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Monday, October 17, 2005

Goliath Falls After One Hell Of A Battle

It was the finest Ashes Test for 24 years, a contest so full of valour and exposed humanity, a contest so tight, so passionate, so important that concerned parties endured the sort of agonies otherwise reserved for Beelzebub and chums. Sport can be an emotional hellhole. Half of England was pacing around sitting rooms. Half of Australia was on tenterhooks. And all over this ridiculous game played with a lump of wood and a hunk of leather.
For three days and about 100 agonising minutes the game's most ancient rivals threw everything at each other, every ounce of strength, every drop of sweat. Batsmen took blows to the body. Heads were cracked. Catches were taken and inconsolably dropped. Umpteen mistakes were made, overthrows, byes, no-balls, bad shots, all of them a reminder that cricket is a game of the spirit.
There were also many glorious sights: Andrew Flintoff roaring into bowl like a Scottish lock forward charging towards the Sassenach line, Shane Warne wheeling away, one ball pushed through flatter, the next sent down a fraction slower. Warne's confrontations with Flintoff took on the epic proportions of George and the dragon.
There was more: Brett Lee's redemption, Kevin Pietersen's unexpected polish, Steve Harmison's flapping arms, Michael Kasprowicz's sturdiness and, most of all, Australia's last stand and England's relief.
Till that last morning the match had belonged to the hosts. Then came a magnificent Australian fightback that provoked alarm in English ranks. By the end the hosts were on the brink of despair.
Would these confounded antipodeans never go away? Oh, the sweetness of that brushed glove and the roar that erupted in the stands!
Among matches of the past decade, only India's incredible comeback in Kolkata and Brian Lara's inspired chase in Barbados compare. Australia lost those matches but no disgrace can be found in that. Much to their credit, the Australians seldom get beaten easily. Usually it takes a a rousing performance from imposing opponents and strong support from teammates to subdue them.
Pessimism was England's main weak point. Doubt lurked beneath the brave decision to attack. Throughout, players and spectators alike expected the Australians to rally.
At breakfast before that fourth morning numerous home supporters asked for a prediction. Australia needed more than 100 runs with a pair of dodgy customers in occupation and a bunny padded up to face a fresh attack supported by a fervent crowd. And they were seeking reassurance? England were almost undone by their own nervousness.
But England did win and the margin is irrelevant. Having brought down Goliath once they will believe they can repeat the feat, and belief is half the battle. Much will depend on the top order. If the opening partnerships are productive the middle order will feel free to continue its onslaught. Michael Vaughan must also contribute. Decisive foot work is the key to his game.
It is hard to win an Ashes series when both the captain and first-drop batsman are failing. Vaughan has much on his plate. It goes with the job.
Australia will hardly have time to draw breath before battle resumes in Manchester. The players must be kicking themselves for giving so many runs and wickets away in Birmingham. On the other hand they will realise they made 100 mistakes and still only lost by a whisker.
Successive Test matches make it hard even to consider changes. Consideration may be given to promoting Adam Gilchrist. Matthew Hayden has struggled since the retirement of Steve Waugh while the gloveman is happier starting against pace than spin. More likely Ponting and his fellow selectors will concentrate on correcting the looseness that crept into Australia's game in Birmingham.
Damien Martyn's lacklustre fielding on the first day predicted his subsequent run-out. Doubtless they will also review their tactics with the humility and determination shown by England after their defeat at Lord's.
Old Trafford will reveal the meaning of the events of the past few days. My view is that Australia still have the winning of it. Even without his best fast bowler, Ponting has the stronger side.
England played an inspired game and won by two runs. But the gap has closed. Moreover, winning becomes a habit. Vaughan's men did not just win a cricket match. They won a battle with themselves.
Credit: Roeb

Assignment: Can you see what tools have been used by the writer to add visual image triggering? Would you like to write your own write-up on this or similar theme and post it as comment for us to get back to you with detailed feedback.

Sunday, October 16, 2005

What to Do With Postings on This Blog

Reading diverse kinds of stuff, written by different style authors on different themes as divergent as those covered here so far, with many having the so-called abstruse (difficult to understand) philosophical overtones teaches you a lot.

You learn to absorb heavy stuff and that gives you a good pace of reading.

You observe usage variations of vocabulary learnt words, thus relating more to these words.

You become perceptive as to what syntax (sentence and phrase structuring) is best applicable to various situations.

Just as disciples of Jesus and chelas of Hindu gurus learnt advanced level tenets of religion, same shall be your learning if you stay in company of well crafted pourings of the established authors.

Your mind thus assumes characters of flubber (a sci-fi movie had the concept of flubber, which was a very resilient rubber)

Saturday, October 15, 2005

Scientific Realism

It is easier to define scientific realism than it is to identify its role as a distinctly philosophical doctrine. Scientific realists hold that the characteristic product of successful scientific research is knowledge of largely theory-independent phenomena and that such knowledge is possible (indeed actual) even in those cases in which the relevant phenomena are not, in any non-question-begging sense, observable. According to scientific realists, for example, if you obtain a good contemporary chemistry textbook you will have good reason to believe (because the scientists whose work the book reports had good scientific evidence for) the (approximate) truth of the claims it contains about the existence and properties of atoms, molecules, sub-atomic particles, energy levels, reaction mechanisms, etc. Moreover, you have good reason to think that such phenomena have the properties attributed to them in the textbook independently of our theoretical conceptions in chemistry. Scientific realism is thus the common sense (or common science) conception that, subject to a recognition that scientific methods are fallible and that most scientific knowledge is approximate, we are justified in accepting the most secure findings of scientists "at face value."

1. Introduction
We defined scientific realism above as the common sense (or common science) conception that, subject to a recognition that scientific methods are fallible and that most scientific knowledge is approximate, we are justified in accepting the most secure findings of scientists "at face value." What requires explanation is why this is a philosophical position rather than just a common sense one. Consider, for example, tropical fish realism -- the doctrine that there really are tropical fish; that the little books you buy about them at pet stores tend to get it approximately right about their appearance, behavior, food and temperature requirements, etc.; and that the fish have these properties largely independently of our theories about them. That's a pretty clear doctrine, but it's so commonsensical that it doesn't seem to have any particular philosophical import. Why is the analogous doctrine about science a philosophical doctrine?
The answer is that -- setting aside skepticism about the external world -- there are no philosophical arguments against tropical fish realism, whereas important philosophical challenges have been raised against scientific realism. The dimensions of scientific realism, understood as a philosophical position, have been largely determined by the responses scientific realists have offered to these challenges. It will be conceptually useful (and approximately historically correct) to see the development of scientific realism as a response to four consecutive challenges, as follows.
The Empiricist Challenge: This is the challenge regarding knowledge of unobservable "theoretical" entities raised by logical empiricists and their allies and underwritten by arguments from the underdetermination of theory choice by observational data.
The Neo-Kantian Challenge, First Version: This is the challenge raised by Hanson (1958) and Kuhn (1970) who argue from the theory dependence of methods (and, especially, of observation) to the conclusion that a realist conception of the growth of approximate scientific knowledge cannot be sustained, given the semantic and methodological incommensurability (Kuhn's term) occasioned by revolutionary changes in science.
The Neo-Kantian Challenge, Second Version: This is the (somehow) related, but (somehow) less relativist conception represented by Putnam's ("internal realist") and Fine's ("natural ontological attitude") critiques of "metaphysical" versions of scientific realism.
The "Post-modern" Challenge: This is a challenge (to both realism and empiricism) arising from recent literary, sociological and historical studies in the emerging "science studies" tradition. It is grounded in the conception that such phenomena as science, knowledge, evidence and truth are social constructions, in some sense or other which implies that one should reject the idea that scientific practices achieve an approximate representational fit, of some sort or other, between the content of scientific theories and the world or reality.
We will discuss these challenges in the sections below.

2. The Empiricist Challenge: Knowledge Empiricism and the Underdetermination Argument
It is easy to characterize the basic empiricist underdetermination argument against scientific realism. Call two theories empirically equivalent just in case exactly the same conclusions about observable phenomena can be deduced from each. Let T be any theory which posits unobservable phenomena. There will always be infinitely many theories which are empirically equivalent to T but which are such that each differs from T, and from all the rest, in what it says about unobservable phenomena (for formalized theories, this is an elementary theorem of mathematical logic). Evidence in favor of T's conception of unobservable phenomena ("theoretical entities") would have to rule out the conceptions represented by each of those other theories. But, since T is empirically equivalent to each of them, they all make exactly the same predictions about the results of observations or experiments. So, no evidence could favor one of them over the others. Thus, at best, we could have evidence in favor of what all these theories have in common--their consequences about "observables"--we could confirm that they are all empirically adequate--but we could not have any evidence favoring T's conception of unobservable theoretical entities. Since T was any theory about unobservables, knowledge of unobservable phenomena is impossible; choice between competing but empirically equivalent conceptions of theoretical entities is underdetermined by all possible observational evidence. [For an important alternative formulation of the notions of empirical adequacy and empirical equivalence, see van Fraassen 1980; see also Demopoulos 1982.]

Several points about this simple and powerful argument are important.

1. It needs fixing up. As it stands, the basic underdetermination argument is fatally flawed. Suppose that T is some ordinary middle-sized scientific theory, like, e.g., the laws of Newtonian mechanics. According to the argument as it stands if T* is some other middle-sized theory empirically equivalent to T, then no evidence could favor T over T*, or vice versa. For ordinary scientific theories this is wrong. Scientists routinely supplement theories with well established auxiliary hypotheses in order to obtain observational predictions from them. [In fact, no observational predictions can be deduced from Newton's laws unless they have been so supplemented, and this is true for lots of fundamental scientific theories; see Kitcher 1982 for a nice discussion.] So, even if T and T* are empirically equivalent, it could still happen that they yield different observational predictions when supplemented by appropriate auxiliary hypotheses, in which case there could be observational evidence favoring one over the other.
So, it is probably best to think of the underdetermination argument as applying, not to "small" theories, but to "total sciences," large-scale conceptions of the world that might represent the total scientific conception of the world at a time. Such a conception would already contain all of the auxiliary hypotheses which were legitimate by its lights, so the problem just mentioned does not arise. In this revised form the underdetermination argument says that--whatever our best scientific conception of the world may be at any given time--we will ever have any evidence that it embodies knowledge of unobservables.

2. It rests on (a particular interpretation of) an extremely plausible doctrine about factual knowledge. Traditional empiricism attributed to experience or sensation two different roles: experience was the source of all of our ideas--of the raw material for thinking--and experience was the only basis we have for justifying beliefs abut matters of fact. The first of these doctrines of empiricism has fallen on hard times, but the second doctrine (called knowledge empiricism by Bennett 1964) enjoys widespread support. In particular, it is an epistemological doctrine to which almost all scientific realists subscribe. The logical empiricist challenge to scientific realism arises from a quite plausible interpretation of knowledge empiricism according to which what it says is that there can be no evidence which rationally distinguishes between two empirically equivalent total sciences (call this doctrine the evidential indistinguishability thesis, or the EIT).

3. It is part of a selectively skeptical program of anti-metaphysical "rational reconstruction." The basic aim of the logical empiricists' project was to solve the demarcation problem, the problem of distinguishing science (good) from "metaphysics" (bad), by appealing to arguments like the underdetermination argument. The result was supposed to be that scientific claims are meaningful and knowable (early on, logical empiricists identified these two properties) whereas "metaphysical" claims, because they are about unobservables, are (at least) unknowable and (according to early versions of logical empiricism) meaningless.
Now almost all actual science is conducted largely in a vocabulary consisting mainly of "theoretical terms": terms apparently referring to unobservables. It was definitely not the logical empiricists' project to reject such science. They intended to be selectively skeptical: to be skeptics about "metaphysics" but not about science. So, they embarked on a project of providing "rational reconstructions" of actual scientific theories and methods which were designed to eliminate any apparent commitments to knowledge of unobservables while still portraying actual scientific practices as sources of knowledge (see, e.g., Carnap 1932, 1959).
In the case of scientific theories, the basic logical empiricist approaches were variations on the idea of instrumentalism, the view that scientific theories were predictive instruments and that the knowledge they represent is limited to what they predict about the observable properties of observables. In the case of scientific methods, strategies for rational reconstruction have not been so easy to formulate. Here's the problem. Almost all of the methods scientists actually use in conducting experimental or observational studies are theory dependent: they depend for their justification on knowledge reflected in previously established theories. Kuhn's (1970) discussion of "normal science" makes this point especially clearly, but all of the logical empiricists were acutely aware of it. Moreover, in sciences like physics, chemistry, molecular biology and astronomy, almost all of those methods seem prima facie to rest on knowledge of unobservable phenomena (just think about the presuppositions of the design of any experiment in chemistry). What the project of rational reconstruction must show is that (almost) all of these methods can be reconstructed in such a way that their application, as guides to the identification of empirically adequate theories, does not require positing knowledge of unobservables.

4. The task of rationally reconstructing actual scientific methods has been the most significant challenge facing logical empiricism and related anti-realist approaches. Instrumentalism and its variants provide a simple reconstruction of the content of scientific theories that pretty exactly fits the requirements of the project of rational reconstruction. The depth of the theory dependence of scientific methods, and the extent to which they seem to depend on knowledge of unobservables, has posed a deeper challenge for logical empiricists and their allies. The fate of operationalism illustrates this challenge. Operationalism was a proposal for rationally reconstructing the use of "theoretical terms" (terms that apparently refer to unobservables) in science by treating those terms as being completely defined in terms of particular operational procedures, thereby eliminating the apparent references to unobservables.
Here's what operationalism says. For any theoretical term (say, for example, "electron density") we can "rationally reconstruct" the use of that term by treating it as having an analytic operational definition in terms of laboratory procedures and instrumentation. So, for example, the operational definition of "electron density" might be given by a sentence of the form
(*) The electron density in a region, R, is given by the value, x, if and only if E applied to R yields the value x,
where E is an instrument such that -- prior to rational reconstruction (but not after) -- scientists would have thought of it as a procedure for measuring electron density.
The analyticity of operational definitions like (*) is essential to the project of rational reconstruction. Operationalism is not, for example, the idea that electron density is defined as whatever magnitude instruments of sort E reliably measure. On that conception (*) would represent an empirical discovery about how to measure electron density, but -- since electrons are "unobservables" -- that's a realist conception not an empiricist one. What the project of rational reconstruction requires is that (*) be true purely as a matter of linguistic stipulation about how the term "electron density" is to be used.
Since (*) is supposed to be analytic, it's supposed to be unrevisable. There is supposed to be no such thing as discovering, about E,, that some other instrument provides a more accurate value for electron density, or provides values for electron density under conditions where E doesn't function. Here again, thinking that there could be an improvement on E with respect to electron density requires thinking of electron density as a real feature of the world which E (perhaps only approximately) measures. But, that's the realist conception which operationalism is designed to rationally reconstruct away.
In actual, and apparently reliable, scientific practice, changes in the instrumentation associated with theoretical terms is utterly routine, and apparently crucial to the progress of science. Scientists routinely replace one instrument with another in order to achieve (as they would say) more accurate measurements of some unobservable magnitude -- often in the light of new theoretical developments -- or to permit measurement of it under conditions for which previous instrumentation was inadequate. According to an operationalist conception, these sorts of modifications would not be methodologically acceptable. Most logical empiricists were not willing to accept this conclusion. After all, they intended to rationally reconstruct the best of actual scientific practice. So most logical empiricists felt compelled to reject operationalism.
Examples such as these made it clear that -- in apparently reliable scientific practice -- scientists behave as though (1) they obtain knowledge of unobservable (as well as observable) phenomena by deploying instruments which (perhaps indirectly) detect them, and (2) their theory dependent methodology in these and other matters is informed by knowledge of unobservables as well as of observables. In particular, they appear to improve, or extend the range of, procedures for measuring or detecting unobservable phenomena in the light of theoretical knowledge of those phenomena.
These features of scientific practice stimulated the articulation (largely by philosophers in the empiricist tradition) of two different but related arguments for scientific realism, to which we now turn our attention.

3. Realist Responses to the Empiricist Challenge: The Senses Extended and Explanations Rehabilitated

3.1 Extending the Senses
The fact that scientists, apparently justifiably, treat certain instruments and procedures as ways of detecting and measuring unobservable (as well as observable) phenomena led several philosophers (see especially Feigl 1956, Maxwell 1962) to adopt what amounts to a non-empiricist (or, perhaps, more flexibly empiricist) understanding of knowledge empiricism according to which (1) the special epistemic role of the senses derives from the fact that they are the only detectors we have built in to our bodies, but (2) the range of phenomena we can detect and measure can be broadened by extending the range of our senses through the use of instruments and procedures whose justification is theory dependent. Thus knowledge of phenomena "unobservable" by traditional empiricists standards is possible. This sort of focus on laboratory detection and manipulation in defense of realism finds perhaps its most energetic expression in the writings of Hacking (see, for example, Hacking 1982).

3.2 Explanation Rehabilitated
The conception that instruments, designed with the help of theoretical understanding, can extend the range of the senses so as to provide information about unobservable phenomena surely has to be a component of any even remotely plausible defense of scientific realism. Still, by itself the idea that instruments can extend the senses is inadequate as a rebuttal to the basic underdetermination argument. Here's why. The basic idea behind the extending-the-senses approach to defending scientific realism is that -- as scientists' knowledge of unobservable phenomena improves and as instrumental design becomes more sophisticated -- measurement and detection would become possible for phenomena hitherto beyond the reach of reliable detection and measurement; think of going from light microscopes, to electron microscopes, to x-ray crystallography devices (which can produce images of atomic structures within crystals).
That has to be the realist's conception, but consider the effect of underdetermination arguments. Suppose that, at some stage in the process of the improvement of theories and instruments, certain phenomena, D, posited by existing theories are detectable by the extended senses, but others are not. Let T be the total science of the time, and let T* be a theory empirically equivalent to T with respect, not to their observational consequences, but with respect to their consequence regarding the phenomena in D. The basic underdetermination argument can be repeated with respect to T and T*, leading to the conclusion that T does not reflect any knowledge of phenomena outside D. Thus there is no evidential basis for any extension of measurement and detection beyond D. Since this argument is applicable at any stage of any supposed extension of the senses, it challenges -- in the name of knowledge empiricism -- any extension of the senses.

3.3 Explanation as Evidential
Considerations such as these seem to have focused the attentions of realists on what we might call extra-experimental standards for theory assessment. To see what these are, let's examine the EIT mentioned earlier. Why would a knowledge empiricist defend the EIT? An obvious answer is that she might think that the only consideration which ever justifies accepting one theory, T, over a rival, T*, is that some prediction about observables obtained from T has proven to be true, whereas a prediction from T* about the same experiment or observation has proven to be false.
But is anything like this right? Pretty obviously -- and pretty obviously by empiricist standards -- no. Here's why. Consider any case in which observations in some set, O, provide us with good scientific evidence to accept some theory, T, such that T applies to an range of observable cases not represented in O (that is, consider any case of scientifically justified induction). In any such case there will always be infinitely many pair-wise empirically inequivalent theories such that (a) each of them is empirically inequivalent to T and (b) each of them is compatible with all the observational data ever collected. This is just the Humean point that induction is not deductively valid. If we have sufficient scientific evidence to justify our accepting T, that evidence must justify our rejection of each of these other theories. [Note that this conclusion must be accepted whether one is an empiricist or a scientific realist regarding the interpretation of T and its rivals, since the theories in question are pair-wise empirically inequivalent and are empirically inequivalent to T.]
Let T* be one of these rivals to T. T* is empirically inequivalent to T, so it would be possible in principle to run a crucial experiment to discriminate between T and T*. But, rational standards for the assessment of scientific evidence dictate that we are justified in rejecting T* even though no such experiment has been run! So, there must be rational standards for the assessment of scientific evidence in addition to the standards which say that evidence for or against a theory can be provided by the success or failure of observational predictions derived from the theory. Let's call these standards extra experimental. They solve the equation (!):
(!) T’s observational predictions have been thus far confirmed + Y = There is good scientific evidence favoring the empirical adequacy of T,
AND, both realists and empiricists agree, they are capable of adjudicating between competing substantive conceptions of the world (because they can adjudicate between empirically inequivalent theories).
So, realists and empiricists agree that it isn't true that rational standards for the assessment of scientific evidence dictate that choice between competing theories must always be based on the results of crucial experiments. Where does that leave the underdetermination argument against knowledge of unobservables?
Almost all scientific realist responses to empiricist anti-realism in the last three decades can be understood as variations on the idea that the solution to (!) -- which empiricists must agree exists on pain of abandoning selective skepticism for skepticism about induction -- also solves (!!):
(!!) T's observational predictions have been thus far confirmed + Y = There is good scientific evidence favoring the (approximate) truth of T, even of its claims about unobservables.
Defenses of realism along these lines (see, e.g, Boyd 1983; Byerly and Lazara 1973; Lipton 1993; Miller 1987; McMullin 1984; Psillos 1999; Putnam 1972, 1975a, 1975b) deploy somewhat different resources, but one thing they have in common is that they reflect, and participate in, what might be called the rehabilitation of explanation in recent philosophy of science. An obvious reply to the EIT is that it ignores the role of explanation as an evidential standard: perhaps one, among a family of empirically equivalent theories, is to be preferred because it explains observable phenomena better than the others, even though it makes the same observational predictions. The standard logical empiricist treatment of explanation, the deductive-nomological account (see Hempel 1942, 1965; Hempel and Oppenheim 1948), responds by identifying the explanatory power of a theory with its predictive power.
Over the last several decades a great many philosophers have been critical of some aspects or other of this reduction of explanation to prediction (see, e.g., Boyd 1985; Kitcher 1981; Lipton 1991; Kitcher and Salmon 1989; McMullin 1984, 1987; Miller 1987; Salmon 1984, 1989). In the context created by this critical work, the notion of explanation, as an independent component of rational scientific methodology, has been to some extent rehabilitated.
A closely related development is also important. Goodman 1954 drew the attention of philosophers of science to the important point that only some hypotheses, the projectible ones, are in the running for confirmation by observations, and that projectibility judgments are in some way or other a posteriori judgments informed by previously established theories and practices. What has become pretty clear is that, however they are to be philosophically analyzed, projectibility judgments are in fact judgments of plausibility in the light of previously established theories (Boyd 1999; Lipton 1991, 1993), and that plausibility of the relevant sort is a matter of the sort of unification with those theories which has explanatory import. So, explanation, in its own right, and as an aspect of projectibility judgments, appears to play a crucial role in the assessment of observational evidence for scientific theories.
To a good first approximation, the following characterize the conditions under which observations, O, substantially confirm a theory T:
T is projectible (that is, theoretically plausible in the light of the best established science).
The observations in O either confirm predictions obtained from T, or validate explanations based on T or both.
For each of the projectible alternatives, A, to T which address the same questions, the observations in O provide evidence against the predictions and/or explanations underwritten by A.
The observations in O were obtained under conditions which embody controls for each of the experimental artifacts or errors of sampling which are suggested by projectible conceptions of the relevant observational or experimental conditions.
The basic strategy of defenses of realism which argue that the solution to (!) -- which empiricists accept -- also solves (!!) involves arguing that the considerations of explanatory power of the sort indicated in characterizations like 1.-4. successfully adjudicate between empirically equivalent theories, so that knowledge of unobservables is sometimes obtained.

3.4 Two Explanationist Strategies for Defending Realism
There is a (very) rough division between two versions of the strategy in question. One strategy, let's call it local explanationism, (perhaps reflected in McMullin 1980, 1987; Miller 1987; and Lipton 1993) involves arguing that the relevant explanation-involving, extra-experimental criteria do, in some cases, successfully adjudicate between empirically equivalent theories, so that some scientific knowledge of unobservable phenomena is actual. An alternative approach, the abductive strategy, (see, e.g., Boyd 1983, Psillos 1999) treats scientific realism itself as a scientific hypothesis which is supported by the fact that it provides the only viable explanation for the such success as methodological principles like 1.-4., above, have as guides to the identification of empirically adequate theories. The justification of inductive methods in science is, therefore, provided by scientific realism, understood as itself an a posteriori scientific hypothesis.
There are interesting differences between these approaches, and between the various different versions of each, but certain empiricist challenges can be raised against all or most of them. Fine (1984, 1986a) has offered two very significant, and closely related, criticisms of the abductive strategy. First, Fine argues, the strategy begs the question against anti-realist positions by treating scientific explanatory power as carrying evidential weight in philosophy. After all, the dispute between empiricist anti-realists and realists is, in the first instance, a dispute about whether a theory's explanatory power can count in favor of the claims it makes about unobservables. [van Fraassen 1980 makes similar criticisms; he and Laudan 1981 each also challenges the claim that scientific realism provides the best explanation for the reliability of scientific methods in identifying empirically adequate theories.]
Fine's second criticisms is more abstractly epistemological. He points out that, according to the realist who adopts the abductive strategy, the methods of science are to be philosophically justified by appeal to a posteriori scientific findings, i.e., by appeal to the scientific realist's scientific explanation for their reliability. This approach, he argues, violates the philosophical requirement that the justification for the methods in a domain of inquiry should be grounded in methods more secure than the methods being justified.
Plainly these criticisms represent serious challenges to the abductive strategy. Importantly, they also challenge any version of the local explanationist strategy unless it incorporates an a priori (as opposed to an empirical scientific) defense of the evidential relevance of the explanatory power of theoretical claims about unobservables. There are two reasons to doubt that such an a priori defense is available.
In the first place, philosophical defenses of epistemological positions almost always rest, at least in part, on appeals to philosophical "intuitions" regarding particular cases. Although many philosophers regard the deliverances of philosophical intuitions as justified a priori, in fact epistemic intuitions about particular cases deliver to us the results of our trained (or, in some cases, untrained) judgments regarding the domain of inquiry in question. They are reliable guides to matters epistemological just in case -- and to the extent that -- the training in question has itself been relevantly reliable (Boyd 1999).
For philosophers of science, the relevant training centrally includes training in the methods and findings of the relevant sciences. Since, "pre-analytically" at least, those methods countenance inductive inferences to explanations involving unobservables, and since the most celebrated findings often incorporate the results of such inductions, a very significant burden of proof would rest on someone who maintained that her philosophical arguments in favor of accepting inductive inferences to explanatory theories about unobservables did not, at least tacitly, rest on intuitions which beg the question against empiricist anti-realism.
Moreover, there are independent reasons to doubt that there could be an a priori defense of accepting the results of inductive inferences to the best explanation, whether or not that explanation posits unobservables. To a good first approximation, typical scientific explanations offer accounts of the causal mechanisms or processes by which some phenomena are brought about, and scientists evaluate the explanatory power of a theory by trying to assess the likelihood that mechanisms or processes posited by the theory operate to produce the relevant effects. Their judgments in these matters are, almost always, informed by experiments and observations but they are nevertheless highly theory dependent, ordinarily relying heavily on previously established "background" theories concerning the relevant sorts of causal mechanisms and processes (for accounts with this flavor see, e.g., Lipton 1993, Psillos 1999, Boyd 1985). Such judgments are reliable only to the extent that those background theories are relevantly approximately accurate.
In consequence, any defense of the practice of counting the explanatory power of a particular theory as providing evidence in its favor would appear to require a defense of the proposition that the findings of the relevant background sciences are relevantly approximately accurate. While, in some cases, this may be a justified conclusion, its justification could hardly be a priori (for an account somewhat more sympathetic to a prioricity for certain cases, see Miller 1987). Exactly similar arguments regarding theory dependent judgments of projectibility provide additional prima facie support for the same anti-a prioristic conclusion (Boyd 1999).
In the light of these challenges, there is a strong case to be made that any defense of scientific realism must rest on a conception according to which both scientific methods and methods in the philosophy of science, must lack a priori justifications. Such a conception of science, and of the relevant parts of philosophy, would thus be non-foundational and, presumably, naturalistic (see Psillos 1999). [For a somewhat different naturalistic conception, see Kitcher 1993. For an excellent discussion of competing metaphilosophical conceptions in the philosophy of science and their relation to debates about realism see Wylie 1986.]

3.5 Realism and Approximate Truth
Whether or not the defense of scientific realism requires the adoption of a non-foundationalist conception of knowledge, it almost certainly requires the articulation of a conception of approximate truth. It is central to any plausible realist conception that, at least sometimes, the historical development of scientific theories reflect progress by successive approximation to the truth -- about unobservables as well as about observables, and it is central to arguments for realism that involve the rehabilitation of explanation as an epistemic notion that relevant improvements in approximate knowledge are typically reflected in improvements of method. So, realist philosophy of science relies heavily on the notion of approximate truth.
Laudan 1981 raises against scientific realism (and especially against abductive arguments for realism) the "pessimistic meta-induction." He points out that there are lots of real historical cases in which scientific theories which have been predictively successful and have contributed positively to scientific methodology have not been true, so that the truth of scientific theories need not be posited in order to explain the successes of scientific practice.
The obvious realist reply is that what must be posited is the approximate truth the relevant theories (see Hardin and Rosenberg 1982 and Laudan 1984). Articulation of this reply raises important issues, since any consistent theory can be represented as approximately true in certain respects, Moreover, as Laudan points out, many of the historically important and methodologically significant theories are, by our current lights, deeply false in some important respects. Efforts to develop an appropriate account of approximate truth in science include Niiniluoto 1987, Oldie 1986, Weston 1992, Boyd 1990.
One novel approach to the problem of approximation is provided by Worrall's structural realism (Worrall 1994; for a critique see Psillos 1995, 1999). The basic idea here is that the most serious departures from the truth in scientific theories tend to be errors about the natures of the basic phenomena rather than about their structural relations. In the light of this generalization, the structural realist proposes accepting the claims about causal structures (even unobservable ones) posited by well confirmed theories while withholding acceptance from what those theories say about the natures of the phenomena so related. To a good first approximation, one might think of structural realism as the view that, for any well established scientific theory, T, one should accept the Ramsey sentence obtained from T by replacing each theoretical term in T by a new variable, and then prefixing, to the resulting open sentence, existential quantifiers over those variables, where the quantification is understood to range over causal structures in nature.
Aside from its importance as a contribution to the literature on approximate truth, structural realism is significant in two other ways. In the first place, it reflects a general tendency in the literature on scientific realism to worry about the extent to which scientific realists must portray scientific knowledge as potentially resolving genuinely metaphysical questions. Putnam's internal realism and Fine's natural ontological attitude (discussed below) may be seen as important ontologically deflationary approaches to this question.
The other significance of structural realism lies in the fact that the distinction upon which it relies -- that between causal structures and natures -- may have been, in a certain sense, challenged by philosophers like Shoemaker (1980) who hold that properties, magnitudes, states and the like are defined by their contributions to the causal powers of things. It is an interesting question whether approaches to metaphysics like Shoemaker's are compatible with the approaches to approximation informed by structural realism.

4. The Neo-Kantian Challenge: First Version
Hanson (1958) and, especially, Kuhn (1970 -- first published 1962; see Scheffler 1967, Shapere 1964 for early discussions) raised significant challenges to scientific realism, arguing from the theory dependence of methods (and, especially, of observation) to the conclusion that a realist conception of the growth of approximate scientific knowledge cannot be sustained The intellectual impact of their work in the philosophy of science has been very different from the impact it has had in the rest of the humanities and in many of the social sciences. In the later disciplines the impact of Kuhn, especially, has been to underwrite the sort of anti-realist "postmodernism" discussed later in this essay. In the philosophy of science, by contrast, the impact of Hanson and Kuhn has been mainly to stimulate the articulation of naturalistic or causal conceptions of reference and essentialist conceptions of the definitions of scientific kinds and properties. [I am here presenting what might be thought of as the "standard" conception of Kuhn's position and of responses to it. There has been a recent revival of interest in Kuhn among analytic philosophers and others, and alternative readings of Kuhn are possible (see, e.g., Hoyningen-Huene 1993 and the papers collected in Hoyningen-Huene and Sankey 2001). Whatever the merits of less standard interpretations of Kuhn, it was the standard conception of his arguments that occasioned the realist responses discussed here.]
That arguments proceeding from the theory dependence of scientific methods and of measurement should have been deployed against realism is initially surprising. After all, most of the significant arguments for scientific realism emphasize theory dependence. Moreover, Kuhn's discussion of what he calls normal science seem to have exactly anticipated the abductive argument for realism discussed above. He insists that the success of research in normal science is explained, in significant part, because scientific practitioners have, as a result of their understanding of the paradigmatic theory, a quasi-metaphysical knowledge of the basic (and often unobservable) causal factors involved in the phenomena they study.
Where Kuhn's account departs from a realist conception of the growth of approximate knowledge is in his treatment of what he calls scientific revolutions. Although most empiricist philosophers of science had recognized the theory dependence of scientific methods even before the work of Hanson and Kuhn, it was Hanson's and Kuhn's work which made it clear that accepting the theory dependence of scientific methods raise the possibility of incommensurability between competing scientific theories (or paradigms): the possibility that in science there might be disagreements between theoretical perspectives such that there do not exist methods for their resolutions which are both rational and fair (to the competing positions).
What each author claimed was that this situation had actually obtained in important historical cases where, according to a realist perspective, one might think that the rational application of scientific methodology had resulted in the replacement of one theory by a more nearly accurate one. What was especially striking -- and challenging to a realist conception -- was Kuhn's claim that among the "scientific revolutions" where this had occurred was the transition from Newtonian mechanics to special relativity at the beginning of the 20th century.
What is important in understanding the realist response to Kuhn's claim about this particular historical case is that there are lots of experimental results (like, e.g., those which are ordinarily understood to reflect the increase of mass of particles in a cyclotron) such that they certainly look like cases in which a methodology -- including measurement procedures -- which is acceptable by both Newtonian and relativistic standards adjudicates in favor of the relativistic conception. Lots and lots of relativistic effects are such that they can be, apparently, detected and measured using instruments whose design begs no questions against either of the competing "paradigms." The transition from Newtonian mechanics to special relativity certainly looks like a textbook case of rational progression from, one theory to an even more accurate one.
Against this picture Kuhn argues that no such successive approximation occurred because Newtonian mechanics and relativity theory do not share a common subject matter regarding which the latter is a better approximation than the former. For example -- he argues -- the term "mass" as it occurs in Newtonian mechanics does not refer to the same magnitude as does the term "mass" in relativistic mechanics because "Newtonian mass is conserved; Einsteinian is convertible with energy. Only at low relative velocities may the two be measured in the same way, and even then they must not be conceived to be the same (102)."
In giving this remarkable argument Kuhn was tacitly relying on a conception of the referential semantics of scientific terms probably derived from the work of Carnap (see Carnap 1950; there are important controversies about the proper interpretation of Carnap -- see, e.g., Friedman 1987, 1991 -- but they are irrelevant to our story). The conception in question is a version of the standard empiricist "descriptivist" conception that the referent of a term is picked out by a description which constitutes the analytic definition of the term in question. According to the version Kuhn relies on, the analytic definition of a scientific term is provided by the most basic laws containing the term. Thus, as the example of "mass" illustrates, any change in the fundamental laws involving a scientific term must involve a change in referent (or reference failure, a possibility Kuhn 1970 does not discuss).

4.1 "Causal" and Naturalistic Theories of Reference
What was important for the development of realist philosophy of science was the fact that most philosophers of science were, at least tacitly, themselves inclined to some version of analytic descriptivism. The anti-realist consequences which Kuhn (and Hanson) derived from descriptivist conceptions let to the articulation by realists of alternative theories of reference. Characteristically, these theories followed the lead of Kripke (1971, 1972), whose work was mainly concerned with the semantics of modality, and Putnam (1972, 1975a, 1975b), whose work was mainly concerned with issues in the semantics of scientific terms. Each of them advocated a "causal" theory of reference according to which the reference relation between a term and its referent was a matter of there being the right sort of (chain of) causal relation(s) between uses of the term and (instances of) its referent. Numerous variations on this naturalistic theme -- some assigning importance to descriptive elements as well as causal relations in the establishment of reference -- have been proposed (see, e.g., Boyd 1999, Dretske 1981, Enç 1976, Field 1973, Kitcher 1992, Miller 1987, Papineau 1987, 1993, Psillos 1999). It is by now pretty well accepted that some departure from analytic descriptivism, involving some causal elements, is a crucial component of a realist approach to scientific knowledge.

4.2 Realism and the Revival of Essentialism
Kuhn's analytic descriptivism assigns to the analytic definition of a scientific term the role of fixing its referent. Once that role is assigned to other ("causal," "naturalistic") features of term use, it becomes possible to explore the issue of non-analytic a posteriori definitions of the kinds, magnitudes, etc. to which scientific terms refer. The work of Kripke and Putnam just cited gave rise to a class of theories according to which scientific kinds, etc. have real rather than nominal definitions ("real essences" rather than "nominal essences" in the sense of Locke 1689). The paradigm example is that the real definition, or essence, of water is described by the formula "H2O". It is by now a standard feature of realist conceptions of science that they incorporate some version or other of the idea that scientific kinds, categories, etc. (natural kinds) possess such real definitions (for interesting discussions of the development of this realist conception with special reference to biological kinds see Wilson 1999a, 1999b).
The idea that natural kinds possess such definitions has been consistently linked, in the realist literature, to discussions of the projectibility of predicates and hypotheses (Goodman 1954, Quine 1969). Only by reference to kinds (etc.) with real rather than nominal definitions -- only by, in some sense or other, "cutting the world at its (a posteriori defined) joints" -- are we able to fit our language use to the world in such a way as to make reliable induction and explanation possible (Boyd 1999; Psillos 1999; Putnam 1972, 1975a, 1975b; Sismondo 1996; Wilson 1999b).
One further point about real essences is important. The stock example of a real definition (H2O for water) might suggest that real definitions of scientific kinds (etc.) must, like logical empiricists' ideal nominal definitions, specify necessary and sufficient conditions for kind membership. In fact, examination of cases in those sciences which study complex phenomena indicate that some natural definitions may consist of families of imperfectly "clustered" properties, with the result that the kinds they define do not have precisely determinate boundaries (Boyd 1999, Wilson 1999b; but see also Hacking 1991a, 1991b). Realism may imply that there is, in that sense, vagueness in nature (contrast Putnam 1983).

4.3 The Metaphysics of Social Construction
Kuhn tacitly adopts a semantic conception according to which the most basic laws in a paradigm are exactly true by linguistic convention. He also claims that such laws provide quasi-metaphysical knowledge of basic causal factors. His claim that these laws are exactly true is what leads him to conclusions about the (semantic) history of recent physics which are prima facie implausible, and it is this feature of his semantic conception against which causal or naturalistic theories of reference are mainly directed.
The example of the semantics of the names of fictional characters indicates that the linguistic conventions operating in fiction make it possible to establish it by convention that certain claims about a character are approximately true without thereby establishing their exact truth. Versions of Kuhn's social constructivist position could, therefore, be formulated according to which the establishment of a paradigm imposes by convention, on the phenomena scientists study, a quasi-metaphysical structure which makes the central laws of the paradigm approximately (but not necessarily exactly) true.
Although Kuhn never considered this version of constructivism, it fits well with the tradition of anthropological relativism to which Kuhn's position is often assimilated. It is not refuted by arguments for causal or naturalistic theories of reference, nor does it entail wildly implausible claims about incommensurability in recent science. It is, however, pretty clearly an anti-realist position -- one which has resonances with the sorts of "postmodern" anti-realism discussed later in this essay. A realist rebuttal to it is available if one makes explicit, and defends, a piece of common, and philosophical, sense about the metaphysics of conventionality: the no non-causal contribution thesis (2N2C). According to 2N2C, human social practices make no non-causal contribution to the causal structure of the world, and are in that way metaphysically innocent (see Boyd 1999).

5. The Neo-Kantian Challenge: Second Version
Structural realism represents one attempt to defend scientific realism while being modest about its metaphysical implications. Putnam's "internal realism" and Fine's closely related "natural ontological attitude" (NOA) represent other attempts to follow scientific realists in taking the findings of science at "face value" while avoiding realism's excessively metaphysical understanding of those results (Putnam 1978, 1981, 1983a; Fine 1984, 1986a, 1986b, 1991; for a nice exposition see the Introduction to Papineau 1996; for critiques see Glymour 1982; Millikan 1986; Newton-Smith 1989a, 1989b; McMullin 1991; Papineau 1987).
"Internal realism" and NOA are not easy to explicate and are, almost certainly, not the same position. Nevertheless they share some important elements in common.
"Thin" Truth: Both Putnam and Fine assert that one can (and should) accept the well established theories of science (even about unobservable) as (probably) true, but that this should not be understood as accepting the "metaphysical realist" (Putnam's term) view that the statements which constitute those theories correspond to reality. They advocate a "thin" conception of truth rather than a correspondence conception. In Putnam's early papers defending internal realism he adopts a pragmatic conception of truth according to which truth of sentences is a matter of being epistemically acceptable in the limit of ideal inquiry. In the case of Fine, it's less clear exactly which thin conception of truth is at work.
De-Natured Naturalism: Naturalistic conceptions of reference have it that reference of scientific terms is a matter of certain causal patterns which relate the use of terms to instances of their referents. Relations of measurement and detection are supposed to be centrally involved in the establishment of reference, at least in paradigm cases. It is explicit in Putnam, and surely implied by Fine's position, that if the causal theory of reference, and related causal theories of detection and measurement, are understood as scientific theories (in linguistics, say, and -- for theories of measurement and detection -- theories in the relevant sciences) then they might, for all the internal realist or NOAer says, be well confirmed. What is to be denied is that such conceptions underwrite a correspondence conception of truth. They are bits of science, but not (also) bits of realist naturalist philosophy.

5.1 An Analogy with Phenomenalism
An analogy with issues regarding knowledge of the external world may be helpful here. One classical early logical empiricist response to questions about our knowledge of (observable) external objects was the phenomenalist strategy of representing external objects as "logical constructions" analytically defined in sense-datum terms (see, e.g., Carnap 1928). That certain experience patterns constituted experiences of, e.g., chairs was supposed to reflect, not a discovery about some epistemically important metaphysical relation between chairs and those patterns, but, instead, the implication of the analytic definition of "chair" in the sense-datum language.
Nevertheless, nothing in the phenomenalist project was supposed to preclude the possibility that psychologists studying perception might discover that those very experience patterns are caused by light reflected off chairs and stimulating the retina is particular ways. This would be unobjectionable as a bit of empirical science, but it was not to be understood as positing an epistemically relevant relation of detection and representation between the experiential pattern and chairs, understood as experience-independent features of the world. It could not be understood as a component in philosophical justification of the claim that we know about, and "chair" refers to, experience-independent chairs.
By contrast, non-foundationalist "causal" or "reliabilist" conceptions of perceptual knowledge in the tradition initiated by Goldman (1967, 1976) would treat the relevant discovery both as an empirical scientific discovery and as a component of a (naturalistic) philosophical (and epistemically relevant) explanation of why our chair beliefs sometimes represent knowledge about (experience independent) chairs. Similarly, if the psychological findings in question were incorporated into a suitable empirical theory of language use they could, on a causal or naturalistic conception of reference, underwrite the philosophical conception that "chair" refers to (experience independent) chairs.

5.2 Non-Foundationalist Epistemology Again
What this suggests is that a defense of realism against internal realism or NOA must follow the lead of non-foundational causal theories of knowledge, and of perception in particular, in insisting that scientific findings about, e.g., the measurement and detection of theoretical entities, and about the reference of scientific terms have philosophical as well as scientific relevance (see, e.g., Boyd 1999, Byerly and Lazara 1973,Hacking 1982, Psillos 1999).

5.3 Challenges Regarding the Epistemology and Metaphysics of Reference and Kinds
The arguments Putnam offers in defense of internal realism are complex, and (as the critiques cited indicate) both controversial and sometimes hard to explicate. Nevertheless, it seems pretty clear that Putnam attributes to "metaphysical realism" something like the following commitments:
Reference is a relation between linguistic entities and entirely extra-linguistic (and in that sense independently existing) natural kinds. Natural kinds (magnitudes, etc.) are, somehow or other, out in the world, and available for discovery and naming. There is a single set of such natural entities somehow given by the structure of the world itself, independently of human practice.
The reference relation between natural kind (magnitude, etc.) terms and their referents is a purely causal matter, where the purity in question is a matter of the reference relation's being definable without significantly acknowledging descriptive elements or human intentions.
If one accepts this picture of scientific realism, understood metaphysically, then it is natural to think that what makes the associated conception of truth a correspondence conception is that reference is seen as a relation between terms and such independently existing kinds. The realist correspondence conception, so conceived, is subject to two important challenges.
First, if we think of natural kinds as things somehow independent of linguistic and methodological practices, then there are lots of natural kinds out there, and it is difficult to see how the causal conception of reference fixing could explain how a natural kind term could ever have a unique referent. This problem is exacerbated if one thinks of reference as being purely causal in the way just indicated, since intentional and descriptive factors, which might otherwise be thought to reduce the ambiguity of the reference relation, are set aside. Such considerations seem to be the basis of the "model theoretic" arguments in Putnam 1978, 1980) against "metaphysical realism."
Secondly, reference to natural kinds is supposed to explain the inductive successes of scientific practice, so there must be some quite intimate connection between natural kinds and the conceptual machinery of the sciences. If one thinks of realist theories as entailing that natural kinds are independent of that machinery, it is hard to see how the explanation could work unless it rested on something like a objective idealist theory according to which natural kinds are somehow metaphysically "fitted" for explanation and induction independently of the relevant practices. Such an assumption is profoundly at odds with the philosophical naturalism and metaphysical materialism ordinarily associated with scientific realism. This sort of consideration appears to underwrite aspects of Putnam's criticism of materialist metaphysical realism in "Why There Isn't a Ready Made World" (Putnam 1983a).

5.4 Realist responses
Of these two challenges, the first has received much more attention from scientific realists. There has been widespread acceptance of the view that descriptive and/or intentional factors must figure in any scientific realist account of reference (e.g., Boyd 1999, Enç 1976, Kitcher 1992, Papineau 1979, Psillos 1999).
Much less has been said by realists about the sense, if any, in which scientific realism is committed to there being natural kinds (etc.) which are independent of us. Psillos (1999), for example, discusses problems with pure causal theories of reference extensively, but takes it to be a basic posit of scientific realism that "…the world has a definite and mind-independent natural-kind structure" (xix). Boyd (1999) offers an alternative approach according to which, like natural kind terms and classificatory practices, natural kinds themselves should be thought of as social artifacts deployed in achieving an appropriate fit or accommodation between inductive and explanatory practices and relevant causal structures.
Whether the intrusion of descriptive and intentional notions into realist accounts of reference, or the treatment of natural kinds as social artifacts, is compatible with the main spirit of scientific realism depends on the sense(s) in which scientific realism should be understood as entailing that the phenomena scientists study are "mind independent." A possible response to this question, compatible with the proposals just mentioned, is that the relevant sense of mind independence is fully captured by the no non-causal contribution doctrine discussed earlier.

6. The "Post-modern" Challenge
Most recent work in the relatively new discipline of science studies (see, e.g, Biagioli 1999; Galison 1987; Latour and Wolgar 1979; Latour 1987; Pickering 1984, 1995; Pinch 1985; Shapin 1982, 1994; Shapin and Schaffer 1985) and a significant body of work in feminist philosophy of science or feminist aproaches to particular science (see, e.g., Alcoff and Potter 1993; Antony 1993; Antony and Witt 1993; Conkey and Spector 1984; Fuss 1989; Gero and Conkey 1991; Harding 1986, 1987, 1991; Harding and Hintikka 1983; Harding and O'Barr 1987; Hartsock 1987; Haslanger 1993; Keller 1983: Longino 1989, 1990; Tuana 1989; Wright 1996; Wylie 1991, 1993, 2000; Wylie and Okruhlik 1987) has been to some extent influenced by, or has engaged with, anti-realist "postmodern" conceptions according to which such phenomena as science, knowledge, evidence and truth are social constructions, in some sense or other which implies that one should reject the idea that scientific practices achieve an approximate representational fit of some sort or other between the content of scientific theories and the world or reality.
Although serious interchanges between scientific realism and these approaches have not developed to the level of exchanges between, e.g., scientific realist approaches and logical empiricist or neo-Kantian ones, a number of philosophers of science have defended a realist approach against post modern relativism and skepticism (see, e.g., Boyd 1999; Kitcher 1993; Papineau 1998; Pettit 1998; Sismondo 1993a, 1993b, 1996). Several factors are probably important in determining the dimensions of the dispute between realists and postmodernists.

6.1 Boundary Work
Sociologists of science have identified a feature of scientific work which is especially important when new (sub)disciplines are being established. Practitioners of emerging disciplines devote considerable effort to distinguishing the approach of their new disciplines from the approaches of more fully established disciplines, often by adopting a substantially adversarial stance towards them. This phenomenon has been played out in the establishment of science studies and (to a somewhat lesser extent)feminist philosophy. In each of these cases, mainstream realist and empiricist approaches to epistemology have been special targets of such adversarial stance taking. In the case of science studies, to a very good first approximation, the "boundary work" foundations of the emerging discipline rest on a critique of epistemology and of the correspondence conception of truth. This perfectly ordinary, and non-culpable, boundary work resistance to traditional epistemology and the correspondence theory has proven to be a barrier to communication between mainstream philosophers of science and others in science studies.

6.2 Postmodern Responses to Naive Empiricist Conceptions of Objectivity
There is a prevalent conception of scientific objectivity which is historically associated with empiricist conceptions of science, even though it is sufficiently naive that probably no professional empiricist philosopher of science ever defended all of its components. According to it, the objects of scientific study are natural kinds (etc.) which are
independent of human practices,
defined by
eternal,
unchanging,
ahistorical, and
intrinsic
necessary and sufficient membership conditions;
referred to in
fundamental,
exceptionless,
eternal, and
ahistorical
laws; and
discovered by the deployment of
eternal,
ahistorical,
politically and culturally neutral, and
foundational
scientific methods.
To a significant extent, anti-realist postmodern conceptions of science take these components of naive empiricism to be definitive of the notion of scientific objectivity. Postmodern students of science hold -- correctly (Boyd 1999; Sismondo 1993a, 1993b, 1996; Knorr Cetina 1993) -- that nothing in actual scientific practice even remotely fits these criteria for objectivity. On this basis they often reach the anti-realist conclusion that scientific research never achieves objective knowledge. It is characteristic of defenses of realism against postmodern anti-realism that they deny, about one or more of the components mention, that they are necessary for objective knowledge.

6.3 "Quantum Superposition" of Conceptions of Social Construction
There are, in the literature and in intellectual discourse, roughly three versions of "social constructivism," the view that science is the "social construction of reality."
Neo-Kantian social constructivism. This is the view discussed earlier according to which the adoption of a scientific paradigm successfully imposes a quasi-metaphysical causal structure on the phenomena scientists study.
Science-as-social-process social constructivism. This is the view that the production of scientific findings is a social process subject to the same sorts of influences -- cultural, economic, political, sociological, etc. -- which affect any other social process.
Debunking social constructivism. This is the skeptical position according to which the findings of work in the sciences are determined exclusively, or in large measure, not by the "facts," but instead by relations of social power within the scientific community and the broader community within which research is conducted.
These are quite distinct positions. For example, 1. and 3. are mutually inconsistent, and 2. is compatible with either 1., or 3., or with standard logical empiricist and scientific realist conceptions. Nevertheless, in science studies and in other disciplines influenced by postmodernism they tend to become conflated.
In the first place, many practitioners in such disciples, for reasons rehearsed above, take 2. to imply that traditional realist and empiricist conceptions are mistaken. Moreover, having adopted 2., they tend to adopt a position which looks like a quantum superposition of 1. and 3., oscillating between thinking of scientific practice as (really) constructing the (quasi-metaphysical) truth and denying that it leads to truth in any metaphysically interesting sense.
The inconsistencies involved are made clearest in cases in which scientific theories of race and gender are said to be "social constructions." Often the intent here is to engage in scientific and political criticism but, in so far as the neo-Kantian, and the fully debunking conceptions of social construction are simultaneously operative, authors often have a difficult time finding the resources for saying that such theories are really (really!) false. [For discussions of these conflations and their impact on methodological and political criticism see Sismondo 1993a, 1993b, 1996; Knorr Cetina 1993; Boyd 1999.]

6.4 Naturalism and the symmetry thesis
In one of the founding documents of contemporary science studies, Barnes and Bloor (1982) criticize a tendency in the history, philosophy, and sociology of science to treat true and false scientific theories asymmetrically: explaining the acceptance of true theories as the ordinary and to-be-expected result of applying the scientific method, but explaining the acceptance of false theories by appealing instead to the operation of "social factors." They propose that explanations for the acceptance of scientific theories should be symmetrical, appealing to the same sorts of factors in explaining the acceptance of true and false theories.
In science studies, it has been nearly universal to accept the symmetry thesis and to interpret it as requiring that truth or the facts not be treated as among the factors involved in explaining the adoption of scientific theories. Almost certainly, a defense of scientific realism in the light of the symmetry thesis will require insisting that a naturalistic scientific realism does, by considering facts of all sorts potentially relevant to the explanation of the acceptance of scientific theories, satisfy the requirements of the symmetry thesis. The locus classicus for this approach is Antony 1993; it is developed in Sismondo 1999.

6.5 Essentialism
One of the most important sources of resistance to scientific realism among feminist philosophers has been the conception that realism underwrites essentialism and that essentialism is a central component of racist and sexist ideology (see Fuss 1989 for a discussion). A naturalistic version of scientific realism does entail a sort of essentialism about natural kinds (etc.) but that sort of essentialism need not have the form suggested by the stereotype of scientific objectivity discussed above, and need not be inimical to critiques of scientific racism or sexism (Boyd 1999, Sismondo 1996). In particular, it is compatible with the sort of realist naturalism discussed here that social categories like race and gender might have as their essences a certain role in the stabilization or justification of particular sorts of historically situated oppression and exploitation. Similarly, realist naturalism is compatible with the view that some social categories (like races and genders) or psychological categories (like mental illnesses) are real, but are in some respects artifacts of classificatory (and other) social practices (see, e.g., Hacking 1986a, 1986b). All that is required by naturalistic realism is that the contribution of social practices not violate 2N2C.

6.6 Concluding Remark
Scientific realism is, by the lights of most of its defenders, the sciences' own philosophy of science. Considerations of the significant philosophical challenges which it faces indicate that it can be effectively defended only by the adoption of a metaphilosophical approach which is also closely tied to the science, viz., some version or other of philosophical naturalism.

Credit: stan/pla

Friday, October 14, 2005

Religious Diversity (Pluralism)

With respect to many, if not most issues, there exist significant differences of opinion among individuals who seem to be equally knowledgeable and sincere. Individuals who apparently have access to the same information and are equally interested in the truth affirm incompatible perspectives on, for instance, significant social, political, and economic issues. Such diversity of opinion, though, is nowhere more evident than in the area of religious thought. On almost every religious issue, honest, knowledgeable people hold significantly diverse, often incompatible beliefs.
Religious diversity of this sort can fruitfully be explored in many ways — for instance, from psychological, anthropological, or historical perspectives. The current discussion, however, will concern itself primarily with those key issues surrounding religious diversity with which philosophers, especially analytic philosophers of religion, are most concerned at present. Specifically, our discussion will focus primarily on the following questions: How pervasive is religious diversity? Does the reality of this diversity require a response? Can a person who acknowledges religious diversity remain justified in claiming just one perspective to be correct? If so, is it morally justifiable to attempt to convert others to a different perspective? Can it justifiably be claimed that only one religion offers a path into the eternal presence of God? The answers to such questions are not simply academic. They increasingly have great impact on how we treat others, both personally and corporately.
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1. The Pervasiveness of Religious Diversity
Religious diversity exists most noticeably at the level of basic theistic systems. For instance, while within Christianity, Judaism, and Islam it is believed that God is a personal deity, within Hinayana (Theravada) Buddhism God's existence is denied and within Hinduism the concept of a personal deity is, in an important sense, illusory. Within many forms of Christianity and Islam, the ultimate goal is subjective immortality in God's presence, while within Hinayana Buddhism the ultimate goal is the extinction of the self as a discrete, conscious entity. However, significant, widespread diversity also exists within basic theistic systems. For example, within Christianity, believers differ significantly on the nature of God. Some see God as all-controlling, others as self-limiting, and still others as incapable in principle of unilaterally controlling any aspect of reality. Some believe God to have infallible knowledge only of all that has occurred or is occurring, others claim God also has knowledge of all that will actually occur, while those who believe God possesses middle knowledge add that God knows all that would actually occur in any possible context. Some believe the moral principles stipulated by God for correct human behavior flow from God's nature and thus that such principles determine God's behavior, while others believe that God acts in accordance with a different set of moral rules, that for God what is right is simply whatever God does. Some believe that only those who have consciously "given their lives to Christ" will spend eternity in God's presence. Others believe that many who have never even heard the name of Jesus will enter God's presence, while others yet do not even believe subjective immortality (a conscious afterlife) to be a reality.
While it is still somewhat popular in philosophical circles today to focus on diversity among basic theistic systems, there is a growing awareness that the same basic questions (and responses) that apply to inter-system diversity (for example, to differing perspectives on the most accurate basic theistic conception of God) apply just as clearly, and in exactly the same sense, to intra-system diversity (for example, to differing perspectives within Christianity over the extent of God's knowledge). And there is increasing awareness that the practical import of intra-theistic diversity is just as significant as is that of inter-theistic diversity. For most Christians, for instance, the practical significance of retaining or modifying beliefs about God's power or knowledge is just as great as retaining or modifying the belief that Christianity is a better theistic explanatory hypothesis than is Islam (Basinger 2001, 2-3).

2. Possible Responses to Religious Diversity
One obvious response to religious diversity is to maintain that since there exists no divine reality — since the referent in all religious truth claims related to the divine is nonexistent — all such claims are false. Another possible response, put forth by religious relativists, is that there is no one truth when considering mutually incompatible religious claims about reality; more than one of the conflicting sets of specific truth-claims can be correct (Runzo 1988, 351-357). However, most current discussions of religious diversity presuppose a realist theory of truth — that there is a truth to the matter.
When the topic is approached in this way, philosophers normally center discussions of religious truth claims on three basic categories: religious exclusivism, religious nonexclusivism, and religious pluralism. For the purpose of our discussion, someone is a religious exclusivist with respect to a given issue when she believes the religious perspective of only one basic theistic system (for instance, only one of the major world religions) or only one of the variants within a basic theistic system (for instance, within Christianity) to be the truth or at least closer to the truth than any other religious perspective on this issue.[1] Someone is a religious non-exclusivist with respect to a given issue when she denies that the religious perspective of any basic theistic system or variant thereof is superior to all other religious perspectives on this issue. And someone is a religious pluralist with respect to a given issue when she claims not only (as a non-exclusivist) that no specific religious perspective is superior but also makes the positive claim that the religious perspectives of more than one basic theistic system or variant thereof are equally close to the truth.[2]

3. Religious Diversity and Epistemic Obligation
No philosopher denies that the awareness of (realization of) seeming religious diversity sometimes does in fact have an impact on an exclusivist — from causing minor uneasiness to significantly reducing her level of confidence in the truth of certain beliefs to precipitating belief abandonment. This is simply an empirical claim about psychological states and behaviors (Alston 1988, 442-446; Plantinga 2000, 189).
How should, though, an exclusivist coming to an awareness of religious diversity — the awareness that seemingly sincere, knowledgeable individuals differ with her on an issue of religious significance — respond to the reality of such diversity? How should, for instance, the devout Buddhist or Hindu or Christian who comes to realize that others who seem as knowledgeable and devout hold incompatible religious perspectives respond? Or how should the Christian who believes the Bible clearly portrays a God with total control over all aspects of reality respond to the realization that other seemingly sincere, devout, "Bible-believing" Christians see the Bible as clearly portraying a God who has chosen not to control what occurs in those contexts in which humans have been granted meaningful moral freedom? Can an exclusivist justifiably disregard such diversity? If not, is the exclusivist under some obligation to attempt to resolve such epistemic conflicts — engage in belief assessment? Or would it at least be a good idea for her to do so?
Philosophers continue to differ significantly on which response is correct. There are, of course, religious individuals (and groups) who believe it is inappropriate to subject religious beliefs to assessment of any sort. Certain individuals (sometimes called fideists) have argued, for instance, that religious beliefs are not of a type properly subject to rational assessment and/or that assessing such beliefs demonstrates a lack of faith (Peterson et al. 2003, 45-48). But few philosophers currently hold this position. Most maintain that the exclusivist has at least the right to assess her beliefs in the face of religious diversity.
There continues, however, to be significant debate on whether an exclusivist is under an obligation to engage in such belief assessment. Some philosophers agree with Robert McKim that "disagreement about an issue or area of inquiry provides reason to think that each side has an obligation to examine beliefs about the issue" (McKim 2001, 140). The underlying assumption here is that when an individual's perspective on any issue, be it personal, social, economic, political, or religious, has important consequences for that person or others, then that individual is under an obligation to find the truth of the matter — to maximize truth. And an individual, in this case a religious exclusivist, can only attempt to maximize truth or avoid error in the face of diverse claims, it is argued, if she attempts to resolve the conflict.
The contention here, it must be emphasized, is not that such resolution is always possible or that an exclusivist must necessarily give up her belief if no resolution is forthcoming. Discussion concerning those issues is yet to come. The claim, rather, is only that the exclusivist is obligated at the very least to assess the evidence for and against the beliefs in question and to try to "get a sense of the appeal and of the concern of those who advocate them" (McKim 2001, 146).
Others philosophers disagree. For example, Alvin Plantinga acknowledges that if a proponent of a specific religious perspective has no reason to doubt that those with whom he disagrees really are on equal epistemic footing, then he is under a prima facie obligation to attempt to resolve the conflict. However, Plantinga denies that the Christian exclusivist need ever acknowledge that he is facing true epistemic parity — need ever admit that he actually is differing with true epistemic peers. Although the Christian exclusivist, we are told, may grant that those with whom he is in disagreement have not violated any epistemic duty and may know of no arguments that would convince those with whom he is in disagreement that they are wrong and he is right, the exclusivist is likely to believe that he "has been epistemically favored in some way." He might believe, for instance, that he has been graced by "the Internal Witness of the Holy Spirit; or perhaps he thinks the Holy Spirit preserves the Christian church from serious error, at least with respect to the fundamentals of Christian belief; or perhaps he thinks that he has been converted by divine grace, so that he now sees what before was obscure to him — a blessing not so far bestowed upon the dissenters" (Plantinga 1997, 296).
Moreover, if any beliefs of this type are true, Plantinga contends, then the Christian exclusivist is quite probably "in a better position, epistemically speaking," than those who reject the exclusivistic belief in question. Therefore, since it cannot be demonstrated that Christian belief of this sort is very likely false, the Christian remains justified in maintaining that the proponents of other religious perspectives are not actually on equal epistemic footing. And the same, Plantinga acknowledges, might well be true for exclusivists in other religious belief systems (Plantinga 1997, 296).
The strength of this line of reasoning depends in part on the debatable issue of who shoulders the burden of proof on the question of equal epistemic footing. Those siding with Plantinga argue in essence that unless an exclusivist must acknowledge on epistemic grounds that are (or should be) accepted by all rational people that those holding incompatible beliefs are actually on equal footing, the exclusivist can justifiably deny that this is so and thus need not engage in belief assessment. Those supporting obligatory belief assessment argue that it is the exclusivist who shoulders the burden of proof. Unless it can be demonstrated on epistemic grounds that are (or should be) accepted by all rational people that proponents of the competing perspectives are not actually on equal epistemic footing, the exclusivist must consider his challenger on equal epistemic footing and is thus obligated to engage in belief assessment (Basinger 2001, 26-27).
Another influential type of challenge to obligatory belief assessment in the face of religious diversity has been raised by Jerome Gellman. The focus of his challenge centers on what he identifies as rock bottom beliefs. Such beliefs, as Gellman defines them, are the epistemic givens in a religious belief system — the assumed, foundational truths upon which all else is built. Gellman grants that if a religious belief affirmed by an exclusivist is not rock bottom (is not a foundational assumption), then it may well be subject to obligatory belief assessment in the face of religious diversity. However, he argues, since belief assessment only makes sense when one isn't certain that the belief in question is true, and since rock bottom religious beliefs are among the foundational truths — the basic, assumed truths — in an exclusivist's epistemic system, no assessment is necessary. Rather, when an exclusivist encounters a challenge to such a belief — for example, a challenge to her rock bottom belief in God's ultimate control over all earthly affairs — she can, utilizing the G. E. Moore switch, justifiably maintain that because her rock bottom belief is true, the competing belief can be rejected (Gellman 1993, 345-364; Gellman 1998, 229-235).
Furthermore, Gellman has added more recently, even if we grant that rock bottom beliefs are at times open to belief assessment, the exclusivist need not engage in such assessment in the face of religious diversity unless she finds the awareness of such diversity causes her to lose significant confidence in her own perspective. In the absence of this type of internal conflict, she "may rationally invoke her unreflective religious belief to defeat opposing religious claims, without having to consider the question any further" (Gellman 2000, 403).
Some, though, remain uneasy with Gellman's contention that we need only assess those basic, rock bottom beliefs in which we have lost confidence. It is clearly the case that exclusivists do sometimes lose confidence in beliefs in which they once had a great deal of confidence, and that this was frequently due to the fact that these beliefs were rationally assessed. Consequently, if we assume, as it seems Gellman does, that one of our epistemic goals should be to maximize truth, then it doesn't appear, some maintain, that the fact that a challenged basic belief isn't at present "squeaking" is a sufficient reason for the religious exclusivist faced with diversity of opinion not to engage in belief assessment (Basinger 2001, 42-43).[3]

4. Religious Diversity and Justified Belief
What if we assume, as do most philosophers today, that belief assessment in the face of religious diversity will not normally resolve debate over conflicting religious perspectives in an objective manner? That is, what if we assume that while the consideration of criteria such as self-consistency and comprehensiveness can rule out certain options, there exists no set of criteria that will allow us to resolve most religious epistemic disputes (either between or within religious perspectives) in a neutral, nonquestion-begging fashion (Peterson et al. 2003, 40-53)? In what epistemic position does this then place the exclusivist?
The answer, as some see it, is that the exclusivist can no longer justifiably maintain that her exclusivistic beliefs are true. J.C. Schellenberg, for example, argues that because no more than one among a set of incompatible truth claims can be true, a disputant in a debate over such claims is justified in continuing to maintain that her claim is true only if she possesses nonquestion-begging justification for believing the incompatible claim of any competitor to be false. However, since no disputant in religious conflicts possesses such justification, no disputant can be justified "in holding her own claim to be true." Or, as Schellenberg states this conclusion in another context, we must conclude that in the absence of objective, nonquestion-begging justification, none of the disputants in religious conflicts "has justification for supposing the others' claims false" (Schellenberg 2000, 213).
David Silver comes to a similar conclusion: "[Exclusivists] should provide independent evidence for the claim that they have a special source of religious knowledge … or they should relinquish their exclusivist religious beliefs" (Silver 2001, 11). Julian Willard goes even further. He argues that when exclusivists become aware of diversity and cannot demonstrate that their perspective is superior to that of their competitors, they not only lose the right to hold the exclusivistic belief in question justifiably, they have an epistemic obligation to "set about abandoning" the religious practices based on this exclusivistic belief (Willard 2001, 68).
Others have not gone this far, arguing rather that while the exclusivist need not abandon religious belief in the face of unresolved conflict, she should hold her exclusive religious beliefs tentatively. Such tentativeness, as McKim puts it, does not entail never-ending inquiry. What it means, rather, is that in the face of unresolved religious diversity, one should be open to the possibility “that one or more of the [alternatives] may be correct … that the position one had thought to be correct may be wrong [while] one of the other positions may be right" (McKim 2001, 154-55). Joseph Runzo and Gary Gutting agree. According to Runzo, "all faith commitments must be held with the humbling recognition that they can be misguided, for our knowledge is never sure" (Runzo 1993, 236). Gutting argues that only interim, not decisive assent is justified in the face of unresolved diversity and that "those who give merely interim assent must recognize the equal value, as an essential element in the continuing discussion, of beliefs contrary to theirs" (Gutting 1982, 108). Moreover, argues McKim, such tentativeness in the face of diversity has an important payoff. It can lead to deep tolerance: the allowance “that those with whom you disagree are people whom it is worthwhile to approach with rational arguments" (McKim 2001, 178) And personal tolerance of this sort, we are told, may well lead to a more tolerant and open society that will permit and even encourage a diversity of opinion on all issues, including opinions on religious matters.
William Alston represents an even more charitable response to exclusivism. His perspective is based on what he sees as a crucial distinction between two types of epistemic disputes: those in which "it is clear what would constitute non-circular grounds for supposing one of the contestants to be superior to the others” and those in which it is not. In the former case — in those cases in which there is a commonly accepted "procedure for settling disputes" — it isn't clear, he acknowledges, that it is rational for a person to continue to maintain that her position is superior (Alston 1988, 442-443).
However, as Alston sees it, there exists no such common ground for settling basic epitemic disputes over religious truth claims, and this, he contends, alters the situation drastically. It still remains true, he grants, that the reality of religious diversity diminishes justification. But the fact that "we are at a loss to specify [common ground]” means, he argues, that with respect to those religious perspectives that are self-consistent, it is not "irrational for one to remain an exclusivist" — not irrational for the proponent of any religious perspective to continue to hold that her perspective is true. That is, as Alston sees it, given the absence of common ground for resolving disputes, the proponent of any self-consistent religious perspective can justifiably continue to believe this perspective to be true "despite not being able to show that it is epistemically superior to the competition" (Alston 1988, 443-446).
In fact, at one point he goes even further. Because there exists at present no neutral ground for adjudicating religious epistemic conflicts, it is not only the case, Alston argues, that an exclusivist is justified (rational) in continuing to consider her own perspective superior. Since we do not even know in most cases what a non-circular reason for demonstrating superiority would look like, the "only rational course" for an exclusivist "is to sit tight" with the beliefs "which [have] served so well in guiding [her] activity in the world." Or, to generalize this point, Alston speaks for those who maintain that, given the absence of common ground for adjudicating disputes concerning self-consistent religious perspectives, it is not rational for an exclusivist to stop maintaining that her system is superior (Alston 1988, 444).[4]
Philip Quinn represents yet another, increasingly popular approach. While he agrees with Alston that in the face of diversity an exclusivist may well be justified in continuing to "sit tight" — in continuing to maintain that her religious perspective is true — he denies that this is the only rational course of action available (Quinn 2000, 235-246). The basis for this position is his distinction between a pre-Kantian and a Kantian understanding of religious belief. To have a pre-Kantian understanding of religious belief is to assume that we have (or at least can have) access to the truth as it really is. It is to believe, for instance, that we do (or at least can in principle) know what God is really like. To have a Kantian understanding of religious belief is to assume that although there is a literal noumenal reality, our understanding of this reality (and thus our truth claims about this reality) will of necessity be relative to the cultural/social/psychological grids through which our conceptualization of this noumenal reality is processed. It is to believe, for instance, that although there is a divine reality about which we can make truth claims, our understanding of (and thus our truth claims about) this divine reality will necessarily to some extent be conditioned by the ways in which our environment (our culture in the broadest sense) has shaped our categories of thought (Quinn 2000, 241-242).
Alston, Quinn contends, is essentially working off of a pre-Kantian model of religious belief when he encourages religious exclusivists to sit tight in the face of peer conflict since, in the absence of any objective basis for determining which perspective is right, the exclusivist has no sufficient reason not to do so. Quinn does not deny that this pre-Kantian approach is justifiable and thus does not deny that someone who follows Alston's advice to sit tight is rational in doing so. However, Quinn believes that "it should not be taken for granted that any of the [contending perspectives] in its present form is correct." Hence, he believes it is equally justifiable for an exclusivist to adopt a Kantian approach to religious belief. Specifically, he believes it is equally justifiable for an exclusivist to assume that whatever any of us can know about the truth of the matter will never be a description of religious reality that is free of significant "cultural" conditioning. Accordingly, it is also rational, he maintains, for exclusivists encountering diverse truth claims to "seek a more inclusivist or pluralistic understanding of their own faith" by modifying their beliefs to bring them "into line with such an understanding" (Quinn 2000, 242).
In short, as Quinn sees it, those who hold a position such as Alston's have left us, at least implicitly, with a false dilemma: either we find common ground on which we can objectively determine which religious perspective is the truth or we sit tight with what we have. However, Quinn holds that, once we realize it is perfectly reasonable for a person to assume that the proponent of no religious perspective has (or even could have) an accurate understanding of divine reality as it really is, another rational alternative appears. We then see that it is also perfectly rational for a person to begin to revise her own phenomenological perspective on the truth in a way that will allow for greater overlap with the phenomenological perspectives of others.
The approach to conflicting religious perspectives Quinn outlines has in fact become increasingly popular in exclusivistic circles. Consider, for example, the ongoing debate among Christians over how God brought the rest of reality into existence. Some still claim the Bible clearly teaches that God created the "heavens and the earth" in six twenty-four hour periods about ten thousand years ago. Others still maintain that the fact that "a day is to the Lord as a thousand years" means that while God is directly responsible for what the Bible says was created each "day," it is most reasonable to believe that the time frame for each instance of creative activity could well have been millions, or even billions, of years. And then there are those who still hold that God's direct creative activity consisted primarily of orchestrating the "Big Bang." However, more recently, many Christians have taken a more Kantian approach. Based on their assumption that we may well not have access, even through Scripture, to exactly how God was involved in the creative process, they have modified what is to be considered essential to Christianity on this issue. Rather than affirming any of the specific explanations of how God created all else, they affirm a more general contention compatible with each of these specific explanations: that God is in some manner directly responsible for the existence of all else. They have, in Quinn's terms, thinned their core theologies in a way that reconciles the divergent perspectives.
Everyone realizes, though, that moving toward a thinner theology and thicker phenomenology can resolve the epistemic tension produced by religious diversity only to a certain extent. Even if we assume that it is perfectly reasonable, and possibly even preferable, for exclusivists to thin their theologies (and thus thicken their phenomenologies) in an attempt to minimize that core of truths that must be accepted to remain proponents of the specific theological perspectives in question, to be an exclusivist — even a strongly Kantian exclusivist — is still to believe that one's religious perspective is superior in the sense that it is in some important way closer to the truth than are the competing perspectives of others. Accordingly, while thinning her theology may be a rational choice that can minimize conflict, no one is arguing that it can be the sole response for an exclusivist. At some point, a person must either cease to be the exclusivist she was or choose one of the other options: acknowledge that the belief in question isn't true, hold it more tentatively, or sit tight with what she has.

5. Religious Diversity and Apologetics
Let us assume that an exclusivist is justified in retaining her exclusivistic belief in the face of religious diversity. Specifically, let us assume that the exclusivist can justifiably defend the epistemic right to retain her exclusivity in the face of such diversity. Ought she stop there or can she justifiably go further? Can she justifiably try to convince others that she is right — can she justifiably try to convert others to her perspective? And if so, is she in any sense obligated to do so?
Most who believe that such proselytization is not justified challenge the moral character of an exclusivist who attempts to convince those with whom she differs to accept her perspective as the sole truth. For instance, Wilfred Cantwell Smith argues that "except at the cost of insensitivity or delinquency, it is morally not possible actually to go out into the world and say to devout, intelligent fellow human beings [that] we believe that we know God and we are right; you believe that you know God, and you are totally wrong" (Smith 1976, 14). And when Runzo claims that exclusivism can be "highly presumptive" and "morally repugnant" (Runzo 1988, 348) or John Hick maintains that exclusivists often manifest a sort of arbitrariness or arrogance (Hick, 1989, 235), they too appear to be challenging the moral character of those who attempt to convert others to their perspective.
Not surprisingly, most exclusivists deny that it is insensitive or arrogant or presumptive for an exclusivist to attempt to convince others that her perspective is the correct one — to tell others that she is right and they are wrong. Since we are justified in believing our position to be superior to others — closer to the truth — it is difficult to see, exclusivists argue, how our attempts to convince others that they should agree can be considered arrogant or presumptive or insensitive, especially if we believe that it is important for the welfare of those we are attempting to convert that they do so. Moreover, exclusivists continue, while it is surely true that some conversion is attempted for what we would all agree are morally inappropriate reasons — for instance, for financial gain or to gain power over others — there is little empirical evidence that exclusivists in general have these motives. It is probably true, rather, that many, if not most, exclusivists who proselytize do so primarily because they believe they have what others need and are willing (sometimes at great personal cost) to share it with them.
Are, though, exclusivists required to proselytize? Many exclusivistic religious systems do require proselytization, and most philosophers who believe that exclusivists are justified in retaining their exclusivistic beliefs in the face of religious diversity believe also that these exclusivists can justifiably feel obligated to attempt to "convert" their epistemic competitors. With very few exceptions, though, philosophers deny that exclusivists are under any general obligation to proselytize, regardless of whether the exclusivistic system in question demands or encourages such proselytization.[5]

6. Religious Diversity and the Eternal Destiny of Humankind
The discussion of religious diversity thus far has been framed in terms of truth claims (in terms of justified belief) because it is increasingly recognized by philosophers as the best way to access the most important questions that the reality of such diversity forces upon us. Historically, however, there has been one specific "diversity issue" with which philosophers have been most concerned: the question of the eternal destiny of humankind, that is, the question of who can spend eternity in God's presence — who can obtain salvation.
Those who are religious exclusivists on this question claim that those, and only those, who have met the criteria set forth by one religious perspective can spend eternity in God's presence.[6] Adherents of other religious perspectives, it is acknowledged, can affirm truth related to some or many issues. But with respect to the question of salvation (one's eternal destiny), a person must be told about, acknowledge, and follow the unique way. Or, to be more specific, as salvific exclusivists see it, the criteria for salvation specified by the one correct religious perspective are both epistemologically necessary in the sense that those seeking salvation must be aware of these conditions for salvation and ontologically necessary in the sense that these conditions must really be met (Peterson et al. 2003, 270).[7]
It is important to note, though, that not only Christians are salvific exclusivists. There are Muslims, for example, who hold that only those who commit themselves to Allah can spend eternity with the Divine. Also important to note is that differing, sometimes even conflicting, exclusivistic claims can exist within the same world religion. For instance, significant intra-Christian debate has centered historically on the eternal fate of young children who die. For some, the answer was (and still is) that all children who die are separated from God eternally. Others have believed that God "elects" some for heaven and allows the rest to spend eternity in hell, while still others have held that only the deceased children of believers are allowed to enter heaven or that salvation for children who die is tied to the sacrament of baptism. A more common belief today among Christians, though, is that all those who die in early childhood (or die having possessed only the mental capacities of young children) enter automatically into God's eternal presence (Basinger 1991, 4).
But what of those “adults” who die having never been aware of the salvific conditions of the one true religion? Is it not clearly unjust for exclusivists to claim that they cannot spend eternity with God because they have not met the criteria for salvation stipulated by this religion? For salvific inclusivists, the answer is yes. Like exclusivists, inclusivists believe that eternal existence in God's presence is only possible because of the salvific provisions noted in the one true religion. However, religious inclusivists allow that some adherents of other religions can be saved because of these provisions, even if the individuals in question haven't made the personal commitments normally stipulated as necessary to appropriate these salvific provisions. Put in philosophical language, as inclusivists see it, particular salvific events may be ontologically necessary for salvation in the sense that salvation cannot occur without them but not epistemically necessary in the sense that one need not know about them to be saved or liberated (Peterson et al. 2003, 280).
Probably the best known Christian proponent of this inclusivist perspective is Karl Rahner. Christianity, he argues, cannot recognize any other religion as providing the way to salvation. However, since God is love and desires everyone to be saved, God can apply the results of Jesus's atoning death and resurrection to everyone, even to those who have never heard of Jesus and his death or have never acknowledged his lordship. Just as adherents to pre-Christian Judaism were able, through the redemptive acts of Jesus of which they were not aware, to enter God's presence, so, too, is it possible for adherents of other religions to enter God's presence, even though they are not aware of the necessary redemptive acts of Jesus that makes this possible (Peterson et al. 2003, 280-281). Inclusivists, it should be noted, differ on the conditions such “anonymous Christians” must meet. Some stipulate, for instance, that those who have never heard "the gospel" still have both some innate knowledge of God and the freedom to establish a relationship with God and, therefore, that the eternal destiny of those in this category is dependent on the extent to which they commit as much as they knows of themselves to as much as they know of God through, or even apart from, a religion other than Christianity. Other inclusivists don't want to be as specific, maintaining only that, because God is just, there will surely be some adherents of other religions who will be in God's presence because they have met some set of divine conditions they have it within their power to meet (Paternoster 1967). But all agree these "anonymous Christians" are the recipients of supernatural grace.
Salvific pluralists, however, find such reasoning no more convincing than that offered by exclusivists. Inclusivists are right, pluralists grant, to say that individuals need not necessarily know of or fulfill certain requirements normally specificed in a given religion to attain salvation. But inclusivists, like exclusivists, are wrong to argue that this salvation is, itself, possible only because of certain conditions or events described in the one true religion. There is no one true religion and, therefore, no one, and only one, path to eternal existence with God.
Why, though, ought we consider this pluralistic salvific hypothesis more plausible than that offered by the exclusivist or inclusivist? According to Hick, the most influential proponent of pluralism, three factors make a pluralistic perspective the only plausible option. First, and foremost, he argues, is the reality of transformation parity. An efficacious salvific process is not just other-world centered — does not simply give individuals a "ticket" to eternal existence with God. It begins "the transformation from self-centeredness to Reality-centeredness" in this life (Hick 1984, 229). That is, an efficacious salvific process changes lives in the sense that it begins to turn people from thinking about, and acting only to enhance, their own personal well-being to viewing themselves as responsible participants in a much greater, more expansive reality. In short, an efficacious salvific process makes its participants better people. And all the evidence we have, Hick maintains, shows that many religions are equally transformational, given any general standard for positive transformation we might want to consider (Hick 1989, chapter 3).
There continues to be debate, however, over whether the same basic personal transformation actually does occur within various religions — over whether there is real transformational parity. Few claim that there is a strong experiential basis for denying such transformational parity or that it can be demonstrated on other objective, nonquestion-begging grounds that such parity does not exist. However, proponents of many basic theistic systems claim that while transformational parity may appear to be the case, this is actually not so — that is, claim that the transformation within their systems actually is qualitatively different than that produced by allegiance to other systems. It is sometimes argued, for instance, that the transformation within other systems will not last, or at least that this transformation, while possibly real and even lasting for a given individual, is not what it could have been for that individual within the one true theistic system. And some exclusivists have argued that unless it can be demonstrated in an objective, nonquestion-begging sense that they are not justified in affirming a religious perspective that makes such claims (which even Hick does not attempt to demonstrate), they are justified in denying that such parity actually exists (Clark 1997, 303-320).
Others have argued that focusing on transformational parity can also be used as an argument against salvific pluralism. The basis for this claim is the fact that people making a "secular" (non-religious) commitment to some goal, value, or metaphysical perspective — be it concern for the environment or world hunger or emotional health — often appear to have their lives transformed in ways quite similar to the ways in which the lives of religious believers are transformed. They, too, appear to have changed from self-centeredness to a focus on reality outside of self. If this is so, however, then might it not be that the religious transformational parity we observe is simply a sub-set of the general transformational parity we find among individuals who commit themselves to any perspective on life that centers reality outside of self, and thus that it is just as plausible to assume that all religious transformational parity is the result of some form of internal conceptual realignment than the result of some form of connection with an external divine reality? And if this is the case, it is argued, then transformational parity is at least weakened as support for any salvific perspective, whether pluralistic, inclusivistic, or exclusivistic (Basinger 2001, 64-69).
Seeming transformational parity is not, however, Hick's only reason for believing non-pluralistic salvific perspectives to be untenable. A credible perspective, he tells us, must account for the fact, "evident to ordinary people (even though not always taken into account by theologians) that in the great majority of cases — say 98 to 99 percent — the religion in which a person believes and to which he adheres depends upon where he was born" (Hick 1980, 44). And given this fact — given that "religious allegiance depends in the great majority of cases on the accident of birth" — it seems implausible to hold that "being born in our particular part of the world carries with it the privilege of knowing the full religious truth" (Hick 1997a, 287).
This contention, though, has also been challenged. No one denies that the admittedly high correlation between where and when a person is born and the religious perspective she affirms is relevant and might in fact negatively affect an exclusivist's confidence. But many exclusivists deny that a pluralistic explanation should be seen as the only plausible option. As they see it, exclusivists need not consider the high place-time/religious allegiance correlation in question in isolation from other relevant beliefs. For example, the Christian exclusivist need not consider this correlation in isolation from her basic belief that the Bible is an authoritative source of truth and that the Bible teaches that only the Christian perspective contains a totally accurate view of reality. And it is justifiable, some maintain, for exclusivists to consider the plausibility of such relevant background beliefs to outweigh the seeming counterevidence posed by the correlation in question (Plantinga 2000, 187; Plantinga 1997, 198).
Finally, Hick argues, a credible religious hypothesis must account for the fact, of which "we have become irreversibly aware in the present century, as the result of anthropological, sociological, and psychological studies and the work of philosophy of language,” that there is no one universal and invariable pattern for the interpretation of human experience, but rather a range of significantly different patterns or conceptual schemes "which have developed within the major cultural streams." And when considered in this light, a "pluralistic theory becomes inevitable" (Hick 1984, 232).
While no one denies that culture shapes reality to some extent, it has again been argued that when comparing the plausibility of specific beliefs, we must consider not only these specific beliefs themselves but also the basic background beliefs in which they are embedded. Thus, even if we grant that a pluralistic response to the obvious shaping power of culture is preferable to any exclusivistic response when such shaping power is considered in isolation, it isn't clear to all exclusivists that Hick's hypothesis is so strong that it renders implausible the whole set of basic background beliefs out of which the exclusivist's response to the profound shaping influence of culture on religious belief arises. Hence, it isn't clear to all exclusivists that they can't justifiably reject Hick's contention that a pluralisitic cultural/religious interpretation of reality must inevitably be considered superior (Basinger 2001, 74).
Hick argues for salvific pluralism on what might best be called metaphysical or epistemological grounds. Other philosophers, however, have attempted to make a moral case for salvific pluralism (or at least against salvific exclusivism.) For instance, Kenneth Himma has argued recently that moral considerations require Christian salvific exclusivism to be rejected (Himma 2002, 1-33). It follows both from God's perfection and conceptual truths about punishment, Himma maintains, that God would not punish individuals who are not morally culpable for their behavior. But those with non-Christian beliefs are generally not morally culpable for the fact that they hold these beliefs. Not only is it not the case that any objective line of reasoning demonstrates the Christian (or any other religious) path to salvation to be the correct one, religious traditions are, themselves, extremely elastic. That is, because of the shaping, foundational nature of basic religious belief, devout proponents of any given religion are capable of (in fact, usually simply find themselves) offering self-consistent responses to almost any challenge to their salvific perspective, no matter how strong or damaging this challenge might seem on the surface. Furthermore, recent sociological, psychological, and anthropological studies have confirmed that while one's basic religious beliefs are not inevitable, they are quite often to a significant extent "beyond the direct volitional control of the believer" (Himma 2002, 18). So we must conclude, argues Himma, that it would not be morally just for the Christian God to deny salvation to devout people of other faiths.
Not surprisingly, many nonexclusivists and pluralists will find this basic line of reasoning persuasive. However, some (although not all) exclusivists reject the basic moral assumption on which Himma's argument is based: that we are in a position to correctly identify some of the basic moral principles that guide God's interaction with us as humans. Specifically, while many Christian exclusivists do believe that God's behavior is guided by the same basic principles of justice and fairness that are so fundamental to our human moral thinking, this is not true for all. There is a strong Christian tradition that holds that God is under no obligation to treat any individual in what we would consider a just, fair fashion. God can do what God wants (including how God responds to those who haven't affirmed Christian beliefs) for whatever purposes God has, and it is right simply because God has done it.[8] And even among those Christian exclusivists who come to acknowledge Himma's basic point — that a just God cannot condemn those who aren't culpable for their non-Christian beliefs — the response has normally not been to reject their overall exclusivistic perspective. It is often simply assumed, rather, that “God's ways are above our ways” in some manner unfathomable to the human mind.
However, even if we were to agree with pluralists that both exclusivists and inclusivists are wrong to claim that the basis for true salvation can be found in only one religion, the question of what type of pluralistic hypothesis we ought to affirm remains. Hick, himself, favors what might be called a selective pluralism that centers on the world's great religions. Hick has never denied that the major world religions — Christianity, Hinduism, Buddhism, Islam — make conflicting truth claims. In fact, he believes that "the differences of belief between (and within) the traditions are legion" and has often discussed these conflicts in great detail (Hick 1983, 487). His basic pluralistic claim, rather, is that such differences are best seen as differing ways in which differing cultures have conceived of and experienced the one ultimate divine Reality. Each major religious perspective "constitutes a valid context of salvation/liberation; but none constitutes the one and only such context" (Hick 1984, 229, 231).
Why, however, select only the paths offered by the world's great religions as ways to salvation? For Hick the answer lies in the fact that, unlike "Satanism, Nazism, the Order of the Solar Temple, etc.," the world's great religions offer paths that lead us away from "hatred, misery, aggression, unkindness, impatience, violence, and lack of self-control" to love, joy, peace, patience, kindness, goodness, faithfulness, gentleness, and self-control (Hick 1997b, 164). Some, though, see this sort of ethical standard for acceptable salvific perspectives to be as arbitrary as the standard for acceptable paths to salvation set forth by exclusivists or inclusivists (Meeker 2003, 5). In fact, some have questioned whether, given this rather specific ethical criterion for assessing the salvific adequacy of religions, Hick's perspective should actually be considered pluralistic at all.
S. Mark Heim, for instance, argues that pluralists such as Hick are really inclusivists in disguise in that they advocate only one path to salvation — the transformation from self-centeredness to Reality-centeredness — and thus in essence deny that diverse religions have real, fundamental salvific differences. A better, more honest salvific pluralism, we are told, is to acknowledge that each religion has its own path to salvation that may be either similar to or different from that of other religions. That is, a more honest pluralistic perspective is to deny that the seemingly different salvific paths offered by various religious traditions are all just culturally distinct manifestations of the same fundamental path and maintain instead that salvific paths of various religions remain incompatible, but equally valid ways to achieve salvation. This is not to say, of course, it is acknowledged, that all the details of all the salvific paths are actually true since some of the relevant claims are inconsistent. But the appropriate response to this is not to claim there is one true path to salvation. It is rather to claim that many distinct paths, while remaining distinct, can lead to salvation (Heim 1995).
Critics, however, wonder whether part of this seeming disagreement is verbal in nature. Heim can appear to be bypassing the question of whether there is some sort of final, ultimate eschatological salvific state that the proponents of various religious perspectives will all experience, emphasizing rather that many distinct religious paths can liberate people (produce salvation) here and now (Peterson et al. 2003, 280). Hick, on the other hand, seems most concerned with the nature salvific reality — with what it means to experience salvation — while not denying that there exist in this world distinct ways that remain distinct to access this ultimate reality.

7. Conclusion
As we have seen, discussions of religious diversity lend themselves to no easy answers. The issues are many, the arguments complex, and the responses varied. It would be hard, though, to overstate the practical significance of this topic. While some (many) issues that philosophers discuss have practical implications for how we view ourselves and treat others, none is more relevant today than the question of religious diversity. Exclusivistic religious convictions have not only motivated impassioned behavior in the past — behavior that has affected significantly the lives of many — such convictions clearly continue to do so today. So to the extent that such exclusivistic behavior is based on inadequate conceptual tools and/or fallacious reasoning, the continuing philosophical discussions of religious diversity that clarify issues and assess arguments may well be of great practical value.

Credit: stan/pla