.
However, privacy was more apparent for the better-off in
society than for the poor. Restrictions on privacy among the
latter were apparent in what were by modern standards large
households, in which space was often shared with those outside
the immediate, conjugal family of the head of household,
including relatives, servants, and lodgers. Privacy was also
restricted by the small size of dwellings; for example, in
Scotland in 1861, 26 percent of the population lived in
single-room dwellings, 39 percent in two-room dwellings, and 57
percent lived more than two to a room. It was not until the 20th
century that this situation changed dramatically. Nonetheless,
differences within Britain were important, and flat living in a
Glasgow tenement was very different from residence in a
self-contained house characteristic of large parts of the north
of England. This British kind of residential pattern as a whole
was itself very different from continental Europe, and despite
other differences between the classes, there were similarities
among the British in terms of the house as the cradle of modern
privacy. The suggestive term “social privacy” has been coined to
describe the experience of domestic space prior to the
intervention of the municipality and the state in the provision
of housing, which occurred with increasing effect after
mid-century. The older cellular structure of housing, evident in
the tangle of courts and alleys in the old city centres, often
with cellar habitations as well, resulted in the distinction
between public and private taking extremely ambiguous form. In
the municipal housing that was increasingly widespread after
mid-century, this gave way to a more open layout in which single
elements were connected to each other.
Among housing reformers there was a dislike of dead ends,
courts, and the old situation where habitations were turned in
upon themselves in their own social privacy. In the new order,
space became neutral and connective, and, in the new “bylaw
housing,” streets were regular in layout and width, with side
streets at right angles and back alleys in parallel lines. The
streets outside were (and remain) surprisingly wide in contrast
to the narrow alleys behind. Such streets allowed a maximum of
free passage. The street outside was public and communal. The
alley or lane behind was less socially neutral than the street,
still rather secret. It was not a traffic thoroughfare for the
public at large, being reserved for the immediate inhabitants,
for the hanging of washing, and perhaps for the playing of
football (soccer). In between these public and semipublic
spheres and the house within was the space of the yard at the
back, which in contradistinction to the street was private and
individual (if less so, potentially, than the house itself). In
this fashion, municipal authorities sought to inculcate privacy
in the lower classes. However, conditions worked against
domestic privacy for them, and it was in the homes of the
better-off that privacy was most developed.
Within the dwellings of the more privileged, there was a
trend towards the specialization of rooms, the separation of the
public from the private sides of life, and the development of
distinct spheres for women and children. A society based on
achieved status, as British society was slowly becoming, was
very concerned to regulate and legitimize social relationships
of gender and status, and the spaces of the home served as a
means of doing this. From about the 1820s a family pattern
developed that was conditioned by spatial environments that
resulted from the new significance of home and domesticity. The
home was to be a retreat from the stress of the world and a
haven of security. This change in perspective was associated
with other developments, namely the retreat from the centre of
cities to the suburbs—evident in Manchester, for example, as
early as the 1820s—along with a concomitant switch in housing
style from the 18th-century terrace (row houses) to the detached
or semidetached villa. In the move from the terrace, what was
once the common garden of the square gave way to a separate,
private garden. The common and more public rooms of the house,
which were once for use by all members of the family, were
relocated on the ground floor, with the other stories of the
house being limited to the use of family members in a distinct
domestic sphere. In terms of the development of working-class
domesticity, by mid-century there was a clear gender division of
labour between men and women (though it was often contradicted
in practice by economic necessity and local employment
conditions), based on the assumption that a man was to be the
main and preferably sole breadwinner and head of the household.
This pattern of gender relationships had profound influence on
working-class institutions, not only on the trade union movement
but also on the club and association life that was so central to
the leisure activity of the less well-off.
However, the Victorian middle-class family should not be
confused with the small nuclear family of the 20th century.
Families were large and intermarried so that the boundaries
between the categories of relative, dependent, and friend were
indistinct, recalling an older notion of family as the circle of
dependents. The relationship between public and private was
therefore similarly complicated. Because the domestic interior
could be the site of all sorts of familial and extra-familial
interactions and obligations, the nexus of private life might
also be distinctly public. Of course, privacy was accelerated by
means other than family and domestic arrangements. The spread of
reading on one’s own and of letter writing, the latter of which
increased massively with the development of the cheap Penny
Post, were both conducive to privacy.
Moreover, privacy in life led to privacy in death, as what
may be called social burial in the old churchyard gave way to
the new privacy of the cemetery. An invention of this time
(Kensal Green, the first specialist London cemetery, opened in
1831), the cemetery was a new sort of public space, which in
theory welcomed all comers, though in practice it was open only
to the better-off, at least at first. Communal, spatially
particular parish rights of burial were replaced by absolute,
abstract property rights, and the hugger-mugger of the old
churchyard was replaced by the possibility of the individuation
of the dead person, by means of the memorial and the deployment
of the clearly demarcated burial site. One could really have
eternal rest, instead of being dug up every few decades. The
individual had his or her space in death as in life.
Religion
Victorian doubt about inherited biblical religion was as
much an acknowledged theme of the period as was Victorian
belief. Discoveries in geology and biology continued to
challenge all accepted views of religious chronology handed down
from the past. Perhaps the most profound challenge to religion
came with Charles Darwin’s On the Origin of Species (1859). Yet
the challenge was neither unprecedented nor unique. In 1860
Essays and Reviews was published; a lively appraisal of
fundamental religious questions by a number of liberal-minded
religious thinkers, it provoked the sharpest religious
controversy of the century.
Behind such controversies there were many signs of a
confident belief on all sides that inquiry itself, if freely and
honestly pursued, would do nothing to dissolve shared ideals of
conduct. Even writers who were “agnostic” talked of the
“religion of humanity” or tried to be good “for good’s sake, not
God’s.” Standards were felt to count in institutional as well as
in private life.
Emphasis on conduct was, of course, related to religion. The
British religious spectrum was of many colours. The Church of
England was flanked on one side by Rome and on the other by
religious dissent. Both were active forces to be reckoned with.
The Roman Catholic Church was growing in importance not only in
the Irish sections of the industrial cities but also among
university students and teachers. Dissent had a grip on the
whole culture of large sections of the middle classes, dismissed
abruptly by Matthew Arnold as classes of “mutilated and
incomplete men.” Sometimes the local battle between the Church
of England and dissent was bitterly contested, with
Nonconformists opposing church rates (taxes), challenging closed
foundations, and preaching educational reform and total
abstinence from intoxicating beverages. A whole network of local
voluntary bodies, led either by Anglicans or Nonconformists,
usually in rivalry, came into existence, representing a tribute
to the energies of the age and to its fear of state
intervention.
The Church of England itself was a divided family, with
different groups contending for positions of influence. The High
Church movement (which emphasized the “Catholic” side of
Anglicanism) was given a distinctive character, first by the
Oxford movement, or Tractarianism, which had grown up in the
1830s as a reaction against the new liberal theology, and then
by the often provocative and always controversial ritualist
agitation of the 1850s and ’60s. The fact that prominent members
of the Church of England flirted with “Romanism” and even
crossed the Rubicon often raised the popular Protestant cry of
“church in danger.” Peel’s conversion to free trade in 1846
scarcely created any more excitement than John Henry Newman’s
conversion to Roman Catholicism the previous year, while in 1850
Lord Russell, the prime minister, tried to capitalize
politically on violent antipapal feelings stimulated by the
pope’s decision to create Roman Catholic dioceses in England.
The Evangelicals, in many ways the most influential as well
as the most distinctively English religious group, were
suspicious both of ritual and of appeals to any authority other
than the Bible. Their concern with individual conduct was a
force for social conformity during the middle years of the
century rather than for that depth of individual religious
experience that the first advocates of “vital religion” had
preached in the 18th century. Yet leaders such as Lord Ashley
were prepared to probe some Evangelical social issues (e.g.,
housing) and to stir men’s consciences, and, even if their
preoccupation was with saving souls, their missionary zeal
influenced developments overseas as well as domestic
legislation. There were other members of the church who urged
the cause of Christian socialism. Their intellectual guide was
the outstanding Anglican theologian Frederick Denison Maurice.
The Evangelicals in particular were drawn into substantial
missionary activity in the empire and other parts of the world,
frequently clashing with settlers and administrators and
sometimes with soldiers. They regarded it as their sacred duty
to spread the gospel from, in the words of one of the period’s
best-known missionary hymns, “Greenland’s icy mountains” to
“India’s coral strand.”
Beyond the influence of both church and chapel, there were
thousands of people in mid-Victorian England who were ignorant
of, or indifferent toward, the message of Christianity, a fact
demonstrated by England’s one religious census in 1851. Although
movements such as the Salvation Army, founded by William Booth
in 1865, attempted to rally the poor of the great cities, there
were many signs of apathy or even hostility. There was also a
small but active secularist agitation; particularly in London,
forces making for what came to be described as “secularism”
(more goods, more leisure, more travel) could undermine
spiritual concerns. The great religious controversies of
mid-Victorian England were not so much to be settled as to be
shelved.
In Scotland, where the Church of Scotland had been fashioned
by the people against the crown, there was a revival of
Presbyterianism in the 1820s and ’30s. A complex and protracted
controversy, centring on the right of congregations to exclude
candidates for the ministry whom they thought unsuitable, ended
in schism. In 1843, 474 ministers left the Church of Scotland
and established the Free Church of Scotland. Within four years
they had raised more than £1.25 million and built 654 churches.
This was a remarkable effort, even in a great age of church and
chapel building. It left Scotland with a religious pattern even
more different from that of England than it had been in 1815.
Yet many of the most influential voices in mid-Victorian
Britain, including Carlyle and Samuel Smiles (Self-Help; 1859),
were Scottish, and the conception of the gospel of work, in
particular, owed much in content and tone, even if often
indirectly, to Scottish Calvinism. In Wales there was a
particularly vigorous upsurge of Nonconformity, and the Welsh
chapel was to influence late 19th-century and 20th-century
British politics.
Leisure
Leisure emerged as a distinct concept and activity, at
least on a mass scale, only when the hours of labour diminished
and became more regular. Before then, work and nonwork
activities had been closely related to each other—for example,
in the popular observance of the weekly “Saint Monday,” when
furious bouts of working were followed by equally furious bouts
of enjoyment on a day supposedly given over to work. In the
1850s, in textiles, the leading sector of the economy, there was
a more regular working day and week, and a half-day of leisure,
Saturday, also eventually emerged. Hours of labour began to
approximate nine per day in the 1870s and eight per day after
World War I. The Bank Holiday Act of 1871 further regularized
leisure time. Yet, obviously, for the majority of people, work
was the dominant activity.
For the privileged minority, however, leisure defined a good
deal of their existence, the model of aristocratic “society”
being redeployed in the early 19th century. Even in the 18th
century the “middling sort” well-to-do of the towns, the urban
gentry, had adopted the assembly room (where the elite had
gathered to dance and socialize), the theatre, and the promenade
as a means of regulating and enjoying urban life. This growth of
a provincial urban culture had a serious side too, in the
literary and philosophical societies of the late 18th century.
In the first three decades of the new century this more serious
aspect became increasingly apparent through the impact of the
growth of Evangelical religion and of political events both at
home and in Europe, so that there was a shift from the older
sociability of propertied urban culture to a new emphasis on the
deployment of leisure and culture as means of negotiating social
and political difficulties, especially in the new and growing
towns and cities.
The idea of “recreation” began to emerge; that is, that
nonwork time should be a time of re-creating the body and mind
for the chief purpose of work. The idea grew too that this
recreation should be “rational.” The characteristic institutions
of these new initiatives were the Mechanics Institutes for
labourers and the Atheneaums for the sons—though not the
daughters—of the more wealthy. Beyond these institutions there
was the remarkable growth of those concerned with bringing
culture to propertied urbanites, notably art galleries. However,
it was not until mid-century that such initiatives began to
develop rapidly, as in Manchester in the 1850s, where the Halle
Orchestra was established on a professional basis and its
concerts opened to anyone who could pay admission, unlike
earlier, purely subscription-based music organizations. In the
same decade, Owens College, the forerunner of the University of
Manchester, was founded. The development of these institutions
marked the emergence a more self-consciously public middle-class
culture, one remodelled around a more open and inclusive notion
of what public life involved.
In terms of popular culture, a more regularized and less
demanding working day and week became part of a new kind of
working year, so that old calendrical observances and rituals
were lost. At the same time, a number were retained, being
transformed to serve new purposes in the changed circumstances
of increasing urbanization and industrialization. For instance,
the old, established local “feast” and “wake” days of the
industrial districts in the north of England were retained,
serving many of the old communal functions yet also changing
character and obtaining new functions in light of the spread of
the railway and the advent of the modern vacation. Communal
identities might now be formed by leaving the towns en masse,
either for the railway excursion or on holiday, when large
sections of the workers from particular towns took their leisure
together at the new seaside resorts such as Blackpool. In urban
Britain, restrictions upon space as well as upon time shaped the
new culture, with old places of congregation, such as common
lands on which fairs had been held, now being built over as
towns grew. In the process, leisure often moved indoors,
becoming more regular and more commercial in its organization.
Commercial pressures in fact were most responsible for reshaping
what had at least from the late 18th century been identified as
popular culture, as opposed to forms of high culture.
(Institutions such as the new urban concert halls of the
mid-19th century were important in fostering a notion of the
sublime and sacral nature of classical music, in contrast to the
“low” music of the other sort of urban concert hall, namely the
music hall.)
Commercialization of public culture was evident in the music
hall from the 1850s, though more so in the late 19th century,
with the construction of large purpose-built halls and the
development of a nationwide chain of venues and a national
“star” system. Before then, even if commercial, organizations
were smaller-scale, less commercial, and more locally rooted.
Commercial pressures were accompanied by political and moral
pressures from above. The civic provision of culture was
intended not only for the well-to-do but also for the mass of
the population. For example, the public park, from its
introduction in the 1840s, was an attempt to reproduce rational
recreation among the lower classes through the design of the
park as a place where civilized and rational behaviour and
deportment could be encouraged. Of course, in practice, parks
served other purposes, but their place in what was a widespread
and marked reshaping of popular manners should not be
underestimated. This reshaping owed a great deal to the
beneficiaries of reform themselves, in that some of the most
vocal supporters of the reform of the old order of “superstition
and brutality” were radical workingmen whose conception of
reason pitted them against the old culture. They were joined by
Dissenter workingmen who were equally uncomfortable with
traditional culture. Commercial and reform interests combined in
the proliferation of reading matter for the “popular classes.”
Indeed, the creation of a literate population was one of the
most striking achievements of the century, but, while journals
and books advocating self-improvement reached a surprisingly
wide audience, this readership was not as wide as that of the
sensational popular literature of the 1830s and ’40s. About this
time a mass popular press also developed, though at this stage a
Sunday press only, in the form of Lloyd’s News and Reynolds’s
Weekly Newspaper. The explosion of the provincial press in the
1850s reached a somewhat different social constituency but was
tremendously important in constituting the sense of identity of
the towns that it served.
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Late Victorian Britain
State and society
From the 1880s a mounting sense of the limits of the
liberal, regulative state became apparent. One reflection of
this awareness was the increasing perception of national
decline, relative to the increasing strength of other European
countries and the United States. This awareness was reinforced
by British military failures in the South African War (Boer War)
of 1899–1902, a “free enterprise war” in which free enterprise
was found wanting. One consequence of this and other
developments was the growth of movements aimed at “national
efficiency” as a means of establishing a more effective state
machine. The recognition of social problems at home—such as the
“discovery” of urban poverty in 1880s in the assumed presence of
plenty and increasing anxiety about the “labour question”—also
raised questions about the adequacy of the state in dealing with
the mounting problems of an increasingly populous and complex
society. Toward the end of the century, the possibility of a
violent outcome in the increasingly intractable problem of
Ireland brought existing constitutional methods into question.
Behind much of this anxiety was a sense that the Third Reform
Act of 1884 (see Reform Bill) and changes in local government
were precipitating a much more democratic polity, for which the
classical liberal state had no easy answers. The example of what
was called at the time municipal socialism, especially as it
existed in Birmingham under the direction of its mayor, Joseph
Chamberlain (1873–76), indicated what the local state could
accomplish. Instead of the old “natural order” religion that had
underpinned the state previously, different currents of thought
emerged that saw the state and community as necessary for
individual self-realization. German idealism, socialism, and new
liberalism (see libertarianism) all encompassed different ways
of rethinking the state.
This rethinking revolved around the belief that the operation
of the state must incorporate consideration of the collective
characteristics of society—that is, solidarity, interdependence,
and common identity—in a much more direct way than hitherto.
Indeed, the idea of the “social” came to characterize the entire
period and even much later eras. Notions of a distinct social
sphere, separate from the economic and political realms, had
emerged much earlier, based upon the idea that the
characteristics of this social realm were evident in the
biological, vital characteristics of populations, so that
society was very often understood in organic terms. The
influence of Malthus in the early 19th century and Darwin in the
mid-19th century contributed powerfully to this worldview,
giving rise to late 19th-century representations of society in
the strongly biological terms of “social eugenics” and other
variations of “racial” thought, such as the idea of the
“degeneration” of the working class. From about the turn of the
20th century, the concept of the social realm as autonomous
developed alongside and partly incorporated older
understandings. The social question became a sociological
question, as indeed it has remained until very recently in
British history. Society was now understood, unlike in earlier
times, to work according to its own laws and to be divorced from
moral questions, although, in practice, political interventions
were invariably designed to change moral behaviour.
One major result of this questioning of the state and of new
conceptions of society was the extensive social legislation of
the Liberal administrations after 1905, which is widely seen as
the foundation of the 20th-century welfare state. The new
Liberal government embarked upon a program of social legislation
that involved free school meals (1905), a school medical service
(1907), and the Children’s Act (1908). The Old Age Pensions Act
(1908) granted pensions under prescribed conditions to people
over age 70, and in 1908 the miners were given a statutory
working day of eight hours. In 1909 trade boards were set up to
fix wages in designated industries in which there was little or
no trade union strength, and labour exchanges were created to
try to reduce unemployment. In 1911 the National Insurance Act
was passed, whereby the state and employers supplemented
employees’ contributions towards protection against unemployment
and ill health. This act clearly represented a departure from
the manner in which government had been carried out, as it began
to be executed in supposed accordance with the social
characteristics of the governed (age, family circumstances,
gender, labour). Under this new dispensation, individual rights,
as well as the rights of families, were secured not by
individual economic action but by state action and by the
provision of pensions and benefits. These new rights were
secured as social rights, so that individual rights were
connected to a web of obligations, rights, and solidarities
extending across the individual’s life, across the lives of all
individuals in a population, and between individuals across
generations—in short, a network of relations that was in fact
one early version of society as a sui generis entity.
However, much of this new relationship of state and society
was still recognizably liberal in the older sense, constituting
a compact of social and individual responsibility. At the heart
of this compact was the belief that it was necessary to
safeguard the individual from the unfettered operation of the
free market, while at the same time making sure that there must
be an obligation to obtain gainful employment. Contributory
pension schemes required individuals to make regular payments
into them rather than providing social insurance from general
taxation. The National Insurance Act provided a framework within
which workers were to practice self-help, and, although
involvement was mandatory, the administration of the legislation
was largely through voluntary institutions. David Lloyd George,
who did most to push the legislation through, himself combined
these characteristics of old and new liberalism. At the same
time, in practice this new formula of government emerged in a
very piecemeal and haphazard way, often driven by the
circumstances of the moment, not least the circumstances of
party politics. Moreover, the circumstances of war were of
overwhelming importance. It was World War I in particular that
fostered the idea of the increased importance of the
interventionist, collectivist state. The demands of winning the
war required an unparalleled intervention in a running of the
economy and in the operations of social life, particularly when
the radical Liberal Lloyd George took power in 1916. Perhaps the
most important factor legitimizing the increased role of the
state was conscription in the armed services, and the most
important general outcome was the idea that “planning”
(understood in many different ways) was from this point forward
a fully legitimate part of governmental enterprise. Nonetheless,
despite the piecemeal nature of the change, what is striking is
how this understanding of the relationship between state and
society obtained across the whole political spectrum and how it
lasted so long. This increased role of the state was
accompanied, after World War I, by the increasing specialization
and professionalization of an expanding civil service.
The political situation
Gladstone and Chamberlain
Gladstone’s second administration (1880–85) did not live
up to the promise of its election victory. Indeed, in terms of
political logic, it seemed likely in 1880 that the Gladstonian
Liberal Party would eventually split into Whig and radical
components, the latter to be led by Joseph Chamberlain. This
development was already foreshadowed in the cabinet that
Gladstone assembled, which was neither socially uniform nor
politically united. Eight of the 11 members were Whigs, but one
of the other three—Chamberlain—represented a new and aggressive
urban radicalism, less interested in orthodox statements of
liberal individualism than in the uncertain aspiration and
striving of the different elements in the mass electorate. At
the opposite end of the spectrum from Chamberlain’s municipal
socialism were the Whigs, the largest group in the cabinet but
the smallest group in the country. Many of them were already
abandoning the Liberal Party; all of them were nervous about the
kind of radical program that Chamberlain and the newly founded
National Liberal Federation (1877) were advocating and about the
kind of caucus-based party organization that Chamberlain
favoured locally and nationally. For the moment, however,
Gladstone was the man of the hour, and Chamberlain himself
conceded that he was indispensable.
The government carried out a number of important reforms
culminating in the Third Reform Act of 1884 and the
Redistribution Act of 1885. The former continued the trend
toward universal male suffrage by giving the vote to
agricultural labourers, thereby tripling the electorate, and the
latter robbed 79 towns with populations under 15,000 of their
separate representation. For the first time the franchise
reforms ignored the traditional claims of property and wealth
and rested firmly on the democratic principle that the vote
ought to be given to people as a matter of right, not of
expediency.
The most difficult problems continued to arise in relation to
foreign affairs and, above all, to Ireland. When in 1881 the
Boers defeated the British at Majuba Hill and Gladstone
abandoned the attempt to hold the Transvaal, there was
considerable public criticism. And in the same year, when he
agreed to the bombardment of Alexandria in a successful effort
to break a nationalist revolt in Egypt, he lost the support of
the aged radical John Bright. In 1882 Egypt was occupied,
thereby adding, against Gladstone’s own inclinations, to British
imperial commitments. A rebellion in the Sudan in 1885 led to
the massacre of Gen. Charles Gordon and his garrison at Khartoum
(see Siege of Khartoum) two days before the arrival of a mission
to relieve him. Large numbers of Englishmen held Gladstone
personally responsible, and in June 1885 he resigned after a
defeat on an amendment to the budget.
The Irish question
The Irish question loomed ominously as soon as Parliament
assembled in 1880, for there was now an Irish nationalist group
of more than 60 members led by Charles Stewart Parnell, most of
them committed to Irish Home Rule; in Ireland itself, the Land
League, founded in 1879, was struggling to destroy the power of
the landlord. Parnell embarked on a program of agrarian
agitation in 1881, at the same time that his followers at
Westminster were engaged in various kinds of parliamentary
obstructionism. Gladstone’s response was the Irish Land Act,
based on guaranteeing “three fs”—fair rents, fixity of tenure,
and free sale—and a tightening up of the rules of closure in
parliamentary debate. The Land Act did not go far enough to
satisfy Parnell, who continued to make speeches couched in
violent language, and, after a coercion act was passed by
Parliament in the face of Irish obstructionism, he was arrested.
Parnell was released in April 1882, however, after an
understanding had been reached that he would abandon the land
war and the government would abandon coercion. Lord Frederick
Charles Cavendish, a close friend of Gladstone and the brother
of the Whig leader, Lord Spencer Hartington, was sent to Dublin
as chief secretary on a mission of peace, but the whole policy
was undermined when Cavendish, along with the permanent
undersecretary, was murdered in Phoenix Park, Dublin, within a
few hours of landing in Ireland.
Between 1881 and 1885 Gladstone coupled a somewhat stiffer
policy in Ireland with minor measures of reform, but in 1885,
when the Conservatives returned to power under Robert Arthur
Salisbury, the Irish question forced itself to the forefront
again. Henry Herbert, earl of Carnarvon, the new lord lieutenant
of Ireland, was a convert to Home Rule and followed a more
liberal policy than his predecessor. In the subsequent general
election of November 1885, Parnell secured every Irish seat but
one outside Ulster and urged Irish voters in British
constituencies—a large group mostly concentrated in a limited
number of places such as Lancashire and Clydeside—to vote
Conservative. The result of the election was a Liberal majority
of 86 over the Conservatives, which was almost exactly
equivalent to the number of seats held by the Irish group, who
thus controlled the balance of power in Parliament. The
Conservatives stayed in office, but when in December 1885 the
newspapers reported a confidential interview with Gladstone’s
son, in which he had stated (rightly) that his father had been
converted to Home Rule, Salisbury made it clear that he himself
was not a convert, and Carnarvon resigned. All Conservative
contacts with Parnell ceased, and a few weeks later, in January
1886, after the Conservatives had been defeated in Parliament on
a radical amendment for agrarian reform, Salisbury, lacking
continued Irish support, resigned and Gladstone returned to
power.
Split of the Liberal Party
Gladstone’s conversion had been gradual but profound, and
it had more far-reaching political consequences for Britain than
for Ireland. It immediately alienated him further from most of
the Whigs and from a considerable number of radicals led by
Chamberlain. He had hoped at first that Home Rule would be
carried by an agreement between the parties, but Salisbury had
no intention of imitating Peel. Gladstone made his intentions
clear by appointing John Morley, a Home Rule advocate, as Irish
secretary, and in April 1886 he introduced a Home Rule bill. The
Liberals remained divided, and 93 of them united with the
Conservatives to defeat the measure. Gladstone appealed to the
country and was decisively beaten in the general election, in
which 316 Conservatives were returned to Westminster along with
78 Liberal Unionists, the new name chosen by those Liberals who
refused to back Home Rule. The Liberals mustered only 191 seats,
and there were 85 Irish nationalists. Whigs and radicals, who
had often seemed likely to split Gladstone’s 1880 government on
left-right lines, were now united against the Gladstonians, and
all attempts at Liberal reunion failed.
Chamberlain, the astute radical leader, like many others of
his class and generation, ceased to regard social reform as a
top priority and worked in harness with Hartington, his Whig
counterpart. In 1895 they both joined a Salisbury government.
The Liberals were, in effect, pushed into the wilderness,
although they held office briefly and unhappily from 1892 to
1895. Gladstone, 82 years old when he formed his last
government, actually succeeded in carrying a Home Rule bill in
the Commons in 1893, with the help of Irish votes (Parnell’s
power had been broken as a result of a divorce case in 1890, and
he died in 1891), but the bill was thrown out by the Lords. He
resigned in 1894, to be succeeded by Archibald Primrose, earl of
Rosebery, who further split the party; in the general election
of 1895, the Conservatives could claim that they were the
genuinely popular party, backed by the urban as well as the
rural electorate. Although Salisbury usually stressed the
defensive aspects of Conservatism, both at home and abroad,
Chamberlain and his supporters were able to mobilize
considerable working-class as well as middle-class support for a
policy of crusading imperialism.
Imperialism and British politics
Imperialism was the key word of the 1890s, just as Home
Rule had been in the critical decade of the 1880s, and the cause
of empire was associated not merely with the economic interests
of businessmen looking for materials and markets and the
enthusiasm of crowds excited by the adventure of empire but also
with the traditional lustre of the crown. Disraeli had
emphasized the last of these associations, just as Chamberlain
emphasized the first. In the middle years of the century it had
been widely held that colonies were burdens and that materials
and markets were most effectively acquired through trade. Thus,
an “informal empire” had been created that was as much dependent
on Britain as the formal empire was. Nonetheless, even during
these years, as a result of pressure from the periphery, the
process of establishing protectorates or of acquiring colonies
had never halted, despite a number of colonial crises and small
colonial wars in Africa, Asia, and the Pacific. Most of the new
acquisitions were located in tropical areas of the world and
were populated mainly by non-Europeans.
There were further crises during the 1880s and ’90s, when the
Liberals were divided on both tactics and objectives, and public
opinion was stirred. When Chamberlain chose to take over the
Colonial Office in 1895, he was acknowledging the opportunities,
both economic and political, afforded by a vast “undeveloped
estate.” The same radical energies that he had once devoted to
civic improvement were now directed toward imperial problems.
The argument about empire assumed an increasingly popular
dimension. Boys’ books and magazines, for example, focused on
the adventure of empire and the courage and sense of duty of
empire builders, and textbooks often taught the same lessons. So
also did the popular press. In consequence, the language of
imperialism changed.
However, it was difficult to pull the empire together
politically or constitutionally. Certainly, moving toward
federation was a challenging task since the interests of
different parts were already diverging, and in the last resort
only British power—above all, sea power—held the empire
together. The processes of imperial expansion were always
complex, and there was neither one dominant theory of empire nor
one single explanation of why it grew. Colonies that were
dominated by people of British descent, such as Canada or New
Zealand and the states of Australia, had been given substantial
powers of self-government since the Durham Report of 1839 and
the Canada Union Act of 1840. Yet India, “the brightest jewel in
the British crown,” was held not by consent but by conquest. The
Indian Mutiny of 1857–58 was suppressed, and a year later the
East India Company was abolished and the new title of viceroy
was instituted. Imperial control was tightened too, through the
construction of a network of railways. Thomas Macaulay’s dream
that India would one day be free and that such a day would be
the happiest in British history seemed to have receded, although
the nationalist movement that emerged after the first Indian
National Congress in 1885 was eventually to gain in strength.
Meanwhile, given the strategic importance of India to the
military establishment, attempts were made to justify British
rule in terms of benefits of law and order that were said to
accrue to Indians. “The white man’s burden,” as the writer and
poet Rudyard Kipling saw it, was a burden of responsibility.
It was difficult for the British voter to understand or to
appreciate this network of motives and interests. Chamberlain
himself was always far less interested in India than in the
“kith-and-kin dominions” (populated primarily by those of
British descent) and in the new tropical empire that was greatly
extended in area between 1884 and 1896, when 2.5 million square
miles (6.5 million square km) of territory fell under British
control. Even he did not fully understand either the rival
aspirations of different dominions or the relationship between
economic development in the “formal” empire and trade and
investment in the “informal” empire where the British flag did
not fly.
Queen Victoria’s jubilees in 1887 and 1897 involved both
imperial pageantry and imperial conferences, but, between 1896
and 1902, public interest in problems of empire was intensified
not so much by pageantry as by crisis. British-Boer relations in
South Africa, always tense, were further worsened after the
Jameson raid of December 1895, and, in October 1899, war began.
The early stages of the struggle were favourable to the Boers,
and it was not until spring 1900 that superior British equipment
began to count. British troops entered Pretoria in June 1900 and
Paul Kruger, the Boer president, fled to Europe, where most
governments had given him moral support against the British.
Thereafter, the Boers employed guerrilla tactics, and the war
did not end until May 1902. It was the most expensive of all the
19th-century “little wars,” with the British employing 450,000
troops, of whom 22,000 never returned. Just as the Crimean War
had focused attention on “mismanagement,” so the South African
(Boer) War led to demands not only for greater “efficiency” but
also for more enlightened social policies in relation to health
and education.
While the war lasted, it emphasized the political differences
within the Liberal Party and consolidated Conservative-Liberal
Unionist strength. The imperialism of the Liberal prime
minister, Lord Rosebery, was totally uncongenial to young
pro-Boer Liberals like Lloyd George. A middle group of Liberals
emerged, but it was not until after 1903 that party rifts were
healed. The Unionists won the “khaki election” of 1900 (which
took its name from the uniforms of the British army, a
reflection of its occurrence in the middle of the war) and
secured a new lease of power for nearly six years, but their
unity also was threatened after the Peace of Vereeniging, which
ended the war in May 1902. Salisbury retired in 1902, to be
succeeded by his nephew, Arthur Balfour, a brilliant man but a
tortuous and insecure politician. There had been an even bigger
break in January 1901 when the queen died, after a brief
illness, at age 81. She had ruled for 64 years and her death
seemed to mark not so much the end of a reign as the end of an
age.
There were significant changes in terms of the impression
organized labour made on politics. Some of the new union leaders
were confessed socialists, anxious to use political as well as
economic power to secure their objectives, and a number of
socialist organizations emerged between 1880 and 1900—all
conscious, at least intermittently, that, whatever their
differences, they were part of a “labour movement.” The Social
Democratic Federation, influenced by Marxism, was founded in
1884; however, it was never more than a tiny and increasingly
sectarian organization. The Independent Labour Party, founded in
Bradford in 1893, had a more general appeal, while the Fabian
Society, founded in 1883–84, included intellectuals who were to
play a large part in 20th-century labour politics. In February
1900 a labour representation conference was held in London at
which trade unionists and socialists agreed to found a committee
(the Labour Representation Committee), with Ramsay MacDonald as
first secretary, to promote the return of Labour members to
Parliament. This conference marked the beginning of the
20th-century Labour Party, which, with Liberal support, won 29
seats in the general election of 1906. Although until 1914 the
party at Westminster for the most part supported the Liberals,
in 1909 it secured the allegiance of the “Lib-Lab” miners’
members. Financially backed by the trade unions, it was
eventually to take the place of the Liberal Party as the second
party in the British state.
The return of the Liberals
The Liberals returned to power in December 1905 after
Balfour had resigned. Between the end of the South African War
and this date, they had become more united as the Conservatives
had disintegrated. In 1903 Chamberlain had taken up the cause of
protection, thereby disturbing an already uneasy balance within
Balfour’s cabinet. He failed to win large-scale middle- or
working-class support outside Parliament, as he had hoped, and
the main effect of his propaganda was to draw rival groups of
Liberals together. In the general election of 1906, the
Liberals, led by Sir Henry Campbell-Bannerman, a cautious Scot
who had stayed clear of the extreme factions during the South
African War, won 377 seats, giving them an enormous majority of
84 over all other parties combined. The new cabinet included
radicals and Liberal imperialists, and when Campbell-Bannerman
retired in 1908, H.H. Asquith moved from the Home Office to the
premiership.
Social reform had not been the chief cry at the general
election, which was fought mainly on the old issues of free
trade, temperance reform, and education. In many constituencies
there was evidence of Nonconformist grievances against the
Balfour-engineered education act of 1902 that had abolished the
school boards, transferred educational responsibilities to the
all-purpose local authorities, and laid the foundations of a
national system of secondary education. Yet local and national
inquiries, official and unofficial, into the incidence of
poverty had pointed to the need for public action to relieve
distress, and from the start the budget of 1909, fashioned by
Lloyd George, as chancellor of the Exchequer, set out
deliberately to raise money to “wage implacable warfare against
poverty and squalidness.” The money was to come in part from a
supertax on high incomes and from capital gains on land sales.
The budget so enraged Conservative opinion, inside and outside
Parliament, that the Lords, already hostile to the trend of
Liberal legislation, rejected it, thereby turning a political
debate into a constitutional one concerning the powers of the
House of Lords. Passions were as strong as they had been in
1831, yet, in the ensuing general election of January 1910, the
Liberal majority was greatly reduced, and the balance of power
in Parliament was now held by Labour and Irish nationalist
members. The death of King Edward VII in May 1910 and the
succession of the politically inexperienced George V added to
the confusion, and it proved impossible to reach an agreement
between the parties on the outlines of a Parliament bill to
define or curb the powers of the House of Lords. After a Liberal
Parliament bill had been defeated, a second general election in
December 1910 produced political results similar to those
earlier in the year, and it was not until August 1911 that the
peers eventually passed the Parliament Act of 1911 by 131 votes
to 114. The act provided that finance-related bills could become
law without the assent of the Lords and that other bills would
also become law if they passed in the Commons but failed in the
Lords three times within two years. The act was finally passed
only after the Conservative leadership had repudiated the
“diehard peers” who refused to be intimidated by a threat to
create more peers.
In the course of the struggle over the Parliament bill,
strong, even violent, feelings had been roused among lords who
had seldom bothered hitherto to attend their house. Their
intransigence provided a keynote to four years of equally fierce
struggle on many other issues in the country, with different
sectional groups turning to noisy direct action. The Liberals
remained in power, carrying important new legislation, but they
faced so much opposition from extremists, who cared little about
either conventional political behaviour or the rule of law, that
these years have been called by the American historian George
Dangerfield “the strange death of Liberal England.” The most
important legislation was once more associated with Lloyd
George—the National Insurance Act of 1911, which Parliament
accepted without difficulty but which was the subject of much
hostile criticism in the press and was bitterly opposed by
doctors and duchesses. Nor did it win unanimous support from
labour. The parliamentary Labour Party itself mattered less
during these years, however, than extra-parliamentary trade
union protests, some of them violent in character—“a great
upsurge of elemental forces.” There was a wave of strikes in
1911 and 1912, some of them tinged with syndicalist ideology,
all of them asserting, in difficult economic circumstances for
the workingman, claims that had seldom been made before.
Old-fashioned trade unionists were almost as unpopular with the
rank and file as they were with capitalists. In June 1914, less
than two months before the outbreak of World War I, a “triple
alliance” of transport workers, miners, and railwaymen was
formed to buttress labour solidarity. In parallel to labour
agitation, the suffragists, fighting for women’s rights,
resorted to militant tactics that not only embarrassed Asquith’s
government but tested the whole local and national machinery for
maintaining order. The Women’s Social and Political Union,
founded in 1903, was prepared to encourage illegal acts,
including bombing and arson, which led to sharp police
retaliation, severe sentences, harsh and controversial treatment
in prison, and even martyrdom.
The issue that created the greatest difficulties, however,
was one of the oldest: Ireland. In April 1912, armed with the
new powers of the Parliament Act, Asquith introduced a new Home
Rule bill. Conservative opposition to it was reinforced on this
occasion by a popular Protestant movement in Ulster, and the new
Conservative leader, Andrew Bonar Law, who had replaced Balfour
in 1911, gave his covert support to army mutineers in Ulster. No
compromises were acceptable, and the struggle to settle the fate
of Ireland was still in full spate when war broke out in August
1914. Most ominously for the Liberals, the Irish Home Rule
supporters at Westminster were losing ground in southern
Ireland, where in 1913 a militant working-class movement entered
into close alliance with the nationalist forces of Sinn Féin.
Ireland was obviously on the brink of civil war.
The international crisis
The seeds of international war, sown long before 1900,
were nourished between the resignation of Salisbury in 1902 and
August 1914. Two intricate systems of agreements and
alliances—the Triple Alliance of Germany, Austria-Hungary, and
Italy and the Triple Entente of France, Russia, and
Britain—faced each other in 1914. Both were backed by a military
and naval apparatus (Britain had been building a large fleet,
and Richard Haldane had been reforming the army), and both could
appeal to half-informed or uninformed public opinion. The result
was that a war that was to break the continuities of history
started as a popular war.
The Liberal government under Asquith faced a number of
diplomatic crises from 1908 onward. Throughout a period of
recurring tension, its foreign minister, Sir Edward Grey, often
making decisions that were not discussed by the cabinet as a
whole, strengthened the understanding with France that had been
initiated by his Conservative predecessor in 1903. An alliance
had already been signed with Japan in 1902, and in 1907
agreements were reached with Russia. Meanwhile, naval rivalry
with Germany familiarized Britons with the notion that, if war
came, it would be with Germany. The 1914 crisis began in the
Balkans, where the heir to the Austro-Hungarian throne was
assassinated in June 1914. Soon Austria (backed by Germany) and
Russia (supported by France) faced off. The British cabinet was
divided, but, after the Germans invaded Belgium on August 4,
thereby violating a neutrality that Britain was committed by
treaty to support, Britain and Germany went to war.
Lord Asa Briggs
Patrick Joyce
Economy and society
Changes in economic conditions during the last decades of
the 19th century were of crucial importance. Mid-Victorian
prosperity had reached its peak in a boom that collapsed in
1873. Thereafter, although national income continued to increase
(nearly quadrupling between 1851 and 1911), there was persistent
pressure on profit margins, with a price fall that lasted until
the mid-1890s. Contemporaries talked misleadingly of a “great
depression,” but, however misleading the phrase was as a
description of the movement of economic indexes, the period as a
whole was one of doubt and tension. There was anxious concern
about both markets and materials, but the retardation in the
national rate of growth to below 2 percent per annum was even
harder to bear because the growth rates of competitors were
rising, sometimes in spectacular fashion.
The interests of different sections of the community diverged
between 1870 and 1900 as they had before the mid-Victorian
period. In particular, grain- and meat-producing farmers bore
the full weight of foreign competition in cereals, and many,
though not all, industrialists felt the growing pressure of
foreign competition in both old and new industries. As a result
of improved transport, including storage and refrigeration
facilities, along with the application of improved agricultural
machinery, overseas cereal producers fully penetrated the
British market. In 1877 the price of English wheat stood at 56
shillings 9 pence a quarter (compared with 54 shillings 6 pence
in 1846); for the rest of the century, it never again came
within 10 shillings of that figure. During the 1890s, therefore,
there was a sharp fall in rent, a shift in land ownership, and a
challenge to the large estate in the cereal-growing and
meat-producing areas of the country. The fact that dairy and
fruit farmers flourished did not relieve the pessimism of most
spokesmen for the threatened landed interests.
In industry, there were new forms of power and a trend toward
bigger plants and more impersonal organization. There were also
efforts throughout the period to increase cartels and
amalgamations. Britain was never as strong or as innovative in
the age of steel as it had been in the earlier age of iron. By
1896 British steel output was less than that of either the
United States or Germany, while the British textile industry was
declining sharply. Exports fell between 1880 and 1900 from £105
million to £95 million.
Yet the country’s economic position would have been
completely different had it not been for Britain’s international
economic strength as banker and financier. During years of
economic challenge at home, capital exports greatly increased,
until they reached a figure of almost £200 million per annum
before 1914, and investment income poured in to rectify adverse
balance of trade accounts. Investing during these years in both
“formal” and “informal” empire was more profitable, if more
risky, than investing at home. But it also contributed to
domestic obsolescence, particularly in the old industries. Thus,
ultimately, there was a price to pay for imperial glory. During
the last 20 years of peace before 1914, when Britain’s role as
rentier was at its height, international prices began to rise
again, and they continued to rise, with fluctuations, until
after the end of World War I. Against this backdrop, the City of
London was at the centre of international markets of capital,
money, and commodities.
Meanwhile, whether prices were falling or rising, labour in
Britain was increasingly discontented, articulate, and
organized. Throughout the period, national income per capita
grew faster than the continuing population growth (which stayed
at above 10 percent per decade until 1911, although the birth
rate had fallen sharply after 1900), but neither the growth of
income nor the falling level of retail prices until the
mid-1890s made for industrial peace. By the end of the century,
when pressure on real wages was once again increasing, there
were two million trade unionists in unskilled unions as well as
in skilled unions of the mid-century type, and by 1914 the
figure had doubled.
In terms of the distribution of the labour force in this
period, among the most striking changes was the development of
white-collar occupations. Between 1881 and 1921, of male
workers, those in public administration, professional
occupations, and subordinate services, along with those in
commercial occupations, increased from some 700,000 to 1,700,000
(out of a total workforce of some 9,000,000 in 1881 and
13,500,000 in 1921). Those in transport and communications
almost doubled in number to 1,500,000, while those who worked in
the manufacture of metal, machines, implements, and vehicles
increased from almost 1,000,000 to over 2,000,000. Those in
mining also doubled in number, to 1,200,000 in 1921. These were
the real growth areas in the economy. The number of individuals
involved in the agricultural sector, on the other hand, declined
but exceeded 1,250,000 in 1921 and thus made up a still
important component of the occupational structure of the
country. All other sectors remained stable or lost workers, with
the growth industry of the early 19th century, textiles and
clothing, decreasing from about 1,000,000 to 750,000 workers in
1921.
The economy lost a good deal of its old artisan character.
Accompanying this erosion of artisan power at the point of
production were some tendencies toward increases of scale in
factory production. To some degree there also was a decline in
the old hierarchies of skill, most notably in the erosion of the
position of artisans, the mid-Victorian labour aristocracy. At
the same time, the characteristics of the social structure of
production in the preceding period were still apparent, namely
“combined and uneven” development, whereby old and new forms of
industrial organization and production methods were often
combined, and overall development was not uniform. The result
was that skill and authority were still distributed in a very
complex way throughout industry. Older historical accounts
concerning the late 19th- and early 20th-century formation of an
increasingly de-skilled and uniform labour force have given way
to a more nuanced picture, so that the rise of the Labour Party
is no longer interpreted, as it earlier was, simply as a
consequence of the supposed emergence of this de-skilled labour
force. Moreover, in line with more recent scholarship, the
emergence of the Labour Party in the late 19th and early 20th
century is no longer viewed as a reflex reaction to economic
conditions or to the situation of workers; instead, it is
understood in terms of the role of political intervention and
political language in shaping what was indeed a new sense of
class unity and not as a direct expression of the labour force
itself, which was in fact still strikingly divided not only by
skill but by many other characteristics of workplace experience.
The number of women in professional occupations and
subordinate services doubled to 440,000 in 1921, out of a total
workforce of some 5,500,000 women. This shift did much to
reshape women’s changing understanding of themselves,
particularly among the middle classes, where the more public
world of work called into question exclusively domestic
definitions of femininity. Women’s employment in textile and
clothing manufacture was, however, still massive, with the real
decline in the production of textiles not coming until after
World War I. In 1881 the textile and clothing industry employed
nearly 1,500,000 women; though by 1921 this number had shrunk,
it remained considerable, at 1,300,000. Within the textile
industry, women’s trade unions made some headway, but it is
testimony to the power of traditional paternalist understandings
of gender relationships among workers that male authority still
obtained for the most part in both the home and the workplace,
where women were excluded from the better-paid and more-skilled
jobs. Domestic service was still the bedrock of women’s
employment, comprising some 1,750,000 workers in 1881 out of a
total of 3,900,000, though by 1921 this number had grown to
1,800,000 but shrunk in relative importance.
Family and gender
The structure of families in this period was still
relatively diverse and significantly unlike 21st-century
versions of the nuclear family based upon co-residing parents
and young children. There is some evidence to suggest that
industrialization strengthened rather than weakened kinship ties
and intergenerational co-residence, because of the practical
help resident grandparents could render to working mothers.
Relationships across generations, both within and outside the
household, continued to be important. Despite the migration of
production from home to factory, the traditional identity of the
family as a productive unit survived quite strongly into the
20th century, notably among shopkeepers and other self-employed
workers, among tenant farmers, and particularly among the still
important area of “homework” production, which, as a component
of the late 19th-century clothing industry, went through a
massive revival. The family retained many residual economic
roles and acquired some new ones. For example, there was still a
strong tendency for occupations to pass from father to son in
all classes. The economy of workers, however, was much more
likely to involve the collective earnings of father, mother, and
children, compared with the family economy of those who were
better-off.
In mid-19th-century England and Wales (Scotland had its own
divorce, custody, and property rights), a husband had absolute
right of control over his wife’s person, as well as considerable
rights over her property. He also had sole responsibility for
the rearing and guardianship of children, and the common law
gave him absolute freedom to bequeath his property outside his
family. A wife, in contrast, had neither legal duties nor
enforceable legal rights, and, indeed, under common law her
juridical personality was totally submerged in that of her
husband. During this period, the situation was to undergo
remarkable changes as the law began to make inroads into not
only the rights of husbands but also the rights of parents
generally. By the end of this period, legal intervention had
largely eroded the absolute paternal rights enshrined in the
common law, although sexual relations between husbands and wives
remained largely untouched by legal change. However, cultural
changes were to lag behind legal ones.
For the better-off in society, marriage was gradually
transformed from what was in large measure a property contract
into a union in which companionship and consumerism played a
larger role. That women were increasingly becoming consumers was
reflected in the Married Women’s Property Acts of 1882, which
allowed women to control their own income. The period was
therefore to see changes within marriage in the direction of
greater independence for women, as well as changes in the status
and independence of women outside marriage. At the same time,
the legal and administrative code remained decidedly biased
against women; for instance, income tax was framed as a duty of
the male head of household. In terms of what might be called
upper-middle-class society, traditional gender roles were still
extremely powerful: girls were educated at home up to World War
I and were trained for the social conventions of home life and
home management; boys were sent to school, often to boarding
school; and more companionate versions of spousal relationship
were accompanied by the preservation of distance between parents
and children, with much child care still being left to servants.
Lower down the scale, things were much the same, although few
middle-class households could afford a wholly idle wife.
In this period it was widely established that natural
processes no longer gave an adequate account of motherhood,
which was increasingly seen as an activity of great moral,
intellectual, and technical complexity that had to be learned
artificially like any other skill. Indeed, there was an
unprecedented concern with the nature of motherhood, which was
not seen as a private matter but as something involving the
future of society, the country, the empire, and indeed the
“race.” This concern was an expression of changing gender roles;
but, while on one hand it embodied a reaction against forces of
change, in some respects it also signaled the movement toward
greater gender equality. The role of the state was to reflect
these changes, as its intervention in family life also reached
unprecedented levels.
From the 1860s to the ’80s, the agitation surrounding the
Contagious Diseases Acts—an attempt to control venereal disease
in the armed forces that involved state regulation and
inspection of prostitution—laid the foundations for subsequent
feminism. The campaign for the repeal of the acts generated
public discussion of the double standard of licence for men and
chastity for women. This agitation brought women into the public
sphere much more directly than before and in new ways. Moreover,
it served to complement changes in education, charity work,
political organization, and associational life (which for women
expanded considerably in this period), all of which took women
outside the home, especially better-off women. This was also the
case with the growth of women’s role as consumers, with shopping
and the new department stores further increasing women’s
involvement in public urban life.
The discussion generated by these acts resulted in a series
of feminist responses varying from the more socially, sometimes
politically, conservative emphasis on traditional family roles
and on maternalism, seen in the “social purity” campaigns of the
late 19th century (with their links to “social hygiene”
movements espousing hygiene as the gateway to moral betterment),
to the more radical, egalitarian political feminism of the early
20th century. The latter form was itself split into radical,
socialist, and constitutional variants. In 1903 the women’s
suffrage movement split dramatically over the issue of the
parliamentary vote, some pursuing the vote as merely one item on
a long list of political and extra-political reforms and others
concentrating on the single aim of obtaining the vote. These
agitations also influenced men’s conception of themselves,
notably in response to the social purity movement’s emphasis on
the importance of chastity for men as well as women. Male roles
were further defined in the 1880s with the consolidation of male
homosexuality as a distinct social identity, given legal
definition at the time (in the Labouchere amendment of 1885,
which criminalized homosexuality as gross indecency), not least
in the famous case involving the arrest and imprisonment of
Irish poet and dramatist Oscar Wilde. From this time the rise of
“scientific” understandings of sexuality, including the science
of sexology, also served to redefine gender roles. However,
there as in so many other realms, recognition for women lagged
behind that for men, and it was not until the 1920s that a
similar delineation of lesbian identity became fully apparent.
Mass culture
Class distinctions in cultural life continued to be very
important. “Rational recreation” (productive and socially
responsible recreation) remained an aim of those who wished to
reform the culture of the lower classes. However, it also came
to characterize the provision of recreation for the upper
classes too. The idea of “playing the game” and “the game for
its own sake” represented an extension of rational recreation
into the sphere of sports, particularly as developed in the
public schools, which in this period were reformed so as to
institute a sense of public duty and private responsibility
among the propertied classes. The cult of the disinterested
amateur was part of the notion of the classically trained
English gentleman, whose education and sense of moral duty
purportedly created a moral superiority and disinterestedness
that uniquely fitted him to rule. The development of popular
forms of literature aimed at boys in this period served to
glorify this particular manifestation of gentlemanly rule. More
broadly, the model of the reformed public school itself, as well
as a reformed Oxbridge (the Universities of Oxford and Cambridge
had been restructured in large part somewhat earlier to meet the
needs of a changing, moralized civil service), came to have a
considerable influence on educational institutions in Britain.
The masculine emphasis in sports was complemented by the club
life of the upper classes, which, while always decidedly
masculine, in the 1880s and ’90s, in terms of the development of
London clubland, served even more to emphasize expressions of
masculine identity in leisure activities.
The move from the sociability that characterized upper-class
culture in the 18th century to the more didactic, socially
concerned interventions of the early and mid-19th century gave
way to a gradual involvement in hitherto forbidden forms, forms
now suitably sanitized and made rational (or, as in the case of
classical music, made sacred). It was not only music that became
respectable but also the reading of novels, the playing of
cards, and theatre attendance. The growth of the “legitimate”
theatre from the 1880s, in distinction to more popular,
melodramatic forms, is indicative of this development.
Institutions and locations that were defined by associations
with class especially harboured these changes, most notably the
school and the suburb. As the transport system developed,
especially the expansion of railway commuting from the 1870s and
’80s, suburban life grew in importance, most notably in London.
However, it was not only the propertied in society who sought to
create rational recreation: in continuance of earlier attempts
to influence change from within the labouring population, the
reform of low culture was sought by the appeal to high culture
in radical and socialist movements such as the Cooperative
movement, the Workers Educational Association, and, after World
War I, the Left Book Club. Radical rationalist recreation took
the form of rambling, bicycling, and educational holidays.
However, this very negotiation of the hitherto forbidden
cultural forms also represented a qualification of the class
character of culture and the development of what came
increasingly to be called “mass culture.” In part this
represented a nationalization of cultural life that reflected
the increasing importance of a mass polity. Britain also became
a more centralized, homogeneous national society. But a simple,
linear development toward uniform experience had not
characterized British history. The earlier development of modern
British society had seen an emphasis on the significance of
local and regional cultures, which echoed and reflected the
relationship between state and society. While the four nations
of the British Isles had constituted a unitary state since the
end of the 18th century, Britain remained in the early and
mid-19th century a society that was highly diverse and
localized. Different cultural, religious, and legal traditions
reinforced the very diverse occupational and manufacturing
structure that industrialization brought with it. The importance
of political decentralization was reflected in very strong
municipal cultures, so that the centre of gravity of a good deal
of British artistic and literary life long continued to remain
in the English provinces and within each of the constituent
nations. The growth of organized sports reflected not only the
social separation between classes but also the strength of
regional and local attachments.
Nationalization was apparent in an increasingly elaborate and
integrated communications structure represented in the railway,
the telegraph, the postal service, and later the telephone. By
the beginning of the 20th century, the local press, while
strong, was beginning to give way to mass-circulation
newspapers, most famously the Daily Mail. The nationwide
retailing revolution apparent from the 1880s, along with the
development of an increasingly nationally coordinated and
centrally based entertainment industry, which could be seen, for
example, in the development of music hall, were part of the
process too. So was the migration of intellectual life into the
universities, which tended to be dominated by Oxbridge and
University of London colleges, despite strong provincial
resistance and pride. London itself became the cultural centre
of the country and therefore the cultural centre of the British
Empire. A fundamental influence on this change was the shift in
the British economy from manufacturing industry to international
finance and, with it, the migration of wealth, prestige,
fashion, and social status away from the provinces to London.
While organized sports might express regional loyalties,
their increasingly organized and commercialized basis—whereby
rules were drawn up, leagues founded, and competitions
inaugurated—served to coordinate local loyalties on a national
basis. National bodies were created, along with national
audiences. Spectatorship gave way to participation among all
classes. In this sense, a “mass” culture was evident. This
culture, however, might occur within and across class lines. For
example, professional football (soccer) and county cricket, the
best-known instances of mass sports, particularly in the early
days, witnessed the class distinction between “gentleman” and
“players,” as well as north-south differences. Particular sports
developed along class lines: tennis and golf, at least in
England, were played by the higher orders of society, and rugby
was divided along the class lines, with rugby union for the
higher classes and rugby league for the lower classes. (See
rugby for the history and development of both traditions.)
Indeed, professional football has only relatively recently lost
its working-class character in Britain. Nonetheless, in the 20th
century, developments of mass culture across class lines were
increasingly important—with cultural and social homogeneity
increasingly going hand in hand.
Patrick Joyce
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Britain from 1914 to the present
The political situation
World War I
The British declaration of war on Germany on Aug. 4,
1914, brought an end to the threat of civil war in Ireland,
which since March had occupied Prime Minister H.H. Asquith’s
Liberal cabinet almost to the exclusion of everything else.
Formally at least, party warfare came to an end. The
Conservatives agreed not to contest by-elections and to support
the government in matters pertaining to the war.
The Asquith coalition
Such compromises were easy to make in autumn 1914, when
the excitement over the outbreak of war was high, causing a
crush of enlistments, and when it was still generally believed
that the war would be over within six months. By spring 1915,
however, enthusiasm for the war began to cool and recruiting
fell off. Moreover, Asquith’s government seemed to have lost its
grip on affairs; newspapers carried reports of an inadequate
supply of ammunition on the Western Front, and on May 15 the
first sea lord, Adm. John Fisher, resigned. The Conservative
leader, Andrew Bonar Law, under pressure from his followers to
take a stronger stand, announced that his party would demand a
debate on the conduct of the war. Asquith quickly offered to
form a coalition, thereby ending the last Liberal government.
The coalition consisted of Liberals, Conservatives, and one
Labourite.
In the new cabinet, announced on May 25, Arthur James Balfour
replaced Winston Churchill as first lord of the Admiralty. More
important, a new department, the Ministry of Munitions, was
established with the Liberal David Lloyd George at its head.
The coalition, which was supposed to allay tension among
parties over the conduct of the war, worked badly. Although the
Ministry of Munitions did indeed resolve the armament crisis
surprisingly quickly, dissatisfaction with Asquith’s relaxed
management of affairs continued and centred in the autumn of
1915 upon the rising demand, in the press and among the
Conservatives, for compulsory military service. With apparent
reluctance, the prime minister allowed an inadequate measure for
the conscription of unmarried men to be passed in January 1916.
But it was not until May 1916, after more controversy and
threats of resignation, that a comprehensive bill was passed for
compulsory enlistment of all men between ages 18 and 41.
Meanwhile, on April 24, 1916, Monday of Easter Week, a
rebellion broke out in Dublin directed at securing Irish
independence. Violence was suppressed within six days, and the
surviving rebels were arrested amid general derision from the
Irish population. But Britain’s punishment of the rebels,
including 14 summary executions, quickly turned Irish sympathy
toward the men, who were now regarded as martyrs. The Easter
Rising was the beginning of the Irish war for independence.
Even though the rebellion was quelled, the problems of
Ireland needed to be addressed. Prime Minister Asquith called
upon Lloyd George to try to arrange for an immediate grant of
Home Rule to be shared by the Irish nationalist and unionist
parties (the former being fully committed to the principle of
Home Rule, the latter only partially). Although a compromise was
in fact reached, discontent among senior unionists prevented a
bill from going forward. Thereafter Home Rule ceased to be an
issue because southern Ireland now wanted nothing but
independence. Asquith was further weakened.
The government also drew criticism for its war policies. For
one, Britain was unable to help Romania when it declared war
upon the Central Powers in the summer of 1916. More
significantly, Britain launched its first major independent
military operation, the Battle of the Somme (July 1 to Nov. 13,
1916), with disastrous results. On the first day of battle, the
British suffered almost 60,000 casualties. Although little of
strategic significance was accomplished, the battle brought the
reality of war home to Britain. (For details on the military
aspects of the war, see World War I.) Dissatisfaction with the
government mounted until, in the first week of December, Asquith
and most of the senior Liberal ministers were forced to resign.
Lloyd George became prime minister with a cabinet consisting
largely of Conservatives.
Lloyd George
Lloyd George governed Britain with a small “War Cabinet”
of five permanent members, only one of whom was a politician of
standing. Although Lloyd George had to take note of the opinions
of Parliament and of those around him and pay attention to the
tides of public political sentiment, the power to make decisions
rested entirely with him. He was faced with the same sentiments
of apathy, discontent with the country’s leadership, and war
weariness that had brought down the Asquith government. Not only
had Britain’s supreme military effort in 1916 failed, but the
war had lost its meaning. The British commitment to defend
Belgium (which had brought Britain into the war in the first
place) was forgotten, still more the Austro-Hungarian actions
against Serbia (which had not particularly troubled Britain
anyway). Thus, in the next two years, Lloyd George set out to
reinvest the war with meaning. Its purpose would be to create a
better Britain and a safer world. Victory promised hope for the
future. Toward that goal he established new ministries and
brought workingmen into government. Lloyd George’s
reconstruction program was built on principles that were later
enunciated by U.S. Pres.Woodrow Wilson in his Fourteen Points
and his slogan of ‘‘making the world safe for democracy.’’ Lloyd
George’s own slogan of 1918 was ‘‘to forge a nation fit for
heroes to live in.’’
Lloyd George controlled the government but not the Liberal
Party; only a minority of Liberals in the House of Commons
supported him, the rest remaining loyal to Asquith. Worse, Lloyd
George had no party organization in the country. The division
within the Liberal Party hardened during the controversy over a
statement he made in April 1918 concerning the strength of
troops in France. Although this controversy, the so-called
Maurice Debate (which took place on May 9), strengthened Lloyd
George temporarily, it also made clear his dependence upon the
Conservatives. Soon afterward, in the summer of 1918, he began
to plan what he expected to be a wartime general election to be
entered into in coalition with the Conservatives. The sudden
armistice of Nov. 11, 1918, however, intervened, and the wartime
election became a victory election. Meanwhile, the Labour Party
had withdrawn its support from the coalition and called upon
Labour members to resign. Most, but not all, did.
Between the wars
The election of 1918
The general election of Dec. 14, 1918, was a landmark in
20th-century British history and may have helped to set the
course of politics through the interwar period. To begin, the
Representation of the People Act of 1918, which gave the vote to
all men over age 21 and all women over age 30 and removed the
property disqualifications of the older household franchise,
tripled the electorate. Ironically, the election registered the
lowest voter turnout of any election in the 20th century,
reflecting in part the teething troubles of the Labour Party,
whose share of the vote was only 20 percent. Further, 37 seats
were added to the House of Commons. Even though the coalition
was returned to office, the real winners of the election were
the Conservatives. Lloyd George’s Liberals and the
Conservatives, who had arranged not to contest seats against
each other, together won 473 of the 707 seats. Liberals loyal to
Lloyd George won 127 seats, while the Asquithian Liberal Party
was nearly wiped out, returning only 36 members as compared with
the Labour Party’s 57. (Similarly, the old Irish Nationalist
Party was destroyed and replaced by Sinn Féin, the party of
independence.) Thus, despite the coalition’s overwhelming
victory, Lloyd George remained dependent on the Conservatives.
The Liberal organization in the country was in shambles.
Finally, the election had focused not upon the reconstruction of
Britain, as the leaders of each party had intended, but on the
punishment of Germany after the war, a matter the government had
hoped to defer. The election had committed the British
government to a harsh peace.
Harsh peace and hard times
The peace treaty with Germany—drawn up far too rapidly
and without German participation, between January and May
1919—went into effect on June 28. Even as peace with Germany was
declared, the British people, as well as members of the
government, were beginning to realize that the punitive treaty,
burdening Germany with the responsibility and much of the cost
of the war, was a mistake. Accordingly, British foreign policy
for much of the decade of the 1920s aimed at rehabilitating
Germany and bringing it back into the family of nations. In
general, this attempt was opposed by France and resulted in a
rupture between Britain and its wartime ally, forcing France
into a position of isolation that would have prodigious
consequences for Europe and indeed for the rest of the world
with the rise of Adolf Hitler in the early 1930s.
Lloyd George spent a great deal of time in the four postwar
years of his administration on foreign affairs. As a
consequence, issues within the United Kingdom, such as
unemployment, poor housing, Irish separatism, and the revival of
industry, were too frequently neglected. Many of the promises
for reconstruction made in speeches and papers during the war
were never carried out. The government, however, tried to
diminish the habitual confrontation between newly powerful
organized labour and industry. Unemployment insurance was
extended to virtually all workers, and a serious attempt was
made to begin a public housing program. Railroads were
reorganized, and for three years after the war coal mines
remained in public hands. This restructuring of industry,
however, came to an end with the serious rise in unemployment
that began in 1920 and culminated in 1921 in a full-scale
industrial depression with nearly one-fourth of the labour force
out of work. One of the factors in the depression was a
disastrous coal strike in April 1921, caused in considerable
measure by the collapse of world coal prices resulting from
German coal reparations to France. The immediate effect of the
economic depression was a demand by the Conservatives for
government economy that the prime minister could not ignore.
Ireland and the return of the Conservatives
In 1919 revolutionary disorder broke out in the south of
Ireland when the provisional government of Ireland, organized by
the Sinn Féin party, began guerrilla military operations against
the British administration. Through 1920 the British government
attempted to put down violence with violence, while passing an
act allowing Home Rule for both the south of Ireland and for
Ulster. The six Protestant unionist counties of the north
accepted Home Rule and in 1921 set up in Belfast an autonomous
government. In the 26 counties of the south, Home Rule was
defiantly rejected. By the spring of 1921, however, with the
Belfast government in operation and with demands both in Britain
and in the rest of the world that the fighting in Ireland come
to an end, compromise became possible. In the summer a truce was
arranged, and on Dec. 6, 1921, after prolonged negotiations, the
British government and the Irish rebels signed a so-called
treaty allowing the establishment of what was, in effect, a
dominion government in Dublin.
Lloyd George’s insistence that the Irish be granted the
substance, if not the letter, of their demands, as well as the
clearly declining popularity of the coalition government, caused
general unhappiness, not among the Conservative leadership but
among the members of the Conservative back bench in the House of
Commons. Finally, in October 1922, when the proposal to join
forces in a second coalition election was decisively rejected,
largely by the Conservative rank and file, the Conservative
Party withdrew from the coalition. Lloyd George resigned on
October 20, and George V invited the Conservative leader, Andrew
Bonar Law, to form a government. On Nov. 15, 1922, the hastily
established Conservative government won a solid victory in a
general election. The decline of the Liberal Party was confirmed
by the fact that the two wings of the party together returned
only 116 members of Parliament compared with Labour’s 142.
The Baldwin era
Law remained prime minister only until May 20, 1923,
when, ill with cancer, he resigned. He was succeeded by an
almost unknown politician, Stanley Baldwin, who would
nonetheless dominate British politics until his resignation from
his third government, in May 1937. Baldwin seemed an unlikely
leader for a major party; he had been in Parliament for 15 years
without making a mark. Yet behind the unassuming demeanour was a
crafty politician. Baldwin understood, as perhaps his
predecessors had not, that the British voter, certainly the
middle-class voter, desired not excitement and reform but
tranquillity. Nostalgia for the assumed stability of prewar
Britain was strong and indeed a key to the politics of the
1920s. This frame of mind would contrast sharply with Britain’s
mood after World War II.
The new Conservative government was faced with high
unemployment, industrial stagnation, foreign debts, and
continuing demand for economy in government. Baldwin’s response
was to abandon Britain’s historic policy of free trade and to
return to import duties. Although he was supported in this by a
majority of his party, he nonetheless promised to hold an
election on the subject before implementing such a policy.
Consequently, on Dec. 6, 1923, a second election was held in
which the Conservatives lost their comfortable majority; indeed,
though they controlled the largest number of seats (258) in the
House of Commons, the now-united Liberal Party (159) and Labour
(191) combined to win a majority. As a result, on Jan. 22, 1924,
the first Labour government in British history, under Prime
Minister James Ramsay MacDonald, came to power with Liberal
support.
MacDonald remained in office only nine months and
accomplished little except the revival of the public housing
program abandoned by the Lloyd George administration under
Conservative pressure. During his time in office he was
continually charged in the House of Commons and in the
newspapers with unseemly weakness toward the Bolshevik
government of the Soviet Union and with an unwillingness to deal
firmly with purported revolutionary socialist conspiracies
within the United Kingdom. Over this matter the Liberals finally
turned against him, and on Oct. 29, 1924, in an election
dominated by charges of Soviet influence, MacDonald was heavily
defeated. Baldwin returned to the prime ministership, backed by
a majority of more than two to one over Labour and the Liberals
combined. The Liberal representation in the House of Commons was
reduced to 40.
Baldwin’s return to office coincided with the French
evacuation of the Ruhr valley in Germany and the revival of
Germany as an economic power. In the nearly five years of the
second Baldwin government, Britain experienced relative economic
prosperity, although unemployment never went below the 10
percent of the working population covered by unemployment
insurance. A new collapse in domestic coal prices, however,
caused by the revival of German coal mining, produced the threat
of a second strike by British coal miners. It erupted in May
1926 with a walkout in the coal industry and a sympathy strike
by the rest of Britain’s organized labour. Except as a monument
in the history of British labour, however, this so-called
general strike is as unimportant as it was unsuccessful. As a
general strike, it lasted only 10 days, from May 3 to May 12.
The miners themselves held out for nearly eight months and were
finally starved into returning as winter began, at lower wages
and with longer hours. Economically, the chief effect of the
strike was to hasten the decay of the huge British coal
industry. However, Baldwin’s handling of it—he prepared
emergency services but then did nothing—greatly increased his
popularity; indeed, he is remembered as a peacemaker, although
his government passed an act declaring general strikes to be
revolutionary and hence illegal. Yet beyond that his
administration, particularly the ministry of health under
Neville Chamberlain, accomplished a good deal; it vastly
extended old-age pensions and pensions for widows and orphans,
reformed local government, and, finally, in 1928, extended the
franchise to women ages 21 to 30 on the same terms as those for
men.
Baldwin dissolved the House of Commons in the spring of 1929,
expecting to be returned. Instead, on May 30 MacDonald’s Labour
Party received 288 seats compared with the Conservative Party’s
260, with the Liberals again holding the balance of power, with
59 seats. Thus, MacDonald formed his second government, again
with Liberal consent, if not support. The Liberals could do
little else. In 1924 Labour, by its inaction, had proved itself
as a responsible rather than a revolutionary party. In the minds
of Britons, Labour had replaced the Liberals as the natural
alternative party.
Baldwin and the abdication crisis
Political events in the interwar years must always be
seen in the context of the Great Depression, which set in
internationally after the Wall Street stock market crash of
1929. In Britain, in addition to disruption to the financial
system and the stability of sterling, there was a rapid
acceleration in unemployment from the late 1920s, so that by the
spring of 1931, 25 percent of the workforce was unemployed. The
country was still in the aftermath of economic depression when,
in June 1935, Baldwin rather abruptly took over the prime
ministership from MacDonald, whose health was clearly failing. A
general election followed on November 14, in which the
Conservatives returned 432 members to Parliament to Labour’s
154. But because the so-called National Liberals and a few
remaining National Labour members still participated in the
government, it was technically a coalition. With the onset of
World War II in 1939, this election was to be the last British
general election for nearly a decade. Hence, Baldwin, in his
final 18 months of office, presided over the beginnings of
Britain’s appeasement policy and over the more spectacular but
less important abdication of the new king, Edward VIII, who had
ascended the throne on Jan. 20, 1936, upon the death of his
father, George V.
In the quarter century since his father’s accession, Edward,
as prince of Wales, had become the most public and best-known
heir to the throne since his grandfather, Edward VII. But,
unknown to the British public, some years before his accession
he had fallen in love with an American, Wallis Simpson, who was
then married to a British subject, Ernest Simpson. Edward
decided to marry her, and in 1936, after his accession, Wallis
Simpson began divorce proceedings against her husband. Baldwin,
well before his actual confrontations with the king, had
determined that Edward could not marry Mrs. Simpson and remain
monarch. He warned the king not to attempt to influence public
opinion or to try to remain on the throne. The temper of the
people and of Parliament was against Edward. Eventually, on Dec.
11, 1936, he announced his abdication in a poignant radio
broadcast and left Great Britain. Baldwin had triumphed. The
king was succeeded by his younger brother, who became George VI
and who had an eminently suitable family, including two young
daughters. After George VI’s coronation on May 12, 1937, Baldwin
resigned, amid every sign of popular affection; he was succeeded
on May 28 by Neville Chamberlain.
Foreign policy and appeasement
Chamberlain, rather than Baldwin, has always been
regarded as the man of appeasement. Historically this is correct
only in the sense that Chamberlain formulated a policy of
accommodation with Germany and Italy. But Chamberlain was also
the man who began British rearmament, pronounced appeasement a
failure, and declared war upon Germany. Baldwin was equally
zealous to avoid any sort of confrontation with the European
dictators while doing as little as possible to strengthen
Britain’s armed forces.
Adolf Hitler’s accession to power in Germany on Jan. 30,
1933, occasioned only the slightest interest in Britain. Little
was known of him. It was usually assumed that he was a tool of
the right or the army and in any case would not remain in office
long. This illusion began to shatter in January 1935, when
Germany overwhelmingly won a plebiscite in the Saar River basin;
the Saarlanders voted to return their area to Germany, from
which it had been separated by the Treaty of Versailles as part
of German reparations, rather than remaining with France. This
was an enormous boost to Hitler’s prestige, as well as a
confirmation of the attraction of Nazi Germany and, by the same
token, a setback for France and the idea of democracy.
On the wave of popularity the plebiscite brought, Hitler
reintroduced military conscription in Germany and announced the
creation of the Luftwaffe (the German air force), both in
violation of the Treaty of Versailles. In response, the former
wartime allies and guarantors of the peace treaty, Britain,
France, and Italy, met at Stresa, Italy, in April and there
discussed collective action to uphold the disarmament terms of
the treaty; this understanding became known as the Stresa Front.
Its maintenance, specifically the challenge of keeping Italy a
foe of Germany, formed the motivation for Britain’s foreign
policy for the next 18 months; in effect it was the beginnings
of appeasement. In August 1935 Italy attacked the empire of
Ethiopia in Africa, announcing that it had apprised Britain and
France at Stresa of its intentions of doing so. British public
opinion was torn between a desire to avoid war and an
unwillingness to sanction unprovoked aggression. The compromise
was a retreat to the fiction of “collective security,” which
meant a dependence upon action by the League of Nations in
Geneva. Support for the League of Nations became the
Conservative position on foreign policy in the general election
of November 1935.
Britain at this time remained interested in pursuing
friendship with Italy. Immediately after the election the
British foreign secretary, Sir Samuel Hoare, and the French
premier, Pierre Laval, put together a plan for the rescue of
part of Ethiopia that required the cession of certain areas to
Italy. This plan found its way into the press, provoking a
general denunciation of compromise with evil. Hoare had to
resign, and the first attempt at appeasement failed. By the
spring of 1936, with the League of Nations still debating what
to do about Italian aggression—specifically, whether to impose
sanctions on oil—resistance in Ethiopia collapsed. Meanwhile, on
March 7, Hitler took advantage of the disarray in the west and
broke the first of the territorial clauses of the Treaty of
Versailles by sending troops into the Rhineland, the German
territory to the west of the Rhine River bordering on Belgium
and The Netherlands.
The Rhineland occupation turned the balance of power in
Europe toward Germany and against the west. Although in Britain
there was virtually no reaction—after all, it was German
territory—the effect on France, particularly on the French army
command, was devastating. As a consequence, France virtually
gave up the unilateral direction of its foreign affairs.
Diplomatic initiative rested entirely in London. Now that it was
too late, the 15-year rupture between Britain and France came to
an end.
In July 1936 revolution against the Republican government of
Spain broke out, led by conservative forces within the Spanish
army under the command of Gen. Francisco Franco. It quickly
became apparent that the revolutionaries were supported by Italy
and, to a lesser extent, Germany, not only with money and arms
but also with men. The British reaction, adopted also by the
French, was peculiar. Although, according to public opinion
polls begun in 1937, less than 3 percent of the British
population favoured a Francoist victory, British policy was to
forbid the supply of arms to either side. By this policy of
nonintervention the British and the French avoided involvement
in war against Franco and by implication against the Italian
government. The pursuit of friendship with Italy could continue.
Meanwhile, the democratic Spanish government was unable to buy
arms from the Western democracies. Franco eventually triumphed
in the spring of 1939. (See also Spanish Civil War.)
Chamberlain was determined to continue the policy of
accommodation with Italy. He was convinced that at some point it
could be reunited with the Western allies and the Stresa Front
could be recreated. Italian leader Benito Mussolini and
officials of his government gave many private intimations that
this might be possible. But at the same time Chamberlain was
determined to pursue a general policy of European settlement
that would include Germany. The prime minister and many Britons
felt that Germany had been badly treated by the Treaty of
Versailles and that the principle of self-determination dictated
that German minorities in other countries should not be
prevented from joining Germany if they clearly chose to do so.
Hence, when Germany overran the Austrian republic in March 1938
and incorporated the small state into the Reich (see Anschluss),
Britain took no action. Similarly, when almost immediately
Hitler began to denounce what he characterized as the Czech
persecutions of the militant German minority in the Sudetenland
of Czechoslovakia, Chamberlain searched for a means not to
prevent the Czech borderland from being transferred to Germany
but to ensure that it was accomplished peacefully. Because
Czechoslovakia had a military alliance with France, war would
surely result if it resisted the Germans and called upon French
aid.
The attempted settlement of the Sudeten crisis, culminating
in the Munich Agreement, was the climax of the appeasement
policy. Between Sept. 15 and 30, 1938, Chamberlain traveled to
Germany three times to meet Hitler. From the last meeting, held
at Munich on September 30, he took back what he believed to be
an agreement that the German portions of Czechoslovakia
constituted Hitler’s last territorial claim in Europe and that
Germany, as well as Britain, would renounce war as a means of
settling international claims. He had, he said with some pride,
brought “peace for our time.”
Chamberlain’s policy failed because he believed that Hitler
sincerely aimed only at reuniting Germans, whereas in fact
Hitler’s appetite for territory, particularly to the east, was
unlimited. On March 15, 1939, the German army, virtually without
warning, occupied the rest of Czechoslovakia, even though it was
not inhabited by Germans. On March 18 Chamberlain, distinctly
angry, made an announcement that amounted to the end of
appeasement; in the following weeks Britain offered a guarantee
of Polish territory (where Hitler would clearly be looking
next), signed a military alliance with Poland, and undertook
serious preparation for war, including the first peacetime
military conscription.
World War II
The Polish crisis precipitated the war. Through the
summer of 1939, German propaganda grew more strident, demanding
cession to Germany of the city of Gdańsk (Danzig) while
gradually escalating demands for special rights in, and finally
annexation of, the Polish corridor. Because the only country
able to defend Poland was the Soviet Union, a British-French
mission in the summer of 1939 began negotiations for a treaty
with Soviet ruler Joseph Stalin. Poland, however, announced that
it would not allow Soviet troops to enter Polish territory, even
for the purpose of defending the country against Germany. Hitler
put a stop to these negotiations on August 23 when he announced
the German-Soviet Nonaggression Pact. On September 1 German
troops invaded Poland. Britain and France declared war on
Germany on September 3.
The phases of war
From the British perspective, World War II fell readily
into three distinct phases. The first, the so-called phony war
and the period of German victories in the west, ended with the
decision of France on June 18, 1940, to ask for an armistice
with Germany. The second, heroic phase, when Britain stood
alone, began with the battle for survival in the air over the
British Isles and ended in the first week of December 1941 with
the successful Soviet defense of Moscow after Hitler’s attack on
June 22 and with the Japanese declaration of war on the United
States and the British Empire on December 7. Then followed what
Churchill termed the period of the Grand Alliance, lasting from
December 1941 until Germany’s capitulation in May 1945.
Perhaps the most important event of the first phase was the
announcement on Sept. 3, 1939, that Churchill, assumed to have
reached the end of his career in 1936 as a result of his having
embraced the king’s cause during the abdication crisis, would
reenter the government as first lord of the admiralty. Churchill
thus was in charge of the Royal Navy on April 9 and 10, 1940,
when Hitler without warning overran Denmark and Norway, greatly
extending his northern flank and virtually destroying the naval
blockade of Germany that had been established at the beginning
of the war.
The Norwegian campaign destroyed the Chamberlain government.
The obviously poor planning and the incapacity of the British
forces in an area where the Germans were at a serious
disadvantage caused a rebellion within the Conservative Party. A
bitter debate lasting from May 7 to May 9, 1940, resulted in
Chamberlain’s resignation the next day. Although Churchill
himself, as first lord of the admiralty, was heavily involved
and did not attempt to deny his responsibility, Chamberlain
quickly discovered that the coalition government he hoped to
establish with either himself or Lord Halifax as prime minister
could, at the insistence of the Labour Party, be headed only by
Churchill. Thus, on May 10 Churchill was announced as prime
minister. Chamberlain, to his immense credit, consented to
remain in the cabinet and to control, on Churchill’s behalf, the
Conservative Party.
On the same day, May 10, 1940, the German army struck in the
west against The Netherlands, Belgium, and Luxembourg. France
held out for just 38 days. (Listen to an excerpt of Churchill’s
first address to the House of Commons as prime minister, on May
13, 1940.) When on June 18 the French government resolved to ask
for an armistice, Churchill announced on the radio that Britain
would fight on alone; it would be the nation’s “finest hour.” So
began the second phase of World War II for Britain. Through
August and September 1940 Britain’s fate depended upon 800
fighter airplanes and upon Churchill’s resolution during the
terrific bombardment that became the Battle of Britain. In the
last six months of 1940, some 23,000 civilians were killed, and
yet the country held on. (For contemporary descriptions of the
devastation of London, see BTW: London Classics: London in World
War II.)
Perhaps the important political lesson of World War II lay in
the realization that a democratic country, with a centuries-old
tradition of individual liberty, could with popular consent be
mobilized for a gigantic national effort. The compulsory
employment of labour became universal for both men and women. In
1943 Britain was devoting 54 percent of its gross national
product to the war. Medical services were vastly extended.
Civilian consumption was reduced to 80 percent of the prewar
level. Yet by and large the political tensions that had
accompanied an equally desperate war 25 years before did not
appear. Politics, as opposed to the direction of the war,
certainly for the voters, became almost irrelevant. There was
some parliamentary criticism of Churchill’s leadership, but
public approval, at least as measured by repeated opinion polls,
hardly wavered. Nonetheless, the idea of a ‘‘united’’ country
was overplayed then, and, in the eyes of some, has been
overplayed since. The old divisions of class and gender were
never far below the surface, and it is only with considerable
qualification that World War II can be called the People’s War.
Political developments
German hostilities in the west ended at midnight on May
8, 1945. Six months earlier Churchill had promised in the House
of Commons that he would ask the king to dissolve the sitting
Parliament, elected in 1935, soon after the German surrender
unless the Labour and Liberal parties seriously desired to
continue the coalition government. Accordingly, he began
conversations with Clement Attlee, the leader of the Labour
Party, in the middle of May, proposing that Labour remain in the
coalition until Japan surrendered, an event he estimated to be
at least 18 months away. Churchill believed Attlee to have been
initially sympathetic, but other members of the Labour Party
pressed for departure. As a result, Churchill dissolved the
government on May 23, appointed a new, single-party Conservative
government, and set election day for July 5. Because it was
necessary to count the military vote, the results could not be
announced until July 26.
Considering that the leading figures in each party had been
cabinet colleagues only a few weeks before, the electoral
campaign was remarkably bitter. Largely on the advice of William
Maxwell Aitken, Baron Beaverbrook, the Conservatives focused
chiefly on Churchill himself as the man who had won the war.
Churchill denounced Labour as the party of socialism and perhaps
of totalitarianism while promising strong leadership and grand
but unspecific measures of social reform. Labour, even though
the war in the Pacific continued, concentrated on peacetime
reconstruction and fair shares for all.
Quite clearly, Churchill’s rhetoric and his attacks on former
comrades angered many voters. But the mood in the country that
gave Labour its overwhelming victory was obviously determined by
the recollection of the hardships of the 1920s and ’30s; Britons
voted against Stanley Baldwin and Neville Chamberlain. In the
end Labour won 393 seats, almost double the Conservative total
of 213 and far more than it had expected. On July 26, 1945, as
soon as the results were clear, Churchill resigned and Attlee
became prime minister.
Britain since 1945
Labour and the welfare state (1945–51)
Labour rejoiced at its political triumph, the first
independent parliamentary majority in the party’s history, but
it faced grave problems. The war had stripped Britain of
virtually all its foreign financial resources, and the country
had built up “sterling credits”—debts owed to other countries
that would have to be paid in foreign currencies—amounting to
several billion pounds. Moreover, the economy was in disarray.
Some industries, such as aircraft manufacture, were far larger
than was now needed, while others, such as railways and coal
mines, were desperately short of new equipment and in bad
repair. With nothing to export, Britain had no way to pay for
imports or even for food. To make matters worse, within a few
weeks of the surrender of Japan, on Sept. 2, 1945, U.S.
President Harry S. Truman, as he was required to do by law,
ended lend-lease, upon which Britain had depended for its
necessities as well as its arms. John Maynard Keynes, as his
last service to Great Britain, had to negotiate a $3.75 billion
loan from the United States and a smaller one from Canada. In
international terms, Britain was bankrupt.
Labour, nonetheless, set about enacting the measures that in
some cases had been its program since the beginning of the
century. Nationalization of railroads and coal mines, which were
in any case so run down that any government would have had to
bring them under state control, and of the Bank of England began
immediately. In addition, road transport, docks and harbours,
and the production of electrical power were nationalized. There
was little debate. The Conservatives could hardly argue that any
of these industries, barring electric power, was flourishing or
that they could have done much differently.
More debate came over Labour’s social welfare legislation,
which created the “welfare state.” Labour enacted a
comprehensive program of national insurance, based upon the
Beveridge Report (prepared by economist William Beveridge and
advocating state action to control unemployment, along with the
introduction of free health insurance and contributory social
insurance) but differing from it in important ways. It
regularized the de facto nationalization of public assistance,
the old Poor Law, in the National Assistance Act of 1946, and in
its most controversial move it established the gigantic
framework of the National Health Service, which provided free
comprehensive medical care for every citizen, rich or poor. The
pugnacious temper of the minister of health, Aneurin Bevan, and
the insistence of radical elements in the Labour Party upon the
nationalization of all hospitals provoked the only serious
debate accompanying the enactment of this immense legislative
program, most of which went into force within two years of
Labour’s accession to office. Bevan emerged at this time as an
important figure on the Labour left and would remain its leader
until his death in 1960.
Economic crisis and relief (1947)
Labour’s record in its first 18 months of office was
distinguished. In terms of sheer legislative bulk, the
government accomplished more than any other government in the
20th century save perhaps Asquith’s pre-World War I
administration or the administration of Margaret Thatcher
(1979–90). Yet by 1947 it had been overtaken by the economic
crisis, which had not abated. The loan from the United States
that was supposed to last four years was nearly gone. Imports
were cut to the bone. Bread, never rationed during the war, had
to be controlled. Britain had to withdraw support from Greece
and Turkey, reversing a policy more than a century old, and call
upon the United States to take its place. Thus, at Britain’s
initiative, the Truman Doctrine came into existence.
Relief came with U.S. Secretary of State George C. Marshall’s
announcement that the United States would undertake a massive
program of financial aid to the European continent. Any country
in the Eastern or Western bloc was entitled to take part.
Although the Soviet Union immediately denounced the Marshall
Plan as the beginning of a division between the East and the
West, all western European countries, including Britain,
hastened to participate. It can be argued that the Marshall Plan
and the Truman Doctrine represent the permanent involvement of
the United States in Europe.
Withdrawal from the empire
Britain, not entirely by coincidence, was also beginning
its withdrawal from the empire. Most insistent in its demand for
self-government was India. The Indian independence movement had
come of age during World War I and had gained momentum with the
Massacre of Amritsar of 1919. The All-India Congress Party,
headed by Mohandas K. Gandhi, evoked sympathy throughout the
world with its policy of nonviolent resistance, forcing
Baldwin’s government in the late 1920s to seek compromise. The
eventual solution, embodied in the Government of India Act of
1935, provided responsible government for the Indian provinces,
the Indianization of the civil service, and an Indian
parliament, but it made clear that the Westminster Parliament
would continue to legislate for the subcontinent. The act
pleased no one, neither the Indians, the Labour Party, which
considered it a weak compromise, nor a substantial section of
the Conservative Party headed by Churchill, which thought it
went too far. Agitation in India continued.
Further British compromise became inevitable when the
Japanese in the spring of 1942 swept through Burma to the
eastern borders of India while also organizing in Singapore a
large Indian National Army and issuing appeals to Asian
nationalism. During the war, Churchill reluctantly offered
increasing installments of independence amounting to dominion
status in return for all-out Indian support for the conflict.
These offers were rejected by both the Muslim minority and the
Hindu majority.
The election of a Labour government at the end of World War
II coincided with the rise of sectarian strife within India. The
new administration determined with unduly urgent haste that
Britain would have to leave India. This decision was announced
on June 3, 1947, and British administration in India ended 10
weeks later, on August 15. Burma (now Myanmar) and Ceylon (now
Sri Lanka) received independence by early 1948. Britain, in
effect, had no choice but to withdraw from colonial territories
it no longer had the military and economic power to control.
The same circumstances that dictated the withdrawal from
India required, at almost the same time, the termination of the
mandate in Trans-Jordan, the evacuation of all of Egypt except
the Suez Canal territory, and in 1948 the withdrawal from
Palestine, which coincided with the proclamation of the State of
Israel. It has been argued that the orderly and dignified ending
of the British Empire, beginning in the 1940s and stretching
into the 1960s, was Britain’s greatest international
achievement. However, like the notion of national unity during
World War II, this interpretation can also be seen largely as a
myth produced by politicians and the press at the time and
perpetuated since. The ending of empire was calculated upon the
basis of Britain’s interests rather than those of its colonies.
National interest was framed in terms of the postwar
situation—that is, of an economically exhausted, dependent
Britain, now increasingly caught up in the international
politics of the Cold War. What later became known as
‘‘decolonization’’ was very often shortsighted, self-interested,
and not infrequently bloody, as was especially the case in
Malaysia (where the politics of anticommunism played a central
role) and in Kenya.
Conservative government (1951–64)
The last years of Attlee’s administration were troubled
by economic stringency and inflation. The pound was sharply
devalued in 1949, and a general election on Feb. 23, 1950,
reduced Labour’s majority over the Conservative and Liberal
parties to only eight seats. Attlee himself was in poor health,
and Ernest Bevin, formerly the most politically powerful man in
the cabinet, had died. More-radical members of the party, led by
Aneurin Bevan, were growing impatient with the increasingly
moderate temper of the leadership. On Oct. 25, 1951, a second
general election in a House of Commons not yet two years old
returned the Conservatives under Churchill to power with a
majority of 22 seats.
The Conservatives remained in power for the next 13 years,
from October 1951 until October 1964, first under Churchill—who
presided over the accession of the new monarch, Queen Elizabeth
II, on Feb. 6, 1952, but was forced to resign on account of age
and health on April 5, 1955—and then under Churchill’s longtime
lieutenant and foreign secretary, Anthony Eden. Eden resigned in
January 1957, partly because of ill health but chiefly because
of his failed attempt to roll back the retreat from empire by a
reoccupation of the Suez Canal Zone after the nationalization of
the canal by the Egyptian president, Gamal Abdel Nasser, in the
summer of 1956. This belated experiment in imperial adventure
drew wide criticism from the United States, the British
dominions, and indeed within Britain itself. Although it was cut
short in December 1956, when UN emergency units supplanted
British (and French) troops, the Suez intervention divided
British politics as few foreign issues have done since. Eden was
succeeded by his chancellor of the Exchequer, Harold Macmillan.
Macmillan remained in office until October 1963, when he too
retired because of ill health, to be succeeded by Sir Alec
Douglas-Home, then foreign secretary. In this period of
single-party government, the themes were economic change and the
continued retreat from colonialism.
Labour interlude (1964–70)
The long Conservative tenure came to an end on Oct. 16,
1964, with the appointment of a Labour administration headed by
Harold Wilson, who had been Labour leader only a little more
than a year and a half—since the death of the widely admired
Hugh Gaitskell. Gaitskell and prominent Conservative R.A. Butler
had been the principal figures in the politics of moderation
known as ‘‘Butskellism’’ (derived by combining their last
names), a slightly left-of-centre consensus predicated on the
recognition of the power of trade unionism, the importance of
addressing the needs of the working class, and the necessity of
collaboration between social classes. Although Wilson was
thought to be a Labour radical and had attracted a substantial
party following on this account, he was in fact a moderate. His
government inherited the problems that had accumulated during
the long period of Conservative prosperity: poor labour
productivity, a shaky pound, and trade union unrest. His
prescription for improvement included not only a widely heralded
economic development plan, to be pursued with the introduction
of the most modern technology, but also stern and unpopular
controls on imports, the devaluation of the pound, wage
restraint, and an attempt, in the event these measures proved
unsuccessful, to reduce the power of the trade unions.
Eventually the Wilson government became unpopular and was kept
in power primarily by weakness and division in the Conservative
Party. Finally, in 1968, Wilson was confronted with an outbreak
of civil rights agitation in Northern Ireland that quickly
degenerated into armed violence.
The return of the Conservatives (1970–74)
The Conservatives returned in a general election on June
18, 1970, with a majority of 32. The new prime minister, Edward
Heath, set three goals: to take Britain into the European
Economic Community (EEC; now the European Community, embedded in
the European Union), to restore economic growth, and to break
the power of the trade unions. In his short term in office he
succeeded only in negotiating Britain’s entry into the EEC, in
1973. In fact, Heath was defeated by the trade unions, which
simply boycotted his industrial legislation, and by the Arab oil
embargo, which began in 1973 and which made a national coal
miners’ strike in the winter of 1973–74 particularly effective.
Heath used the strongest weapon available to a prime minister—a
general election, on Feb. 28, 1974—to settle the issue of who
governed Britain. The election, held when factories were in
operation only three days a week and civilian Britain was
periodically reduced to candlelight, was a repudiation of the
policy of confrontation with labour.
Labour back in power (1974–79)
Despite losing by more than 200,000 votes to the
Conservatives, Labour and Wilson returned as a minority
government and promptly made peace by granting the miners’
demands. Wilson’s policies were confirmed on Oct. 10, 1974, in a
second election, when his tiny majority, based upon cooperation
from the Scottish National Party and the Plaid Cymru (Welsh
Nationalist Party) as well as the Liberals, was increased to an
almost workable margin of 20. The Labour government faced severe
economic challenges—including post-World War II record levels of
unemployment and inflation—yet Wilson was able to renegotiate
British membership in the EEC, which was confirmed in a
referendum in April 1975. However, neither Wilson nor James
Callaghan, who succeeded him on April 5, 1976, was able to come
to terms with the labour unions, which were as willing to
embarrass a Labour government as a Conservative one. Labour’s
parliamentary position was precarious, and the party lost its
governing majority through a series of by-election defeats and
defections. Labour survived through what became known as the
“Lib-Lab Pact,” an agreement between Callaghan and Liberal Party
leader David Steel, which lasted until August 1978. Union
unrest, induced by rapidly increasing prices, made the late
1970s a period of almost endless industrial conflict,
culminating at the end of 1978 in the “Winter of Discontent,” a
series of bitter disputes, which the government seemed unable to
control and which angered the voters. Meanwhile, Labour’s
slender majority in the House of Commons eroded with the
defection of the Liberal and nationalist parties following the
defeat of referenda in Wales and Scotland that would have
created devolved assemblies. On March 28, 1979, Callaghan was
forced from office after losing a vote of confidence in the
House of Commons by a single vote (310–311), the first such
dismissal of a prime minister since MacDonald in 1924.
Bentley Brinkerhoff Gilbert
Patrick Joyce
Thatcherism (1979–90)
In the subsequent election, in May 1979, the
Conservatives under the leadership of Margaret Thatcher were
swept into power with the largest electoral swing since 1945,
securing a 43-seat majority. After an extremely shaky start to
her administration, Thatcher achieved popularity by sending the
armed forces to expel an Argentine force from the Falkland
Islands (see Falkland Islands War) in the spring of 1982, on the
strength of which she won triumphant reelection in June 1983,
her party capturing nearly 400 seats in the House of Commons and
a 144-seat majority. The opposition Labour Party suffered its
worst performance since 1918, winning only 27.6 percent of the
vote—only 2.2 percent more than an alliance of the Liberals and
the Social Democratic Party, a party formed by Labour defectors.
Riding this wave of success, the Thatcher government
proceeded with a thoroughgoing privatization of the economy,
most notably the railway system. Like the accompanying
deindustrialization of what had been a manufacturing Britain,
this transformation of the transportation infrastructure had
immense consequences, resulting in a public transport system
that was widely perceived as chaotic and inefficient, as well as
in a great increase in private automobile use and in road
building. Thatcher’s advocacy of what eventually became known as
neoliberalism was in fact part of a similar international
response to changes in the global economy driven by the United
States during the presidency of Ronald Reagan (predicated on the
free market and supply-side economics), with whom Thatcher
formed a strong personal alliance. Deindustrialization and
privatization began to change the face of Britain, one fairly
immediate outcome being mass unemployment.
Partly in response to this development but also prompted by
long-simmering tensions, a series of disturbances broke out in
British cities in 1981, particularly in Liverpool and London,
when an endemically unprivileged young black urban population
turned its sense of alienation from much of British society
against the police. Since the Notting Hill race riots of 1958 in
London, the integration of the immigrant West Indian community
into British society had been a major problem. This problem
worsened with the arrival, beginning in the 1960s, of South
Asian immigrants from East Africa and the Indian subcontinent,
who, like the Caribbean population, were highly concentrated in
particular areas of the country and of cities. Elements in the
Conservative Party, led by Enoch Powell, were not averse to
creating political capital out of this situation, though
Powell’s English patriotism was more complex than most
Conservative gut reactions. His liberal economics, along with
the advocacy of the free market by Keith Joseph, was very
influential on the party, especially on Thatcher. Despite
promises to alleviate the urban poverty of immigrant
communities, little was done in the 1980s, and in the 1990s the
exclusion of blacks and to a lesser extent South Asians from an
equal share in the benefits of British society continued to be a
critical problem, one which politicians confronted reluctantly
and to limited effect.
This was evident earlier in the very limited nature of the
Race Relations Act of 1965, itself fiercely opposed by the
Conservatives. A subsequent amendment, in 1968, outlawed
discrimination in areas such as employment and the provision of
goods and services. However, it was not until the Race Relations
Act of 1976 that any real change was evident. This act made both
direct and indirect discrimination an offense and provided legal
redress for those discriminated against through employment
tribunals and the courts. Yet another amendment to the act, in
2001, included public bodies, particularly local authorities and
the police, whose role in black communities continued to be a
considerable source of tension. This unease was compounded by
endemic inequality and deprivation in ethnic (especially Asian)
communities. In 2001 the result was a wave of public
disturbances across the north of England, in which disaffected
youth once again played a leading role. In Britain, in the
aftermath of the September 11 attacks on the United States, the
advent of the so-called ‘‘war on terror’’ served to deepen
existing divisions by giving ‘‘racial’’ tensions a new form,
that of ‘‘Islamophobia.’’
A considerable degree of reluctance also characterized the
other great problem of the Thatcher administrations, namely the
conflict in Northern Ireland. Since 1945 successive British
governments failed to address discrimination against Catholics
in Northern Ireland. The international civil rights current of
the late 1960s triggered a new and intensive wave of protest in
Northern Ireland, which was met by a continuing reluctance to
reform and by police overreaction. Into this increasingly
explosive situation stepped the Provisional Irish Republican
Army (IRA), which had separated from the long-established
‘‘Official’’ IRA in 1969 and which gained support after 13 Roman
Catholic civil rights demonstrators were killed by British
troops in Londonderry on Jan. 30, 1972, an event that became
known as Bloody Sunday. The IRA mounted an increasingly violent
campaign against the British Army in Ulster, taking their
activity to the British mainland with increasing effect in the
1970s. The so-called ‘‘Troubles’’ ensued for the better part of
three decades, with the British Army and the IRA fighting to a
vicious draw in the end. The Troubles also took the form of
sectarian strife in Northern Ireland, polarizing the Protestant
and Catholic communities, each of which had its own paramilitary
organizations. The IRA “hunger strikers” of the early 1980s
failed to move Thatcher, a resistance that probably ultimately
harmed her by producing great sympathy for the republican cause
in Northern Ireland. Nor did she appear to be moved by the
bombing at the Conservative Party conference in Brighton in
1984, an attempt on her own life that resulted in the deaths of
several of her friends and colleagues within the party.
Nonetheless, even at this parlous time, unofficial and secret
contacts were being established with the IRA. These led to the
very long and tortuous process of negotiation that eventually
became known as the ‘‘peace process.’’
Despite being unable to resolve the Irish problem, Thatcher
succeeded in 1987 in winning an unprecedented third general
election, and in January 1988 she surpassed Asquith as the
longest continually serving prime minister since Lord Liverpool
(1812–27). Thatcher’s electoral success came from her
extraordinary capacity for leadership and the development of
‘‘Thatcherism.” Responding to widespread disillusionment with
Labour government and the state, Thatcher was able to tap into,
and give leadership to, a politics of freedom and choice that
expressed the desires of many people in the 1980s. In the wake
of the debacle that the 1970s had been for the political left
and trade union movement, Thatcherism’s variant of contemporary
free-market neoliberalism gained increasing momentum. It
effectively ended the postwar accommodation sometimes referred
to as the corporate state, through which government, the unions,
and business enabled a form of state-managed capitalism to
develop. In its movement away from that accord, Britain
foreshadowed developments in central and eastern Europe after
the demise of communism there in 1989.
Thatcher’s premiership, however, did not survive her third
term. She alienated even fellow Conservatives with her
insistence on replacing local property taxes with a uniform poll
tax and with her unwillingness to fully integrate the pound into
a common European currency. By the end of 1989, voter discontent
was manifest in by-elections, and in November 1990 Thatcher
faced serious opposition for the first time in the Conservative
party’s annual vote for selection of a leader. When she did not
receive the required majority, she withdrew, and John Major, the
chancellor of the Exchequer since October 1989, was chosen on
November 27. Thatcher resigned as prime minister the following
day and was replaced by Major.
John Major (1990–97)
Despite having presided over the country’s longest
recession since the 1930s and owing partly to the Labour Party’s
overconfidence, the Conservatives won their fourth consecutive
election in April 1992, albeit with a diminished majority of 21
in Parliament. That they did so was largely a result of the
ongoing conflict within Labour as it continued to undergo
‘‘modernization.’’ As the recession lingered, the popularity of
Major—and of the Conservatives—plummeted, and the party fared
poorly in by-elections and in local elections. Major’s economic
policies were questioned after the ‘‘Black Wednesday’’ fiasco of
Sept. 16, 1992, when he was forced to withdraw Britain from the
European exchange-rate mechanism and devalue the pound. Despite
having pledged not to increase taxes during the 1992 campaign,
Major supported a series of increases to restore Britain’s
financial equilibrium. When he sought to secure passage of the
Treaty on European Union in 1993, his grip on power was
challenged. Twenty-three Conservatives voted against a
government resolution on the treaty, causing the government’s
defeat and compelling Major to call a vote of confidence to pass
the treaty. Tory troubles mounted with scandals in local
governments, particularly in Westminster in 1994, and thereafter
Major was seemingly unable to shake off the growing reputation
of his government not only for economic mismanagement but also
for corruption and moral hypocrisy. A seemingly unending series
of financial and sexual scandals took their toll, and paper
offensives like Major’s “Citizens Charter,” attempting to stop
the growing rot of concern about the efficiency and
responsibility of privatized industry by laying down citizens’
rights, made little impact.
As criticism of his leadership mounted within the
Conservative Party, Major resigned as party leader in June 1995.
In the ensuing leadership election, Major solidified his
position—though 89 Conservative members of Parliament voted for
his opponent and 22 others abstained or spoiled their ballots.
Major’s government was also severely criticized for its handling
of the crisis involving ‘‘mad cow disease,’’ in which it was
discovered that large numbers of cattle in the human food supply
in Britain were infected with bovine spongiform encephalopathy.
Facing a rejuvenated Labour Party under the leadership of Tony
Blair, the Conservatives suffered a crushing defeat in the
general election of 1997, winning only 165 seats, their fewest
since 1906. Labour’s 419 seats and its 179-seat majority were
its largest in British history.
New Labour and after (since 1997)
During its years out of power, the Labour Party had
undergone a gradual transformation as it attempted to distance
itself from the power of the unions on the one hand and the
power of the membership on the other, in the guise of the
traditional role of the Labour Party Conference. This process
had been started before 1992 by Neil Kinnock, who led the party
from 1983 to 1992, and it was continued by his successors, first
John Smith and then Blair. The need for fundamental reappraisal
had been urged as early as 1981, with the founding of the Social
Democratic Party, when prominent Labour Party politicians, led
by Roy Jenkins, seceded from the party in an attempt to “break
the mould” of British politics. Divisions not only between the
right and left in the party but also within the left of the
party itself added to the chaos that was the British left in the
1980s; the insistence of the radical leftist and former Labour
minister Tony Benn on running against the former Labour
chancellor Denis Healey in the party election for deputy
leadership in 1981 effectively split the radical democratic left
and disabled the possibility of an early riposte to Thatcher. It
also, ironically enough, contributed to what became known as
‘‘New Labour,’’ rather than a more left-wing variant of
labourism eventually replacing the Conservatives.
The understanding that the party would have to rethink the
market (not only in economic but in social terms), embracing it
in a way foreign to many of the unions and the traditional
Labour left, grew increasingly after 1992, until, after the
Labour victory of 1997, there was a clearly marked path for New
Labour. The most symbolically important marker of the change
from Old to New Labour was the repeal of the party’s Clause IV,
engineered by Blair in 1995. The replacement of old Clause IV,
which had committed the party to the ‘‘common ownership of the
means of production,’’ ended almost 80 years of dedication to
that goal. The new path of the party was to be a middle one, in
the phraseology of New Labour, a “third way,’’ supposedly
embracing both social justice and the market. Not only in
rhetoric but in reality, “new” Labour was to be different from
“old.” There was also to be increasing attention to the
importance of the media, an attention that the Tories had
developed into something of a fine art under Thatcher, with her
press secretary Bernard Ingham. Given the increasing role of the
media in the presentation of politics and indeed the almost
wholesale integration of political substance and political style
through the media, this mastery of the art of “spin” was to
become a political necessity. Therefore, art for art’s sake
(spin for spin’s sake) was to become a feature of Labour
government after 1997. This approach was ultimately to rebound
upon the party and, indeed, upon the political process in
general during the next decade with the emergence of widespread
disillusionment with politics in British society, especially
among young people.
Labour’s landslide victory in 1997, which undoubtedly
benefited from the inspirational leadership Blair seemed to
offer, nevertheless may have been less the result of an
unbounded belief in New Labour than of the discrediting of the
Conservative Party. It is certain that Blair was helped into
power by the parlous state into which the Conservative Party had
fallen under Major after 1992. Promising that “we ran for office
as New Labour, and we shall govern as New Labour,’’ the Blair
government in fact began in a rather conservative fashion, by
accepting existing government spending limitations. Nonetheless,
the difficult and what came to be the increasingly troubled task
of combining aspects of Thatcherism with the idea of a ‘‘social
market” gathered momentum. Certainly, through much of Blair’s
tenure a buoyant economy, well managed by Chancellor of the
Exchequer Gordon Brown, did a great deal to ease the passage of
New Labour and the third way. In his first major initiative and
one of his boldest moves, Blair, abetted by Brown, granted the
Bank of England the power to determine interest-rate policy
without government consultation. This was a major move in the
disengagement of financial markets from the state.
Blair’s government was also more and more taken up with the
question of whether Britain should stay in or remain outside the
European monetary union. At stake were fundamental ideas about
British sovereignty and whether, in a progressively globalized
world in which some claimed that the individual nation-state was
becoming unviable, sovereignty in its existing forms could
remain intact. For the Conservative Party, ever more hostile to
the European Union, this question was central to its attempts to
fight back against the Labour Party. Blair’s government did sign
the Treaty on European Union’s Social Chapter—which sought to
harmonize European social policies on issues such as working
conditions, equality in the workplace, and worker health and
safety—despite Major’s earlier negotiation of an ‘‘opt out’’
mechanism to placate the treaty’s Conservative opponents.
However, the Labour Party’s implementation of the Social Chapter
was at best halfhearted, and its goal became to influence as
much as possible the European Union itself to moderate the
operations of the chapter. As with financial deregulation, the
emphasis in labour affairs was on the market.
Conspicuous progress was also made in solving the problem of
Northern Ireland. Under Major, in 1994, the IRA declared a
cease-fire, the Protestant paramilitaries followed suit soon
after, and talks between the British government, the Irish
government, and Sinn Féin began. The IRA cease-fire secured a
long and involved series of negotiations, in which the Belfast
Agreement of 1998 (also known as the Good Friday Agreement)
seemed to have at last brought peace to Northern Ireland.
Unionist suspicion and concern about fundamental reforms to the
traditional power structure of the province meant, however, that
the implementation of the agreement became a tortuous business.
Indeed, it took almost another decade to arrive at what looked
like a final resolution, when in 2007 the Northern Ireland
Assembly was restored on the basis of power sharing between what
had erstwhile been bitter enemies, Sinn Féin and the Ian
Paisley-led Democratic Unionist Party.
In May 1998 voters in London overwhelmingly approved the
government’s plan for a new assembly for the city and for its
first directly elected mayor, resulting in the capital’s first
citywide government since the abolition of the Greater London
Council by Thatcher in 1986. However, the precedent of an
elected mayor in London was not subsequently followed by similar
action in other major British cities. In the late 1990s the
Labour government also carried out several other constitutional
reforms. The House of Lords, previously dominated by hereditary
peers (nobles), was reconstituted as an assembly composed
primarily of appointive life peers, with only limited
representation of hereditary peers. Nonetheless, the striking
contradiction of an unelected legislative assembly in a country
that prided itself on its traditions of liberal democracy was
apparent. Following referenda in Wales and Scotland, the
National Assembly for Wales and the Scottish Parliament were
established in 1999 and granted powers previously reserved for
the central government. Yet, with the exception of political
devolution to the component states of the United Kingdom, the
Labour Party remained reluctant to reform the constitution, so
that at the beginning of the 21st century it was still the
revered mysteries of the uncodified British constitution by
which the British were governed.
The 1990s were a period of transition and controversy for the
monarchy. In 1992, during what Queen Elizabeth II referred to as
the royal family’s annus horribilis, Charles, prince of Wales,
heir to the British throne, and his wife, Diana, princess of
Wales, separated, as did Elizabeth’s son Andrew, duke of York,
and his wife, Sarah, duchess of York. Moreover, Elizabeth’s
daughter, Anne, divorced, and a fire gutted the royal residence
of Windsor Castle. After details of extramarital affairs by
Charles and Diana surfaced and the couple divorced, observers
openly questioned Charles’s fitness to succeed his mother as
sovereign, and public support for the monarchy ebbed. The
immensely popular Diana (dubbed the ‘‘People’s Princess’’) died
in an automobile accident in Paris in 1997, prompting an
outpouring of grief, or at least hysteria, throughout the world.
The British royal family came under scrutiny for its handling of
the matter—especially the queen’s reluctance, because of
tradition, to allow the national flag to fly at half-staff over
Buckingham Palace. With the queen celebrating her 50th wedding
anniversary, the queen mother, Elizabeth, celebrating her 100th
birthday, and Charles working hard to improve his public image,
the fortunes of the monarchy improved by the end of the 1990s.
Nevertheless, the established institutions of the British state
had been called into question in an unprecedented way. If the
popularity of the monarchy survived, it was largely the result
of the queen’s persona; the royal family as a whole—itself the
idealized media creation of late Victorian times—frequently had
become the object of ridicule. The transformation of the
monarchy was indeed emblematic of the very unevenly progressing
severance of the British from the long-lived institutions and
culture of the 19th century. To celebrate the new millennium,
the monumental Millennium Dome, the largest structure of its
kind in the world, and the Millennium Bridge were opened in
London. It was perhaps symbolic of the contradictions of this
modernity that the dome was dogged by controversy regarding its
cost and design and the bridge by the fiasco of its opening,
when it was found to move alarmingly above the waters of the
Thames when in public use.
In June 2001 Blair’s government was reelected with a 167-seat
majority in the House of Commons—the largest majority ever won
by a second-term British government. With the question of
European integration continuing to be of great significance in
British politics, the new Labour administration chose not to
adopt the common European currency, the euro, partly because of
a fear of popular response. However, it was on the Conservative
side that Britain’s relationship with Europe was most urgently a
party issue. It continued to divide a party riven by
differences, a party that looked more and more like the Labour
Party of the 1980s and early ’90s. Indeed, there is a direct
parallel between the recent histories of the two parties: the
traditional left of the Labour Party corresponded to the
traditional right of the Conservative Party, as both fought hard
to stem the tide of party modernization. The battle for the soul
of the Conservative Party was joined with growing fervour with
the election of David Cameron in December 2005 as its
modernizing leader. His subsequent attempt to steer the party
back to the political centre, and away from the old order of the
Thatcherite legacy, was every bit as difficult as the
redirection undertaken by Labour modernizers. In addition to
Europe and economic policy, the issue of increased levels of
immigration into Britain after 2000 further divided the
Conservatives.
Indeed, Britain as a whole became divided on this issue.
Large bodies of opinion, stirred up by xenophobia in the popular
press, responded with fear and anxiety to increased levels of
immigration from central and eastern Europe that were a
consequence of European integration. In a more globalized and
war-ridden world, the burgeoning flow of asylum seekers into
Britain added to this climate, as did the ‘‘war on terror.’’
Asian Muslims, many of them long-standing British citizens and
British-born, were nonetheless frequently lumped with immigrants
and asylum seekers as part of an undifferentiated external
threat to Britishness.
Following the September 11 attacks on the United States in
2001, global terrorism dominated the political agenda in
Britain, and Blair closely allied himself with the
administration of U.S. Pres. George W. Bush. Britain contributed
troops to the military effort to oust Afghanistan’s Taliban
regime, which was charged with harbouring Osama bin Laden, who
had founded al-Qaeda, the terrorist organization linked to the
September 11 attacks. Although Blair received strong support for
his antiterrorist strategy from the Conservatives and Liberal
Democrats in the House of Commons, a small minority of Labour
members of Parliament opposed military action. The Blair
government also faced a slowing economy and a widespread
perception that public services such as health, education, and
transportation had not improved. Although large amounts of
public money had been spent, particularly on the health service,
much of this went into elaborating the new and highly evolved
structures of management that came to characterize Labour
administration of the state. However, it was the subject of the
Iraq War, and Britain’s support for the U.S. position on it,
that did most to undermine the standing of Blair.
From late 2002, politics in Britain was dominated by Blair’s
decision to support military action to oust from power the Iraqi
government of ṢaddāmḤussein, which was alleged to either possess
or be developing weapons of mass destruction (WMD) that might
either be used against Iraq’s neighbours or find their way into
the hands of international terrorists. Notwithstanding
widespread and enormous public protests against war, the
resignation of several government ministers, and the support of
some one-third of the parliamentary Labour Party for a motion
opposing the government’s policy, Blair remained steadfast in
his conviction that Ṣaddām was an imminent threat that had to be
removed. Following Ṣaddām’s ouster, however, British and
American intelligence was found to have been faulty. When no WMD
were found, critics of the government charged that it had
distorted (‘‘sexed up’’) intelligence to solidify its claims
against the Iraqis. Nevertheless, in May 2005 Blair won another
term as prime minister—albeit with a significantly reduced
parliamentary majority—as Labour won its third consecutive
general election for the first time in the party’s history. The
fallout from the Iraq War—initially the controversy over the
decision to go to war in the first place and then the protracted
involvement in a conflict that began to look more and more like
a civil war—sapped public and political support for Blair. But,
ever the consummate politician, he held on for two years after
his reelection despite the friction between himself and his
appointed successor, Gordon Brown, who became the new prime
minister in June 2007.
Brown’s hold on power was threatened in Spring 2009. With the
British economy already shaken by the spreading worldwide
recession engendered by the financial crisis of late 2008, a
scandal broke involving many dozens of members of Parliament who
had extravagantly abused their government expense accounts,
including members of Brown’s cabinet. The scandal and the
troubled economy contributed to anemic performances by the
Labour Party in local elections in Britain and in those for the
European Parliament. Brown responded with a thorough reshuffle
of his cabinet and withstood a challenge to his leadership from
within the party in early June by promising to change his
leadership style.
Society, state, and economy
State and society
Despite the so-called “dismantling of controls” after the
end of World War I, government involvement in economic life was
to continue, as were increased public expenditure, extensions of
social welfare, and a higher degree of administrative
rationalization. In the interwar years the level of integration
of labour, capital, and the state was more considerable than is
often thought. Attempts to organize the market continued up to
the beginning of World War II, evident, for example, in
government’s financial support for regional development in the
late 1930s. Few Britons, however, felt they were living in a
period of decreased government power. Nonetheless, attachment to
the “impartial state” and to voluntarism was still considerable
and exemplified by the popularity of the approved organizations
set up to administer health insurance in the interwar years. The
governance of society through what were now taken to be the
social characteristics of that society itself, for example,
family life as well as demographic and economic
factors—developed by Liberal administrations before World War
I—along with the advent of “planning,” continued to be the
direction of change, but the connection back to Victorian
notions of moral individualism and the purely regulative,
liberal state was still strong. Even the greatest exponent of
the move toward economic intervention and social government,
John Maynard Keynes, whose General Theory of Employment,
Interest, and Money (1935–36) provided the major rationale for
subsequent state intervention and whose work downgraded the
importance of private rationality and private responsibility,
nonetheless believed that governmental intervention in one area
was necessary to buttress freedom and privacy elsewhere, so that
the moral responsibility of the citizen would be forthcoming.
There was, however, only an incremental increase in the level
of interest in state involvement in the economy and society in
the immediate years before World War II, when the fear of war
galvanized politicians and administrators. It was the “total
war” of 1939–45 that brought a degree of centralized control of
the economy and society that was unparalleled before or indeed
since. In some ways this was an expression of prewar
developments, but the impetus of the war was enormous and felt
in all political quarters. In 1941 it was a Conservative
chancellor of the Exchequer, Sir Kingsley Wood, who introduced
the first Keynesian budget. Cross-party support was also evident
in the response to the 1942 Beveridge Report, which became the
blueprint of what was later to be called the welfare state.
After 1945 a decisive shift had taken place toward the
recognition of state intervention and planning as the norm, not
the exception, and toward the idea that society could now be
molded by political will. Nonetheless, there was much popular
dislike of “government controls,” and the familiar rhetoric of
the impartial state remained strong, as reflected in Beveridge’s
attack in 1948 on the Labour government’s failure to encourage
voluntarism. This voluntarism, however, was decidedly different
from 19th-century voluntarism in that Beveridge advocated a
minister-guardian of voluntary action. So pervasive was the
postwar party consensus on the welfare state that the term
coined to identify it, “Butskellism,” is at least as well
remembered as the successive chancellors of the Exchequer—R.A.
Butler and Hugh Gaitskell—from whose amalgamated surnames it was
derived.
From the 1960s onward this consensus began to unravel, with
the perception of poor economic performance and calls for the
modernization of British society and the British economy. The
mixed economy came under pressure, as did the institutions of
the welfare state, especially the National Health Service (NHS).
In the 1970s in particular, older beliefs in constitutional
methods came into question—for instance, in the first national
Civil Service strike ever, in 1973, and in the strikes and
political violence that marked that decade as a whole. The
result was a revolution in the relationship between state and
society, whereby the market came to replace society as the model
of state governance. This did not, however, mean a return to
19th-century models, though the character of this manifestation
of the relationship between state and society was clearly
liberal, in line with the long British tradition of governance.
Institutionally, this way of governing was pluralistic, but
its pluralism was decidedly statist. It was not, as in the 19th
century, a private, self-governing voluntarist pluralism but one
that was designedly competitive, enlisting quasi-governmental
institutions as clients competing with one another in a
marketplace. In economic and cultural conditions increasingly
shaped by globalization, the economy was exposed to the benign
operations of the market not by leaving it alone but by actively
intervening in it to create the conditions for entrepreneurship.
Analogously, social life was marketized too, thrown open to
the idea that the capacity for self-realization could be
obtained only through individual activity, not through society.
Institutions like the NHS were reformed as a series of internal
markets. These markets were to be governed by what has been
called “the new public management.” This involved a focus upon
accountability, with explicit standards and measures of
performance. The ethical change involved a transition from the
idea of public service to one of private management of the self.
Parallel to this “culture of accountability” was the emergence
of an “audit society,” in which formal and professionally
sanctioned monitoring systems replaced the trust that earlier
versions of relationship between state and society had invested
in professional specialists of all sorts (the professions
themselves, such as university teaching, were opened up to this
sort of audit, which was all the more onerous because, if
directed from above, it was carried out by the professionals
themselves, so preserving the fiction of professional freedom).
The social state gave way to a state that was regarded as
“enabling,” permitting not only the citizen but also the firm,
the locality, and so on to freely choose. This politics of
choice was in fact shared by the Thatcher’s Conservative
administration and Blair’s Labour one. In both the state was
seen as a partner. In the so-called “Third Way” of Blair, one
between socialism and the market, the partnership evolved much
more in terms of community than in the Conservative case. In
Blair’s Labour vision there was a more active concern with
creating ethical citizens who would exchange obligations for
rights in a new realization of marketized communities. This new
relation of state and society involved the decentralization of
rule upon the citizen himself and herself, which was reflected
in the host of self-help activities to be found in the Britain
of the 1990s and 2000s, from the new concern with alternative
health therapies to the self-management of schools. Reflecting
this decentralization (in which the state itself made the
citizen a consumer, for instance, of education and health) was
the increasingly important role of the consumption of goods in
constructing lifestyles through which individual choice could
realize self-expression and self-fulfilment.
Economy and society
Economically, Britain had been hurt severely by World War
I. The huge balances of credit in foreign currencies that had
provided the capital for the City of London’s financial
operations for a century were spent. Britain had moved from the
position of a creditor to that of a debtor country. Moreover,
its industrial infrastructure, already out of date at the start
of the war, had been allowed to depreciate and decay further.
The industries of the Industrial Revolution, such as coal
mining, textile production, and shipbuilding, upon which British
prosperity had been built, were now either weakened or
redundant. The Japanese had usurped the textile export market.
Coal was superseded by other forms of energy. Shipping lost
during the war had to be almost fully replaced with more-modern
and more-efficient vessels.
Finally, the Treaty of Versailles, particularly its harsh
demands on Germany for financial reparations, ensured that
foreign markets would remain depressed. Germany had been
Britain’s largest foreign customer. The export of German coal to
France, as stipulated by the treaty, upset world coal markets
for nearly a decade. Depression and unemployment, not prosperity
and a better Britain, characterized the interwar years.
The British economy, as well as that of the rest of the
world, was devastated by the Great Depression. The post-World
War I world of reconstruction became a prewar world of deep
depression, radicalism, racism, and violence. Although MacDonald
was well-meaning and highly intelligent, he was badly equipped
to handle the science of economics and the depression. By the
end of 1930, unemployment was nearly double the figure of 1928
and would reach 25 percent of the workforce by the spring of
1931. It was accompanied, after the closing of banks in Germany
in May, by a devastating run on gold in British banks that
threatened the stability of the pound.
MacDonald’s government fell in August over the protection of
the pound; Britain needed to borrow gold, but foreign bankers
would lend gold only on the condition that domestic expenditures
would be cut, and this meant, among other things, reducing
unemployment insurance payments. However, a Labour Party whose
central commitment was to the welfare of the working people
could not mandate such a course of action even in an economic
crisis. Thus, the Labour cabinet resigned. MacDonald with a few
colleagues formed a coalition with the Conservative and Liberal
opposition on Aug. 24, 1931. This new “national” government,
which allowed Britain to go off the gold standard on September
21, was confirmed in office by a general election on October 27,
in which 473 Conservatives were returned while the Labour Party
in the House of Commons was nearly destroyed, capturing only 52
seats. MacDonald, who was returned to the House of Commons along
with 13 so-called National Labour colleagues, remained prime
minister nonetheless. The new government was in fact a
conservative government, and MacDonald, by consenting to remain
prime minister, became and remains in Labour histories a
traitor.
Under Neville Chamberlain, who became chancellor of the
Exchequer in November 1931, the coalition government pursued a
policy of strict economy. Housing subsidies were cut; Britain
ended its three-quarter-century devotion to free trade and began
import protection; and interest rates were lowered.
Manufacturing revived, stimulated particularly by a marked
revival in the construction of private housing made possible by
reduced interest rates and by a modest growth in exports as a
result of the cheaper pound. Similarly, unemployment declined,
although it never reached the 10 percent level of the late 1920s
until after the outbreak of war.
In terms of the occupational structure of Britain, the
aftermath of World War I saw the decline of the great
19th-century staple industries become increasingly sharp, and
the interwar experience of textiles was particularly difficult.
The great expansion of mining after 1881 became a contraction,
particularly from the 1930s, and domestic service, which itself
may be termed a staple industry, suffered similarly. In 1911
these sectors accounted for some 20 percent of the British
labour force, but by 1961 they accounted for barely 5 percent.
Manufacturing continued to be of great importance into the third
quarter of the century, when the next great restructuring
occurred. After World War I an increasing emphasis on monopoly,
scale, and sophisticated labour-management became apparent in
British industry, though there was still much of the old
“archaicism” of the 19th century to be seen, both in respect to
management practices and the entrenched power of certain skilled
occupations. Although different from its 19th-century
antecedents, a distinct sense of working-class identity, based
on manual work—especially in the manufacturing industry and
mining—remained strong until about 1960. This was buttressed by
a considerable degree of continuity in terms of residential
community. After 1960 or so, the wholesale development of slum
clearance and relocation to new residential settings was to go
far to dissolve this older sense of identity.
From the interwar years automobile manufacture, the
manufacture of consumer durables, and light industry, especially
along the corridor between London and Birmingham, as well as in
the new industrial suburbs of London, announced the economic
eclipse of the north by the south, the “south” here including
South Wales and industrial Scotland. In the Midlands electrical
manufacturing and automobile industries developed. In the south,
in addition to construction industries, new service industries
such as hotels and the shops of London flourished. These in
particular offered employment opportunities for women at a time
when the demand for domestic servants was in decline. London
grew enormously, and the unemployment rate there was half that
of the north of England and of Wales, Scotland, and Northern
Ireland. The effect of these developments was to divide Britain
politically and economically into two areas, a division that,
with the exception of an interval during World War II and its
immediate aftermath, still exists. New, science-based industries
(e.g., the electrical and chemical industries) also developed
from the interwar period, which together with the multiplication
of service industries and the growth of the public
sector—despite repeated government attempts to halt this
growth—had by 1960 given rise to an occupational structure very
different from that of the 19th century.
On the surface the 1950s and early ’60s were years of
economic expansion and prosperity. The economic well-being of
the average Briton rose dramatically and visibly. But when
prosperity created a demand for imports, large-scale buying
abroad hurt the value of the pound. A declining pound meant
higher interest rates as well as credit and import controls,
which in turn caused inflation. Inflation hurt exports and
caused strikes. These crises occurred in approximately
three-year cycles.
The economic concern then of the British government in the
1950s and ’60s and indeed through the 1970s was to increase
productivity and ensure labour peace so that Britain could again
become an exporting country able to pay for public expenditure
at home while maintaining the value of its currency and its
place as a world banker. A drastic run on the pound had been one
of the pressing reasons for the quick withdrawal from Suez in
1956, and throughout the 1950s and ’60s Britain’s share of world
trade fell with almost perfect consistency by about 1 percent
per year. On the other hand, Britain benefited from an
unprecedented rise in tourism occasioned mostly by the
attraction of “Swinging London.”
All of this made Britain’s decision, after fierce political
discussion, not to join the planned EEC, established by the
Treaty of Rome on March 25, 1957, an event of signal importance.
It meant that although economic conditions in Britain did indeed
improve in the last years of the 1950s and through 1960—Prime
Minister Harold Macmillan could remark with only slight irony
that the British people had never “had it so good”—Britain
nevertheless did not share in the astonishing growth in European
production and trade led by the “economic miracle” in West
Germany. By the mid-1960s there were signs that British
prosperity was declining. Increases in productivity were
disappearing, and labour unrest was marked. Prime Minister
Macmillan quickly realized that it had been a mistake not to
join the EEC, and in July 1961 he initiated negotiations to do
so. By this time, however, the French government was headed by
Charles de Gaulle, and he chose to veto Britain’s entry. Britain
did not join the EEC until 1973.
In the aftermath of increasing difficulties for industry and
increasing labour conflict, the Thatcher governments after 1979
set about a far-reaching restructuring of the economy, one based
less on economic than on political and moral factors. Thatcher
set out to end socialism in Britain. Her most dramatic acts
consisted of a continuing series of statutes to denationalize
nearly every industry that Labour had brought under government
control in the previous 40 years as well as some industries,
such as telecommunications, that had been in state hands for a
century or more. But perhaps her most important achievement,
helped by high unemployment in the old heavy industries, was in
winning the contest for power with the trade unions. Instead of
attempting to put all legislation in one massive bill, as Heath
had done, Thatcher proceeded step by step, making secondary
strikes and boycotts illegal, providing for fines, as well as
allocation of union funds, for the violation of law, and taking
measures for ending the closed shop. Finally, in 1984–85, she
won a struggle with the National Union of Mineworkers (NUM), who
staged a nationwide strike to prevent the closure of 20 coal
mines that the government claimed were unproductive. The
walkout, which lasted nearly a year and was accompanied by
continuing violence, soon became emblematic of the struggle for
power between the Conservative government and the trade unions.
After the defeat of the miners, that struggle was essentially
over; Thatcher’s victory was aided by divisions within the ranks
of the miners themselves, exacerbated by the divisive leadership
of the militant NUM leader Arthur Scargill, and by the
Conservative government’s use of the police as a national
constabulary, one not afraid to employ violence. The miners
returned to work without a single concession. In all these
efforts, Thatcher was helped by a revival of world prosperity
and lessening inflation, by the profits from industries sold to
investors, and by the enormous sums realized from the sale
abroad of North Sea oil. From 1974 the unexpected windfall of
the discovery of large oil reserves under the North Sea,
together with the increase in oil prices that year, transformed
Britain into a considerable player in the field of oil
production (production soared from 87,000 tons in 1974 to
75,000,000 tons five years later). The political use of oil
revenues was seen by some as characteristic of the failure of
successive British governments to put them to good economic and
social use.
The restructuring of the economy away from the manual and
industrial sectors, which was a consequence of the rapid decline
of manufacturing industry in Britain in the 1990s, also meant
the decline of the old, manual working class and the coming of
what has been called “postindustrial” or “postmodern” society.
Within industry itself, “post-Fordist” (flexible,
technologically innovative, and demand-driven) production and
new forms of industrial management restructured the labour force
in ways that broke up traditional hierarchies and outlooks. Not
least among these changes has been the expansion of work,
chiefly part-time, for women. There has been a corresponding
rise of new, nonmanual employment, primarily in the service
sector. In the early phases of these changes, there was much
underemployment and unemployment.
The result has been not only the numerical decline of the old
working class but the diminishing significance of manual work
itself, as well as the growing disappearance of work as a fairly
stable, uniform, lifelong experience. The shift in employment
and investment from production to consumption industries has
paralleled the rise of consumption itself as an arena in which
people’s desires and hopes are centred and as the basis of their
conceptions of themselves and the social order. However, in the
1990s there was a considerable move back to the workplace as the
source of identity and self-value. At the same time, new
management practices and ideas developed that were in line with
the still generally high level of working hours.
Central to the new economy and new ideas about work has been
the staggering growth of information technology. This has been
especially evident in the operations of financial markets,
contributing hugely to their global integration. One of the
great beneficiaries of these changes has been the City of
London, which has profited from very light state regulation. The
financial sector, in terms of international markets and the
domestic provision of financial goods and services, has become a
major sector of the new economy. Speculation in markets, with
ever-increasing degrees of ingenuity (for example, the
phenomenon of hedge fund trading), has helped create a cohort of
the newly rich in Britain and elsewhere. It has also led to an
increasingly unstable world financial system. The spoils of this
new society have been divided between large-scale multinational
corporations and new kinds of industrial organizations that are
smaller and often more responsive to demand, evident in
development of the dot.com and e-commerce phenomena. Internet
shopping, along with the unparalleled development of giant
supermarket chains, transformed the traditional pattern of
retailing and shopping and, with it, patterns of social
interaction. This, however, was only one aspect of a general
transformation of the economy and society that even as recently
as the early 1990s had hardly been glimpsed.
In the conditions of economic stability and prosperity at the
turn of the 21st century, a relatively large middle group arose
in terms of income, housing, and lifestyle that politicians and
others began to refer to as ‘‘middle England.’’ In effect this
meant Scotland and Wales as well, although in Britain as a whole
the old imbalance between west and east continued, in a similar
fashion to that between north and south in England. However,
even this middle was exposed to the vagaries of financial
markets and an underperforming welfare state. Moreover, the gap
between the least well-off and the most well-off widened even
further, so that alongside the new rich were the new poor, or
underclass. Social mobility either declined or stalled in
comparison with the 1960s—in particular, the capacity of the
poorest parents to send their children to university. Levels of
poverty among children continued to be high. The reborn
postindustrial cities of the north and Midlands, such as
Manchester, came to symbolize much of the new Britain, with
their mixture of revitalized city centres and deprived city
perimeters that were home to the new poor. However, as had long
been the case, the economic centre of the country remained in
London and the southeast. Britain thus became a prosperous but
increasingly unequal and divided society.
Family and gender
After World War I there was a further decline in the
birth rate and a continuing spread of contraception, though
contraceptive methods had been known and practiced by all
sections of society for a considerable time before this. What
was important in the interwar years was a development of
contraceptive practices within marriage. The gradual spread and
acceptance of “family planning” was also important; however,
this acceptance was not usually seen in terms of women’s rights.
The birth rate continued to fall through the interwar years, and
in the 1920s the two-child pattern of marriage was becoming
established. With it came the “nuclear family” structure that
was to be characteristic of much of the 20th century, with
households predominantly made up of two parents with children
who on achieving adulthood will leave the home to establish
similar families themselves. Nonetheless, as always, there was
considerable variation in practice. Coresident kin and lodgers
were still found, particularly in working-class households,
where overcrowding was often marked, as it was in London after
the disruptions of World War II. There was also a concentration
on childbirth within the early years of marriage, as well as
longer life expectancy for children themselves.
Marriage was thus becoming a different kind of institution,
at once more intimate and private, as well as an arena in which
individual self-expression was becoming more possible than
previously. In many respects, the privacy that was possible for
the better-off in society in the mid- and late 19th century
became increasingly possible for those less well-off in the
course of the 20th century. However, the privacy that new kinds
of family life and new economic possibilities made possible for
poorer people differed from middle-class privacy. It was
concerned with securing order and control of people’s lives in
economic conditions that were still often difficult. As a
result, “working-class respectability” differed from the
respectability evident further up the social scale. For
instance, privacy was evident in the slowly increasing
possibility of separate rooms for separate functions (kitchens,
sculleries, and bathrooms, for example) and the development of
more-private sleeping arrangements. However, the respectability
of this private life was also public in that it was on show to
neighbours as a living proof of the family’s capacity to create
order in difficult lives: the elaborately presented front of the
house and the purposefully opened curtains of the “best room” of
the home displayed the carefully presented if precarious
affluence of the family.
Nonetheless, despite material and cultural class differences,
there was a convergence across the social spectrum upon an
increasingly common privatized and nucleated family life. This
was part of a much more homogeneous life course and set of life
experiences, which made the population increasingly uniform, at
least compared with that of the 19th century. Age at marriage,
the experience of marriage itself and of running one’s own
household, household size, and the similarity of the age at
which major life-cycle transitions occurred all tended to
produce more cultural uniformity than previously; this
increasing uniformity was of vast importance for the new
consumer and media industries, not to mention the political
parties. The political culture was in fact transformed from one
based on class to a new sort of populist, demotic politics,
shaped at least as much by the mass media, especially the
popular press, as by the politicians.
The greater individualism possible within this
more-privatized form of marriage received expression in the
growing incidence of divorce, even as marriage itself grew
greatly in importance in the 20th century. By the 1970s almost
every adult female married at least once, though this figure
fell considerably beginning in the 1980s. By 1997 one-third of
births occurred to parents not formally married; however, more
than half of these were to parents residing at the same address.
The phenomena of one-parent families, as well as of stable
unmarried cohabitation, now became widely apparent. If people
married more often, they divorced more frequently too, so that
by the 1980s marriage disruption rates by divorce were equal to
those caused by death in the 19th century. By this time
approximately one out of three marriages ended in divorce. These
changes were of profound significance for politics in that, in
the public and the political mind, they became linked to the
phenomena of antisocial behaviour by youth. Although this link
was in reality complex, it did not stop the Blair administration
from pursuing a ‘‘respect’’ agenda, which was designed to
restore an at least partly imagined former era of civic virtue
and public order. The ill-fated ASBO (Anti-Social Behaviour
Order), restricting the movement of offenders, was celebrated by
some as an appropriately strong response to troublemaking
neighbours and gangs but was condemned by others as an attack on
civil liberties.
Of course, these social changes also greatly affected the
understanding of women’s role in society. They were complemented
by the growth of women’s employment, particularly in part-time
jobs and most notably in the service sector, so that after 1945
a different life cycle for women evolved that included the
return to work after childbirth. These changes did not result in
the equality of earnings, however; for example, despite the Sex
Discrimination Act of 1975, under which the Equal Opportunities
Commission was established, women’s pay rates in the 1980s were
only about two-thirds of those of men. Still, higher education
was increasingly opened to women from the 1960s, so that by 1980
they formed 40 percent of admissions to universities, although,
as with male students, they were overwhelmingly from the higher
social classes. As part of the widespread movement toward
greater liberalization in the 1960s, in part inspired by
developments in the United States, women’s liberation also
developed in Britain.
In turn, that movement gave rise to a whole range of
feminisms, some more radical than others but all aiming at the
ingrained assumptions of male superiority in employment
practices, in education, and in the understanding of family life
itself. Intellectual life became increasingly characterized by
an explicitly feminist analysis, which led to some fundamental
rethinking in a whole range of academic disciplines, though
resistance to this was strong. Changes in patterns of employment
challenged stereotyped distinctions between the breadwinner and
the housewife, as well as stereotypical notions of life as a
married couple being based upon a well-understood division of
labour within the household. The phenomena of the ‘‘new man’’
developed, though his progeny of the 1990s, the ‘‘new lad,’’ was
not quite what his father had expected. Coined to describe what
was in fact a reinvented, consumer-led version of a long-held
and ingrained masculine worldview, ‘‘laddism’’ turned out to be
a snazzier, more fashion-driven, and above all more unashamed
version of the old devotion to ‘‘birds’’(women), beer, and
football (soccer).
Mass culture
In terms of popular leisure, music hall declined in
popularity in the second quarter of the 20th century, but it
left its mark on much of British culture, not least on the
motion picture, which hastened its demise, and on television,
which followed its end. By 1914 there were 4,000 cinemas in
Britain and about 400,000,000 admissions per year. By 1934 this
had more than doubled, and admissions continued to rise steadily
to reach a peak of 1.6 billion in 1946. This was a particularly
popular form of entertainment, especially among the working
class: the lower down the social scale one was, the more likely
one was to visit the cinema. The suburban middle-class motion
picture audience of the 1930s was important but remained a
minority. It is difficult to exaggerate the dominance of the
cinema as a form of entertainment. In 1950, out of over
1,500,000 admissions to forms of taxable entertainment (and this
included horse racing and football matches), cinema made up more
than 80 percent. Hollywood films dominated, though until World
War II there was a thriving British film industry. This
domination continued after the war, although British cinema
asserted itself powerfully from time to time; for instance, in
the Social Realism of the 1960s, notably in the work of director
Lindsay Anderson, and later in the films of Ken Loach and Mike
Leigh. Parallel to these artful dissections of British life were
the less high-minded but extremely successful ‘‘Carry On’’
comedies, which drew on the music hall tradition.
Reading matter continued to be produced within Britain, above
all in the form of the newspaper. The British are inveterate
newspaper readers, and there was mass consumption of a
nationally based daily and Sunday newspaper press as early as
the 1920s. This did much to create cultural uniformity,
although, as with motion pictures, there were considerable
differences of taste and preference regarding newspapers.
However, after 1950 the emphasis on uniformity became more
marked and was reinforced by the progressive concentration of
ownership in the hands of a few proprietors. This circle of
ownership became even smaller as time went on, so that at the
beginning of the 21st century the empire of the most powerful of
these media moguls, Rupert Murdoch, not only dominated much of
the popular press and made considerable inroads into the
so-called quality press in Britain but was also international in
scope. Newspapers, however, were but one component of Murdoch’s
and similar empires. The revolution wrought by new information
technologies put control of a wide variety of communication
forms, most importantly television, in the hands of these
powerful individuals. Their political influence swelled as
politicians of all persuasions were compelled to accommodate
their power and, in a form of spin, play their version of the
political game.
The development of a national mass culture seen in the
previous period, in which the distinction between “popular” and
“high” culture, if still important, was to some extent bridged,
was to continue into the 20th and 21st centuries. (Cultural
homogeneity was also intensified by increasing social and
lifestyle uniformity.) To a considerable extent, from the 1960s,
all culture became popular culture, so that differences of
gender, class, and ethnicity became if not merged then
renegotiated in terms of a mass, “shared” culture. In this
process, the older class differences were eroded, in line with
other changes in class structure, particularly in the manual
working class. At the same time, new differences and
solidarities also emerged, particularly around age and levels of
consumption.
Popular music—or pop music, as it came to be called from the
1960s—became an important area in which identities were formed.
Pop has modulated through many forms since the 1960s, from the
punk of the late ’70s and early ’80s to hip-hop and the rave
culture of the ’90s, and distinct styles of life have accreted
around these musical forms, not only for the youth. The
development of a uniform popular culture, at least as expressed
through popular music, was greatly beholden to similar
developments in the United States, where social identities were
explored and developed in terms of black popular music, not just
by African Americans but also by young white Americans. Given
the great importance of Afro-Caribbean immigration into Britain
after 1945, and latterly south Asian immigration, the experience
of ethnic minorities in Britain to some degree also paralleled
that of the United States. Concerns about national identity, as
well as personal and group identity, became more important as
Britain became a multicultural society and as the growth of
European integration and economic globalization increasingly
called British—and English, Welsh, and Scottish—identity into
question.
The liberalization of the 1960s appears to have been crucial
for many of these changes, with shifting gender roles being only
one part of a broader international agenda. The civil rights
movement in Ireland, student protest, and the anti-Vietnam War
and civil rights movements in the United States were all part of
the assault on the still-strong vestiges of Victorianism in
British society, as well as, more immediately, a reaction
against the austerity of postwar Britain. Change in family life
and sexual mores was represented in the 1960s by a range of
legislative developments: the Abortion Act of 1967; the Sexual
Offences Act of 1967, partially decriminalizing homosexual
activity; the 1969 Divorce Reform Act; and the abolition of
theatre censorship in 1968. (Moreover, debate concerning sexual
mores continued in Britain throughout the 20th century and into
the 21st, not least regarding the ongoing attempts to change the
legal age of consent and the controversial Section 28 Amendment
to the Local Government Act in 1988, which prohibited local
authorities from promoting homosexuality.)
Change was also based on the relative economic affluence of
the late 1950s and ’60s. The disintegration of older values
(including middle class values) was evident in the “rediscovery”
of the working class, in which films, novels, plays, and
academic works depicted working-class life with unparalleled
realism and unparalleled sympathy (including the works of the
Angry Young Men). The working class was therefore brought into
the cultural mainstream. This was ironic at a time when
working-class communities were in fact being broken apart by
slum clearance and the relocation of populations away from the
geographical locations of their traditional culture.
Changes in higher education, with the development of the
polytechnics and the “new universities,” meant that, at least to
some extent, higher education was thrown open to children from
poorer homes. There was also the liberalization of educational
methods in primary and secondary education, along with the
emergence of comprehensive schooling, ending the old distinction
between the secondary modern and the grammar schools. In
practice, many of the old divisions continued and, indeed,
increased. However, rather than being accompanied by increasing
cultural divisions, the opposite was the case. There was a much
more positive understanding of the “popular” than before. A more
fluid, open, and commercial popular culture was signalled by the
development in the 1950s of commercial television and, with it,
the slow decline of the public broadcasting, public service
ethic of the BBC. With the explosion of new channels of
communication in the 2000s, particularly in television, there
was a noted ‘‘dumbing down’’ of all media, which was especially
evident in the celebrity culture of the new century and not
unique to the United Kingdom. The new television gorged on this,
as well as on reality programming and on the enormously
increased popularity of professional football. These brought all
classes together in a new demotic culture, although at the same
time differentiation according to income, taste, and education
became increasingly possible because of the technologies of the
new media.
The various lifestyles associated with different genres of
popular music are one telling indication of the way that
lifestyle can determine an individual’s identity in modern
society. This development reflects the withdrawal of the state
from the direct intervention in social life that was so
characteristic of the third quarter of the 20th century. The
state’s turn to the market as a model of government has been
reproduced in terms of the market’s direct role in the formation
of cultural life, so that the relationship between public
culture and consumer capitalism has been close, in many ways the
one constantly trying to outguess the other. This game of
one-upmanship, marked by ironic knowingness, has been labelled
“postmodern.” However, this term has come to describe much of
late 20th- and early 21st-century international culture and
society, not only in Britain. It points to the growing
understanding of the relative nature of truth, itself a reaction
against the prevailing supposedly “modern” certainties of the
20th century (reason, freedom, humanity, and truth itself),
which indeed have often had an appalling outcome. However, it
was a sign of the times that these antifundamentalist currents,
themselves critical of much of Western culture, emerged at much
the same time as new fundamentalisms emerged in the forms of
American neoconservatism and certain strains of radical Islam.
The ferment of intellectual and cultural changes involved was
inextricable from the massive changes under way in the
transition to the novel forms of society made possible by new
information technologies.
Patrick Joyce
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