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Pagan and Christian

DUCKWORTH DEBATES IN ARCHAEOLOGY


Series editor: Richard Hodges
Against Cultural Property John Carman
Archaeology: The Conceptual Challenge Timothy Insoll
Archaeology and International Development in Africa
Colin Breen & Daniel Rhodes
Archaeology and Text John Moreland
Archaeology and the Pan-European Romanesque
Tadhg OKeeffe
Beyond Celts, Germans and Scythians Peter S. Wells
Bronze Age Textiles Klavs Randsborg
Combat Archaeology John Schofield
Debating the Archaeological Heritage Robin Skeates
Early Islamic Syria Alan Walmsley
Ethics and Burial Archaeology Colin Breen and Daniel Rhodes
Gerasa and the Decapolis David Kennedy
Houses and Society in the Later Roman Empire Kim Bowes
Image and Response in Early Europe Peter S. Wells
Indo-Roman Trade Roberta Tomber
Loot, Legitimacy and Ownership Colin Renfrew
Lost Civilization: The Contested Islamic Past in Spain and
Portugal James L. Boone
Museums and the Construction of Disciplines
Christopher Whitehead
The Origins of the English Catherine Hills
Pagan and Christian: Religious Change in Early Medieval
Europe David Petts
Rethinking Wetland Archaeology Robert Van de Noort &
Aidan OSullivan
The Roman Countryside Stephen Dyson
Shipwreck Archaeology of the Holy Land Sean Kingsley
Social Evolution Mark Pluciennik
State Formation in Early China Li Liu & Xingcan Chen
Towns and Trade in the Age of Charlemagne Richard Hodges
Villa to Village Riccardo Francovich & Richard Hodges

Pagan and Christian


Religious Change in Early
Medieval Europe

David Petts

Bristol Classical Press

First published in 2011 by


Bristol Classical Press
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Bloomsbury Academic
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London W1D 3QY, UK
Copyright 2011 by David Petts
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Contents
Acknowledgements

1. Early medieval religion in context

2. Approaching religion: archaeology and belief

3. Christianity and text

4. Deconstructing paganism

5. Religions in contact

Bibliography
Index

0
0

To Jane, Isobel and Ned

Acknowledgements
This book has taken far longer to write than originally intended. This has been for domestic and intellectual reasons.
The former have included two job changes, two house moves
and two children. On the intellectual front, however, it rapidly
became clear that inside this slim book lay a huge and sprawling volume trying to escape. Much time was spent on writing
text that never made the final cut, although hopefully this will
emerge in other forms further down the line. If the writing of
this book took a long time, many of the ideas addressed here go
back much further. I have been thinking about archaeology and
religion ever since I started a PhD on early Christian burial in
Britain in the mid-1990s, although the frequent appearance of
Martin Carver in this work reflects the profound, if unacknowledged, influence his work had on me as an overenthusiastic
undergraduate over twenty years ago.
Over the last fifteen years I have had a chance to explore and
exchange thoughts about early medieval Christianity and paganism with numerous colleagues and students. Many may not
even be aware that our discussions have helped shape the
arguments presented here. They have also been more than
helpful in providing practical assistance, particularly in the
shape of off-prints and pre-publication copies of new material
inevitably exciting and relevant papers and volumes appear in
book catalogues just as one is trying to draw a line under ones
writing. In particularly I would like to thank Howard Williams
and Sarah Semple in this respect. A special thanks must also
go to Deborah Blake of Bristol Classical Press for astounding
levels of patience.

Early medieval religion in context


Introduction
In 1382 two old enemies died within months of each other.
Winrich von Kniprode, Grand Master of the Teutonic Knights,
had defeated Kestautis, joint ruler of the Grand Duchy of
Lithuania, at the Battle of Rudau twelve years earlier. Enemies in life, their funeral rites speak volumes of the underlying
struggle of ideologies that had led to the conflict. Von Kniprode
was buried alongside previous masters in the mausoleum that
lay beneath the Chapel of St Anna, at the Orders headquarters, the massive red-brick castle of Marienburg (Malbork,
Poland). Kestautis, however, was laid out with his horses,
weapons, and other belongings and then cremated in the centre
of Vilnius, his capital. Von Kniprode was a Christian crusader
and Kestautis the ruler of a pagan state; within the year his
son Vytautis had converted to Christianity. Their confrontations were the final struggles of the last pagan state in Europe.
From now on, the kingdoms of medieval Europe were entirely
Christian; only the tiny Emirate of Grenada remained as a lone
beacon of non-Christian political power north of the Mediterranean, and its leaders also followed a monotheistic religion that
had come to power in the conflict and chaos of late antiquity.
The time that had elapsed from the acknowledgement of Christianity as a licit religion by the Roman emperors to the conversion of Vytautis was a little over a thousand years.
In the early fourth century AD Christianity was a minority
religion. Although attracting increasing numbers of adherents,
it still faced significant persecution, both within the Roman
Empire and beyond its borders. It was just one religion in a

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world full of gods (Hopkins 2000). The religious geography of
Europe was complex and shifting, with a mosaic of local religions, national, traditional and international cults. Monotheists,
henotheists and polytheists lived and worshipped in close proximity. The relationship between these communities of belief
ranged from indifference to open antagonism. Within six hundred years, the religious landscape of Europe was profoundly
different; despite undergoing a process of political fission and
enduring a deep and fundamental change to the economy and
social structures, it was possible to talk about Christendom.
Where there was once immense diversity in religion an apparent uniformity of belief could now be seen. Non-Christian
religious practice survived only at the margins of society; both
at the physical edges of Europe from the animism of the FinnoUgric peoples of the circumpolar regions to the spread of Islam
to the south and east, but also at the social margins of the early
medieval world, with small communities of Jews and other
communities of alternate belief scattered across Europe (e.g.
Berend 2001; Glick 2001). Indeed, the spread of Christianity
has come to be seen as one of the features that characterises
the medieval world in the first millennium AD. The close link
between conversion to the Church and the spread of other key
elements of developed medieval society, such as literacy, feudalism and kingship, has often been noted (Bartlett 1993;
Berend 2007; Blomkvist 2005). The social impact of Christianity has been amply documented and used as a key tool for
exploring the transformation of the post-classical world (Brown
1996; Fletcher 1997; Herrin 1987; Knight 1997); as such the
rise of Christendom has become an important meta-narrative for
the first millennium AD. Given this, it is not surprising that the
study of the Christianisation of European society has become one
of the key topics for study by historians and archaeologists working on early medieval material. While the broad chronological
contours of the spread of the Cross have been established, there
has been a flowering of work developing a more subtle understanding of how this process was played out over time and space
(e.g. papers in Carver 2003 and Berend 2007).

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This book attempts to take an overview of this renewed
interest in conversion and Christianisation. These two
phrases will be used again and again the following pages, and
the extensive scholarship on religious change in this period has
repeatedly attempted to define their precise meaning (e.g.
Russell 1994, 26-44; Nock 1933; MacMullen 1984, 1985; Kilbride 2000; Berend 2007, 27-8). While there have been some
attempts to move away from this terminology entirely (e.g.
Kilbride 2000; Russell 1994), this book will follow the broad
consensus among archaeologists and historians of this period
and understand conversion as an act in which external allegiance is made to the Church, usually through entering the
catechumenate, baptism or prime signing, while Christianisation is the longer-term process by which a broadly Christian
world view is internalised by individuals and societies. The
space between a society seeing its first conversions and its full
Christianisation (if such a state is ever achievable) may take
decades or even centuries. This book takes as one of its key
themes a better understanding of these processes. Rather than
trying to provide a chronological or thematic synthesis of the
process of conversion (amply covered in a number of recent
overviews, e.g. Brown 1996; Fletcher 1997), it is hoped instead
to explore some of these methodological and theoretical challenges by working through a number of case studies chosen to
shed light on specific issues.
The study of late antique Christianity
One of the key academic divides in the study of early Christianity is that between scholars working on the classical/late antique world and those researching the early medieval world.
Few considerations of the spread of the religion attempt to
straddle this gulf; while there have been a small number of
large-scale narratives that cross this boundary (e.g. Brown
1996; Fletcher 1997), there have been fewer national, regional
or local studies that have tackled it. In modern terms, the
distinction between late antique and early medieval is a fine

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one. The dividing line is not chronological; early sixth-century
Constantinople would usually be seen as part of the late antique world, while contemporary Yorkshire is seen as firmly
early medieval. One of the underlying distinctions is between
areas that show some element of direct continuity from classical antiquity and those which seemingly do not (although they
may show some evidence of re-using or re-interpreting aspects
of the classical past). Not surprisingly the use of such labels
can be contentious, as seen clearly in recent debate within
British archaeology about how far fifth-century Britain might
be seen as late antique rather than early medieval (compare,
for example, Esmonde Cleary 2001 with Faulkner 2003).
Inevitably these academic labels also reflect differing emphases in geography and in the range of evidence used. Studies
of early Christianity in the classical world have generally focused on the Mediterranean and the Near East (e.g.
Macmullen 1984; Hopkins 2000). The approach to the study of
Christianity in the classical church has been overwhelmingly
text-led, for it is in the lands around the Mediterranean and
the Persian Gulf that the writers behind these texts dwelt. In
contrast to these synthetic overviews, the studies of the spread
of Christianity in the provinces during the Roman period have
often been far more archaeological in context, reflecting the
relative lack of textual material (e.g. Gaspar 2002; Knight
1999; Migotti 1997; Petts 2003).
While the study of patristics, the documentary output of the
early church fathers, forms a key plank in the textual study of
late antique conversion, it is not the only one. This was also a
world of erudite and persuasive pagan intellectuals. This has
allowed scholars to explore the process of Christianisation as
the creation of a discourse not just within the community of
Christian writers, but between Christianity and classical paganism. To a certain extent both sides of the theological debate
can be explored through the voices and writings of the key
participants. Nonetheless these pagan voices are drawn from a
relatively limited section of the wider pagan community. By
definition, these writers are literate and almost without excep-

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tion drawn from an educated lite. The form of paganism which
these writers was a relatively limited and circumscribed form
of non-Christian belief which includes strongly orphic and
Gnostic tendencies and theologies closely linked to ideas formulated in the Platonic philosophical tradition (Chuvin 1990).
These types of paganism are clearly just a small and relatively
arcane element of the far wider cluster of pagan practices that
could be found across the Empire; their literary evidence may
allow us to view a pagan-Christian dialogue, but it was a
limited and rarefied one.
The sheer quantity of textual material available has had a
profound impact on the way in which late antique Christianity
has been explored. It would not be unfair to argue that the
focus on patristics has meant that for long the underlying
meta-narrative has emphasised the development of theology
and dogma. Religious change was not necessarily however simply a consequence of the successful defence of an intellectual
standpoint. As with any paradigm shift, whether at a personal
or institutional level, this transition was effected as much
through the demands of realpolitik, the pragmatics of power
that run through all aspects of society and the social and
material constraints of daily life. As will be explored elsewhere
in this book, the problematic relationship between religious
belief and religious practice is one that permeated debates
about religions in past societies, and continues to exist as a key
problematic in modern studies of the history of religion
(McCarthy 2009). However, the emphasis on text-led investigations of religious change in the classical world has a tendency
to privilege the study of belief over practice.
The work of Peter Brown from the 1960s and 1970s in
exploring the wider socio-cultural impact of Christianity was of
fundamental importance in moving the study of religious
change and the creation of the Christian world out of the
scriptorium and into the rough and tumble of the late antique
world. For example, Browns The Body and Society (1988),
which clearly demonstrated the influence of Michel Foucault,
explored the impact of Christianity on the body through its

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examination of the relationship between sexuality and power
in the late antique world. This stimulated a substantial body of
consequent research (e.g. Shaw 1998; Schroeder 2007; Cox
Miller 2009) which takes the body as point of departure to
explore early Christianity. However, ironically these explorations of the body remain curiously disembodied, focusing
primarily on texts and high-status art as the principal types of
evidence used. There is little real engagement with materiality
of the body as expressed through the physical artefacts which
they used and adorned themselves and the built spaces
through which they moved, forms of evidence that archaeology
might be best suited to explore. For a long time the study of late
antique and early Christian art had been dominated by connoisseurship and a traditional art history (e.g. Grabar 1967;
Van der Meer 1967). The material turn in the study of late
antiquity initiated by Brown certainly stimulated an increased
interest in the potential for the study of art in exploring rather
than simply illustrating the process of Christianisation (e.g
Elsner 1995; McCormick 1981). However, these studies have
drawn primarily on lite, luxury and public art rather than on
more mundane objects and artefacts. The one area where the
study of conversion has clearly intersected with the wider social environment has been the exploration of the way in which
impact of the adoption of Christianity by the Roman state
transformed the urban landscape of the classical world (e.g.
Harries 1992; Wharton 1995; Loseby and Christie 1996).
As a result of these tendencies within the study of religion,
the study of Christian conversion has been dominated by an
approach that might be characterised as focusing on the development of a discourse between Christian and a limited pagan
audience carried out primarily through texts and high-status
art. A significant proportion of the Christian and pagan participants in this discourse in fact shared key cultural reference
points despite their apparent religious differences. This shared
cultural knowledge, which included grounding in classical mythology, Platonic philosophy, rhetoric, grammar and oratory
transcended the more obvious religious disagreements of many

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writers (Brown 1992). An appreciation of this common lite
intellectual culture is essential; it was deliberately cultivated
and may have provided a unifying sense of identity and cultural reference points that allowed any dialogue between
Christian and pagan at all. However, this common repertoire of
knowledge also highlight the limitations of exploring the articulation of Christian and pagan world views, whether found
in the textual corpus or the high-status products of Mediterranean ateliers, as they are both drawing on a common stock of
literary and artistic tropes. It is a methodological challenge for
the modern scholar to break out of the confines of this discourse; something which an archaeological approach to the
study of religious practice allows.
The study of early medieval Christianity
These distinctive features of the study of religious change and
conversion in the late classical world contrast with the approaches used to explore similar concerns by scholars working
on early medieval regions. As with the study of late antiquity,
the early medieval world has distinct geographical limits and
is generally regarded as including those areas of the Roman
Empire that underwent a period of apparent rupture due to a
greater or lesser extent of Barbarian immigration. These include most of England and much of western, southern and
south-eastern Europe, particularly beyond the Danube. The
early medieval world also comprises those areas of northern
Europe that were never integrated into the Roman Empire;
essentially a crescent running from Ireland through Scotland
across the North Sea to Scandinavia, Eastern Germany and
the Baltic. These areas have more in common than simply
geography or immediate history. While it is always a risk to
generalise, the polities in these areas generally tended to be
small-scale political formations constructed around personalised power relations with socially embedded, and generally
localised, economies. Urbanism and coinage was almost completely absent until the eighth century AD at earliest, when

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their appearance appears to have gone hand-in-hand with the
extension and consolidation of long-distance trade networks.
These were also, generally speaking, non-literate societies,
though not entirely so, as will be explored below. This is in
contrast to the urbanised and literate societies with monetised
economies and state bureaucracies that characterised much of
the late antique world.
These differences also extend to the approaches taken to the
process of religious conversion it is a critical exploration of
these approaches that will form the heart of this book. The first
key difference is the extent of surviving textual evidence. However one measures it, the total resource is far less than in the
Mediterranean world. There are also significant areas, particularly much of Scandinavia and the Baltic, where contemporary
documentary records are almost entirely absent. In some cases,
these absences genuinely reflect the lack of textual production
in these areas; in other cases, such as Wales and Pictish Scotland, this absence probably reflects the failure of early texts to
survive for a host of reasons (Sims-Williams 1998, 18-24;
Forsyth 1998, 39-44). Unlike the late antique world, the surviving textual material is entirely a product of a Christian cultural
milieu; there is no pagan Bede or Henry of Livonia engaging in
written dialogue with Christian scholars or producing counternarratives with which to contest the totalising discourse of the
Christian literati.
Further challenges presented by the textual material are
linked to one of the key differences in the process of religious
change within the rump of the Roman Empire and outside it.
With the Edict of Milan in AD 313 the Christian church was
able to assume a position of first-among-equals and became the
de facto state religion in the Empire; the existing cells of Christianity were able to break cover and rapidly became integrated
with many of the existing power structures within the Roman
state. Christian writers such as Eusebius soon developed an
ideological accommodation between the Church and the state
that saw a close elision between religious (Christian) and political (Roman) identity (Fletcher 1997, 28-30). Almost by

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definition there was no drive to extend the geographic boundary of Christendom beyond the physical limits of the Empire in
the fourth century AD. Whatever the processes that led to the
conversion of the bulk of the population, the primary motors for
change emerged from within society.
In contrast, in the early medieval world, the initial drivers
and religious change were almost always external and were
equipped with a much more explicitly worked out theology of
mission which demanded that the pagans be converted. In
some cases, such as in the Anglo-Saxon world, these external
stimuli for religious change took the form of missionaries, sent
either by Rome (such as Gregory the Greats commission of
Augustine to convert Anglo-Saxon England) or other power
centres (such as the missionary work by Anskar or Boniface
promoted by the Carolingian court) to encourage conversion
through persuasion and political intrigue. In other cases, particularly in the Baltic, the catalyst for religious change took a
far more physical and coercive turn, through the presence of
bodies of aggressive and heavily armed knights (Christiansen
1997; Eihmane 2009).
Whatever form this initial push towards religious change
took, and however the subsequent practical extension of Christian belief may have taken shape, the idea that Christianity is
something that is introduced from outside is a key notion that
pervades medieval hagiography and historical writing. In this
sense, the spread of Christianity might be interpreted as an
essentially colonial project; with the promotion and extension
of Christendom in practice leading to the extension of existing
networks of secular and ecclesiastical power into new areas.
Thus it is possible to identify two classes of early textual
material dealing with religious change; narratives which record the physical extension and consolidation of Christianity
(such as Bedes Ecclesiastical History, Alcuins Vita Willibrordi
or Rimberts Vita Anskarii) and narrative and other material
(such as penitentials and chronicles) that record the consolidation and accommodation of Christianity within existing
societies. Examples of the latter might include the late eighth-

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century Carolingian Capitulatio de Partibus Saxoniae, Martin
of Bragas De Correctione Rusticorum, or the later ninth-century Replies of Pope Nicholas to the Questions of the Bulgars
(Effros 1997; Sullivan 1966) The latter appear in both late
antique and early medieval contexts, but the former are mainly
limited to the early medieval world of Northern and Eastern
Europe. It can be seen that the range of textual evidence for the
development of Christianity in these areas is different from the
suite of evidence available to the scholar of the late antique
Mediterranean. While they lack the texts produced by pagans
in opposition and debate with Christianity, they instead have
access to different genres of literary output, the missionary
narrative.
As well as differences in the nature of the literary evidence
derived from early medieval contexts, the role of archaeology in
the study of conversion takes a far more central place. This is
doubtless due to the relative lack of textual material compared
with the late antique world. There are however some distinct
aspects of the archaeological record that attract more interest
than others. The study of the impact of conversion on mortuary
behaviour and burial rituals is one which attracts particular
focus. We can see burial archaeology and the study of Christianisation coming together in two related ways. The first is the
use of key, high-status, and usually unique, burials as a lens to
explore the impact of religious change; for example, the sumptuous burial found beneath Mound 1 at Sutton Hoo (Suffolk)
(Carver 2005) has become a key site through which the conversion of Anglo-Saxon England is explored, being seen variously
as a the burial of an early convert or an avowedly pagan
response to the new religion. The funerary complex at Jelling
(Denmark) is linked to the conversion of Denmark by Harold
Bluetooth in the tenth century AD and has become a site
through which contesting interpretations of the nature of conversion can be debated (e.g. Staecker 2005). Other such focal
sites include the grave of Childeric at Tournai (Halsall 2001)
and Gamla Uppsala (Nordahl 1996). Crucially, all these graves
are the burials of key individuals who can with greater or

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lesser certainty be linked to identifiable figures from historic
narratives, allowing archaeological explorations to be keyed in
to chronologies supplied by written texts.
A second area in which early medieval archaeology has engaged with the study of Christianisation has been the
obsession with recognising Christianity in the burial rite. The
study of burial has been one of the dominant methodological
foci of early medieval archaeologists. Burial rites of much of
early medieval Europe included consistent deposition of gravegoods, particularly personal dress items. The highly visible
burials contrast with the more ephemeral nature of settlement
archaeology. Burial archaeology is thus crucial for methodological reasons; the graves contain sealed contexts containing
material culture that can be dated through typological analysis. Variations in the type and position of objects in the grave
can be seen not only as a consequence of chronological change,
but also as guided by the creation and maintenance of certain
forms of social identity, such as gender and ethnicity. However,
the practice appears to have died out across most of Europe
over the latter half of the first millennium AD (e.g. Geake 1997).
This phenomenon appears to very broadly coincide with the
spread of Christianity, which has been seen as being a key
causative factor; the absence of grave-goods being seen as a
clear indicator of Christian identity (e.g. Meaney and Hawkes
1970, 53; Graslund 1981, 84; Wessman 2010, 80).
Other key features linked to the rise of a distinctive Christian mortuary rite include the move towards a consistent
west-east orientation and the cessation of burial in previously
pagan cemeteries (e.g. Hyslop 1963, 190-1; Meaney and
Hawkes 1970, 51-2; Thomas 1981, 228-39). This whole notion
was predicated on the seemingly not unreasonable assumption
that as burial was a religious rite, a change in religion should
lead to a change in burial practice. Despite some important
critical engagement with the methodological problems associated with this simplistic model (e.g. Bullough 1983; Hadley
2000), the critique of the essentialist model of a Christian
burial rite has often been relatively unsophisticated. The most

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1. Early medieval religion in context


common critical response has been to highlight spoilers: usually examples of the burials of individuals of known Christian
affiliation, such as Childeric or Cuthbert, who were inhumed
with grave-goods. While this obviously gives the lie to a simplistic equation between absence of grave-goods and
Christianity, it runs the risk of denying any relationship at all
between Christianity and mortuary rituals.
While the use of burial in explicating the conversion process
brings archaeological material into focus, there are still tensions in the relationship between historical and archaeological
approaches to the topic. A good example of this can be seen in
one of the key metanarratives that underlie many histories of
early medieval religious change, the so-called Constantinian
model of conversion. This model has its origins in Constantines
adoption of Christianity in 312; the version of these events
promoted by Eusebius acted as an influential model for later
conversion narratives and strategies well into the post-medieval period (e.g. Provost-Smith 2009). The underlying
metanarrative argues that conversion was driven by monarchs
who chose to convert for solid political reasons in order to ally
themselves with other powerful individuals, usually for shortterm political gain. In some cases the rulers act entirely at
their own volition and in circumstances of their own choosing,
in other cases, there is external encouragement (Berend 2007;
Mayr-Harting 1991; Sanmark 2004; Yorke 2003). Following
initial conversion by the king, the more drawn-out process of
Christianisation is then seen as trickling down through the
ranks of society through the medium of missionaries, reaching
the poorest and most marginalised last of all. While in some
cases there may have been an element of consultation (e.g.
Clovis: Gregory of Tours II.29-31 or Edwin: HE I.25-6, II.9-14)
the ultimate decision to convert is the kings. It is rare to find
occasions when a conversion narrative shows a ruler as genuinely seeming to defer to wider popular political considerations
and sensibilities, such as Olofs extensive equivocation in the
light of Anskars second visit to Birka (Vita Anskarii 27).
This process of hegemonic conversion represents the spread

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Pagan & Christian


of the religion as being essentially contingent on the ebbs and
flows of early medieval micro- and macro-politics. A more developed version of this argument suggests that conversion was
undertaken for short-term gain, but also to enable rulers to
access a range of resources, primarily ideological (e.g. models
of kingship), but also practical (e.g. literacy), which would allow
them to consolidate their rule (Brown 1996, 340-54; Higham
1997; Kloczowski 1993; Urbaczyk 2003). It is certainly true
that in an early medieval political landscape the central role of
a king in matters of belief would have been of fundamental
importance. Kings would be able to facilitate or prevent missionary activity, and would be in a position to materially
reward those who converted and punish those who did not.
They were also able to deploy significant material resources,
particularly land, but also movable wealth (including slaves)
which would allow the Church to consolidate its position within
a given society. There have been more recent critiques which
have argued that kings were not entirely free agents and that
they were reliant on networks of local alliances and power
relationships within their kingdoms, including their families
and non-royal lites, and as such were not entirely free agents
(e.g. Tyler 2007). However, even these critiques still see the
decision to convert by a monarch as essentially an exercise in
realpolitik exercised within a range of constraints. Nonetheless, the focus in this narrative is the sender rather than the
receiver (Andersson 2000, 134). For the bulk of the population
the conversion process is largely untheorised, being assumed to
have occurred through a largely unexplained trickle-down effect (Fletcher 1997, 236).
This narrative is primarily one that was developed by historians rather than archaeologists. This is not surprising; the
majority of conversion narratives were created within the context of direct or indirect royal patronage; Bedes alignment with
the ruling house of Northumbria is a classic example of this
kind of relationship. Significantly, Bedes Ecclesiastical History
was an important model for others writing conversion narratives in early medieval Europe, such as the narrative of

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1. Early medieval religion in context


Hungarian conversion written by Pilgrim, Bishop of Passau
(971-991 AD) (Berend, Laszlovsky and Szakcs 2007, 329-30).
More general perpetuations of the Constantinian model can be
seen in a range of other written sources, such as Thietmar of
Merseburgs Chronicon which presented the people of Poland
as one body with Miezko I (who initiated conversion in Poland)
as its head (Urbaczyk and Rosik 2007; Chronicon IV.56); the
primacy of Miezko in initiating Christianisation has been consolidated by the lack of alternative historical narratives
(Urbaczyk and Rosik 2007, 275). In some cases the parallel
with Constantine was made explicit: the Russian Primary
Chronicle described Vladimir the Great, instigator of conversion among the Kievan Rus, as the new Constantine of mighty
Rome, who baptised himself and also his subjects (RPC 124-6).
Not surprisingly these narratives emphasised the key role of
monarchs in conversion. While modern scholarship may have
subjected the narratives to close readings allowing alternative
motivations for the individual royal decisions to be proposed,
they are still only able to explore the process through the
limited cast of kings and nobles supplied by the medieval
chroniclers. Any story of early medieval conversion based on
such documentary sources can only be one of top-down religious change; the evidence does not easily allow us to write any
others.
This narrative of Christian conversion as seen from an lite
perspective has been profoundly influential among archaeologists. This is seen most clearly in a focus on monumentality.
Early medieval archaeology took this monumental turn in the
1990s, drawing particularly on the work of prehistorians such
as Richard Bradley and John Barrett (e.g. Barrett 1990;
Bradley 1987; 1998a; Williams 2006: 145-79). The creation of
monuments, understood in the widest sense of the word, including stone crosses, churches, monasteries and cathedrals, is
a process that almost by definition requires significant investment in time and real and social capital. Whether mobilising
dozens of members of a kinship group to construct a boat grave,
investing in the wide range of exotic materials required to

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Pagan & Christian


make an illuminated gospel book or contracting in foreign
masons to build a church, monumentality in the early medieval
period is almost invariably a socio-political strategy that can be
deployed only by wealthy individuals or corporate groups. This
is not to suggest that investment in monumental structures
does not occur in more egalitarian societies, but simply to
recognise that early medieval societies were ranked and had
differential access to resources depending on status. As such,
monuments were fields of discourse where social dynamics
could be played out and enacted, but within defined physical
and social parameters. Inevitably, the focus on monumentality
in archaeological discussions of conversion and Christianisation is also a consequence of the nature of the archaeological
record; Christianised rune stones, stone sculptural traditions
and cathedral complexes leave very clear impressions in the
archaeological record and often contain explicit references to a
Christian ideology, such as the use of crosses and other distinctively religious symbolism. This high visibility often contrasts
with other aspects of the early medieval archaeological record,
such as settlement sites, which can be more elusive in the field.
A focus on monumentality in understanding early medieval
conversion is particularly visible in the work of Martin Carver
and a series of scholars emerging from the University of York,
who have plotted the spread and development of Christianity
in Britain and beyond through a discourse of monument construction and use (Carver 2001; 2002; Dobson 2008; Toop
2005).
This tradition of focussing on monumentality in the conversion period should not be lightly dismissed. As with
lite-focussed historical narratives, it engages with the most
conspicuous aspects of the evidential base, and whether we are
looking at archaeological or historical approaches, they are
both primarily tackling a resource, textual and monumental,
produced by a powerful group of social actors. Equally, the fact
that these documents and structures are the most visible expressions of Christianity in early medieval society is not simply
a quirk of the subsequent taphonomy of the evidential base;

25

1. Early medieval religion in context


the high visibility of this material is an important issue, and as
noted above, the lites undoubtedly were profoundly and
closely implicated in the spread of Christianity in this period. I
would argue not that this approach is wrong, but that it is
limited. The focus on the spectacular and the highly visible
means that other potential indices of religious change, such as
changes in diet, dress or even refuse disposal, are not interrogated. There is a danger of perpetuating the notion that
conversion is something is recognisable only at lite level, and
that variation or variety in the evidence is primarily the consequence of variation in specific socio-political strategies
mobilised and materialised by key social actors within early
medieval society. This clearly runs the risk of seeing the
mechanisms of conversion as contingent upon political events
and the inter-relationships of lite power structures, with an
associated lack of agency being attributed to both the drivers of
conversion, particularly missionaries, and those who chose to
convert (Kilbride 2000, 12-14). Religion is seen as ultimately an
aspect of politics that achieved success as a result of its functional ability to help structure and finesse the new
articulations of power linked to the spread of kingship in the
first millennium AD. This ignores other motives for conversion,
including genuine belief, ontological insecurity or even agendas
of political resistance and non-conformity.
The danger in developing a reductionist narrative that limits the spread of Christianity to political imperatives is the
failure to tackle variety in Christian practice that is recognisable in the archaeological and historical record. Early
Christianity was undoubtedly heterodox; Arianism, Pelagianism and Monophysitism were clearly significant strands of
belief in the religious landscape of late antiquity; however,
these were more or less successfully repressed, particularly in
the West, and there was, in theory at least, a uniformity of
belief. Nonetheless, there is clear evidence for regional variety
in the expression of Christianity across early medieval Europe,
belying the notional theological unity expressed through the
Nicene Creed (Pluskowski and Patrick 2003). This can be rec-

26

Pagan & Christian


ognised in burial practice, church architecture, the development of relic cults, the spatial organisation of ecclesiastical
sites, monastic tonsures and a multiplicity of other elements of
religious life. Importantly, this variety was in practice and
institutional organisation rather than in doctrine; recognition
of heteropraxy in the historical or archaeological record need
not be predicated on the presence of heterodoxy within the
Church. There have been wider attempts to deconstruct notions of a monolithic early medieval church (e.g. Pluskowski
and Patrick 2003; Kilbride 2000). These have particular questioned the essentialist model of Christianity (and paganism),
highlighting the sheer diversity in practice found across European Christendom, both at a gross level, such as the tension
between the Roman Latin and Byzantine Greek traditions, but
also at micro-level. They also emphasise the dynamic nature of
belief. Christian practice could change over time, and the notion that there was ever an essential model for Christianity
that held true across time and space is ultimately misguided
(see Chapter 2 for a more detailed critique of essentialist models of belief).
There has always been some recognition of variation within
the western church, with a long tradition of identifying distinctive ethnic churches, such as the Celtic church or the
Frankish church (Davies 1992; Wallace-Hadrill 1983) and the
German historiographical construct of gentilkirchen, churches
that derived their cohesion from a polity with a shared ethnic
identity (De Jong 2006, 117). Rather than simply identifying
national church traditions, there has been a move towards to
developing a more nuanced understanding of the variation in
Christianity in this period. Peter Brown introduced the concept
of micro-christendoms reflecting this variation in religious
activity in Europe: small-scale and regionally distinctive
churches that saw themselves as reflecting in microcosm, in
their own land, the imagined, all embracing macrocosm of a
world-wide Christianity (Brown 1996, 218). Carver has also
been keen to demonstrate how the way in which early Christianity developed institutionally could vary; for example, some

27

1. Early medieval religion in context


areas developed on simple episcopal lines, others saw the more
extensive spread of monasticism, while further areas saw the
establishment of a secular church dominated by proprietary
churches (eigenkirchen; eigenkloster) (e.g. Carver 1998a, 2001).
More recently he has explored how monumentality can be used
to delineate intellectual communities at a regional and sub-regional level in Anglo-Saxon England, with areas having
different modes of monumentality (Carver 2010). Importantly,
he has argued that these communities cannot be easily mapped
onto the known political geography of the English kingdoms,
and that we are instead seeing the physical expression of otherwise submerged ideological or intellectual programmes that
are not apparent through the documentary record. In this, his
intellectual communities are subtly different from Browns
micro-christendoms which can be more directly mapped onto
the political organisations of this period. Different modes of
institutional expression can be found in differing areas of the
same kingdom. Indeed the fluid and pullulating polities of the
early medieval world are often notably less stable than some
elements of the religious infrastructure, and Carver has suggested that these variations in religious practice may have
their origins in long-lasting mentalits that transcend the conjonctures of political events (Carver 2009).
These models are useful as ways of understanding variety in
religious experience in first-millennium Europe. However, they
do have some limitations. Despite implicit attempts to move
away from the essentialist models of early medieval Christianity, they still, in some ways, perpetuate some aspects of this
notion. The key challenge they do not confront is the range of
dimensions in which variety of religious practice can be recognised. In both cases, the emphasis is on mapping variety
spatially. While Browns micro-christendoms are more closely
tied to the spatial extent of medieval polities than Carvers
intellectual communities, they both fail to engage adequately
with the extent to which engagement with Christianity, and
early religion in general, can vary within a given social unit.
They do not engage with the alternative ways in which Christi-

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Pagan & Christian


anity might have been experienced by, for example, women,
unfree members of the society, ethnic minorities and, importantly, those who chose not convert. Even potentially
discordant voices from within the lite itself risk being ignored
if religious variety is mapped only spatially. This inherent
focus on the religious experience of the politically powerful is to
the detriment of the voices of the more socially marginalised
members of society (who may, in terms of numbers, be the
majority). Christianisation is again seen as something that
happens via the aristocracy. It is only with these lite groups
that any element of agency in the process of religious change is
vested; the rest of the population simply passively respond to
the power-struggles of an aristocratic minority.
It is here that we reach the limits of the dominant model of
hegemonic conversion; whether looking at the documents produced by churchmen or the monumental investment of the
nobility, the narrative is limited to one in which a dominant
ideology is imposed and perpetuated by the upper echelons of
society. There is no room for alternative narratives or discourses from below that critique or contest this version of
events. It is in attempting to re-address this balance that
archaeology comes into its own in the study of early medieval
religion. While the archaeological record might be dominated
by the monumental, whether burial mounds or churches, it also
contains the evidence for far more than the relics of large-scale
investment by the lites. By changing the scale of analysis it
should be possible to identify the expression of belief at a wider
range of resolutions than simply the spectacular.

29

Approaching religion:
archaeology and belief
Anthropological studies of religious change have often examined the transition from what are characterised as small-scale,
local or tribal religions to large-scale, universal, world religions
(including Christianity, Islam, Judaism, Hinduism, etc.)
(Bowie 2000, 26; Hefner 1993b; Mensching 1964; Morris 1990,
68-9). This distinction ultimately appears to have its origins in
the works of key scholars such as Max Weber, who distinguished between world and primitive religions (Weber 1956).
Out of this dichotomy has sprung a series of stereotyped images of these two types of religion which I would suggest has
influenced the way in which they are studied.

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Pagan & Christian


This simple binary opposition of local/world religions has often
been used by historians and archaeologists to explore processes
of religious change (e.g. Russell 1994; Urbaczyk 2003), although this clearly simplistic model is being increasingly critiqued by scholars working on early medieval topics (e.g.
Higham 1997; Kilbride 2000, 8). It is important to be aware of
the intellectual and historiographical context of such superficially seductive models of religion. Such categories were developed by both anthropologists drawing directly on ethnographic
fieldwork, and sociologists and historians of religions drawing
on primary anthropological research (Morris 1990). However,
such work, particularly in the nineteenth and early twentieth
centuries, was carried out in within the institutional context of
both European and US colonialism and significant missionary
activity, with much important ethnographic work being undertaken by Christian missionaries (Asad 1973; Shaw 1990; Pels
1997, 172; Sanneh 1989). Heavily influenced by Judaeo-Christian notions of what defined religion, missionaries attempted
to translate indigenous religious practices into terms that
could be either assimilated or rejected by the church, according
to their similarity to Christianity. This reflects a wider impetus
towards categorisation as part of the colonial project (e.g. Said
1994; Cohn 1996), a process which saw indigenous cultures
reinterpreted in terms that could be more easily understood by
colonial rulers and administrators, and these interpretations
then used to facilitate the articulation of social, political and
cultural power (Pels 1997). The construction of dualist models was common within such contexts; as Rosalind Shaw
notes: the world religions/ traditional religions distinction is in a direct line of descent from the evolutionary theories of the nineteenth century ethnologists, via the dualistic
comparisons of primitive and modern modes of thought
by early twentieth century anthropological theorists (Shaw
1990, 342). Ultimately, local religions are defined in opposition to privileged world religions; they become everything
that world religions are not, rather than being explored as a
subject in their own right.

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2. Approaching religion: archaeology and belief


While the use of such sequences of binary oppositions is
common within some areas of archaeology, particularly those
influenced by (post-)structuralism (e.g. Tilley 1994, 20-1; Hodder and Hutson 2005, 45-52), in practice they suggest a
spurious consistency and rigidity in the simplistic categorisations from which they derive. Critiques of such models have
noted that in practice such approaches to categorisation are
difficult to impose consistently. For example, Judaism, usually
categorised as a world religion, is generally restricted to a
specific ethnic group (a feature more usually associated with
local religions), while some small-scale or localised cults may
be open to converts (Shaw 1990). Equally importantly, many
religions include aspects of both categories; Christianity includes a clear sense of linear time, but incorporates a strong
element of cyclical time in its celebration of the liturgical year
(see Chapter 4). At best, such simple categorisations may offer
a series of individual axes of analysis with particular expressions of religion being situated variably along a spectrum
rather than polarised at one extreme or another. Nonetheless,
this construction of world v. local religions, whether acknowledged explicitly or assumed implicitly, has important
implications for an understanding of how patterns of religious
change in the early medieval world have been characterised by
previous scholars.
The first challenge is the easy slide from the categorisation
of religions to the construction of an evolutionary typology.
While the simple binary model for religions should not in theory imply any sense of chronological progression, it is often
used that way. The notion of a series of evolutionary stages in
the development of religions is an old one and can be found in
the work of such key figures as Durkheim and Tylor (Durkheim
1976; Tylor 1958), with such typologies invariably moving from
animism through polytheism and culminating with monotheistic world religions at the pinnacle of religious evolution. These
evolutionary approaches to religion were just one aspect of the
wider development of social evolutionary approaches to past
societies with all the teleological implications that come with

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Pagan & Christian


them. It is not surprising that models of religious and societal
progression were closely interlinked with the development of
monotheism being closely tied to the development of the protostate (see Chapter 1).
There is also a clear sense of value judgement inherent in
such typologies. When used in a colonial or ethnographic context, the clear convergence of world religion, colonialism and
modernity is particularly problematic. As well as implying that
world religions have higher social or political value, evolutionary approaches also inherently imply that they have a
greater functional value than local religions. This can be
seen expressed most clearly in the close link regularly ascribed between conversion and early medieval state
formation, explored in Chapter 1, with the advent of Christianity being better fitted to the creation of a centralised
polities than paganism, which is seen as inherently particularist and atomistic.
A second challenge presented by these simple binary models
of religion is the danger of a fundamentally essentialist conception of Christianity and paganism. Such essentialist models of
Christianity result in the representation of a system of religious belief that shows no variation in time or across space. This
ultimately results in Christianity and paganism becoming decontextualised units of analysis divorced from temporal or
spatial contingencies (Kilbride 2000). For the archaeologist
this manifests itself in adoption of a simple relationship between a religion and its material correlates and finds its
extremes in the creation of checklists of what a Christian
burial or a church ought to look like (e.g. Watts 1991, 38-98; for
a further critique see Cookson 1987). Scholars often assume a
uniformity in practice and belief that simply did not exist. The
challenge presented by the seductive lure of essentialist approaches to religion has been increasingly recognised as
presenting a fundamental conceptual challenge for scholars
studying early Christianity (e.g. Kilbride 2000; Pluskowski and
Patrick 2003). However, essentialist models present equal
challenges for those wishing to explore the murky world of

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2. Approaching religion: archaeology and belief


early medieval paganism; this will be explored in more detail in
Chapter 4.
The irony, of course, is that attempts by modern scholars to
construct a uniform model of early Christianity mirror the
struggle by the early church to impose both orthodoxy (consistency of belief) and orthopraxy (consistency of practice) on its
followers. While uniformity may have been an ideal yearned for
by the early church, the struggle against heresy and the continued attempts to condense the fundamentals of Christianity
into a simple creed simply highlight the fissile tendencies
found within even the most structured religion (Cameron 1993,
21-5, 64-7). For example, one of the most important debates
was predicated on something as simple as a difference as one
letter: homoousion (of the Nicene Creed) or homoiousion (of the
semi-Arians). It is important, however, to realise how often
these struggles could be fought out over material aspects of
religion. Even in the earliest years of the church the struggle
between the Petrine and Pauline factions could be focussed on
a physical sign; the presence or absence of the foreskin (Gal. 2,
3; Gal. 5, 2). Equally the iconoclasm of sixth-century Byzantium hinged on the relationship between material objects and
God (Kitzinger 1954; Cameron 1979). Yet again the variation
in tonsure between the northern church of Colman and the
Roman church of Wilfrid was capable of crystallising the differences between the two factions as clearly as the difference in
celebrating Easter (Mayr-Harting 1991, 230).
We are of course led to a challenging problem. If we reject an
essentialist model of Christianity, whether presented as checklists for use by archaeologists or the use of the Nicene creed as
a benchmark of orthodoxy by the dominant early medieval
European manifestation of the church, then how do we define
Christianity? The alternative is a more avowedly relativistic
approach; Christianity is what people who say they are Christians do. Such relativistic approaches have been criticised for
making comparisons between Christian and pagan religious
practices difficult (Russell 1994, 35; cf. Kilbride 2000). However, rather than seeing subjective and emic definitions as

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Pagan & Christian


being problematic, we should instead acknowledge the potential of such approaches. It is in the very tensions between belief
and practice, the doctrine of Nicene Creed and the practices of
the micro-Christendoms that we can start exploring what it
meant to be Christian in the first millennium AD and address
the different ways in which Christian belief could be enacted. If
relativist, or at least constructivist, perceptions complicate
comparisons between belief systems, this is something that
should be acknowledged, indeed celebrated. It is in the messy
detail of religious practice rather than in doctrinal exegesis
that we can best understand the lived experience of early
medieval religion.
An identity approach to the
study of religion
In the move towards relativism and away from essentialist
definitions, the debates centring around early medieval conversion can be seen to parallel another one of the key topics within
the field of early medieval studies, the creation and maintenance of ethnic identities.
Much recent scholarship has focused on the process of ethnogenesis in early medieval Europe, exploring and
problematising ethnic identity (e.g. papers in Pohl and Reimitz
1998; Halsall 2007, 35-62). These debates have moved our
models of ethnicity from nineteenth- and early twentieth-century conceptions of ethnic groups which saw a convergence of
cultural identity, biological descent and language use, an approach that has its origins in European historical and
archaeological traditions of culture history. Instead contemporary approaches to early medieval ethnicity emphasise the
fluid and contextually specific expression of identity found in
the historic and archaeological record (e.g. Geary 1983; Curta
2005). This reflects wider works on identity and archaeology
which can be characterised by a number of key propositions
(see Jones 1997, 106-27):

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2. Approaching religion: archaeology and belief


1. Ethnic identities are not given; they are created, they are a
product of society.
2. Ethnic identities are contested. Identities are the focus for
debate and often rely for their existence on tension with
other identities.
3. Identities are multi-layered. One individual may have many
different identities.
4. These identities are context-specific. Individuals may consider themselves in different ways, depending upon their
position,
5. Identity is political. It may be used as a tool for repression
and resistance. It is not a neutral label.
Accepting this proposition, it is possible to see conversion as an
infinitely complex process. Christianity is just one new identity
out of many identities available for individuals in the early
middle ages. The extent and the manner in which Christianity
operates within a society reflects the way in which religion is
used as a marker of social identity. As well as offering a new
overarching identity as a member of the Christian faith, it also
offers a series of clustered identities: such as membership of a
diocese, devotion to a particular saint, or affiliation to an ecclesiastical community. These complement pre-existing identities
such as kinship, tribe, gender, age or status. The political use of
a Christian identity has already been mentioned, and the creation of local senses of identity as a way of social control has also
been hinted at. There is ultimately no authentic way of expressing Christianity, but merely a suite of different strategies
appropriate for different contexts. If ethnicity is a situational
construct then so is religious practice.
This has implications for the way in which archaeologists
study Christianity. Material culture is not a simple reflection of
religious affiliation. In the same way that it may actively help
to create ethnic identity, material culture may actively help to
formulate what it is to be Christian. Variations in material
culture should be seen as reflecting the varying ways in which

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Pagan & Christian


Christianity is used. Importantly, the expression of religious
identity was contextually specific. The way people express
their religion can vary temporally and spatially (Barker 1993,
204-6). Models of conversion must be multi-causal rather than
mono-causal (Ikenga-Metuh 1987, 11-27). Rather than limiting our explanations to only ontological changes or
institutional changes, or the niceties of dynastic politics or the
complex waters of shifting social identities we need to consider
all aspects of religious change.
The challenge for those researching early medieval religion
is to identify the sites and moments in which religious identities are expressed. Rather than assuming that these will be
consistent over time and space or even between pagan and
Christian practice, it is the variation in the contexts in which
religious identity and belief is enacted that becomes of one of
the key fields of study. This can be better understood through a
broad consideration of the religious content of early medieval
burial practice. We have already seen that mortuary rites have
long been one of the key areas in which religious changes have
been explored (see Chapter 1). Ultimately this approach is
underpinned by the basic assumption that in all societies burial is fundamentally a religious act. However, there is good
evidence to suggest that the early church was relatively unconcerned about the religious dimension of burial. This can
perhaps be seen most clearly in Sulpicius Severus Life of St
Martin of Tours (12:1-5):
It happened during the following period that while he was
on a journey he came across the corpse of a pagan which
was being carried out for burial in accordance with superstitious funeral rites. Seeing in the distance a crowd of
people coming towards him, he stopped awhile, not knowing what it was. For he was about 500 paces away so it
was difficult to make out what he was seeing. However,
because he could see a group of peasants and the linen
cloths laid over the corpse fluttering in the wind he
thought they were performing pagan sacrificial rites for it

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2. Approaching religion: archaeology and belief


was the custom of the peasants in Gaul in their pitiable
delusion to carry demonic representations, covered with a
white veil, over their fields. And so Martin raised his
hand and made the sign of the cross against those who
were coming towards him. He ordered the crowd to stop
and to set down what they were carrying. And now you
would have seen an amazing thing. These miserable people first became rigid like rocks; then, when they made a
great effort to move forward they found that they were
unable to move any further and went spinning round in a
ridiculous whirling movement until they were overcome
with dizziness and set down the burden of the corpse.
They looked round at each other in amazement, wondering in silence at what had happened. But when the holy
man understood that these people had gathered for a funeral, not a religious ceremony [my emphasis], he raised
his hand once more and granted them the power to depart
and carry the corpse.
It was not until the late fourth century that the church even
began to actively intervened in funeral rites, with Ambrose of
Milan in the 380s and Augustine of Hippo in the 390s intervening against a range of funeral rites, particularly grave-side
feasting (Brown 1981, 26). This continued in the first few
decades of the fifth century, culminating in Augustines most
considered statement on the burial of dead, with particular
reference to burial ad sanctos, the De Cura Gerenda Pro Mortuis (On the Care to be had for the Dead). In his detailed
exploration of Christian burial and the cult of saints, Peter
Browns The Cult of Saints (1981) has drawn attention to the
use of burials and grave-side rituals by elites as an arena for
social competition, or, in John Barretts terms, a field of discourse (Barrett 2000b). This competition could be through conspicuous consumption and emulation at the grave, or through
interventions in the celebrations of cult rituals at the graves of
saints (Brown 1981, 23-40). In this period there was an increasing tension between the power of local elites articulated

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Pagan & Christian


through kinship relations, and the expanding Christian
church, an artificial kin-group aiming to supplant pre-existing
ties of loyalty to family and replace them with a wider sense of
loyalty to the Christian community. In Browns words ... the
strong sense of community preserved by Christian ritual, was
only so much icing on the top of a rich and increasingly crumbly
cake of well-to-do Christian families (ibid., 31-1). It is at the
grave-side that these tensions crystallised; this contextualises
the Churchs intervention into an aspects of life and death
which had previously been the domain of the family. By preventing ostentatious grave-side ritual, whether at family
graves or ad sanctos, the Church hoped to prevent the privatisation of this aspect of the holy, and asserted its right to dictate
burial practices. The Church also acted to select and cultivate
only certain holy graves to create foci of worship controlled by
the church rather than lay bodies. Although the Church was
starting to assert its rights to intervene in mortuary practice, it
had not yet developed a sophisticate theological apparatus to
deal with death and burial. In Augustines opinion funerals and
burials were not important for the dead: Therefore, all such
offices, that is, the care taken with funerals, the embalming for
burial, the procession of the mourners, are more for the comfort
of the survivors than to assist the dead (De Civitate Dei 1.13)
and Regardless of what is spent for burying the body it is not
an aid to salvation but a duty of our humanity according to that
love by which no one ever hated his own flesh (De Cura Gerenda Pro Mortuis 18).
Here we see burial rites changing and becoming incorporated into Christian discourse not as a simple reaction to the
shifting religious loyalties of the burial community. Instead,
the burial rite is a context in which varying identities (religious
and secular) are expressed and contested by competing interest
groups. The churchs response to competition from secular
elites is to extend the contexts within which expression of
religious identity is deemed to be important. We are not seeing
the spread of religious belief, but rather its articulation in new
contexts as a response to socio-political tensions. The challenge

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2. Approaching religion: archaeology and belief


is in locating where the boundaries of religion lie in the early
medieval period; Christian and non-Christian traditions
mapped themselves onto society in different ways. The boundaries of the sacred and profane or ritual and secular are not
fixed. Indeed the entire notion of this dichotomy may not, as
Durkheim implied, be one of the underlying structuring principles of all religions (Durkheim 1976, 37; Brck 1999). Instead
there is a requirement to establish how such conceptual divisions are constructed and maintained (Habbe 2006). The
techniques of ritualisation may include, among other factors,
such diverse phenomena as prayer, votive deposition, the formal structuring of space through architecture or other forms of
monumentality, the formal structuring of the body, whether
through choreographed movement, as in the liturgy, or through
bodily adornment (vestments, hair styles, ritual jewellery)
(Bell 1995). The ritualisation of fields of discourse may be
extended through all the senses, including the aural (music,
singing, silence) and even olfactory (incense, the smells of sacrificial offerings). It is through these ritual activities that the
cultural boundaries of religion are generated (Bell 1997, 82-3).
The spheres of discourse which may be ritualised in this way
are also diverse and include physical space, notions of time,
and ideas about personhood and authority. Thus religious
identity is ultimately something created and expressed in
contextually specific arenas, which are created through the
process of ritualisation. In studying the process of conversion, the challenge is to plot the changing processes of
ritualisation and explore how they create arenas in which
religion is expressed.
Archaeology and the study of religion
While the adoption of an identity approach to the study of early
Christianity may give us a theoretical framework in which to
place the articulation of belief, there is still a need to consider
further the way in which religious identity is expressed in
practice. Inevitably when exploring an historic period this

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Pagan & Christian


leads us to a consideration of the relationship between material
culture and text. In recent years the complex relationship between archaeology and history has been increasingly under the
lens (e.g. Moreland 2001; Andrn 1998; Norr 1998, 11-14; Price
2002, 25-37). The pervasive influence of the dualistic model of
religions can again be seen influencing the relationship between archaeology and the study of religion, with the study of
past world religions privileging the role of texts and documents as the key interpretative media, while local religions
(for which we can usually read as prehistoric religions) are
primarily addressed through archaeology.
Traditional approaches to the study of religion through archaeology were pessimistic. This pessimism was classically
expressed in Christopher Hawkes Ladder of Inference which
placed matters of belief and spiritual belief as the hardest to
access through archaeology (Hawkes 1954), a standpoint which
reflected the general attitude of other key figures in Anglophone archaeology in the first half of the twentieth century (cf.
Childe 1956, 125-31). The development of processual and systems approaches to archaeology from the 1960s should
potentially have engaged with the ideological and symbolic
element of society as belief and ideology were often posited as
composing one of the sub-systems that comprised society (Insoll 2004, 46-50). However, in practice the primary avenue of
research by those using these approaches was via subsistence
and exchange, with ideology being ignored and assumed to be
epiphenomenal. The representation of societies as essentially
homeostatic bounded entities consisting of various sub-components rather than fluid and dynamic groupings also meant that
such approaches were ill-adapted to address processes of religious change, whether generated through internal development
or external contact. More fundamentally, there was little interest in meaning and social agency in such approaches (Bender et
al. 1997, 148). The rise of post-processual approaches to the
study of archaeology saw the development of a social archaeology with an increased interest in recovering meaning, bringing
the role of religion and ritual in social reproduction more to the

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2. Approaching religion: archaeology and belief


fore. Post-processualism was not a coherent school and its
development brought about a series of different ways of thinking about religion and ritual in society (Insoll 2004; Fogelin
2008). One such approach was heavily influenced by Marxism
and interpreted ritual as creating and promoting power and
enacting dominant ideologies (e.g. Parker Pearson 1982; Kristiansen 1984). The more formal expression of Marxist
approaches was not widespread, but the wider focus on the
relationship between religion and power was an important one.
In Britain, the study of prehistoric ritual took a distinctly
phenomenological turn, with an increased interest in the subjective experience of monumental architecture (e.g. Tilley 1994;
Barrett 1994; Bender 1997). This was connected with a wider
reconsideration of long-term landscape continuity (e.g. Bradley
1987). A final key stream was the increased use of structuration theory (as developed by Anthony Giddens) and Pierre
Bourdieus notion of habitus as a way of re-introducing the
notion of agency into the debate, an area noticeably lacking in
processual approaches to archaeology. This lead to an increased interest in small-scale domestic practices, particular
depositional practices and the use of domestic space (e.g. Hill
1995; Hodder 1990). These so-called practice approaches re-affirmed the importance of repetitive actions and embodied
knowledge in re-creating and expressing social structure
(Nilsson-Stutz 2006; 2008, 168)
Crucially, however, these developments in theoretical approaches to religion and ritual took place in an almost entirely
prehistoric context. Those working in medieval archaeology
generally showed little engagement with these important theoretical debates until the early 1990s (for the British context see
Gerrard 2003, 219-29; Gilchrist 2009). The reasons for this
apparent lack of interest in theoretical approaches to material
culture by medievalists are complex, but one key fact was the
apparent disciplinary rupture caused by the Roman occupation
of Britain, leading to prehistorians and medieval archaeologists developing distinctly separate disciplines. There had been
a limited flirtation with processual approaches to early medie-

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val religion and belief (e.g. Mytum 1989; 1992). Generally processual syntheses of early medieval material studiously avoided
dealing with religion and ritual in any depth (e.g. Arnold 1988;
Hodges 1982). It was only with the development of post-processualism that medieval archaeologists began to engage with
theoretical approaches to religion and ritual more seriously,
with important early work including Pam Graves structuration theory informed exploration of the use of medieval parish
churches (Graves 1989). While, intriguingly, the archaeology of
Christianity in the second millennium AD appears to have
become more theoretically engaged, the archaeology of firstmillennium belief (both Christian and pagan) has remained far
more traditional in outlook. The only area in which there has
been a sustained engagement with theory has been the increased interest in monumentality, particularly monument
re-use (e.g. Williams 1997; Semple 1998), although the notion
of structured deposition is starting to be explored in more
detail (e.g. Petts 2003; Hamerow 2006; Bowles 2007).
A lack of engagement with some aspects of the theoretical
debate was not simply a disciplinary issue, with medievalists
being slow to bring on board new approaches to archaeology.
There were also key variations in approach along national
lines. The theoretical synopsis presented so far has been primarily Anglocentric; the shift from culture-history to
processualism to post-processualism was a sequence not followed across all of Europe. For a range of reasons
Scandinavian archaeology was relatively closely allied with
Anglo-American theoretical debates and was early to integrate
post-processual approaches (Varenius 1995). Significantly,
lacking a period of Roman occupation, there was a more longue
dure approach taken to the study of religion and ritual in the
first millennium AD, with far more interplay between scholars
working on areas that in Britain would have been seen as
either prehistoric or early medieval (Gilchrist 2009, 388; see
Andrn et al. 2006; Jennbert 2000). This tension is caught
nicely by Richard Bradley, who has noted: Some of the groups
who settled in England during the post-Roman period were

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2. Approaching religion: archaeology and belief


prehistoric when they left their homelands and Early Medieval
when they arrived the other side of the North Sea (Bradley
2006, 16).
However, while areas of Scandinavia did engage earlier with
post-processual approaches to religion, other areas of Europe,
despite lacking a Roman interlude, retained a far more traditional approach to religion, both pagan and Christian. One key
phenomenon was the coincidence of the rise of Romanticism
and the emergence of nationalist movements across much of
central and eastern Europe in the nineteenth century. This led
to a resurgence of interest in folklore, in terms of both its
contemporary practice and its long-term expression, particularly as a way of defining national identities (e.g. see Jonuks
2005 for a review of folklore and archaeology in Estonia).
Methodologically these scholars used oral tradition and philology as their main sources of evidence and dealt with material
culture and field monuments in a relatively uncritical manner.
In the longer term, East European archaeology mainly utilised
a culture-historical approach to establish the time-depth of key
ethnic groups (e.g. Buko 2008, 2-10; Curta 2001; Jones 1997,
40-55). The impact of 40 years of Soviet control in many of
these areas also limited interest in topics related to belief and
ritual, with research instead prioritising research into settlement, subsistence and agriculture and the development of
specific modes of production (particularly feudalism), although
there was still an extremely strong interest in ethnic history
(for Estonia see Mesalu and Valk 2006, 136-50; for Poland,
Buko 2008, 11-12; for Moravia, Curta 2009, 239-40).
Since the end of Soviet control in the early 1990s there has
been an increased openness towards post-processual approaches in some countries (Barford 2002; Marciniak 2006).
However, while such approaches have addressed issues related
to prehistoric ritual activity, there has still been little theoretical engagement with the archaeology of Christianity and
conversion, which has remained within a dominant historical
and art historical paradigm. Whether in Britain or elsewhere
in Europe there remains an lack of engagement between the

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archaeology of early Christianity and theoretically aware approaches to the study of ritual. One of the key factors
underlying the reluctance of those working on the early Church
to engage with religion may be the difficulty of reconciling the
study of what is deemed an essentially text-driven or logocentric religion with the study of material culture. In the words of
Florin Curta: To many archaeologists working in Eastern
Europe in the early medieval period, written records were a
substitute for a sound theoretical basis (Curta 2005, 6).
This gets to the heart of the one of the greatest theoretical
challenges for those working on the archaeology of historic
periods, the relationship between material culture and text.
Ritual, artefact and text
I recently attended a large multi-village festival for a
south Indian deity with a friend of mine. He was asked by
one of the young men in the crowd Are you a Hindu?
No, he answered. I am a Jew.
Is a Jew a Hindu?
Well they do many similar things.
Do you break coconuts and light camphor?
No, he answered
Then you are not a Hindu.
Hiltebeitel 1991, 28
This little story crystallises one of the problems faced by the
archaeologist studying religion; the relationship between cultural practice and religious belief. As products of a predominantly Judaeo-Christian society, for many of us our default
approach to religion is primarily textual, but as this incident
makes clear, religion is much more than just texts. The archaeological approach to religion, or, as it is more usually termed in
the literature, ritual, emphasises materiality (Barrett 1991;
1994, 70-85). This may sound axiomatic; of course archaeology,
particularly prehistoric archaeology, is founded on the study of
material culture. The danger arises when, because material

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2. Approaching religion: archaeology and belief


culture is the only source of evidence, it becomes the only
explanatory factor.
John Barrett distinguishes between the knowledge obtainable through everyday action within the world (based on
Bourdieus concept of habitus), and a more distanced, abstract
theory of knowledge, which he understands through a textual
metaphor (Barrett 1994, 80-1; Bloch 1985). For Barrett, one
way in which this more distanced knowledge may be articulated is through the ritual process; the ritual is seen as a text
having reference to some external supernatural guarantor of
truth. However, despite this theoretical separation of the unconscious forms of knowledge embodied by the numb
imperatives of habitus (Bourdieu 1991, 69) and the explicit
didactic nature of ritual, the two are often elided (Gosden 1994,
119). Both forms of knowledge are seen as being played out
through encounters with material culture. Barrett particularly
focuses on the creation of the spatial aspect of the fields of
discourse within which the ritual process is played out (Barrett
1994, 72-7; 2000b, 5-16). Although distanced from day-to-day
activity, ritual is tied to material culture. This emphasis on the
material aspect of ritual ignores aspects of social memory and
performance which do not have physical correlates, such as
music, drama, oral culture and, most ironically for a textual
metaphor, the content of the texts themselves.
This contrasts with the broadly textual approach taken to
the study of Christianity and other so-called world religions. In
this approach we see material culture subordinated to textual
evidence. Again this is not surprising; Christianity is pre-eminently a religion of the word: logos. Other world religions have
a similar emphasis on the written word as the fundamental
interface between society and God (e.g. Insoll 1999). Whether
we are considering the Bible, the Quran or the Baghavad Gita,
the main texts are all seen as divinely inspired revelations by
God of his plan for his followers.
Christianity, Islam and Judaism also have a tradition of
using history for didactic purposes: the Old and New Testaments and the Quran all focus on the historical foundation of

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Pagan & Christian


the religion as a means of legitimising their claims to truth.
Although small-scale religions may have foundation and creation myths these are often perceived as being outside time. In
Christianity recorded history is the arena in which Gods divine
plan unfolds. Texts are used to establish the links that connect
modern worshippers with the founders of their religion. All
these religions have rituals that re-enact the key moments in
their histories, such as the Haj, Pesach or the Nativity and
Easter (e.g. Coleman and Elsner 1995, 56). Christianity and
Islam both initially took root in societies where there were
pre-existing secular literary historical traditions (Blockley
1981; Lapidus 1988, 91-7). Considering this context it is not
surprising that in religions that are so fundamentally historicising that texts should occupy such a central ground in both
their history and historiography (e.g. Frend 1996, 1999). In
addition the sheer quantity of documentary evidence created in
the first centuries of Christianity is staggering, and this mass
of data (still being added to: Frend 1999) must also contribute
towards the central ground held by documentary evidence.
While this body of data has allowed the history of Christianity to be written with great depth and subtlety, it has also
meant that the relationship between textually-derived modes
of knowledge and material culture has not been adequately
considered. All too often the archaeology of Christianity has
served as a mere picturesque backdrop to the bloody internecine conflicts within the early church. The three main
dimensions of early Christian archaeology architectural studies, art and epigraphy have all, to a greater or lesser extent,
relied on a textually derived interpretative framework, focussing for example on the demands of the liturgy.
Such an approach can typically be found in attempts to
relate artefacts to objects mentioned in texts (e.g. Frend 19856; de Bhaldraithe 1991). A good example of this blindness to the
active role of material culture can be found in the study of early
church architecture. Much of the work focuses on architectural
history and chronological studies. While the best of these studies add greatly to our understanding of the topic, they run the

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2. Approaching religion: archaeology and belief


risk of degenerating into an exercise in typology, and when
interpretation does occur it is often couched in terms of the
demands of the liturgy (e.g. Mainstone 1988; Teteriatnikov
1992; Loosley 1999; Pickles 1999, 5), privileging the textual
over the material in matters of interpretation. Very little
thought is given to the way in which the social use of space
within churches serves to mould the way in which the congregation sees itself and its relationship with ecclesiastical
authorities (for an example from a later period see Graves
1989; Gilchrist 1994, 13-14). For example, the vast urban basilicas of late antiquity would have had a very different
atmosphere to the small house-churches found on late Roman
villas: how does the variation in the size and internal organisation of these buildings affect the congregations who used them
(Kilbride 1996)? Instead of liturgy influencing architectural
form, does this happen the other way round? As Richard
Krautheimer has noted, the great schism between the Orthodox and Catholic Church was presaged by an increasing
divergence in architectural form (Krautheimer, 1986, 203-4).
While prehistoric archaeology may overemphasise the material element of society, the archaeology of Christianity
frequently seems to ignore the active structuring potential of
material culture (Hodder 1986, 118-46), instead using it merely
to illustrate what we already know from textual history. One of
the few aspects of the archaeology of Christianity which has
been considered from a more mainstream archaeological point
of view is the role of Christianity in the changing face of late
Roman and late antique urbanism (e.g. Carver 1993, 63-7;
Orselli 1999; Gauthier 1999; Wharton 1995). This is surely
because this is a topic which coincides with more traditional
archaeological concerns.
This methodological bind can be avoided if we turn to John
Barretts two models of reproducing knowledge. Rather than
seeing text and object as two antithetical types of evidence we
should see them both as means of reproducing religious knowledge. As archaeologists we need to explore models of religion
that can deal with both textual evidence and archaeological

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Pagan & Christian


and art historical evidence. We need to see religion as dually
constructed (Giddens 1979, 210-12). As the the anthropologist
Robert Hefner has written: In all religious and ideological
discourse there is a dual economy of knowledge, in which explicit doctrinal knowledge is informed by, and mutually
informs a less discursive tacit knowledge constructed in a
wider social experience (Hefner 1987, 74-5). There is a recursive relationship between structure and practice. Christianity
as a lived religion is functions both as a theoretical structure
and a social practice. This model draws archaeology into the
analysis in a way that text-based histories of Christianity fail
to do. A religion comprises both large-scale symbolic structures
and the human practitioners who operate within them: the
day-to-day reality of religious practice consists of a dialogue
between these two elements.
It is important not to fall into the trap of seeing material
culture as simply representing the day-to-day, limited to the
realms of habitus, nor seeing texts as solely providing the
explicit structure of religions (Comaroff and Comaroff 1986,
1-2; Barker 1993, 204; Hefner 1987). Material culture must be
read textually, but reciprocally texts must be seen as material
culture, as a resource which can be used and deployed in the
unconscious ways that are traditionally limited to the material
world. More importantly, the two cannot be kept separate. Are
religious ceremonies physical expressions of textual liturgy or
is liturgy a textual mapping of physical ritual? There is, of
course, no correct answer; liturgy cannot exist without theory
or practice. While liturgy and ceremony may act explicitly to
outline doctrine, the use of the body, space and temporal
rhythms within the mass all serve unconsciously to maintain a
host of other more subtle religious beliefs. Within the liturgy
and mass are structure and practice; there is both distanced
ritual and bodily habitus.
Such an approach allows us to begin to deconstruct the
simplistic models of world/local religions presented at the beginning of this chapter by addressing one of the key oppositions
presented that of text versus material culture. As has been

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2. Approaching religion: archaeology and belief


shown, this dichotomy has had a pernicious influence on the
study of Christianity; with approaches to the archaeology of
pre-Christian archaeology being dominated by an archaeological paradigm while the study of Christianity itself has instead
been dominated by a text-driven approach (see Chapter 1).
Ironically, the analysis of religious conversion, which is predicated on an analysis of new differing world views, has itself
been underlain by a similar confrontation between these two
approaches to the study of religion. If we want to take an
identity approach to the study of religion it is important to
undermine this dichotomy, as one of the key dynamics underlying the use of religion to express identity is the configuration of
power and authority (Bell 1997, 82). If fields of discourse
whether they be a grave, a church or a burial mound, are to be
locations where identities can be expressed, maintained or
repressed, then much depends on such power; power can prevent or enable such expressions through physical force (such as
preventing or limiting access to a location) or through ideological or social sanction (the threat of excommunication, for
example). By acknowledging that power can be expressed and
legitimated through recourse to both textual authority (particularly the Bible) and material culture (architecture, dress
items, etc.), as well as other extra-somatic means, such as
personal ties and obligations (of kinship or patronage), we open
up a way to explore the process of conversion. These structures
of power are not simply reproduced uncritically through ritual
practice; instead religious activity can be seen to create and
maintain meaning and structure itself; the locus of power is no
longer focused on the text, but on all aspects of religious life
(Bell 1992, 82). Finally, by extending the emphasis on practice
in the study of prehistoric ritual into the domain of Christianity, and bringing our analyses to bear on small-scale and
repetitive ritual actions, we can begin to move away from an
understanding of religious change that is focused on monumentality and the elite.

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Christianity and text


In the beginning was the word.
John 1:1
The intimate connection between Christianity and literacy is
often seen as one of the defining features of the first encounter
with the new religion. In an early medieval world that was
largely (and often incorrectly) defined as illiterate, the advent
of Christianity was perceived as being coterminous with the
introduction of literacy. Indeed, it is the administrative potential of literacy that is frequently emphasised as being one of the
key underlying components of Christianity that caused it to be
a catalyst for the consolidation of early kingdoms (see Chapter
1). It is of course possible to challenge this characterisation of
early medieval society. While some groups, such as the AngloSaxons, were undoubtedly non-literate, there appears to have
been a sliding scale of literacy in many regions. In areas such
as western Britain, which had been strongly Romanised, there
are good reasons to argue that there was a continuity of literacy
into the post-Roman period. Some have emphasised the role of
Christianity in maintaining these existing standards of literacy. Taking the works of Patrick and Gildas as an example,
their clearly Christian moralising output shows wide evidence
for the authors being familiar with both Christian patristics
and secular classical learning (Lapidge 1984). The general assumption has always been that this learning was acquired in a
Christian context, probably a monastic school. However, there
is a danger in turning the presence of literacy in a Christian
context into an argument against the continuation of secular

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3. Christianity and text


literacy, and we must be alive to other possibilities. Patrick
tells us himself that his father was a decurion, a member of a
Roman town council, as well as a deacon (Confessio 1). The
administrative duties of a member of a Roman curia would
certainly have demanded some level of literacy, and there is no
reason to think that such literacy would have been taught only
in an ecclesiastical context. Wendy Davies has also suggested
that the distinctively Insular Celtic charter tradition, though
most apparent in charters produced in an ecclesiastical milieu,
probably had its origins in late Roman vulgar (secular) land
law (Davies 1982, 274-5). Even the limited archaeological evidence for literacy in sub-Roman Britain comes from secular
contexts; the only two styli recovered from known contexts
were found in secular contexts (Rahtz et al. 1992, 119-20;
Alcock 1963, 119). While the church may have become the
ultimate custodian of literacy in early medieval Western
Britain, it was clearly building on an existing secular tradition of literacy which may well have continued well into the
fifth century.
If one moves focus away from areas of former Romanisation,
there is a penumbra of what might be termed para-literacy,
with the use of ogham in Ireland and variations of runic script
in Scandinavia. Neither script is an entirely pristine development, and both clearly have links to external, probably
classical, systems of graphemes and grammatical systems
(Moltke 1985; McManus 1997). However, the Scandinavian use of
runes was clearly originally developed entirely outside a Christian context, and while the use of ogham is often linked to the rise
of Christianity in Ireland, there is in fact no explicit connection
between the two. The chronology of ogham as currently understood certainly allows for it to have developed at a time before it is
generally accepted that Christianity arrived in Ireland.
The ways in which runic and ogham scripts were used,
however, varies widely. Certainly in Ireland the surviving evidence suggests they were used epigraphically on stones with
some element of commemorative function, although they may
also have been used for other purposes. The evidence for use of

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Pagan & Christian


ogham on personal items is relatively late and limited (e.g.
Forsyth 2007). This is in contrast to early evidence for runes,
which although used widely as an epigraphic script, also appears far more widely on portable objects, indicating their use
for purposes of pragmatic literacy. This can be seen in the
huge range of rune-inscribed sticks from Norway including
commercial communications, personal messages and religious
phrases (Spurkland 2001). While much of the evidence for this
more practical side of runic literacy is relatively late, this may
be more due to matters of preservation, and the record that
Ansgar brought Louis the Pious a letter written in runes may
be a reflection of a more extensive use of runes than is generally appreciated (Vita Ansgarii 12, 24). This is a clear reminder
that monolithic notions of literacy risk hiding widespread
variation in its actual day-to-day use. While, as seen above, it
is possible to criticise the close conceptual link between Christianity and literacy on purely positivist grounds, highlighting
the presence of pre- or non-Christian literacy in the early
medieval world, it is important to begin to dismantle the entire
notion of a unified package of literacy as used within and
between early medieval societies. Within societies, it is clear
that different modes of literacy could be deployed at different
times and in different ways. This can be recognised most
clearly in Scandinavian societies where the advent of Christianity did not lead to the ousting of runic literacy. Instead, there
are parallel discourses of Latin and runic literate traditions
which operated within a different range of registers and were
materialised in a different range of media (Spurkland 2001).
Even churchmen could be proficient in the use of both Latin
and runes, and there is a substantial body of ecclesiastical
runacy (Moltke 1985, 407-500). Between societies it is also
possible to recognise different traditions in documentation for
example, early medieval Ireland produced a large number of
legal texts, despite the notable lack of pragmatic legal documents, such as charters, placita and dispute resolutions, which
are however are found widely in Anglo-Saxon England, which
has produced far fewer law codes (Stacey 2007, 92).

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3. Christianity and text


More fundamentally, it is possible to address this issue from
the opposite direction and question the extent to which literacy
was fundamental or of prime importance to the church. There
is nothing uncontroversial in reminding ourselves that in the
early medieval and late antique worlds the vast majority of
Christians were illiterate. Literacy was generally confined to a
relatively small lite. Keith Hopkins has suggested that at the
end of the first century there are likely to have been less than
fifty adults in the Christian church who could read and write
with any fluency, with perhaps only a thousand by the end of
the second century (Hopkins 1998). As he notes, written Christianity was initially constructed by a tiny group of socially
marginal men (Hopkins 1999, 86). Even within the priesthood,
the practical grasp of literacy could clearly vary widely; for
every Bede or Alcuin, it is likely that there was a priest such as
the one met by Boniface whose grasp of Latin was insufficient
to recite the central baptismal formula correctly (Emerton
1941, 122, LIV).
While the extent to which literacy could be found in preChristian contexts or secular contexts is an interesting topic of
exploration, it perhaps misses an underlying issue. The argument for the prime role of literacy within Christianity is not
simply about the relatively contingent connection between literacy and the appearance of the church in early medieval
contexts. Rather it is connected to the role of the text as a key
way in which the early medieval church was structured; ultimately, it is the role of text as the sole mode of authority that is
in question. Not surprisingly, the Bible is often highlighted as
the ultimate source of authority for Christians. It is seen as the
touchstone on which matters of faith and practice were tested
and validated. Indeed, Christianity, Islam and Judaism have
all been presented as religions of the book, as logocentric belief
systems that derive ultimate authority from a key holy text.
However, this can perhaps be seen as ultimately a rather
Protestant understanding of the relationship between the Bible and religious authority, one which privileges the role of
texts above other means of establishing and maintaining

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Pagan & Christian


authority over belief and practice within Christianity. This is
not to suggest that the early church did not place the Bible at
the centre of belief using the scriptures for teaching, for reproof, for correction and for training in righteousness (2
Timothy 3:16). However, there was always a balance between
scriptural authority and the institutional authority of the
church; one that was only overthrown by the Reformation principle of sola scriptura (scripture alone).
Institutional authority could on a day-to-day basis be expressed in a variety of ways. Documents were certainly an
important way in which papal and episcopal demands could be
declared, whether through formal papal bulls or the huge
amount of correspondence generated by the papacy, such as the
letters that went between Augustine and Gregory the Great
connected to the conversion of Anglo-Saxon England. However,
authority could also be expressed and maintained in other
ways. There was undoubted personal authority exercised
through key individuals, both by virtue of their institutional
rank within the church, but also through personal charisma.
The latter comes through strongly in records of individuals
such as Martin of Tours, who clearly often had ambiguous
relationships with the formal ecclesiastical hierarchy but none
the less were able to exercise considerable influence on religious belief and practice within their sphere of influence. Peter
Brown has written extensively about the key role as social
mediators and entrepreneurs assumed by late antique holy
men acting as honest brokers in local secular, as well as religious, disputes (Brown 1971). Their authority to act in this
manner was not derived from or defended by reference to the
Bible, but was instead predicated on their own personal example and their direct, often viscerally physical, engagement with
devotional practices.
A final and profoundly important source of religious authority in the early medieval period was, of course, custom or
practice. Appeals to the authority of tradition were a key strategy in ecclesiastical disputes. This can be seen explicitly in
Bedes record of the Synod of Whitby (664 AD) where the Irish

55

3. Christianity and text


and Anglo-Saxon churches met to address matters of disagreement in church matters. One of the key issues of debate was
the means of calculating the date of Easter. Crucially, both
parties appealed not to the Bible to support their arguments,
but to tradition; according to the Irish bishop Colman, The
Easter customs which I observe were taught me by my superiors, who sent me here as bishop, and all our forefathers, men
beloved of God, are known to have observed these customs,
while Wilfrid claimed that Our Easter customs are those that
we have seen universally observed in Rome ... we have see the
same customs generally observed throughout Italy and Gaul
when we travelled through these countries for study and
prayer (HE III.25). Here we can see authority being expressed
through traditions passed on by personal contacts and relationships. This has important lessons for those attempting to
develop an archaeological approach to the study of Christianity. Great care has to be taken to avoid privileging the
documentary record over other the material record in considering and understanding early medieval Christianity. The Bible
and other documentary sources cannot be used in a simple way
to test the extent to which a particular aspect of Christianity
conformed to accepted norms. Instead, other forms of authority, of custom, of person, of tradition existed alongside textual
authority; in some situations these may have complimented
the documentary record, but in other cases they have the potential to compete with and oppose the written word. Crucially,
this brings us back to the model for early medieval Christianity
developed in the previous chapter; religion was dually constructed, relying on the explicit articulation of belief and
practice as expressed through the texts, but also being constituted through practice (tradition; custom). If we characterise
the early church as logocentric, we risk failing to adequately
deal with the material expressions of belief that are addressed
by archaeologists. These material expressions do not survive
simply as embodiments of belief as expressed in the written
word, but actively contributed in a positive and creative manner to the development of early medieval Christianity.

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Pagan & Christian


The rest of this chapter will try and explore the way in which
the way in which material dimensions of early medieval Christianity might be interpreted, drawing on some of the ideas
developed above and in previous chapters. Through a series of
case studies, it will be shown how, with an increased emphasis
on archaeology and, more generally, the materiality of religious
belief, it is possible to develop increasingly subtle understandings of how religious belief could be expressed. There is
nothing novel in emphasising that for the majority of the population of early medieval Christendom, the experience of
religious education and worship would have been entirely nonliterate. Even for members of the literate clergy, much
devotional activity would not have engaged directly with written texts; at the very core of Christian worship, the celebration
of the mass, the majority of the action involved a performance
with a complex script of memorised utterances (liturgy) and
sequences of ritualised gestures and movement.
Catherine Bell emphasises the importance of framing devices in defining ritual action, structured distinctions in
behaviour and action that act to distance ritual behaviour
from actions that could be considered secular or profane (Bell
1997). This act of framing can be seen in the way in which the
notion of liturgy as a distinct constellation of ritual acts was
separated out from other Christian religious activity. The core
liturgical act in Christianity, the celebration of the Eucharist,
required some degree of spatial framing, primarily the presence of an altar; generally, this is most likely to have occurred
within a clearly defined church structure. However, small portable altars attest to the fact that the presence of an altar could
itself act as an appropriate frame that could transform any
location into an area appropriate for the celebration of the
Eucharist. Another key way in which liturgy was framed in the
Western church was through the use of Latin rather than the
local vernacular tongue. While in some late antique contexts,
the use of Latin would not have distinguished the expression of
the Eucharist from day-to-day speech, in much of the medieval
world, the act of code switching would have acted as a framing

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3. Christianity and text


device distinguishing these sacred utterances from more prosaic behaviour. Even though the majority of an early medieval
congregation is unlikely to have been sufficiently fluent in
Latin to have understood the content of the liturgy, the use of a
distinctly different language would have marked it out as a
clearly sacred act.
The use of Latin may well have been just one of a range of
linguistic codes used within early medieval societies; for example, in early medieval Ireland customary or vernacular
language (gnthbrla) was distinguished from other versions of
Irish that were marked by atypical grammatical structures or
a different vocabulary, such as brla Fne (legal language) and
brla na filed (language of the poets), as well as different
languages, specifically brla bn (white language), that is,
Latin (Stacey 2007, 99). Other framing devices might include
the wearing of specific items of clothing (vestments), the deployment of particular bodily postures, such as the orans
position, even specific sounds (bells; chanting) and smells (incense). All of these would have acted to define and regulate the
celebration of liturgical acts. Significantly, the successful enaction of liturgy required the appropriate framing devices to be
put in place. Indeed the appropriate use of framing devices
could become a point of contestation an early sixth-century
letter to two Breton priests from three Galllic bishops condemns the use of portable altars, making it clear that this,
along with the presence of women assisting the celebration,
made the act invalid (Howlett 1995, 66-72). In essence, for
these key ritual activities to be correctly carried out it was not
simply a case of correctly reciting the relevant texts, they had
to be appropriately materialised and performed.
A second key element of Bells definition of a frame is the
notion that they also acted [to] create a complete and condensed, if somewhat artificial world ... a type of microcosmic
portrayal of the macrocosm (Bell 1997, 160). One might question how far the ritual acted as a reflection of the existing
cosmic and social structure, rather than expressing an ideal or
anticipated outcome of the act, and elsewhere she herself notes

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that ritual was not merely the dramatizing or enacting of prior
conceptual entities it is rather, active and ongoing reformulation of belief (Bell 1997, 38). However, it is clear that
liturgical action could be used not just to bring communities
together, but also explore and express the divisions and structuring principles that pervaded them. For example, within the
liturgy there is a basic distinction between those who celebrate
the act itself (the clergy) and those who attend and witness its
celebration (the congregation). Both groups can be further distinguished: only ordained priests can say the eucharistic
prayer, although deacons can read the gospel this is what
Robin Chapman Stacey has called restrictions on performative
speech (Stacey 2007, 105). There were also clear distinctions
within the congregation catechumens had to leave the church
before the creed and Eucharistic prayer, while those who had
been baptised could attend the entire service (Yarnold 1978).
These divisions could be reflected physically and were often
mapped out spatially within church structures. The zone of
activity of the clergy was the sanctuary, indicated by the presence of the altar, and often defined by a screen (cancelli). There
was also often a distinct ambo for preaching. The body of the
congregation would attend within the body of the nave, while in
some traditions the presence of a western narthex acted as a
zone to which catechumens could withdraw at the appropriate
point (Krautheimer 1986). Further distinctions might be
played out within buildings; the seventh-century Irish Liber
Angeli refers to ecclesiastics being allowed to offer praise in the
southern basilica in Armagh, while others were merely allowed to listen in the northern basilica (Stacey 2007, 105).
Gender roles might also be reflected through the use of
space. Cogitosus description of the basilica of St Brigit in
Kildare records separate entrances for men and women, going on to state, And so, in one vast basilica, a large
congregation of people varying in status, rank, sex and local
origin, with partitions placed between them prays to the
omnipotent Master, differing in status, but one in spirit
(Conolly and Picard 1987, 25-6).

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While these specific framing devices served to materialise
Christian ritual, defining it and validating it, they did not
entirely separate religious activity from a range of other formalised or ritualised activities and practices in the early
medieval world. As already noted above, in early medieval
Ireland, linguistic code switching was also used to mark out
distinct legal and poetic discourses, and distinguish them from
vernacular actions. There was often a close intersection between ecclesiastical and legal practices, such as cursing, oaths
and compurgation, and ordeals. These intersections might take
the form of swearing on relics. For example, within in medieval
Welsh legal traditions, the use of relics to authenticate oaths
was a common one. When an individual who had stood surety
for another wished to deny a claim by a debtor he was required
to declare By the relic which is here, I am a surety from you for
what is said, and falsely have you sworn ..., while the debtor
placed his lips to the relic (Jenkins 2000, 64). A man who
wished to deny having had sexual intercourse with a woman in
bush and brake was required to swear on a bell without a
clapper (Pryce 1993, 43). The twelfth-century saints lives
also record a similar use for relics; the Vita Cadoci notes the
use of Gildas bell for swearing oaths (Vita Cadoci 27). The
relationship between legal activity and religious activity
might be more subtle; for example an Anglo-Saxon Rogationtide homily compares the stations of the Rogationtide
processions with gemotstow (legal meeting places) (Bedingfield 2002, 225).
Underlying these similarities in framing strategies is an
underlying similarity in many ritual aspects of early medieval
society the emphasis on performance. The significance of the
dramatic and performative aspect of early medieval ritual has
been noted elsewhere, with reference to liturgy (e.g. Bedingfield 2002) and law (e.g. Stacey 2007). According to Flanigan,
Ashley and Sheingorn (2005, 652), To do justice to the historically complex realities of medieval liturgy, we need to begin
viewing it as the cultural site for the most inclusive social and
political as well as religious performance. This performative

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element of early medieval ritual behaviour, whether following
a pre-determined script (e.g. liturgy) or the articulation of
unique acts within defined parameters, has led Robin Chapman Stacey to describe the practice of law in early medieval
Ireland as an intersection of artistry, technical skill and politics (Stacey 2007, 77). However, it is important to remember
that performance is not simply an oral phenomenon; whether a
theatrical piece or a religious ritual, the appropriate frames are
required to ensure that it is understood correctly. The lack of
these frames, or more importantly in a conversion situation,
the lack of a commonly agreed set of frames, can lead to misunderstandings or worse. A wonderful example of this can be
found in the Chronicle of Henry of Livonia, describing attempts
by Albert, Bishop of Riga, to win converts from among local
pagans
That same winter a very elaborate play of the prophets
was performed in the middle of Riga in order that the
pagans might learn the rudiments of the Christian faith
by an ocular demonstration. The subject of this play was
most diligently explained to both converts and pagans
through an interpreter. When however, the army of
Gideon fought the philistines the pagans began to take
flight, fearing lest they be killed, but were quietly called
back (Chronicle of Henry of Livonia IX (14)).
Despite the presence of an interpreter to explain the action, a
lack of the shared appreciation about dramatic framing conventions between the Christian Germans and the pagan
Livonians led to misunderstanding. Crucially for archaeologists, many of these framing devices, particularly the structured use of space and artefacts, are particularly accessible to
those exploring material culture and the built environment.
The failure to factor these contexts into analyses of early medieval ritual activity can lead to only a partial picture of these
activities being reached.

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Case study: votive deposition
in Roman Britain
A consideration of the earliest period of Christianity in Britain
provides us with an opportunity to explain the way in which
the process of ritualisation can be conceptualised. One of the
particular features of Romano-British Christianity is the presence of a distinct series of large lead vessels or tanks with a
clear ritual function found across the lowland area of the province (Petts 2003, 96-9). While some of these carry only a very
simple decorative scheme, others carry diagnostically Christian symbols, including the chi-rho symbol, often shown accompanied by the alpha and omega; other decorative images
include simple figures in an orans position commonly associated with early Christian worship, and in one example, from
Walesby in Lincolnshire, what appears to be a ritual washing
or bathing scene, most likely a baptism by immersion (Thomas
1981, 221-4). The ritual function of these vessels has, not surprisingly, been a focus of debate centring on whether they were
intended primarily to act as fonts or fulfilled some other purpose associated with ritual ablution, such as pedilavium, a
foot-washing ritual (Watts 1991, 71-3). Ultimately this debate
revolved around taking an item of material culture and attempting to link it to a recognised role within the Christian
liturgy. Crucially, such approaches fundamentally decontextualise these items, focusing on form and using it to construct
meaning. While this quest for ritual function is not an unworthy one, its failure to take a contextual approach to these items
does not address other potential ways in which the lead tanks
could have derived their ritual significance. This can be seen by
analysing the range of locations in which the artefacts have
been discovered.
While some such tanks are random finds with no clear context, a significant number are known to come from watery
locations; those from Ashton (Northamptonshire) and Caversham (Berkshire) came from wells, one from Heathrow was
located at the top of a waterhole, and a number of others were

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discovered in rivers or fens. Overall, where a precise location is
known for their discovery, the majority come from watery contexts (Petts 2003b). A similar pattern is also found in the
deposition of pewter objects with Christian symbols on them,
including a hoard of pewter vessels from Heybridge (Essex) and
a pewter bowl with a chi-rho found on the bed of the Old
Welney River (Cambridgeshire) (Thomas 1981, 123)
This consistency begins to suggest that there is some element of formalised structure to the depositional practices that
have led to the tanks entering the archaeological record. It is
difficult to account for a purely functional factor that might
explain this pattern, and the formality and consistency of the
pattern can be likened to the kind of practices that Catherine
Bell has argued might constitute the process of ritualisation.
Thus we might decide to conclude our analysis by noting that
the lead tanks can be ascribed a ritual function not only on the
basis of their symbolic decorative schemes, but also through
the formalisation of their deposition. However, this does not
begin to grapple with the relationship between Christian and
non-Christian religious activity in late Roman Britain. Christian behaviour in this context did not constitute itself in a
vacuum. Instead, the formalisation of Christian ritual behaviour developed within a wider landscape of contemporary
non-Christian practice. By an act of further contextualisation it
is possible to understand this relationship better. It is clear
that the kind of watery context associated with Christian lead
tanks was also associated with a range of other ritualised
behaviour in Roman and Iron Age Britain over the longue
dure. A similar pattern of structured deposition in pits, wells
and other watery contexts can be found across late prehistoric
and Roman Britain and Europe (Bradley 1998b; Brunaux 1988;
Ross 1968; Poulton and Scott 1993)
These broad homologies in the placement of tanks and other
structured depositional activities can be recognised through a
contextual analysis of their placement. It can be seen that the
use of watery locations, wells, ditches and rivers as the final
destination of these objects constituted a framing device defin-

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ing the physical act as one with wider ritual connotations.
Significantly, the same framing device was used in both pagan
and Christian contexts; there is no need to interpret this similarity of activity as some form of syncretic activity or belief
system. Instead we see consistency in the repertoire of the
underlying structuring principles of religious activity in Roman Britain that transcends notions of pagan or Christian.
It is possible to recognise other areas of consistency or similarity between Christian and non-Christian religious practice
in this period, particularly in the placement of votive metal
leaves and plaques. The best-known examples are the silver
plaques bearing chi-rho symbols found in a hoard at Water
Newton in Cambridgeshire (Henig 1984, 123-4). These are
decorated with Christian imagery, and were found associated
with other clearly Christian material, including a vessel carrying an inscription with clear allusions to Eucharistic liturgy
(Painter 1999). However, these plaques are part of a wider
group of votive items from Roman Britain which were also
clearly used in non-Christian ritual, often carrying the name or
image of a Roman or native god or goddess (Henig 1984, 14552). The presence of holes on some of these plaques suggests
that they were affixed to an object, presumably located within
a temple or shrine. Once again, it is possible to recognise an
element of consistency in ritual activity straddling the paganChristian divide the complexity of the nature of framing
devices is also recognisable in two ways. First, it is necessary to
take an artefact biography approach to the study of these ritual
artefacts. In the case of the lead tanks and the votive plaques,
their final disposal comes at the end of their use life, the frames
used over this period could clearly change; while the use of
watery contexts acted as their final frame, they would have
been used in alternative contexts before they reached this
terminal point in their trajectory. Secondly, one needs to consider the notion that ritual framing devices may even be
mutually recursive, acting on and constituting each other as an
element with ritual significance. The Christian votive plaques
from Water Newton may have been framed by their ritual

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context (hoard, church or shrine), but equally through their
association with other Christian items and their use of Christian imagery, they themselves would have helped to bracket
their use contexts as of ritual importance.
In the context of Roman Britain, where the conversion was
likely to have been moved forward by individuals from the
same broad cultural milieu, there is likely to be a shared
understanding of appropriate framing devices and mechanisms
that can be used to provide an element of sacrality to an act.
While there may be profound differences in the cosmological
interpretations and understandings of ritual behaviour, an underlying shared grammar of ritual practice has the potential to
provide a shared ground for discourses about change in religious belief. Building on the notions developed by Bergren and
Nilsson Stutz (2010), votive deposition can be seen as a shared
strategy of action. However, in encounters where the two social
groups lack this shared set of ground rules about what constitutes ritual behaviour and its boundaries, there is clearly far
wider scope for misunderstanding and misinterpretation.
The word made flesh: the materiality
of early Christian text
It has been shown that primacy of text in the structuring of
Christian ritual can be questioned and the need for framing
devices, often physical, is crucial for the correct operation of
ritual activity. Early Christianity was far from text-led; instead
its practice was profoundly entangled in materiality. Artefacts
and architecture did not simply act as reflections or expressions of text-based rituals, but were fundamentally implicated
in the practice of these rituals. It was only through their physical performance, framed by material culture and other sensory
and somatic devices, that rituals came into being. However,
this does not fundamentally address the underlying opposition
between texts and material culture. In recent years though, the
complex interaction between texts and material culture has
become increasingly problematised (for a recent review of these

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approaches see Moreland 2006). Moreland emphasises that
both text and material culture can be understood in similar
ways, both having efficacy or agency within the past, as well as
being simple reflections of the past. There is thus a need to
understand more closely the intersection of texts and material
culture; not just an improved understanding of the generalised
ways in which the advent of literacy can be used both as both
an instrument of repression and empowerment. At a fundamental level, texts are words made material; turning spoken or
thought utterances into material culture. There is a need to
better understand the range of ways in which texts are materialised and the different implications these may have.
It is essential to be aware that literacy and orality are not
monolithic concepts. Utterances can be expressed in a variety
of different ways: spoken, sung or chanted, and I have already
touched on the implications of code switching. The importance
of the correct or accurate replication of words can also vary
widely. In some cases, word-for-word repetition or accuracy is
essential, in other situations, it is the general drift or underlying message that is more important. Not surprisingly, there is
a wide variety of ways in which words, codes (religious; social;
legal) and narratives can be made material. Rather than setting up a simple binary model that opposes text to material
culture, it is more useful to recognise numerous spectra in
which messages can be encoded, ranging from those that directly materialise specific utterances to those that broadly
encode general principles. The axes for these spectra might
include such factors as implied or intended discursivity, extent
of reproduction, size of intended audience, or linearity of the
message (is there a sequential logic to the construction of the
message or is it impressionistic?). Individual items may embed
material with a range of different strategies; for example, even
a manuscript may contain the words of the main text, glosses
and emendations, in-text illustrations and marginalia all
with differing purposes and intentions, and each materialised
in different ways. The notion of imagetext, as developed by
W.J.T. Mitchell, is crucial in this respect; this is a recognition

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that many texts are so reliant on their associated images that
neither can be fully understood without the other (Mitchell
1994, 83-107; Brantley 2007, 5-6). In essence it attempts to
break down the binary tension of image versus text (for which
we might read material culture versus text). The juxtaposition
and mutual dependence of text and image must be interpreted
as widely as possible. In an early medieval context, art and
objects, such as murals, reliquaries manuscripts and sculpture,
which combine text and other images, all benefit from understanding in this way.
A practical way in which this can be seen is on the Ruthwell
Cross. This is an eighth-century Anglo-Saxon cross from southwest Scotland that carries one side a series of figurative scenes
from the life of Christ (such as the Annunciation and Crucifixion) captioned with Latin inscriptions, while on the other a
decorative scheme of inhabited vine scroll is accompanied by
excepts from the Anglo-Saxon poem The Dream of the Rood in
runic script. On this carving, the complex decorative scheme
and the associated texts play off each other to create a highly
complex monument that embedded communal liturgical action
both textually and figuratively. A recent re-analysis of the
stone has even argued that the schemes on the cross actively
demanded a physical engagement with it through movement in
a sunwise decoration, requiring onlookers to respond to the
cross as a material object, extended in space (O Carragain
2005, 62).
It is crucial not to see the use of pictorial narratives as an
alternative or parallel discourse to textual narratives. Despite
Gregory the Greats claim in his Epistle to Bishop Sirenus of
Marseilles that What writing does for the literate, a picture
does for the illiterate looking at it, because the ignorant see in
it what they ought to do, those who do not know read it, it is
clear that the relationship between words and images is more
complex. Images could often be used enhance the engagement
with words and texts (Camille 1985; Duggan 1989; Gill 2001);
the use of wall paintings and fabric hangings with pictorial
images within churches and other ecclesiastical spaces, such as

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monastic refectories, could interact with other activities, particularly the celebration of the liturgy. This combination of
visual and verbal, found also in drama, again brings us back to
the performative aspect of ritual and belief. One of the key
aspects of text is that it needs to be actualised in some form to
have efficacy.
This actualisation of the text may come in a number of ways.
The most obvious way is through the act of reading, although
this is not a simple or unproblematic concept. One clear area of
complexity is in the tension between private or silent reading
(although these are not necessarily the same thing) and public
reading to an audience or congregation. These distinctions cut
across the core material categorisation of texts, such as monumental epigraphy and manuscripts. Inscriptions in stone could
be read privately or publicly interpreted, as could codices and
books. Underlying these different patterns of use of texts is the
extent to which there is an intermediary. For the private
reader, there is no necessary intermediary or interpretative
voice in the engagement with the text (although marginal notes
and glosses could add a layer of interpretation). However, with
the public delivery of textual material there is an external
human agent between the text and the audience the mode of
delivery might vary, the agent may either provide a strict
word-for-word recitation of the text or provide a wider paraphrase or interpretation of the message, or use it simply as a
point of departure for a wider exploration or meditation on the
relevant themes. In many ways this brings us back to one of the
key factors in the discussion of the word and its relationship to
Christianity, that of authority. As soon as there is an intermediary in the transition of textual or symbolic material, the
audience are required to take the delivery of the message with
some element of trust, particularly if they themselves are not
literate. This authority of the intermediary might be expressed
or recognised in several ways; the spatial context within which
the message is delivered, be it pulpit or grave mound, the
physical appearance of the individual, whether expressing ecclesiastical authority through the wearing of vestments and

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the appropriate tonsure or secular authority through haircut,
clothes and items of personal adornment. Once again, we see
the importance of framing devices in contextualising ritualised
activity; for the content of a text to be made effective and its
authority to be made real, it is necessary for the correct material conditions to be met.
Case study: texts in stone in
early medieval Wales
Christianity in early medieval Wales had its origins in the
spread of the church in Roman Britain in the fourth century,
and despite its geographical location on the edge of Europe, the
early Welsh church was in close contact with other Christian
churches on the Continent. One of the earliest classes of evidence connected to the early Welsh church is a group of inscribed stone funerary monuments, usually written in Latin,
but sometimes inscribed using both Latin and ogham, with a
small number carved in ogham alone (Edwards 2001; Petts
2009, 26-9). The most common formula used on these stones
was the phrase HIC IACIT/IACET (Here lies) along with the
name of the deceased accompanied by some information about
their ancestry, although some have more extended inscriptions. These stones with Latin epitaphs appear to derive from a
widespread late antique epigraphic tradition found widely
spread across much of Gaul, Spain and Germany (Handley
2001). Visually there are a number of key features about these
Welsh stones. The inscriptions mainly used capital letters (also
known as majuscules), the typical style used on Roman monumental inscriptions, with the addition of a range of forms based
on Roman written hands, known as uncial (derived from a form
of capital letters adapted for non-epigraphic use) and half-uncial (derived from a hand used specifically for writing). The
proportion of uncial/half-uncial to capitals increased over time
and was probably complete by the mid-seventh century
(Tedeschi 1995, 2001). While the quality and regularity of the
inscriptions could vary, it is noticeable that apart from the text,

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the early stones contain virtually no additional decoration beyond the occasional cartouche, and the stones themselves are
often only crudely shaped. A number of the stones bear crosses,
but it is clear that these were added much later (Longden
2003). In summary, the emphasis on these stones was on the
presentation of the text itself, with little visual distraction. The
choice of burial formula and the letter forms clearly connects
these texts to a monumental epigraphic tradition rather than a
manuscript tradition of textuality. Crucially, with rare exceptions, these stones have little about them in form or content
that indicates a clearly Christian identity.
These early stones contrast strongly with a second phase of
Christian monumentality in Wales which comes to the fore
from the seventh century onwards. These are dominated by a
range of cross forms, varying from simple cross-incised stones
to elaborate and substantial free-standing crosses and slab
crosses (Edwards 2001; Petts 2009, 29-35). These crosses are
immediately visually very different from the early stones; they
are usually heavily and elaborately decorated and contain relatively little text. However, even the text that does appear is
presented in a very different way. The first noticeable distinction is the total dominance of half-uncial letter forms, derived
from a manuscript rather than an epigraphic tradition. The
range of formulae and vocabulary used on some stones also
clearly indicates a manuscript model. A good example of this is
apparent on a stone from Llanwnnws (Cardiganshire) (Edwards 2007, CD27). The inscription reads CHRISTUS
Q[U]ICUNQ[UE] EXPLICAU[ER]IT H[OC] NO[MEN] DET BENEDIXIONEM
PRO ANIMA HIROIDIL FILIUS CAROTINN meaning Whoever shall
(have) explain(ed) this Name, let him give a blessing for the
soul of Carotinn, son of Hiroidil. This text has close parallels
with wording used in ninth-century Irish gospels. As well as
showing manuscript influence in the broad wording of this
stone, it can also be recognised in the abbreviations and
contractions used, such as H with a dot over it (for hoc) and
N~O~ (for nomen); practices which again have clear manuscript origins.

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The visual appearance of manuscripts can also be seen to
influence the layout and design of some stones. One cross from
Llangyfelach (Glamorganshire) depicts a central figure wearing a rectangular tabard (Redknap and Lewis 2005, G52) There
is no attempt to depict the drapery accurately, and the rigid
shape of the costume resembles the Symbol of St Matthew,
from the Book of Durrow (Dublin, Trinity College Library,
A.4.5 (57), f. 21v). As well as examples such as this, referencing
the layout of manuscript pages, there are even cases where the
setting of the inscription appears to imitate the structure of a
book. One of the crosses from Llantwit Major has three pairs of
panels carrying the inscription. The layout of these panels side
by side is reminiscent of an open book or possibly even a wax
tablet of the type known to have been used for a range of
purposes in the early medieval world, including learning to
read and write, as well as potentially acting as notebooks
(Charles-Edwards 2003). The materialisation of religious text
on these crosses was thus fundamentally different from that on
the earlier memorial stones. In these later stones, text was
deployed in a way that made strong allusions, visually and in
terms of content, to a parallel tradition of manuscript-based
textuality, unlike the earlier stones which derive their model of
text from a epigraphic tradition. Underlying this may be differing perceptions about authority and text, with the earlier
stones deriving textual authority from a tradition which privileged public and monumental texts, whereas the texts on the
crosses instead intersect with a textual tradition which draws
on the authority of written manuscripts.
A final notable distinction between these later crosses and
the earlier inscriptions can be found in the nature of the inscriptions. The earlier inscriptions were essentially simple
epitaphs, acting as labels marking and memorialising the
grave. However, the texts on some of the later crosses, as well
as simply memorialising the dead, actively invoked a response
or action from the reader. This can be seen on the stone from
Llanwnnws noted above. As well as naming the deceased, the
stone actively acts as a stimulus for further ritual activity,

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requesting prayers for the dead. Significantly, the inscription
contains the phrase Whoever shall (have) explain(ed) this
Name ..., which gives a fascinating insight into how these texts
were actually perceived. It assumes that most individuals who
looked at the stone would not be able to directly understand the
text, but instead there was a requirement for further interpretation and explication. For most viewers of the cross, full
engagement would thus have been a public act involving an
element of performance; the stone appears to have an element
of agency, invoking interpretation and further ritual action.

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Deconstructing Paganism
Diu heienschaft ist hochgemuot
Paganism is proud
Livonian Rhymed Chronicle, l.327
In recent years there has been considerable work exploring the
pre-Christian religions that were confronted by the first Christian missionaries in Northern Europe (e.g. Price 2002; Carver
2010; Andreen, Jennbert and Raudvere 2006). In general, this
has been driven by archaeologists. This is not surprising; there
are no surviving first-hand testimonies or records of the process from the converts perspective, no intimate insights into the
tumultuous events to compare with Patricks Confessio or Bonifaces letters. However, the many new ways of looking at pagan
practice that have been developed have often not percolated
through to those exploring the actual process of conversion
itself. There has often been a tendency to characterise or
stereotype pagan religious practice in certain ways. The allpervading influence of the binary oppositions used to characterise world and local religions explored in Chapter 2 can
again be seen to lead to a series of unwarranted models about
the nature of pre-Christian cult behaviour. In general, paganism is seen as small-scale, localised, ritual activity focused
around local, often kinship, groupings, using models of cyclical
time, reflecting a more general close link to agriculture and
nature. Institutionally, pagan religions are seen as being relatively underdeveloped, with few ritual specialists or permanent
temple structures. This is in contrast with the international,
textually derived Christian church with its well-developed in-

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stitutional structure of ritual specialists and elaborate sites of
worship. Simplistic models of religious change that pit these
two caricatures against each other are inevitably going to underplay the complexity of the actual process of religious
change. This chapter largely aims to address these conceptions
of early medieval European paganism and explore how such
models for pagan activity came about.
In Chapter 2 the overarching model of world and local
religions was situated within an anthropological tradition that
was closely linked to a colonial discourse. Models of non-Christian religiosity were largely modelled in antithesis to the
Christian church. However, there was no attempt to address
how such models of religions came to be applied explicitly or
implicitly to early medieval ritual behaviour. One of the key
channels for such characterisation has been the increased use
of anthropological models and analogies by historians and archaeologists of this period. Parallels and insights drawn from
the work of twentieth-century ethnographers have become increasingly utilised by scholars exploring early medieval
religion and religious change. The challenges presented by this
anthropological turn were first highlighted by William Kilbride
(2000), who suggested that this use of ethnography first appeared in studies of the early medieval world and late antiquity
in the late 1980s and early 1990s, although it is possible to
trace the use of anthropology to understand early Christianity
back to at least the early 1970s in the work of Peter Brown (e.g.
Brown 1970; see also Munz 1976). Interestingly, although anthropology has been used by early medieval historians to
understand the ritual process more generally, this has largely
been applied to interpreting the workings of secular ritual (e.g.
Buc 2001).
The extent of the engagement with anthropological writings
can vary widely. At one extreme, Henry Mayr-Hartings use of
ethnography is limited to a single analogy between the conversion of Mercia and the conversion of the South Sea island of
Tikopia inserted into the preface of the second edition of his
seminal book on the conversion of Anglo-Saxon England (Mayr-

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Harting 1991, 7) the Pacific parallels were drawn from fieldwork carried out by Raymond Firth and published in the early
1970s. The work of Robin Horton (1971; 1975) on conversion in
South Africa has also attracted a number of early medievalists,
including Nick Higham (1997, 8-12; critiqued by Kilbride 2000,
8-12), Lynette Olson (1999) and Carole Cusack (1998, 11-15).
There are, not surprisingly, a number of problems, or at the
very least challenges, in the uncritical use of ethnographic
parallels to assist in understanding the conversion process.
Archaeologists have long recognised the care with which this
approach needs to be developed (e.g. Hodder 1982). One key
factor is the need to ensure the appropriate degree of contextual similarity between the situation described in the
ethnographic material and that with which it is being compared. If the use of an ethnographic analogy is to enhance our
understanding of conversion significantly, rather than simply
highlight a broad structural similarity or open up a potential
interpretation, then it is necessary that care is taken with how
they are deployed. As noted in Chapter 2, one of the underlying
problems with using anthropological understandings of religion to explore early medieval religious change is that the vast
majority of anthropological fieldwork into the transition to
Christianity has taken place in a colonial or post-colonial context. In such situations the mutability of religious belief cannot
be understood outside the wider social and political developments and tensions created through the process of nineteenthand twentieth-century colonial contact. In such circumstances,
societies are liable to be undergoing profound stress; existing
political structures may either be challenged or significantly
buttressed and consolidated by new external power structures,
existing economic structures may disrupted through the establishment of new border controls and tariff barriers, as well as
the underlying economic exploitation of the colonised society
(including the introduction of new agricultural crops and techniques); there are also likely to be major inequalities in
scientific, medical and military technology between coloniser
and colonised. Added to this, there are also usually strong

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social, political and economic ties between missionary groups
and ruling western powers. All this means that the landscape
within which religious change occurs in colonial societies is
going to be profoundly different to that of the early medieval
world. This wider challenge to the use of ethnography by archaeologists has been recently noted by Matthew Spriggs, who
has highlighted that many of the concepts drawn from anthropological work on the Pacific by British archaeologists, such as
the Big Man and the kula ring, are in fact themselves primarily products of the direct and indirect impact of colonial powers
in the Pacific (Spriggs 2008). To this we must add the more
immediate fact that much early ethnographic work was carried
out by missionaries who had a vested interest in the way in
which indigenous religious activity was characterised.
All this means that immense care needs to be exercised in
the use of anthropological analogy. For example, Robert
Markus uses Terence Rangers study of twentieth-century
white settlers in Zimbabwe to understand Christian appropriation of space in the late antique world, arguing that Like so
many white settlers they had to impose their own religious
topography on a territory which they read as a blank surface,
ignoring its previous religious landmarks and divisions
(Markus 1990, 142, citing Ranger 1987). This conclusion is
simply not borne out by a detailed consideration of the archaeological material, which recognises a close and complex reading
and engagement with non-Christian sacred sites by early
Christian communities (e.g. Clay 2008). Equally, one might
question Lynette Olsons development of Robin Hortons notion
of the importance of the clash of microcosmic and macrocosmic
world views as an element of the conversion process (1999).
While the linked process of colonialism, globalisation and conversion may have provoked a clash of local and
internationalising cosmologies in the context of nineteenthand twentieth-century Africa, it remains doubtful that there
was the same clash of perception in the context of missionaries
arriving in a pagan territory from a neighbouring kingdom
with broadly the same levels of technology. Even in the fifth

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and sixth centuries, there was extensive communication across
Europe between local and regional elites, and the movement of
populations and individuals, whether through intentional or
forced migration, short-distance raiding, long-distance warfare, trade, exchange or diplomacy means it is unlikely that
even when non-Christian beliefs were embedded in a purely
local landscape (and more on this below) there was no sense of
a wider cognitive landscape within which local peoples were
situated.
In addition to the impact of anthropology on the characterisation of pagan religions and the process of religious
change, there is a second filter through which pagan religions
and practices have been characterised, this time not by modern
scholars, but by early medieval Christians themselves. It has
been noted elsewhere in this book that all the contemporary
descriptions of pagan religiosity come from Christian writers
(Bartlett 2007). While some of these writers, such as Boniface,
may have directly encountered pagan religious activity, others
will have been drawing on second-hand reports and general
characterisation. Crucially, much of this will have been seen
through the lens of the Bible. While in the preceding chapter I
have tried to problematise the priority given to texts and literacy in the practice of Christianity, I would certainly not claim
that the Christian engagement with its scriptures was not of
profound and fundamental importance in forging an understanding of human society and its wider cosmological and
theological position. It is no surprise that the Bible, particularly the Old Testament, contains many descriptions of
non-Abrahamic religious practices. I would argue that these
provided a powerful model for describing early medieval pagan
practice. This was particularly due to the regular use of Biblical events as precedents, allegories and justifications for
religious conversions. The majority of early medieval scholars
did not read the Bible simply in a literal way as a description of
events; rather, following the exegetical approach developed by
Origen and others in the second and third centuries AD, they
emphasised a deeper spiritual reading of the Bible, which

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made great play of recognising and tracing parallels and allegories in the Bible to establish deeper truths. There was also a
focus on the importance of the Old Testament in presaging the
events of the New Testament, the former as a history of disaster recapitulated in the latter as a history of salvation
(Reventlow 2001, 172). As a consequence, encounters with paganism by the Israelites in the Old Testament could be seen as
prefiguring later Christian encounters with paganism.
A range of practices were characterised in the Bible as pagan, including ritual prostitution and child sacrifice. However,
the Hebrew term aboddh zarah meaning strange/unprescribed rites has generally been translated as idolatry, and
indeed the main way in which the Bible represented inappropriate ritual behaviour was as the worship of idols (Faur 1978).
This was in contrast to the Judaic tradition which placed relatively little emphasis on the physical depiction of God; while
the use of images was not absent, their deployment was circumscribed. The notion of right or correct cult was clearly laid
out in part in the Ten Commandments (Exodus 20:2-17; Deuteronomy 5:6-22), the second commandment being a clear
condemnation of idol worship.
Pagans were clearly seen as worshipping idols, such as in
Hosea 4:12, which in the Vulgate version reads populus meus
in ligno suo interrogavit et baculus eius adnuntiavit (which can
be translated as my people worship wood and are answered by
a stick). In some cases idols could be placed in a wooded grove
(e.g. 1 Kings 15:13; 2 Kings 17:16) and the sanctuary of the god
Baal was associated with a grove (e.g. Judges 6:30) the
planting of a grove close to a Jewish altar was also forbidden
(Deuteronomy 16:21). It is no surprise therefore that these
tropes and images used to describe pagan cult worship in the
Bible should be used to describe early medieval paganism. For
example, the description of Pomeranian paganism ascribed to
Otto of Bamberg by Herbord specifically mentions graven images (sculptilia) using the same term used in the Vulgate to
describe idols (Herbord II.30; Deuteronomy 7:5, 7:25; 2 Kings
5:2; Psalm 96:7). Elsewhere, descriptions of pagan lands refer

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widely to the practice of idolatry (e.g. HE IV.16; Vita Bonifatii
6). Groves were regularly depicted as being the location of
pagan activity and were regularly destroyed by Christian missionaries; Wigbert of Merseburg destroyed the grove of
Schkeitbar (Chronicon VI.37) and Boniface famously cut down
the sacred oak at Geismar (Vita Bonifatii 6); the juxtaposition
of a temple and a grove at Uppsala may certainly be based in
fact, but it also calls to mind the temple and grove of Baal. In a
description of a destruction of a pagan Livonian temple and
grove by Henry of Livonia, he used the term imagines et similitudines (images and likenesses), another direct quote from
the Bible (Deuteronomy 1:26) (Jonuks 2009). Other biblical
imagery could be used to describe pagan practice; Snorri Sturlusons account of the sacrifices at Lade, with the sprinkling of
blood on the altar, appears to be directly drawn from rituals
depicted in Exodus 24.
This is not to suggest that non-Christian communities did
not use figurative representations of humans or animals as a
focus for worship, nor that groves, woods and forests could not
be utilised as places for ritual activity. Rather, that any description of such practices was inevitably refracted through the
lens of biblical images of unorthodox religious practices. The
complexity of this situation can be recognised in the descriptions of pagan cult activity at Arkona on the Baltic island of
Rgen. A description by Saxo Grammaticus records the placement of liquid in a horn and the measurementof its evaporation
after a year as a predictor of the success of a harvest; this is
repeated by William of Malmesbury, who added the detail that
the liquid was water and honey and that it was part of the
worship of Fortuna. Crucially, William observes that St
Jeromes commentary on a passage in Isaiah confirms that
Egyptians and almost all eastern peoples did the same, and it
was used to predict the scale of future harvest (Bartlett 2007,
51; Slupecki and Zaroff 1999). The passage from Isaiah itself
reads: you who have abandoned the Lord, who have forgotten
my sacred mountain, who place a table for Fortuna and pour
out libations upon it (Isaiah 65:11). In this case it is easy to see

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how early medieval pagan activity could become reinterpreted
within the context of biblical models of paganism. One of the
key problems in such descriptions, however, is the focus on the
externals of pagan practice, rather than the details of pagan
religious beliefs. This indicates a keen interest in the early
writers in the niceties of correct behaviour, which was as important as, if not more than, correct belief. This does, though,
make it extremely difficult to understand the complexities of
non-Christian ethical belief and cosmography. It is important
to be aware of our lack of understanding in this context, as
characterisation of pagan beliefs regularly includes such key
factors as a cyclical rather than a linear conception of time, a
lack of a clear ethical framework, and a world-accepting rather
than a world-rejecting attitude (e.g. Urbnczyk 2003).
A final filter through which pagan activity has been filtered
is via the socio-political uses to which the notion of paganism
has been put by post-medieval writers and scholars. Tonno
Jonuks has explored the way in which the understanding of the
Estonian holy sites know as hiis have been characterised from
the eighteenth century to the early twenty-first century
(Jonuks 2009). He has shown that in the nineteenth century
the interpretation of Estonian paganism was closely linked to
the generation and definition of a distinct Estonian national
identity, which led to an emphasis on the purity of Estonian
paganism, undiluted by external influence and the construction of a defined pantheon of deities. In a different context,
Howard Williams and Sue Content have demonstrated that the
paganism of early Anglo-Saxon society was regularly subordinated to wider narratives about this period, particularly those
connected to national origin myths linked to migration (Content and Williams 2010).
Perhaps one of the most important common ways in which
pagan religions have been characterised, in an early medieval
context, is that they are small-scale. These religious practices
are deemed to be inherently local in focus. They are believed to
be narrow in scope and interested only in a tightly defined
arena. Robin Horton in his study of conversion in Africa char-

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acterised local traditional African religions in this way and
suggested they were essentially interested in the microcosm of
the local community (Horton 1971, 101); he argued that in
such societies most people had little interest in the wider macrocosm. While Horton emphasised the geographic dimension to
the native microcosm, there is a wider tendancy to characterise
traditional religions as in thrall to notions of cyclical time,
providing them with very limited chronologocal horizons. Hortons model of microcosmic traditional societies has been
criticised by other anthropologists, who have argued that African religions and other institutions were not as bounded as
Horton suggested (Hefner 1993a, 20-2; Ranger 1993). In the
rest of this chapter I want to develop this critique and argue
that our conception of pagan religions as microcosmic in space
and time is mistaken. I want to suggest that pre-Christian
cosmology was far more wide-ranging than often suggested. By
demonstrating that such religions could potentially operate at
a variety of scales, not just the local, I argue that models of
conversion based on simplistic models of pagan practice need to
be re-assessed.
Perceptions of time
One of the key distinctions regularly made between Christianity and paganism is the notion that the former emphasises
linear time while pagan societies are embedded in cyclical
time (e.g. Urbnczyk 2003; Driscoll 1988; 1998, 154-5). This
assumes that pre-Christian societies were primarily predicated
on a model of time that emphasised its cyclical and repeating
nature, with its close connection to seasonality and agricultural and human reproduction, and no real sense of progress or
time depth. Whereas Christianity is closely connected to a
linear sense of time, with an historical sense of the past and a
clear notion of prospective or future time. This is seen as
resulting partly from Christianitys close connection with literacy, which is deemed to facilitate notions of historical time (e.g.
Goody 1977), but also from the strong eschatological and salva-

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tionary theology inherent within Christianity, which has a
clearly developed narrative linked to creation and the final
judgement.
However, once again, such simple dyads are far too limiting.
This distinction between societies with cyclical and linear
time goes back to the work of anthropologists in the early and
mid-twentieth century, such as Evans-Pritchard and LeviStrauss (Lucas 2005, 63-4), and has been heavily critiqued by
later anthropologists (e.g. Bloch 1977; Gell 1992). Instead,
most anthropologists would accept that all societies operate
using a range of different models of time, or chronotypes. Indeed, it is generally acknowledged that Christianity has a
strong cyclical aspect, seen most strongly in the yearly celebration of the liturgical cycle. Equally, it is increasingly clear that
for wider Christian society, the widespread adoption of linear
time was a very slow one (Mytum 2006; Burke 1969). In general, the developing subtlety of this debate has focused on
expanding and exploring the range of chronotypes utilised in
Christian society. On the whole, pagan societies appear to be
condemned to endlessly repeat themselves, limited to a cyclical
conception of chronology. This sets the scene for a profound
culture clash when pagan societies and Christian missionaries
come into conflict. Perhaps, though, it is also possible to widen
our notion of how pre-Christian societies engaged with the
passage of time. Early medieval societies clearly did not have a
sense that there was no change; the regular appearance of
migration and origin narratives in early medieval literature
indicates that there was a perception of history, even if the
actual chronology may have been imprecise.
This can be seen most clearly in the sphere of burial archaeology. It is perhaps possible to recognise at least two forms of
broadly historical time through the archaeological record (cf.
Wessman 2010; Gosden and Lock 1998). On one hand there is
a sense of past that emphasises links to a deep or mythic past,
a chronological sense that cultivates a sense of long-term continuities with an ancestral past. This deep past could be the
location of mythological cycles and the activity of legendary

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heroes. However, there may be less sense of the internal differentiation of time within these fictive eras; in some cases there
may be a clear narrative event, such as a migration or other
population movement that marks the division between the
deep past and the more recent past. This notion of discontinuity or rupture is important, and it brings us to Richard
Bradleys work on continuity of ritual activity on prehistoric
monuments (1987, 2002). He has emphasised the extent to
which monuments of earlier eras have been used by later
societies as a material resource to be worked with creating
links with the past, often to legitimate claims to land and
power. In contrast to this sense of deep past, we might recognise a generational sense of the past, with individuals directly
linked to their immediate ancestors through well-developed
notions of genealogy and descent. Genealogical thinking could
provide an element of measured time; with real or invented
events being connected to specific individuals recorded in genealogies. While, undoubtedly, many genealogies contained
fictive elements, there was still an underlying notion of history
and that events that happened in the past could impact on the
present. Recording of ancestry, generation by generation, was
undoubtedly a core way in which claims to power and land
could be legitimated, and even relatively late, inauguration
rituals could often include the public recitation of lineages. It
has also been argued that the wider genealogical model of time
can be seen in Eddic mythology, with each period seen as a link
in a genealogical chain (Winterbourne 2004, 48-9).
These senses of chronology might also be recognised in the
way in which social memory could be materialised, with different attitudes to time being expressed in the archaeological
record in different ways. Not surprisingly, given the role of
death in marking the succession of generations, cemeteries
appear to form a key sphere in which conceptions of time might
be made physical. In such contexts, the inherent disorder of the
actual passage of generations (individuals die at various ages
and in various circumstances) might be re-ordered to provide a
more structured sense of genealogy (Sayer 2010). In some

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cases, such ordering may have impacted on features, such as
the range of grave-goods deposited, that would be recognisable
only during the celebration of the primary mortuary rituals
(Devlin 2007, 19-41; Sayer 2010; Williams 2006, 36-78). In
other contexts, generational relationships might be mapped,
created and enhanced by repeated augmentation with graves
and structural alteration (Williams 2006, 13; see, e.g., Mizoguchi 1993; Kujit 2001). This strategy can be seen widely in
some early medieval pre-Christian and conversion period burial traditions. Graves are often clustered into what are
presumably family groups such practices can be found widely
across Anglo-Saxon England (e.g. Berinsfield, Oxfordshire
(Boyle et al. 1995; Mill Hill, Deal (Parfitt and Brugman 1997)),
while at Sutton Hoo groups of fifteen barrows of late sixth- and
early seventh-century date are strung along a ridge above the
River Deben (Carver 2005); this is almost certainly a dynastic
burial ground, and despite difficulties in establishing a precise
chronology for the graves, it appears that the cluster was initiated by a central line of cremation burials (Carver 2005, 311;
Williams 2006, 158-62). On a monumental burial site such as
this, social memory would have meant that the genealogical
relationships of the deceased could be mapped and reconstructed on the ground.
These chronotypes should not be seen as oppositions, but as
complementary ways of understanding the past perceptions
that might be equally valid for both Christians and pagans.
Indeed, in past societies it might be quite possible for the two
modes of thinking to operate together. For example, in thirteenth-century Norway rites for the inheritance of family
estates required witnesses to count the ancestry back to the
mound and heathen time (Sundqvist 2002, 173; Zachrisson
1994). These implies both sense of time, a genealogical or
generational sense of the past that can be mapped through
counting family descent, and a sense of a deeper, internally
undifferentiated past, in this case linked to a period before
conversion. Crucially, while the generational past is expressed
orally, the notion of the deeper past is symbolically represented

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through the presence of a burial mound. Other strategies to
integrate the two conceptions of the past might also include the
inclusion of divine figures into genealogies, such as the inclusion of gods in some Anglo-Saxon royal genealogies (Sisam
1953). Richard Bradley has also emphasised that in the re-use
of prehistoric monuments could be punctuated by periods when
there was no activity at the site. Despite the notion of continuity being invoked through secondary burial in barrows and
similar activities, the link with the past was artificial and
fictional; in such cases it might be seen as an attempt to
reconcile a generational sense of the past with deeper notions
of antiquity. Howard Williams has noted, for example, how in
seventh-century Anglo-Saxon England, barrow burials were
often deliberately sited in similar landscape positions to prehistoric Bronze Age round barrows (Williams 1999). The wider
re-use of prehistoric monuments as the focus for cemeteries is
well attested; often the cemeteries might also be subdivided
into familial or household groups, meaning that such cemeteries might be invoking both a generational and a mythic sense of
the past at one site. For example, at Mill Hill, Deal, the two
clusters of burials are situated either side of a Bronze Age ring
ditch (Parfitt and Brugman 1997), while at Harford Farm (Norfolk), two separate clusters of burials both focused on
prehistoric burial mounds (Penn 2000).
Similar patterns can be seen outside Britain. At the cemetery at Bkkegrd on Bornholm (Denmark) the burials were in
three clusters of which only one focused on an earlier prehistoric cairn, while others were arranged further away. In this
case, it seems that only one burial group benefited from the
close association with a prehistoric monument (Thte 2007,
222-3). A similar situation can be recognised at Over Hornbk
(Denmark), where a group of graves were located in directly
relation to a megalithic barrow, while others were more widely
spread in clusters to the south and east of the re-used monument (ibid., 223-4).
It is also regularly implicitly assumed that pagan religions
had no sense of eschatology, with the assumption that they had

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no sense of prospective time and long-term destiny. A sense of
an end of the profane world and some kind of final act of
judgement also has clear wider connections to the notion of
destiny and fate, which might in turn be influenced by behaviour in this world. Consequently, the denial to pagan societies
of a sense of eschatology also implicitly denies pagan religions
many of the other features implicit in the binary construction
of paganism as lacking an ethical or world-rejecting notion.
Despite the difficulties of trying to delineate pagan cosmography, it is certainly possible that some pagan societies had
eschatological traditions. For example, the idea of Ragnorok,
the final battle at the end of the world, is commonly found in
Old Norse traditions, with some motifs found in skaldic stanza,
and more fully set out in Volusp (Hultgard 1991). While Ragnorok is admittedly only recorded in texts written after the
conversion period, it is difficult to argue that the entire concept
was a reaction to the Christian notion of final judgement.
Although some individual motifs, such as the return of Baldr,
may reflect a Christian influence, the wider narrative is distinctly different enough from the Domesday narrative to
indicate a separate origin (for a similar methodological challenge see Hultkrantz 1980). While the possibility of avoiding
Ragnorok may have been one motivation for conversion (Winterbourne 2004, 141), this entails the choice between
competing eschatologies, rather than the firstintroduction of
the underlying concept to a pagan milieu (for a different reading of this see North 2006). This is, of course, not to suggest
that all pagan societies facing Christian conversion in the early
medieval period had strongly developed senses of linear time
and eschatological concepts; for example, it is likely that the
seasonally nomadic Saami in Scandinavia used a different
range of chronotypes than their Viking neighbours to the south
(Bergman 2006). However, the dominance of cyclical notions of
time and a lack of eschatology should be proved, rather than
simply assumed, when modelling such pagan societies.
Finally, it is important to be aware of the complexity of even
cyclical conceptions of time (witness the sheer size and scale of

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Bronze and Neolithic monumentality which has a clear calendrical element). Bede wrote about the pagan Anglo-Saxon
calendar, which consisted of twelve lunar months and the periodic addition of an extra month to keep pace with the solar
cycle (Harrison 1976, 3-4). Effective use of such a calendar
would require common agreement about when the additional
months were to be inserted, and some form of measurement or
monitoring of the passage of time. Like all calendars, it was of
course cyclical, but the careful management required to ensure
the correct measurement of time required a sense of progressive time for it to be effective.
Case study: death and time in the
Iron Age East Baltic
It is possible to explore the varying notions of time held within
pre-Christian societies by looking at a group of cemeteries from
Late Iron Age Estonia. Saaremaa (also known as sel) which
lies off the western coast of Estonia, is the second largest island
in the Baltic after Gotland. It was one of the richest areas of
Livonia. The archaeology of late Iron Age society on the island
is well represented through the presence of a series of fortified
power centres and harbours, as well as an extensive burial
record (e.g. Mgi 2002, 2004). The island was drawn into the
orbit of the Catholic church during the Northern Crusades and
was conquered by the Sword Brothers in 1227 (Christiansen
1997). This leading to the spread of Christianity on the island,
including the construction of a number of stone churches and
chapels.
Although the arrival of the Church certainly led to developments in the burial rite, I want to focus here on burial customs
in the 500 years before this event. Marika Mgi, in her overview of burial on the island, has identified four key phases in
burial customs over this time (Mgi 2002, 137). The initial
stage, beginning as early as the sixth century, saw significant
re-use of prehistoric monuments as the site of cemeteries, including stone cairns and the distinctive rectangular tarand

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graves. There was, though, little evidence for the construction
of new monuments or markers over the graves themselves. The
clear distinction in the earliest phase is the contrast between
the placement of burials in association with earlier mortuary
monuments, suggesting an interest in developing links with
earlier ancestors, while at the same time there was far less
interest in monumentalising individual graves. This may suggest less focus on fixing the burials of individuals within the
landscape. Ancestry appears thus to have been of importance
when it intersected with a deep or mythic past, while more
immediate genealogical relationships within the burial community were of lesser significance.
From the mid/late tenth century there appears to have been
an increased use of stone circles and cairns over individual
cremations. These can be seen clearly at sites such as Kku
and Kurevere, where the cremation deposits were surrounded
by stone kerbs, with some additional cremations being placed
between the stone circles. Here we see the monumental fixing
of the cremations acting as a visual mnemonic of the significance of individual identity, and potentially a renewed focus on
kinship identities, invoking a stronger sense of the measurement of time as measured through the passing of generations.
Conversely, there is a general decrease in the placement of
cemeteries next to prehistoric monuments, the notable exception being the site of Piila, in central Saaremaa, which may
have been re-using the site of a Bronze Age or pre-Roman Iron
Age burial site (Mgi 2002, 43). Over the course of the eleventh
century there is again a decline in visually fixing individual
graves. The cremations at Kogula and Randvere are generally
not marked, although a small number are still surrounded by
stone circles. Despite the lack of individual markers, the cemeteries became more monumental overall, with a possible visual
emphasis on corporate rather than personal identity. This is
not to suggest that individual identities were not expressed in
the burial rite, but it is clear that there is far less focus in the
sphere of monumentality. We see generational/genealogical
time being suppressed. In this period there is also little evi-

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dence for significant levels of monument re-use in the siting of
cemeteries.
Finally, from the thirteenth century, broadly coinciding with
the advent of Christianity, there is a major shift from cremation to inhumation. Apart from a few precocious inhumations of
late twelfth-century date from the cemetery at Loona, the other
inhumation cemeteries (Valjala, Karja and Viira) had no association with earlier burials, and no evidence for above-ground
monumentalisation. Although found in the same general areas
as previous Late Iron Age cremation cemeteries, there is no
little evidence for the immediate juxtaposition of cremation
and inhumation grounds. Instead, the evidence seems to suggest a clear break with earlier burial sites.
Even when sketched in broad strokes, as above, it can be
seen that over the period from c. 600 to 1200 the materialisation and representation of time as recognisable through
patterns of monumentalisation and re-use of earlier burial
sites varied widely, shifting from a focus on the deep or mythic
past in the seventh to ninth centuries, with little evidence for
the expression of genealogy, to a greater focus on the burials of
individuals from the tenth century onwards. This can be seen
by the new emphasis on fixing individual graves through the
construction of mounds and cairns, going hand-in-hand with a
decrease in the re-use of earlier monuments. There was again a
decline in the expression of individual identity in the mortuary
rite from the eleventh century on although there is little
evidence for renewed use of prehistoric sites, the cemeteries
themselves become monumentalised, but emphasising corporate rather than atomised identity. Finally, the advent of
Christianity sees a key transition in mortuary rite (cremation
to inhumation), and another shift in burial location away from
the monumental eleventh-century sites and prehistoric sites,
possibly marking a conceptual break from a pagan past. If we
were to explore these patterns of change in mortuary behaviour
simply in terms of a pagan/Christian model, we might be
tempted to construct a simplistic model which emphasised a
simple switch away from pagan monuments to a new Chris-

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tian landscape. However, by placing our understanding of the
burial traditions into a longer-term perspective, we can see
that conceptions of time were continually being reworked and
reinterpreted within the half-millennium leading up to conversion, indeed even to within two hundred years of the advent of
the Church. The notion of an essentialist pagan notion of time
in this context will simply not suffice. It is possible to further
problematise the situation by a more detailed consideration of
the evidence. For example, although most inhumation cemeteries have no relation to previous burial sites, there are hints
from a few locations, such as Liiva, 1.5 km to the north-east of
Viira, that inhumations may been close to a tenth-century
cremation cemetery. Clearly, although it is possible to recognise broad tendencies, there were micro-traditions reflecting
very localised attitudes to the past, which could contrast even
over an area of a few miles (cf. Lucy 2002).
Pagan perceptions of space
If the pagan sense of time can be problematised and demonstrated to be more complex than a simple opposition of cyclical
time versus linear time, then the same is also true of preChristian senses of space. It is clear that early medieval pagan
landscapes were loaded with symbolic meaning (e.g. Semple
2002, 2010; Clay 2008). The inhabitants of non-Christian societies moved through a space inhabited by spirits, gods and
ancestors. Natural places, rivers, lakes and prehistoric monuments were imbued with ritual significance; even at a more
immediate scale, halls and settlements could be the site of a
range of ritual practices and activities (e.g. Hamerow 2006;
Walker 2010). The often implicit assumption, however, is that
these sites were experienced only by those who lived within the
locality. There have been relatively few attempts to impose an
element of scale over this ritual landscapes. If we compare
Christian senses of ritual landscapes, then it is immediately
clear that symbolic space operated in a nested level of scales,
ranging from the immediate ideological construction of micro-

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spaces with the church or home, to the symbolic geography of
the parish, mapped through wayside crosses, holy wells and
the ritual procession of the parish bounds at Rogationtide, to
the wider regional geography of cathedrals and regional pilgrimage sites, proceeding at a larger scale to routes of international pilgrimage (Santiago; Rome) and to a wider cosmological
mapping of space placing Jerusalem at the centre of the known
world (OSullivan 2001). There have been relatively few attempts to explore this sense of graduated ritual landscape in a
pagan context. It has been suggested that in Anglo-Saxon England there was a correlation between hundred meeting places
and possible temples (Meaney 1995, 37). It is certainly possible
that there may be have been a coincidence of religious sites of
greater than local significance with important secular power
centres; for example, the range of unusual structures at the
Anglian palace at Yeavering and the fact that it was the site of
a key episode in the conversion of the Anglian kings of
Northumbria may imply that site had an important religious
meaning, as well as a secular one (HE II.14). The same applies
to the pagan temple at Gudmunham (East Yorkshire) recorded
by Bede as being destroyed by Coifi, the newly converted former chief-priest of King Edwin of Northumbria (HE II.13).
These suggest that there was a hierarchy of holy sites that
broadly parallels the secular hierarchy. On a broad North
European scale it is certainly possible to recognise a close correspondence between areas of major ritual activity and centres of
social and political power. The major foci of cult activity at sites
such as Uppkra (Sweden), Tiss (Denmark) Borg (Lofoten, Norway) and Uppsala were clearly connected to major local power
centres (Larsson and Lentorp 2004; Jrgensen 2003; Munch et al.
2003; Nielsen 1997). This homology between sites of secular and
ritual importance need not surprise us; however, it is important to
consider the possibility of alternative ritual landscapes that
crossed and transcended political boundaries. If one approaches
this topic in the longue dure then it is certainly possible to
recognise the presence of religious cosmologies being mapped
out in a very large, indeed international, scale.

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This can be seen clearly in recent work on Stonehenge (Wiltshire) and its surrounding landscape. The Neolithic and
Bronze Age henge complex and its hinterland were undoubtedly an area of very high symbolic density, however, its
cosmological import went well beyond its immediate locality
and even its regional location in the chalklands of Wessex. The
bluestone circle at the heart of the monument was constructed
with stone taken from south-west Wales, over 150 miles distant. As well as drawing symbolically important resources from
a long distance away, it is clear that Stonehenge itself drew in
people from well beyond its own regional context, with isotope
analysis on graves in the immediate vicinity indicating that
some individuals buried there had journeyed at least 150 miles,
and possibly even from the Continent. The so-called Amesbury
archer, an early Bronze Age burial found just three miles away
from Stonehenge, may have come from Central Europe and the
so-called Boy with the amber necklace may even have come
from the Mediterranean (Evans et al. 2006; Wessex Archaeology 2008; RGS 2010). The symbolic importance of using stone
taken from a particular distant source, found at Stonehenge,
can also be paralleled in a different way elsewhere in prehistoric Britain by the evidence for the special preference given to
the use of stone taken from remote quarries at Scafell Pike,
high in the Lake District, for making stone hand-axes (Bradley
and Edmonds 1993). Even from these two examples, it is clear
that the religious landscapes of Neolithic and Bronze Age Britain had distant horizons. The ritual significance of landscapes
could transcend their immediate localities and make links with
distant locations. Equally, for individuals, sites of ritual importance could be located well away from their immediate
environment, and might cause them to travel significant distances. Even for those who did not make the journey, knowledge
and understanding of sites such as Stonehenge are likely to have
been geographically widespread. In this context, to talk of society
being limited to a microcosmic world view is clearly wrong.
A second example of the international scale of pre-Christian
religion confirms the extent to which ritual landscapes could

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operate on a very large scale. While there is much that is
misunderstood about late Iron Age druidism in Western
Europe, it is clear that it also acted on a large stage (Chadwick
1966; Green 1992). Julius Caesar refers to periodic meetings of
druids at a consecrated place in the territories of the Carnutes,
which is reckoned the central region of the whole of Gaul
(Gallic Wars 6.13). This seems to indicate some level of organisation for religious ritual beyond the tribal, and possibly
implies a wider symbolic geography of Gaul, with Carnutes
identified as a pan-tribal centre of ritual significance. Caesar also
refers to the belief that druidism originated in Britain; whether
actually true or not, this belief indicated a sense that Gallic
religious practices and their associated mythology had a cognitive
map that operated in some way on an international level.
Further evidence for the potential international scale of late
Iron Age cosmographies can be found in Anglesey (Wales).
While the popular association of Anglesey with druidism appears to come from an over-optimistic reading of Tacitus
Annals (Book XIV), the island was the site of a major ritualised
deposition of metalwork in the lake at Llyn Cerrig Bach. Some
of this metalwork had clearly been imported from beyond the
immediate region, including southern England and Ireland
(Macdonald 2007, 152-7). This is not the only evidence of possible unusual external features indicative of possible
long-distance communication in Anglesey. Two stone pillars
from Trefollwyn, one carved, are unique to Britain, but appear
to have been part of a tradition of La Tne carved stone pillars
that spreads from the Rhineland, Brittany and Ireland (Edwards 1998); this is again suggestive of long-distance religious
links across Iron Age Europe. This evidence is strongly supportive of an Iron Age religious cosmology that could articulate
long-distance travel and movement of people and objects. Certainly, by the Roman period major shrines, such as Bath and
Fontes Sequanae in Burgundy at the source of the River Seine,
were attracting pilgrims from across the empire (Green 1999).
If we are able to identify religious practices with a clear
macrocosmic aspect in late Iron Age Europe and the Roman

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empire, then such connections could have operated in the same
area in the early medieval period. In some cases these are
recorded only in documentary sources. Henry of Livonia records that priests carrying out conversions in central Livonia
destroyed a temple and grove that was believed to have been
the birthplace of Tharapita, a major god of the people of Saaremaa, which lies off the Estonian coast (Chronicle of Henry of
Livonia 24.5). Other possible cases may be distinguished
through the archaeological evidence. For example, excavation
has shown continued activity within the inner precinct at the
internationally important Roman cult centre at Bath well into
the fifth century and possibly the sixth (Cunliffe and Davenport 1985, 74-5). The recovery of at least one early medieval
penannular brooch from the spring itself also suggests continued cult activity at a site which at its height attracted pilgrims
from across the Roman empire (Youngs 1995). While it is probable that votive activity at the site lost its international
dimension from the fifth century onwards, the site appears to
have continued to have a high profile in the Anglo-Saxon mind,
as it is almost certainly the place described in the eighth-century Old English poem The Ruin.
Even where there is no direct evidence for cult activity, it is
clear that certain sites loomed large in ritual memory during
the early medieval period. The stretch of the River Witham
south of Lincoln was a major focus of ritual deposition during
the Iron Age and the Roman period. The scale of activity (along
a stretch at least 10 km long) would suggest a ritual significance for the river above and beyond the immediately local
communities. While there is no direct evidence for votive deposition continuing along this stretch during the early
Anglo-Saxon period, such practices appear to have re-emerged
in the middle to late Anglo-Saxon period and during the postConquest period, when a series of monasteries were founded in
the area, and numerous medieval objects, including swords,
were placed in the river (Stocker and Everson 2003; Lund
2010). Despite the temporary cessation of deposition during the
fifth to seventh centuries, it is clear that there was a continued

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memory of the ritual symbolism which enabled the tradition to
be revived at a later date.
Sarah Semple has also highlighted the evidence of the continued ritual importance of key places in the landscape being
recognised in the Anglo-Saxon period in her recent re-analysis
of so-called hearg (OE hearg = temple) sites in southern England (Semple 2007). She has shown that such sites were often
a focus of religious activity in the prehistoric and Roman periods; despite there being little evidence of overt cultic activity in
the fifth to seventh centuries, the use of the hearg place-name
suggests their ritual importance continued to resonate in this
period. In some cases, these hearg sites occupied dominant
landscape positions, which were visible from far beyond the
immediate surrounding area. It is likely that such sites must
have fitted into a wider cosmological landscape, and were not
simply important at a simply local level. It is clear that dominant features in the landscape could also be imbued with a
ritual significance in this period, and again these are likely to
have had an importance on a wider regional or even national
scale. For example, a number of mountains in Poland, such as
Lysa Gra and Mount lza, appear to have been significant
pre-Christian cult centres (Buko 2008, 108-17). Each is the site
of unusual stone sculptures and has produced evidence of possible cult activity, and the latter was recorded as being a site of
particular veneration by Thietmar of Merseburg (Chronicon
6.59). There may also be alternative ways of exploring long-distance ritual contacts. For example, work on Anglo-Saxon
cremation urns has demonstrated that urns from cemeteries a
considerable distance apart (e.g. Sancton, East Yorkshire; Baston, south-west Lincolnshire) were decorated with impressions
made with the same dies, although the clay used was local
(Arnold 1983). This raises the intriguing possibility of peripatetic potters specialising in creating pottery vessels with a
primary ritual purpose. The distances involved would appear
to cut across localised family or extended kinship groups and
indicate at least some sense of commonality in the expression
of specific ritualised acts over considerable distances.

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Conclusion
This chapter has attempted to address some of the pervading
conceptions about pagan or pre-/non-Christian religion in early
medieval Europe, which are as equally enduring and influential as existing perceptions of Christiianity. However, whereas
essentialist models of Christianity are being increasingly critiqued, attitudes to paganism have been explored less thoroughly. While researchers working on prehistoric material may
well be producing increasingly subtle readings of ritual behaviour, these understandings often do not reach those working on
early Christianity, who instead have turned to anthropology
and ethnography as a source for understanding the societies
which were confronted by the early Christian missionaries.
However, it might be argued that this recourse to anthropological parallels and injudicious use of analogy is actually consolidating existing stereotypes of non-Christian religious belief; it
has been shown that notions of microcosmic and macrocosmic
religions which may be of some limited application in the context of understanding the impact of globalisation and colonialism on religious practices in nineteenth- and twentieth-century
Africa are not appropriate for understanding religious change
in early medieval Europe. The danger with these essentialist
models of pagan religious practice that depict pre-Christian
ritual worlds as fundamentally microcosmic with limited spatial and temporal boundaries, is that it underplays the potential diversity and variation within them. There is no scope for
acknowledging that pagan practice can vary across space or,
perhaps, more importantly, over time. This lack of acknowledgement of the capacity of pagan practices to change and evolve
ultimately results in a denial of agency. Pagans are seem as
incapable of acting creatively within their own world view, with
the only release from a cosmological and historical stasis being
achieved by the external invocation of Christianity.

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The previous four chapters, rather than engaging in a close
analysis of the detailed process of religious change in the early
medieval period, have instead tried to explore some of the
wider conceptual issues related to this topic. It has been suggested that the meta-narratives linked to the spread of Christianity have been dominated by one of Constantinian
conversion, which sees the adoption of Christianity as primarily an act of realpolitik led from the top. There has been far less
consideration of the more drawn-out process of adoption of the
new religion by the non-lite portions of the population. Both
archaeologists and historians have recognised the varying
ways in which local expressions or modes of Christianity could
be recognised across Europe, whether understood as Peter
Browns micro-Christendoms or Martin Carvers intellectual
communities. It has been argued, though, that these fail to
reflect the varying ways in which Christianity might be
adopted within, rather than between societies. The dominance
of research on monumentality and high-status sites by archaeologists working on early medieval material has perpetuated
the emphasis on the role of lite in the conversion process.
The argument then moved to a consideration of the way in
which archaeologists have engaged with the study of religion
and ritual, arguing that the study of religion in the first millennium AD has been primarily structured on a series of key
binary oppositions that contrast pagan societies with Christianity in a range of ways that has meant that the approaches to
the study of these religious beliefs have gone down very different paths. Work on pre-Christian religious belief has been

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essentially an archaeological project, whereas the study of
early Christianity has been fundamentally historical in outlook. I have argued, drawing on notions of structure and
agency, that a more unified approach to the consideration of
Christianity and pagan belief systems might transcend these
conceptual divides. I also suggested that an identity approach
to the study of early medieval religion might prove useful,
allowing a focus on the context of religious expression and
emphasising the need to map the spread of Christianity not
simply spatially, but through its colonisation of fields of discourse within a given society.
Moving on to a more detailed exploration of the role of texts
and literacy in the construction of the early medieval Church, I
have attempted to emphasise the importance of non-textual
sources of authority in the practice and transmission of Christianity, arguing that a renewed focus on materiality allows
archaeology to resume a more central place in the exploration
of the conversion process. Finally, in Chapter 4, I moved from
the dominant metaphors that characterise the perception of
Christianity to a consideration of the key tropes that have
dominated how early medieval pagan beliefs have been characterised. I suggested that there has been a tendency, ultimately
derived from over simplistic borrowings from anthropology, to
model pagan societies as being caught in a temporal and spatial microcosm in contrast to the macrocosmic scope of
Christianity. Instead, I would contend, early medieval societies
could be far more complex, and their belief systems could
encompass complex and contrasting models of time and space.
As a consequence, any models of Christian and pagan encounter that are predicated on a simple micro- versus
macro-cosmic model fail to do justice to the complexity of this
engagement. In this final chapter I want to try to take some
of these theoretical ideas and apply them to some practical
case studies in an attempt to see how an application of some
of the concepts developed in previous chapters might be
translated into the practice.

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Converting Anglo-Saxon
England, 600-700
The major cemetery at Sutton Hoo (Suffolk), with its extravagant grave-goods and elaborate monumentality, has iconic
status in the study of middle Anglo-Saxon society (Carver
1998a, 2005; Evans 1986). With its most lavish burial, the
early seventh-century boat burial in Mound 1, occurring within
a generation of the arrival of the Gregorian mission to convert
the Anglo-Saxon kingdoms, it has not surprisingly become a
site that has been used repeatedly to explore the nature of
burial rites in this crucial period, which saw not just the rise of
Christianity, but also the consolidation the Anglo-Saxon kingdoms that dominated the political landscape of England until
the advent of the Vikings in the ninth century.
Religion, both pagan and Christian, has long taken a central
role in interpreting the burials at Sutton Hoo, with arguments
being advanced for both a Christian and a pagan identity for
some of the graves (particularly Mound 1). Proponents of a
Christian identity point to the Christian nature of some of the
grave goods, such as the Byzantine material, including the
silver spoons and plate (Webster and Backhouse 1991, 16).
Alternatively, it has been suggested that Mound 1 marks an
instance of defiant paganism; an ostentatious and deliberate
attempt to use burial rites to signal an affiliation with the
North Sea and Scandinavian world, in distinction to the Christian, Frankish and even ultimately Byzantine identities being
cultivated by kings of Kent (Carver 2005, 313). It could even be
argued that the Mound 1 burial was a deliberately syncretic
event, drawing on both pagan and Christian material vocabularies. This latter point of view brings to mind Bedes records of
Raedwalds positioning of a Christian altar next to a pagan
altar (HE II15); the regular identification of Sutton Hoo as the
burial ground of Raedwald and his dynasty meaning that even
if he was not the person placed in Mound 1, he may have been
closely implicated in its construction. Whichever argument is
supported, it is predicated on identifying religious affiliation in

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a relatively simplistic way onto the burial rite: boat burial,
monumental mound building, military equipment as burial
goods being seen as fundamentally pagan and Scandinavian,
whereas inhumation, gold and garnet jewellery and Byzantine
plate are seen as essentially Kentish and Christian. The overall religious content of the burial is seen as a function of the
relative weight or significance placed on the components of the
mortuary ritual. However, underlying this discourse is the
fundamental assumption that burial rites were ultimately related to religious affiliation. This might, however, be disputed,
although it is important to emphasise that querying the role of
religion in the burial rite need not automatically mean a
retreat into an overly simplistic socio-economic interpretative
paradigm, which avoids exploring questions of meaning or
identity. Burial traditions in this period are clearly closely tied
into issues of personal and social identity. The real question is,
then, which identities are being expressed or repressed in these
burials, and how are these being read?
It has been suggested earlier (with an example from the Life
of St Martin of Tours) that burial was not automatically seen as
a domain in which religious affiliation was overtly expressed.
Obviously there are about 200 years and 500 miles between St
Martin and the body in Mound 1. However, this should make
us start asking questions. It is salutary to look at some of the
documentary evidence connected to Christian mission in the
Anglo-Saxon world and its attitude to burial. According to the
material in Bede, Augustine is interested in how to deal with
pagan temples and holy sites, but does not address the issue of
burial at all (e.g. HE I.30). The issue of burial is also noticeably
lacking in the Letters of St Boniface, although he challenges a
range of practices (sacrifices; idol worship) which he clearly
identifies as pagan (e.g. Letters XXIX). Elsewhere on the Continent attempts to enforce some degree of uniformity over
burial only develop in the later eighth century, including Charlemagnes attempt to prevent cremation and the use of burial
mounds among the newly conquered Saxons even in this case
it is clear that this policy was as much about suppressing

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Saxon ethnic identity as enforcing Christian dogma (Effros
1997). On a more European scale, the crystallisation of the
liturgy connected to death and dying only really occurred in the
eighth and ninyh centuries, primarily through the influence of
the Carolingian rulers who disseminated new attitudes to the
ritualisation of death initially developed in Ireland and only
reaching the Anglo-Saxon and Carolingian church in the eighth
century. It was only with such centralising tendencies that the
Church showed increased interest in direct control over the
mortuary rituals themselves (Paxton 1990).
This all suggests that on the Christian side of the equation
(or at least from the perspective of the Christian clergy), burial
was not seen as a sphere of particular relevance to religious
belief and practice. Does the same hold true for the pre-Christian Anglo-Saxons? It is harder to be definitive, but it is useful
to look at the range of identities that are clearly expressed in
their burial rites. A series of studies in recent years have
demonstrated that there are certain underlying structural
principles that appear to influence variability in the early Anglo-Saxon burial rite, and presumably the range of social
identities which are being expressed. The two key axes of
variability appear to be familial identity (as broadly defined to
include gender and age, which would have affected the position
of individuals within kin groups) and status (as broadly defined
in terms of economic, social and personal power). These basic
axes appear to be expressed both through grave-goods and
burial monumentality. While there is much localised variability in the precise ways in which these variations are expressed
between individual cemeteries (Lucy 2002), these basic underlying principles appear to be found across much of early
medieval European burial traditions during the middle centuries of the first millennium AD (Halsall 1995). Rather than
religious identity being the prime variable in Anglo-Saxon burial rites, other identities are instead being foregrounded,
identities that arguably have more day-to-day relevance in
their lives.
It is crucial, though, to appreciate that this argument is not

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intended to suggest that there was no religious aspect or dimension to burial rites at all. Doubtless, Christian prayers
were said over the graves of dead Christians, and the placement of grave-goods among pagans explained in terms of local
mythologies and eschatologies. Rather, the relationship between the form and context of the burial rite was only very
loosely conceived; there was no clearly formulated relationship
between belief and burial practice, with religious identity being
latent and submerged rather than clearly articulated through
mortuary ritual. To argue over the religious identity of Sutton
Hoo is ultimately to ask the wrong question. We should not be
asking What is the religious identity of this burial? but rather
How did burial come to be seen as an appropriate sphere for
the expression of religious belief?.
If one analyses the burial goods within Mound 1 at Sutton
Hoo, the real interest is not in trying to establish which cultural package (Frankish or Scandinavian) is in the ascendant,
but rather in addressing the fact they are juxtaposed. Similar
questions might be asked about other important burials of this
period, such as the burial at Prittlewell (Essex), where mound
burial, Scandinavian style buckets and a lyre are juxtaposed
with the placement of gold foil crosses within the grave, Kentish style buckles, a Coptic bowl and a Byzantine silver spoon
(MOLAS 2004). As Carver has rightly argued with reference to
Sutton Hoo, the references are not specific, as in pagan or
Christian or a Roman Emperor but allusive and the result
may be described as a palimpsest of allusions (Carver 2005,
312). It is not necessary to set up the interpretation of such
graves in oppositional religious terms, as either Christian or
pagan either overtly, or entwined and embedded with associated ethnic identities or alignments (e.g. Scandinavian;
Frankish). While the tensions between the Anglian and Kentish kingdoms was undoubtedly significant, it is important to
remember that it is highly unlikely that the burial rites at
Sutton Hoo or Prittlewell would have been viewed by individuals from Kent. Instead, these rites are more likely to have been
aimed primarily at internal audiences within the kingdom,

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even within the ruling dynasty. In such contexts, it is unlikely
that expressions of religious identity were the primary message.
As Carver has quite rightly emphasised, ship-burial was an
entirely new introduction into Britain. This is not a typically
Anglo-Saxon burial rite; while there are certainly elements of
the burial rite that have links to past mortuary traditions in
eastern England, the most notable feature of the wide range of
burial rites used is their novelty. We do not see at this site an
expression of ultra-traditionalism in the face of Christian innovation in burial rites. Indeed, at Sutton Hoo there is a
progressive rejection of cremation, a rite that might be seen as
most distinctively Anglian. If, for the sake of argument, we
accept Carvers argument that the Sutton Hoo burials represent defiant paganism then we are not seeing a promotion of
an indigenous ritual belief system as antithetical to Christianity, but rather a construction or creation of a third way, a
reaction against both Christianity and local Anglian ritual
practices. This break with local traditions is also made manifest in the indication that Sutton Hoo is a new cemetery
showing a move away from an earlier folk cemetery perhaps in
the later sixth century. Elsewhere, at Snape, although the
cemetery falls out of use in the later sixth century, there is a
clear distinction between the relatively traditional cremations
used during the earlier phase of the cemeterys life and the
later period of experimentation and novelty associated with the
later graves, particularly the transition to inhumation and boat
burials (Filmer-Sankey and Pestell 2000).
This is important, as it suggests that the desire for new
forms of funerary rites come before the advent of Augustine in
Kent. Rather than seeing Mound 1 at Sutton Hoo as a pagan
reaction to the advent of Christianity to the south of the
Thames, it is possible to take a slightly more long-term perspective and see the search for new and novel ways of
expressing identity through burial in East Anglia and the
adoption of Christianity by Aethelbert in Kent as alternative
and parallel strategies in the face of a range of other social
processes at this time, a period which saw evidence for increas-

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ingly permanent levels of social and economic ranking (Arnold
1988; Scull 1992, 1993; Yorke 1990). This increased stratification allowed, and indeed required, the lites to develop new
ways of ideologically marking and consolidating their social
position. Significantly, this approach restores a level of agency
to the Anglian lite; they are not simply reactive in the face of
Christianity, but show the ability to act as ideological impresarios, using innovation within the field of ritual (in the widest
sense of the word) as a way of constructing new identities.
This discussion has suggested that we should stop using
Sutton Hoo as a lens for looking at Christianity or the pagan
reaction to it. Instead, I have suggested that the issue of a
defined religious identity was simply never on the agenda.
Snape, Prittlewell and Sutton Hoo were not primarily attempts
by pagan kings to send a message about religious identity in
the face of a rising tide of Christianity. They are certainly
about identity politics, but not specifically religious identity.
Instead, the key message is fundamentally about the establishment of new discourses about power, rank and status
within their social milieu. There appears to have been a clear
aim to create a new material vocabulary connected to wealth
and status, distinguishing the lite from the wider population.
This marks a clear departure from the ranked, but more fluid,
organisation of Anglo-Saxon society before the late sixth century, where status was more likely to be essentially expressed
within rather than between social units (Scull 1993, 72-5).
Hierarchies of power were likely to be relatively flat, with the
household as the focus of social organisation (Woolf 1997).
Instead, the later sixth century onwards was a period when
there was more permanent social ranking, with the development of a clear group of lite families, distinct from the wider
population. It is in this context that the East Anglian and
Kentish developments need to be placed; we are seeing innovation to consolidate and distinguish new lites from other
groups within society. This was done using a series of strategies, including spatial separation and innovation in burial
rites. We might also add the adoption of new forms of dress,

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such as the use of gold and garnet jewellery, and Style II
decoration (Hilund Nielsen 1999).
So far, this narrative, although questioning the religious
underpinnings of some of the debates around Sutton Hoo, has
in many ways continued some of the traditional discourses
about power and identity. Most obviously, although critiquing
existing interpretations, it has still been focused on classic
sites connected to the very highest ranks of Anglo-Saxon society. It has also, in some senses, worked within other traditional
paradigms. In the early seventh century, pagan East Anglia
and Christian Kent both appear to be intellectual communities which can be spatially mapped, although it has been
suggested that changes in the burial rite in East Anglia might
be seen as parallel with, rather than in reaction to, the adoption of Christianity in Kent. However, I argued earlier in this
book that while the notions of intellectual communities or
micro-Christendoms are a powerful way of looking at the
spread of Christianity, they focus on looking at difference in the
way in which the Church was adopted and expressed between
communities. It is also important to look at different modes of
engagement with Christianity within communities.
Anglo-Saxon England:
conversion and gender
I want to now carry this exploration of Anglo-Saxon conversion
forward and try to take an alternative view of developments in
the burial rite in the mid- and late seventh century. However,
in this case I want to introduce a new dimension of analysis,
that of gender. The expression of gendered identities in the
Anglo-Saxon burial rites over the course of the seventh century
goes through major changes. This can be seen most clearly if
one considers lite burials. It is noticeable that the extravagant
lite burials of the early seventh century are almost uniformly
male in nature. The wealthy graves at Snape, Prittlewell, Sutton Hoo, Taplow, Broomfield (Essex) and Caenby (Lincs) are all
predominantly male (Filmer-Sankey and Prestell 2000; MO-

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5. Religions in contact
LAS 2004; Carver 2005; Burgess 1886, 331-5; Smith 1902,
320-6; Leahy 2007, 93-6). Although in some cases, such as at
Snape and Sutton Hoo, there are females interred within the
cemetery, their mortuary rituals appear far less extravagant.
However, by the mid-seventh century this balance is being
reversed. Instead, there is a significant rise in wealthy female
burials, including Swallowcliffe Down (Wiltshire), Roundway
Down, Desborough (Northamptonshire), Street House (Yorkshire), Westfield Farm, Ely (Cambridgeshire) (Speake 1989;
Meaney 1964, 274; Lucy et al. 2009a; Sherlock and Simmons
2008; Lucy et al. 2009b). We can see an emphasis on female
gender being expressed in a number of ways at this site. Most
obvious is the investment in grave-goods, both in absolute
terms, such as the set of gold and garnet jewellery found
accompanying Grave 42 at Street House or the gold and silver
necklace and two complete glass palm cups found with Grave 1
at Westfield Farm, Ely (Sherlock and Simmons 2008; Lucy
2009b, 88). However, female burials could also stand out
through a central placing within the cemetery, as at Street
House where Grave 42 was surrounded by an unusual placement of burials in a rectangle surrounding it, or Westfield
Farm, Ely, where Grave 1 may have been under a barrow (Lucy
2009b, 84). Isolated lite burials could also be marked by barrows, such as at Swallowcliffe Down and Roundway Down
(Speake 1989; Meaney 1964, 273-4).
These kind of distinctions can be recognised not only among
the highest level of cemeteries. At Bloodmoor Hill (Suffolk), the
mid- to late seventh-century cemetery produced a series of
wealthy female graves but no particularly wealthy male
graves; the authors commented that it is unusual that the
main axis of distinction should lie so strongly between furnished/gendered female burial and all other groups (Lucy et al.
2009a, 422-3). Even the more distinguished male burials of
later seventh-century date, such as Lowbury Hill (Berkshire)
are not particularly wealthy in terms of items deposited within
the grave (Geake 2002, 147-8; Fulford and Rippon 1994).
We have a number of alternative models that might explain

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this gender disparity. It might be that high-status males are
being buried in the same locations as high-status females, but
their graves are not strongly marked out or distinguished
through the deposition of elaborate grave-goods and furnishings. It may be that some of the graves lacking significant
quantities of grave-goods at sites such as Bloodmoor Hill are of
as high status as the more wealthy female graves. A more
likely alternative is that high-status males and high-status
females are being buried in spatially distinct locations. It is
noticeable that there is good evidence that final phase cemeteries often appear to be contemporary to nearby ecclesiastical
sites, suggesting that there is some element of choice in where
individuals are being interred the cemetery with its wealthy
female central burial at Westfield Farm, Ely, appears to have
been in use in the early years of the double-house founded on
the Isle of Ely by Etheldreda in 673 (Lucy et al. 2009b), while
early burials in Old Minster at Winchester overlapped with the
latest burials at Winnall Down II (Geake 2002, 151). In both
cases the two cemeteries were under a mile apart. Over a
slightly longer distance, the cemetery at Street House, Redcar,
appears to have been developed well after the foundation of the
monastic houses at Hartlepool and Whitby, which are both
within about 15 miles (Sherlock and Simmons 2008); Geake
has also drawn attention to the appearance of a series of
wealthy mound burials taking place in the Peak District after
the establishment of the monastery at Repton (Derbyshire)
(Geake 2002, 152; 1997, 149). In the last quarter of the seventh
century churches appear to have become increasingly used as
dynastic burial grounds by members of major royal lines, such
as those of Kent and Northumbria, as well as member of
dynasties linked to smaller sub-kingdoms (Blair 2005, 229). We
thus have the potential to distinguish between two different
strategies for burial among seventh-century lites; high-status
men often opting for burial at ecclesiastical sites, while women
of a similar position are being placed in wealthy cemeteries
beyond the bounds of church establishments.
It is possible that we see here a distinction between pagan

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5. Religions in contact
women and Christian men, with females maintaining more
traditional burial rites. This is not altogether unlikely; it has
been noted that within Anglo-Saxon ruling dynasties, even well
into the seventh century, numerous individuals might remain
unbaptised, potentially out of a pragmatic decision to back both
Christian and pagan horses (Yorke 2003, 245). Women clearly
had a tradition of having considerable agency within the religious and ritual realm within the pagan Anglo-Saxon world, and
it is not impossible that they continued to exercise this autonomy with reference to the process of conversion. However,
many of the high-status female burials contain objects which
appear to have explicit Christian connotations; for example,
cross-shaped pendants have been recovered from a series of
graves, including Desborough (Northamptonshire), White Low
(Derbyshire), Lechlade (Gloucestershire) and Bloodmoor Hill
(Suffolk) (see Crawford 2004, 92). Other Christian objects include the liturgical sprinkler of western British manufacture
from Swallowcliffe Down (Wiltshire), a burial that also contained a silver spoon and a satchel decorated with a
cross-decorated mounts (Speake 1989). More realistically we
appear to have a distinction between lite Christian males
being largely buried at ecclesiastical sites, while lite Christian women are being largely buried outside such church
centres. There are several records of Anglo-Saxon kings taking ecclesiastical orders before their deaths, and one basis
for this distinction may be between the burial of those who
have taken holy orders and those (mainly women) who have
not (Yorke 2005). However, the close juxtaposition of the
Westfield Farm cemetery to the convent at Ely may imply
that even women who had taken the decision to become nuns
may be adopting different burial rites to their male companions. Do we thus see a situation where the distinction in the
burial rite is not structured on the basis of a distinction
between pagan and Christian or even ecclesiastical and
secular, but male and female? We have here differing
responses to the advent of Christianity being mapped spatially, not as mutually distinct intellectual communities but

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as complimentary strategies within the same socio-cultural
milieu.
It is possible to explore these gender based response to
Christian burial further by considering some examples in
which alternative gender balances can be recognised. These
include a number of burials from the developing wics (trading
sites) in Anglo-Saxon England. At the Buttermarket Cemetery,
Ipswich (Suffolk) there was a higher proportion of masculine to
feminine assemblages indentified the reverse of the general
pattern known elsewhere (e.g. Harford Farm or Bloodmoor
Hill) (Scull 2010, 281), with several male burials including
weapons, including Grave 1306 which was accompanied by a
seax, two spears, a shield, two glass palm cups, and a buckle
and belt fittings (ibid., 139-40). At Southampton (Hamwic), the
seventh-century inhumation burials from the St Marys Stadium site also included a number of richly furnished male
burials, such as Grave 5537, which was accompanied by a
sword, a seax, a shield, two spearheads and a knife and buckle,
another grave (5537) contained a seax, a shield and two spearheads; there was also an unusual double burial with each
occupant provided with a seax, one with a scabbard and beltsuite (Birbeck et al. 2005, 27-46). The presence of distinct
high-status male burials at such incipient central places is
exciting. It appears to suggest that these settlements may have
offered those operating within them the literal and symbolic
space to express status in death in ways that might not have
been open to them elsewhere. One possible explanation for this
is that these are individuals who have access to wealth generated through trade and exchange, but are not necessarily
embedded within the increasingly stratified webs of dynastic
and kinship relations that were the pre-requisite of gaining
access to ecclesiastical burial grounds. They were not able to
gain entry to the new symbolic domains being developed within
the context of ecclesiastical space, but could find room for
manoeuvre within the developing power relations being structured within the nascent trading sites of Middle Anglo-Saxon
England.

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5. Religions in contact
Anglo-Saxon England: revealing and
concealing belief
The wealthy seventh-century female burials provide a useful
way into looking at other ways that belief and other identities
were revealed and concealed in the conversion period in AngloSaxon England. It has already been noted that the seventh
century in many ways appears to mark a rupture in burial
rites, with the adoption of a new and reduced repertoire of
grave-goods, changes in the representation of gender and often
a physical dislocation of cemetery location. However, I want
now to try to draw out some threads of continuity that can be
found in the wealthy female graves of this period.
A number of classes of personal items were associated with
fifth-/sixth-century female burials in Anglo-Saxon England.
Most obvious are dress items, the range of brooches, beads, and
wrist clasps that adorned female clothing (Lucy 2000, 25-48). A
second type of grave-goods are the more functional items, such
as weaving battens and other textile working tools, keys,
knives and chatelaines (ibid.); these may also have had a wider
symbolic function as a mark of female gender. Finally, there
are also items which may have had some kind of amuletic or
apotropaic purpose, including fossils, Roman coins and
brooches and a range of other idiosyncratic items (Meaney
1981).
The change in burial traditions in the seventh century certainly appears to have included a shift in the range of dress
items being placed within graves, presumably reflecting a
wider alteration in female clothing in this period. There is a
clear movement from brooches and long strings of beads to pins
and necklaces of monochrome beads and sometimes pendants
(Geake 1992). As noted above, these pendants often carry explicit Christian imagery, almost always a cross symbol.
However, while there is a change in objects used as dress items,
there is a wider continuity in the other classes of items included with graves. Chatelaines, knives, latch-lifters and items
related to textile production continue to be placed in graves and

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the deposition of items that might be interpreted as amuletic or
propitiatory may even have increased slightly (Meaney 1981).
While there may be a broad continuity in the placement of
functional items and amulets within seventh-century female
graves, what is more interesting is the way in which they are
physically deployed within the grave itself. Rather than always
being placed on or next to the corpse in an open manner, there
is increasing evidence for the containment of non-dress items
within graves, with objects being increasingly placed in bags
and caskets. Examples of grave-goods in wooden caskets include Grave 15 at Bloodmoor Hill (Suffolk), where a comb, a
shell and an iron ring with beads and pendants attached to it
were placed in a casket (Lucy et al. 2009a, 395). The casket
itself was placed within the wooden coffin. A more elaborate
example of the use of caskets to contain grave-goods is the bed
burial from Swallowcliffe Down, where a wooden casket at the
left foot of the body contained a liturgical sprinkler, a silver
spoon, five silver safety pins, a strap mount, two beads, two
knives and a bone comb, while near the right foot was placed a
leather satchel decorated with elaborate mounts (Speake 1989,
24-80). At Boss Hall, Ipswich, the woman buried in Grave 93
was accompanied by a wooden box containing a composite disc
brooch, a set of silver cosmetic items and a necklace with gold
and silver pendants (Scull 2009, 17-18). Less spectacular examples include Grave 14 from Butlers Field, Lechlade
(Gloucestershire), where a wooden box at the foot of the body
contained a threadbox, a pair of iron shears, a cowrie shell and
a fragment of a bead (Boyle et al. 1998, 58-9). Grave-goods were
not only being concealed in wooden boxes and caskets. There is
also evidence for the placement of a similar range of items
within organic bags of cloth or leather. At Bloodmoor Hill, the
chatelaine complexes from Graves 11 and 23 were both seemingly swathed or wrapped in textile (Lucy et al. 2009a, 391-3,
401), while at Harford Farm (Norfolk), the body placed in
Grave 33 was accompanied by a textile bag containing a necklace, toilet set and chatelaine (Penn 2000, 31-4). Given the
generally poor preservation of organic remains in graves, it is

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5. Religions in contact
likely that the number of objects being placed within bags is
under-represented in the archaeological record in some cases
the actual position of the body indicates that articles were concealed. For example, in a grave from Eton Rowing Lake and a
burial from Orsett (Essex) the body was placed on top of a collection of amuletic items (Boyle et al. 2002, 31-3; Webster 1985).
This tension between concealment and display has been
noted before and begins to problematise the relationship between the body and grave-goods (Williams 2006, 75-7; 2010).
Taking a slightly different approach, Sally Crawford has argued that items not directly associated with the body in these
graves should be interpreted as votive offerings (Crawford
2004). In these graves we see certainly see one of the key changes
in the seventh century as not the end of placement of items
indicative of symbolic gender roles and possessing amuletic functions in graves, but rather an increasing disassociation from the
corpse itself. It seems to become a less explicit (although not
necessarily less important) element of the final stages of the
mortuary rites. At the same time, there is an increased emphasis
on a wider lite identity through the use of a new suite of dress
items, an identity that appears to place a Christian identity, as
reflected in the increased use of cross-imagery, to the fore.
It is important to remember that this rise in the use of
Christian symbolism is not being promoted by the Church; as
noted earlier, the Church appears to have taken a relatively
laissez-faire approach to burial, and indeed to most of the key
rites of passage at this period. Instead, these new responses to
religion appear to be generated by and for women. Women
appear to have taken a key role in the management and control
of burial rites in Middle Anglo-Saxon England (Geake 2002), so
we may expect that both the increased emphasis on Christianity within the graves and also the decreasing focus on objects
which may have conveyed an alternate or completing identity
were the responsibility of women themselves. Significantly, we
do not see, at this stage, the exclusion of symbolic and amuletic
objects, rather their redeployment in less obvious locations,
and potentially increased control over public knowledge about

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the precise composition of these assemblages. The practice of
concealment of certain classes of item suggests that those responsible for organisation of the mortuary rites are responsible
for creating competing or alternative messages, which would
have been apparent to different individuals in the funerary
process. We have parallel discourses in play within the grave,
an overt and public expression of Christianised elite status which
runs alongside an alternative, even discrepant discourse about
the continued significance of female gender roles, and even ritual
power, in the construction of the grave assemblage. The grave is
clearly a potent site for the redrawing and renegotiation of symbolic identities, or at least those connected to high-status females.
Crucially, the foregrounding of Christian identity is not being
driven by the church, but by female peer groups, potentially
cross-cutting traditional secular/ecclesiastical divides.
The grave remains a field of discourse within which identities can be expressed, but through the on-going cultural
practice of overseeing burial rites, these identities are seen to
be plastic and capable of re-ordering and prioritisation, but not
as prescribed by external ecclesiastical demands. Not surprisingly, there are regional variations in which these are made
manifest; for example, thread boxes, small copper alloy cylinders, sometimes decorated with cross symbols, are found in
many female graves in the mid- to late seventh century. It has
convincingly been suggested that they functioned as containers
for small personal relics, such as brandea (cloth that had been
in contact with a primary relic). Although around 50 are
known, their distribution is focused on east Kent, the Midlands
and Northumbria. There is a notable absence from most of
Wessex; it is possible that this may reflect different attitudes to
sainthood in this region. Barbara Yorke has noted the lack of
local saints in Wessex, and the absence of a tradition of a male
saint in its royal house before Edward the Martyr (d. 978)
(Yorke 2003, 251). It is possible that there is a connection
between the lack of indigenous saints and the lack of threadboxes, with the manifestation of sainthood and the cult of
relics taking a different form here than in other kingdoms.

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5. Religions in contact
Whatever the underlying reason for this particular distribution pattern, the motive factor behind the changes in burial
practice was seated within the burial community itself. New
communities of converts are working with existing symbolic
resources to fashion new religious identities, rather than passively receiving new cultural packages transmitted by the
incoming ecclesiastical establishment. This potentially contrasts with male lite burials, which are far less visible; while
they may simply be utilising a different range of options for
expressing identity, a strong argument could be made that they
are buryied within ecclesiastical establishments, one of the
relatively few locations within Anglo-Saxon England, where
the church was probably able to exercise direct control over
burial rites. It may even be possible to see the move by men
towards church burial as a deliberate attempt to cut themselves loose from female control of a key ritual activity,
replacing the dominant role of female ritual specialists with an
alternate mode of control predicated on close relationships with
the burgeoning Church.
We see highly gendered responses to the way in which Christianity was being mediated through the funerary domain;
women acting creatively to construct a mortuary identity,
which while expressing some element of Christianity, was
more focused on perpetuating a common, although gendered,
elite identity. Within this burial rite, the concealed placement
of other symbolic and amuletic objects undercut or at least
acted as a counterpoint to the more explicit identities being
demonstrated. Men, meanwhile, were seeking more direct relationships with the church in death, and potentially
subordinating their own agency in the burial act to Christian
religious specialists.
Conclusion
This brief consideration of the way in which Christianity might
have been represented and expressed in seventh-century Anglo-Saxon England has been only a partial attempt to outline

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how an archaeology of the conversion process might appear. It
has not addressed many key topics; I have made no mention
of church architecture or stone sculpture, for example, two
areas of major cultural innovation in the first hundred years
following the arrival of the Augustinian mission. Obviously
any attempt to develop a truly comprehensive archaeological
narrative would need to be many times longer than this
book. However, what I hope I have done is to begin to show
how some of the conceptual challenges I have raised in this
book might be addressed in practice. I have tried to move
beyond the notion of intellectual communities or microChristendoms to suggest that many of the variations within
the ways in which Christianity was adopted reflect faultlines
within, as well as between, societies. By considering the
differences between the funerary rites of high-status males
and females I have attempted to bring into focus other axes
of analysis, such as gender, that might reflect varying modes
of reception of Christianity. Importantly, I also argue that
changes in burial rite are not simply passive reactions to the
arrival of the new faith, but carefully constructed responses
to these religious changes, building new identities out of the
new symbolic repertoires provided by the Church, but also
incorporating existing pre-Christian modes of expressing
identity.
There was no decision to avoid referring to the documentary
evidence for this period in my analysis. However, this demonstrates, not that historical sources are irrelevant (they most
certainly are not), but that it is possible to explore Christianity
and conversion from a primarily archaeological perspective,
recentring the role of material culture and materiality in the
study of this crucial period of religious change. There are also,
doubtless, some conceptual challenges thrown down in the
preceding chapters that require a more detailed engagement
with our existing set of archaeological methodologies if they are
to translate into practical ways forward. However, the title of
this series of volumes is Debates in Archaeology, and I can
only hope that I have been able to set out the lines of the

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5. Religions in contact
debates that need to be addressed by scholars exploring the
process of early medieval religious change, providing them
with new ways of looking and thinking about the material on
which they work.

116

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