Monthly Archives: September 2019

How do we know the Bible is true?

In the next few days I will be sharing portions of the article “Archaeology and the new Atheism:The Plausibility of the Biblical Record,” Apologetic Press. Dewayne Bryant is the author and in the first portion he notes:

Archaeology demonstrates solid connections between the biblical record and ancient history, in contrast to Christopher Hitchens’ assertion that it is an implausible record. Consider the following:

The Life of Joseph

In the very section of the Bible that Hitchens questions is found some of the most compelling evidence for the historicity of Scripture. As Egyptologist James K. Hoffmeier demonstrates, the story for Joseph rings true with numerous details (Hoffmeier, 1996, pp. 77-98). The 20-shekel price paid for Joseph (Genesis 37:28) is consistent with the price of a slave c. 1700 B.C. Egyptian mummification took about 70 days once the period for mourning was included, which matches the time given for the mummification of Jacob (Genesis 50:3). Examples of non-Egyptians becoming viziers is known from Egyptian sources. Further, it appears that the story of Joseph was put down in writing during the 18th-19th Dynasties in Egypt, the very period during which Moses lived. This idea is borne out by the fact that the Pentateuch uses the name “Pharaoh” (Hebrew phar’oh, Egyptian per-`3) when referring to the king of Egypt. During this time, the term was a generic one referring to the king, similar to referring to the U.S. President as “the White House,” or to the British monarch as “the Crown.” Prior to this time, the name of the king was used, and afterward sources mention the monarch as “Pharaoh X” or “X, king of Egypt”—as in the case of pharaohs Shishak (1 Kings 11:40; 2 Chronicles 12:2) and Neco (2 Kings 23:29).

The United Monarchy

David’s existence has been questioned frequently. Examples of petty monarchs ruling miniscule kingdoms in the Near East find rare mention in ancient sources, yet generally their historicity is taken at face value with minimal skepticism. Even Gilgamesh, the hero of the Epic of Gilgamesh, is thought to have been a historical figure ruling in Mesopotamia between 2600-2700 B.C. based on a reference in the famous Sumerian king list. Yet, David’s historicity is viewed with extreme suspicion, even though there are references to David found in the Tel Dan Inscription and the Moabite Stone, as well as numerous references in the Hebrew Bible. Indeed, Gilgamesh is thought to have been a real person despite being the semi-divine hero in a mythical composition, which also includes such fantastic details as a beast-man named Enkidu, a divinely sent creature of destruction called the Bull of Heaven, and a plant that can grant the person who eats it eternal life. David is frequently labeled a myth despite the solid evidence in favor of his existence.

The Divided Monarchy

Archaeology has vindicated the Bible’s mention of several figures that were once thought to have been fictional. The existence of Sargon (Isaiah 20:1) was questioned until a relief bearing his image was found in the throne room of his capital city of Dur-Sharrukin (“Fort Sargon”). Belshazzar (Daniel 5:1) was likewise questioned because Babylonian documents listed Nabonidus as the last king of the Babylonian empire. Scholars uncovered ancient evidence showing that Belshazzar co-ruled with his father Nabonidus, ruling from the city while Nabonidus sat for 10 years in self-imposed exile. Additional figures such as Sanballat (the governor of Samaria), Tobiah, Geshem (Nehemiah 2:10), and perhaps even Balaam (Numbers 22-24) have all been located in an extrabiblical source called the Deir ‘Alla Inscription written during this period (Mazar, 1990, p. 330).

The Life of Christ

Archaeology does not always mention any one individual, and in the case of Christ, more substantial evidence comes from history rather than archaeology. One significant find is the 1990 discovery of the ossuary (bone box) of Joseph Caiaphas, high priest at the time of Jesus’ trial and crucifixion (John 11:49-53). Jesus is mentioned by the Roman writers Suetonius and Tacitus, the Roman governor Pliny the Younger, and is indirectly referenced by the Greek satirist Lucian of Samosata. He is also noted in a Jewish composition from the fifth century called the Toledoth Jesu, which gives an alternate explanation for the empty tomb from a hostile source. Jesus is far from the “myth” critics claim Him to be.

The Early Church

Inscriptions have revealed the names of numerous individuals mentioned in the New Testament. Gallio, proconsul of Achaia (Acts 18:12-17), is mentioned in an inscription found at the city of Delphi. Paul’s friend Erastus (Acts 19:22) is likely mentioned in an inscription found at Corinth. Sergius Paulus, mentioned as the first convert on the island of Cyprus, was proconsul (a Roman governor) when the apostle Paul visited the island (Acts 13:7). He is mentioned in an inscription found near Paphos (Reed, 2007, p. 13).

After the evidence is surveyed, it is apparent that much of the criticism of the Bible arises—not from intense scrutiny of the evidence—but from ignorance of it. The overwhelming weight of the archaeological and historical evidence firmly places the Bible in the sphere of reality rather than myth.

REFERENCES

Butt, Kyle and Eric Lyons (2006), Behold! The Lamb of God (Montgomery, AL: Apologetics Press).

Dawkins, Richard (2006), The God Delusion (Boston, MA: Houghton Mifflin).

Dever, William (2001), “Excavating the Hebrew Bible or Burying It Again?” Bulletin of the American Schools of Oriental Research, 322: 67-77, May.

Dever, William (2005), Did God Have a Wife? (Grand Rapids, MI: Eerdmans).

Ehrman, Bart (2005), Misquoting Jesus: The Story Behind Who Changed the Bible and Why (New York: HarperSanFrancisco).

Ehrman, Bart (2008), God’s Problem: How the Bible Fails to Answer Our Most Important Question—Why We Suffer (New York: HarperOne).

Ehrman, Bart (2009), Jesus Interrupted: Revealing the Hidden Contradictions in the Bible (and Why We Don’t Know About Them) (New York: HarperOne).

Finkelstein, Israel and Neil Asher Silberman (2001), The Bible Unearthed: Archaeology’s New Vision of Ancient Israel and the Origin of Its Sacred Texts (New York: Free Press).

Garrett, Duane (2000), Rethinking Genesis: The Sources and Authorship of the First Book of the Pentateuch (Geanies House, Fern: Christian Focus Publications).

Haught, John F. (2008), God and the New Atheism: A Critical Response to Dawkins, Harris, and Hitchens (Louisville, KY: Westminster John Knox).

Hitchens, Christopher (2007), God is Not Great: How Religion Poisons Everything(New York: Hachette).

Hoffmeier, James K. (1996), Israel in Egypt: The Evidence for the Authenticity of the Exodus Tradition (Oxford: Oxford University Press).

Jackson, Wayne (1991), “Are There Two Creation Accounts in Genesis?http://www.apologeticspress.org/articles/2194.

Kaiser, Walt C. Jr. (2001), The Old Testament Documents: Are They Reliable and Relevant? (Downers Grove, IL: IVP).

Kitchen, Kenneth A., trans. (2000) “The Battle of Kadesh—The Poem, or Literary Record,” The Context of Scripture, Volume Two: Monumental Inscriptions Form the Biblical World (Leiden: Brill).

Kitchen, Kenneth A. (2003), On the Reliability of the Old Testament (Grand Rapids: Eerdmans).

Klinghoffer, David (2007), “Prophets of the New Atheism,” http://seattletimes.nwsource.com/html/opinion/2003653502_klinghoffer06.html.

Lazare, Daniel (2002), “False Testament: Archaeology Refutes the Bible’s Claim to History,” Harper’s Magazine, 304/1822:39-47, March.

Levin, Yigal (2002), “Let There Be Light,” Harper’s Magazine, 304[1825]:4, June.

Lucian of Samosata (no date), “The Death of Peregrine,” in H.W. Fowler and F.G. Fowler (1905), The Works of Lucian of Samosata (Oxford: Clarendon Press).

Mazar, Amihai (1990), Archaeology of the Land of the Bible, 10,000-586 B.C.E.(New York: Doubleday).

Meyers, P.Z. (2006), “The Courtier’s Reply,” http://scienceblogs.com/pharyngula/2006/12/the_courtiers_reply.php.

Miller, Dave (2003), “The Genealogies of Matthew and Luke,” http://www.apologeticspress.org/articles/1834.

Mills, David (2006), Atheist Universe: The Thinking Person’s Answer to Christian Fundamentalism (Berkley, CA: Ulysses Press).

Prophet, Sean (2008), “Pastor Acknowledges Arguments of New Atheism,” http://www.blacksunjournal.com/atheism/1397_pastor-acknowledges-arguments-of-new-atheism_2008.html.

Reed, Jonathan (2007), The HarperCollins Visual Guide to the New Testament: What Archaeology Reveals about the First Christians (New York: HarperOne).

Sherwin-White, Adrian Nicholas (1963), Roman Society and Roman Law in the New Testament(Oxford: Clarendon).

Wolf, Gary (2006), “Church of the Non-Believers,” http://www.wired.com/wired/archive/14.11/atheism.html

EDITOR’S NOTES: The original article can be found at: http://www.apologeticspress.org/apPubPage.aspx?pub=1&issue=968

As of April 8, 2011, Dewayne Bryant holds two Masters degrees, and is completing Masters study in Ancient Near Eastern Archaeology and Languages at Trinity Evangelical Divinity School, while pursuing doctoral studies at Amridge University. He has participated in an archaeological dig at Tell El-Borg in Egypt and holds professional membership in the American Schools of Oriental Research, the Society of Biblical Literature, and the Archaeological Institute of America.

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I will be sharing portions of the article “How Do We Know that the Bible Is True?,” by Dr. Jason Lisle, Answers in Genesis, March 22, 2011. Here is the first part:

The Bible is an extraordinary work of literature, and it makes some astonishing claims. It records the details of the creation of the universe, the origin of life, the moral law of God, the history of man’s rebellion against God, and the historical details of God’s work of redemption for all who trust in His Son. Moreover, the Bible claims to be God’s revelation to mankind. If true, this has implications for all aspects of life: how we should live, why we exist, what happens when we die, and what our meaning and purpose is. But how do we know if the claims of the Bible are true?

Some Typical Answers

A number of Christians have tried to answer this question. Unfortunately, not all of those answers have been as cogent as we might hope. Some answers make very little sense at all. Others have some merit but fall short of proving the truth of the Bible with certainty. Let’s consider some of the arguments that have been put forth by Christians.

A Subjective Standard

Some Christians have argued for the truth of the Scriptures by pointing to the changes in their own lives that belief in the God who inspired the Bible has induced. Receiving Jesus as Lord is a life-changing experience that brings great joy. A believer is a “new creation” (2 Corinthians 5:17). However, this change does not in and of itself prove the Bible is true. People might experience positive feelings and changes by believing in a position that happens to be false.

At best, a changed life shows consistency with the Scriptures. We would expect a difference in attitudes and actions given that the Bible is true. Although giving a testimony is certainly acceptable, a changed life does not (by itself) demonstrate the truth of the Scriptures. Even an atheist might argue that his belief in atheism produces feelings of inner peace or satisfaction. This does not mean that his position is true.

By Faith

When asked how they know that the Bible is true, some Christians have answered, “We know the Bible is true by faith.” While that answer may sound pious, it is not very logical, nor is it a correct application of Scripture. Faith is the confident belief in something that you cannot perceive with your senses (Hebrews 11:1). So when I believe without observation that the earth’s core is molten, I am acting on a type of faith. Likewise, when I believe in God whom I cannot directly see, I am acting on faith. Don’t misunderstand. We should indeed have faith in God and His Word. But the “by faith” response does not actually answer the objection that has been posed—namely, how we know that the Bible is true.

Since faith is a belief in something unseen, the above response is not a good argument. “We know by faith” is the equivalent of saying, “We know by believing.” But clearly, the act of believing in something doesn’t necessarily make it true. A person doesn’t really know something just by believing it. He simply believes it. So the response is essentially, “We believe because we believe.” While it is true that we believe, this answer is totally irrelevant to the question being asked. It is a non-answer. Such a response is not acceptable for a person who is a follower of Christ. The Bible teaches that we are to be ready to give an answer to anyone who asks a reason of the hope that is within us (1 Peter 3:15). Saying that we have faith is not the same as giving a reason for that faith.

Begging the Question

Some have cited 2 Timothy 3:16 as proof that the Bible is the inerrant Word of God. This text indicates that all Scripture is inspired by God (or “God-breathed”) and useful for teaching. That is, every writing in the Bible is a revelation from God that can be trusted as factually true. Clearly, if the Bible is given by revelation of the God of truth, then it can be trusted at every point as an accurate depiction. The problem with answering the question this way is that it presupposes that the verse itself is truthful—which is the very claim at issue.

In other words, how do we know that 2 Timothy 3:16 is true? “Well it’s in the Bible,” some might say. But how do we know the Bible is true? “2 Timothy 3:16 assures us that it is.” This is a vicious circular argument. It must first arbitrarily assume the very thing it is trying to prove. Circular reasoning of this type (while technically valid) is not useful in a debate because it does not prove anything beyond what it merely assumes. After all, this type of argument would be equally valid for any other book that claims to be inspired by God. How do we know that book X is inspired by God? “Because it says it is.” But how do we know that what it’s saying is true? “Well, God wouldn’t lie!”

On the other hand, some Christians might go too far the other way—thinking that what the Bible says about itself is utterly irrelevant to the question of its truthfulness or its inspiration from God. This, too, is a mistake. After all, how would we know that a book is inspired by God unless it claimed to be? Think about it: how do you know who wrote a particular book? The book itself usually states who the author is. Most people are willing to accept what a book says about itself unless they have good evidence to the contrary.

So it is quite relevant that the Bible itself claims to be inspired by God. It does claim that all of its assertions are true and useful for teaching. Such statements do prove at least that the writers of the Bible considered it to be not merely their own opinion, but in fact the inerrant Word of God. However, arguing that the Bible must be true solely on the basis that it says so is not a powerful argument. Yes, it is a relevant claim. But we need some additional information if we are to escape a vicious circle.

Textual Consistency and Uniqueness

Another argument for the truthfulness of the Bible concerns its uniqueness and internal consistency. The Bible is remarkably self-consistent, despite having been written by more than 40 different writers over a timespan of about 2,000 years. God’s moral law, man’s rebellion against God’s law, and God’s plan of salvation are the continuing themes throughout the pages of Scripture. This internal consistency is what we would expect if the Bible really is what it claims to be—God’s revelation.

Moreover, the Bible is uniquely authentic among ancient literary works in terms of the number of ancient manuscripts found and the smallness of the timescale between when the work was first written and the oldest extant manuscript (thereby minimizing any possibility of alteration from the original).1 This indicates that the Bible has been accurately transmitted throughout the ages, far more so than other ancient documents. Few people would doubt that Plato really wrote the works ascribed to him, and yet the Bible is far more authenticated. Such textual criticism shows at least that the Bible (1) is unique in ancient literature and (2) has been accurately transmitted throughout the ages. What we have today is a good representation of the original. No one could consistently argue that the Bible’s authenticity is in doubt unless he is willing to doubt all other works of antiquity (because they are far less substantiated).2

To be sure, this is what we would expect given the premise that the Bible is true. And yet, uniqueness and authenticity to the original do not necessarily prove that the source is true. They simply mean that the Bible is unique and has been accurately transmitted. This is consistent with the claim that the Bible is the Word of God, but it does not decisively prove the claim.

External Evidence

Some Christians have argued for the truth of Scripture on the basis of various lines of external evidence. For example, archaeological discoveries have confirmed many events of the Bible. The excavation of Jericho reveals that the walls of this city did indeed fall as described in the book of Joshua.3 Indeed, some passages of the Bible, which critics once claimed were merely myth, have now been confirmed archeologically. For example, the five cities of the plain described in Genesis 14:2 were once thought by secular scholars to be mythical, but ancient documents have been found that list these cities as part of ancient trade routes.4

Archaeology certainly confirms Scripture. Yet it does not prove that the Bible is entirely true. After all, not every claim in Scripture has been confirmed archeologically. The Garden of Eden has never been found, nor has the Tower of Babel or Noah’s Ark (as of the writing of this article). So at best, archaeology demonstrates that some of the Bible is true.

Such consistency is to be expected. Yet, using archaeology in an attempt to prove the Bible seems inappropriate. After all, archaeology is an uncertain science; its findings are inevitably subject to the interpretation and bias of the observer and are sometimes overturned by newer evidence. Archaeology is useful, but fallible. Is it appropriate to use a fallible procedure to judge what claims to be the infallible Word of God? Using the less certain to judge the more certain seems logically flawed. Yes, archaeology can show consistency with Scripture but is not in a position to prove the Bible in any decisive way because archaeology itself is not decisive.

Predictive Prophecy and Divine Insight

A number of passages in the Bible predict future events in great detail—events that were future to the writers but are now in our past. For example, in Daniel 2 a prophecy predicted the next three world empires (up to and including the Roman Empire) and their falls. If the Bible were not inspired by God, how could its mere human writers possibly have known about events in the distant future?5

The Bible also touches on matters of science in ways that seem to go beyond what was known to humankind at the time. In Isaiah 40:22 we read about the spreading out (expansion) of the heavens (the universe). Yet secular scientists did not discover such expansion until the 1920s. The spherical nature of the earth and the fact that the earth hangs in space are suggested in Scriptures such as Job 26:10 and Job 26:7 respectively. The book of Job is thought to have been written around 2000 BC—long before the nature of our planet was generally known.

Such evidence is certainly consistent with the claim that the Bible is inspired by God. And some people find such evidence convincing. Yet, persons who tenaciously resist the idea that the Bible is the Word of God have offered their counterarguments to the above examples. They have suggested that the predictive prophetic passages were written after the fact, much later than the text itself would indicate. Examples of apparent scientific insight in the Bible are chalked up to coincidence.

Moreover, there is something inappropriate about using secular science to judge the claims of the Bible. As with archeological claims, what constitutes a scientific fact is often subject to the bias of the interpreter. Some people would claim that particles-to-people evolution is a scientific fact. Although creationists would disagree, we must concede that what some people think is good science does not always coincide with the Bible.

The Bible does show agreement with some of what is commonly accepted as scientific fact. But what is considered scientific fact today might not be tomorrow. We are once again in the embarrassing position of attempting to judge what claims to be infallible revelation from God by the questionable standards of men. Again, how can we judge what claims to be inerrant revelation by a standard that is itself uncertain and ever-changing? This would be like using something we merely suspect to be about three feet long to check whether a yardstick is accurate. Using the less-certain to judge the more-certain just doesn’t make sense. At best, such things merely show consistency.

The Standard of Standards

The above lines of evidence are certainly consistent with the premise that the Bible is true. Many people have no doubt found such evidence quite convincing. Yet, we must admit that none of the above lines of evidence quite proves that the Bible must be the inerrant Word of God. Critics have their counterarguments to all of the above. If we are to know for certain that the Bible is true, we will need a different kind of argument—one that is absolutely conclusive and irrefutable. In all the above cases, we took as an unstated premise that there are certain standards by which we judge how likely something is true. When we stop to consider what these standards are, we will see that the standards themselves are proof that the Bible is true.

Putting it another way, only the Bible can make sense of the standards by which we evaluate whether or not something is true. One such set of standards are the laws of logic. We all know that a true claim cannot contradict another true claim. That would violate a law of logic: the law of non-contradiction. The statements “The light is red” and “The light is not red” cannot both be true at the same time and in the same sense. Laws of logic thus represent a standard by which we can judge certain truth claims. Moreover, all people seem to “know” laws like the law of non-contradiction. We all assume that such laws are the same everywhere and apply at all times without exception. But why is this? How do we know such things?

If we consider the biblical worldview, we find that we can make sense of the laws of logic. The Bible tells us that God’s mind is the standard for all knowledge (Colossians 2:3). Since God upholds the entire universe and since He is beyond time, we would expect that laws of logic apply everywhere in the universe and at all times. There can never be an exception to a law of logic because God’s mind is sovereign over all truth. We can know laws of logic because we are made in God’s image and are thus able to think in a way that is consistent with His nature (Genesis 1:27). So, when we take the Bible as our worldview, we find that laws of logic make sense.

But if we don’t accept the Bible as true, we are left without a foundation for laws of logic. How could we know (apart from God) that laws of logic work everywhere? After all, none of us have universal knowledge. We have not experienced the future nor have we travelled to distant regions of the universe. Yet we assume that laws of logic will work in the future as they have in the past and that they work in the distant cosmos as they work here. But how could we possibly know that apart from revelation from God?

Arguing that laws of logic have worked in our past experiences is pointless—because that’s not the question. The question is: how can we know that they will work in the future or in regions of space that we have never visited? Only the Christian worldview can make sense of the universal, exception-less, unchanging nature of laws of logic. Apart from the truth revealed in the Bible, we would have no reason to assume that laws of logic apply everywhere at all times, yet we all do assume this. Only the Christian has a good reason to presume the continued reliability of logic. The non-Christian does not have such a reason in his own professed worldview, and so he is being irrational: believing something without a good reason. The unbeliever has only “blind faith” but the Christian’s faith in the Bible makes knowledge possible.

The Foundation of Science

Another standard we use when evaluating certain kinds of claims is the standard of science. The tools of science allow us to describe the predictable, consistent way in which the universe normally behaves. Science allows us to make successful predictions about certain future states. For example, if I mix chemical A with chemical B, I expect to get result C because it has always been that way in the past. This happens the same way every time: if the conditions are the same, I will get the same result. Science is based on an underlying uniformity in nature. But why should there be such uniformity in nature? And how do we know about it?

We all presume that the future will be like the past in terms of the basic operation of nature. This does not mean that Friday will be exactly like Monday—conditions change. But it does mean that things like gravity will work the same on Friday as they have on Monday. With great precision astronomers are able to calculate years in advance the positions of planets, the timing of eclipses, and so on—only because the universe operates in such a consistent way. We all know that (in basic ways) the universe will behave in the future as it has in the past. Science would be impossible without this critical principle. But what is the foundation for this principle?

The Bible provides that foundation. According to the biblical worldview, God has chosen to uphold the universe in a consistent way for our benefit. He has promised us in places such as Genesis 8:22 that the basic cycles of nature will continue to be in the future as they have been in the past. Although specific circumstances change, the basic laws of nature (such as gravity) will continue to work in the future as they have in the past. Interestingly, only God is in a position to tell us on His own authority that this will be true. According to the Bible, God is beyond time,6 and so only He knows what the future will be. But we are within time and have not experienced the future. The only way we could know the future will be (in certain ways) like the past is because God has told us in His Word that it will be.

Apart from the Bible, is there any way we could know that the future will be like the past? So far, no one has been able to show how such a belief would make sense apart from Scripture. The only nonbiblical explanations offered have turned out to be faulty. For example, consider the following.

Some people argue that they can know that the future will be like the past on the basis of past experience. That is, in the past, when they had assumed that the future would be like the past, they were right. They then argue that this past success is a good indicator of future success. However, in doing so, they arbitrarily assume the very thing they are supposed to be proving: that the future will be like the past. They commit the logical fallacy of begging the question. Any time we use past experience as an indicator of what will probably happen in the future, we are relying on the belief that the future will be (in basic ways) like the past. So we cannot merely use past experience as our reason for belief that in the future nature will be uniform, unless we already knew by some other way that nature is uniform. If nature were not uniform, then past success would be utterly irrelevant to the future! Only the biblical worldview can provide an escape from this vicious logical circle. And that is another very good reason to believe the Bible is true.

We Already Know the God of the Bible

Since only the Bible can make sense of the standards of knowledge, it may seem perplexing at first that people who deny the Bible are able to have knowledge. We must admit that non-Christians are able to use laws of logic and the methods of science with great success—despite the fact that such procedures only make sense in light of what the Bible teaches. How are we to explain this inconsistency? How is it that people deny the truth of the Bible and yet simultaneously rely upon the truth of the Bible?

The Bible itself gives us the resolution to this paradox. In Romans 1:18–21 the Scriptures teach that God has revealed Himself to everyone. God has “hardwired” knowledge of Himself into every human being, such that we all have inescapable knowledge of God. However, people have rebelled against God—they “suppress the truth in unrighteousness” (Romans 1:18). People go to great lengths to convince themselves and others that they do not know what, in fact, they must know. They are denying the existence of a God who is rightly angry at them for their rebellion against Him.

But, since all men are made in God’s image, we are able to use the knowledge of logic and uniformity that He has placed within us,7 even if we inconsistently deny the God that makes such knowledge possible. So the fact that even unbelievers are able to use logic and science is a proof that the Bible really is true. When we understand the Bible, we find that what it teaches can make sense of those things necessary for science and reasoning. God has designed us so that when believers read His Word, we recognize it as the voice of our Creator (John 10:27). The truth of the Bible is inescapably certain. For if the Bible were not true, we couldn’t know anything at all. It turns out that the worldview delineated by the Bible is the only worldview that can make sense of all those things necessary for knowledge.

Conclusion

The truth of the Bible is obvious to anyone willing to fairly investigate it. The Bible is uniquely self-consistent and extraordinarily authentic. It has changed the lives of millions of people who have placed their faith in Christ. It has been confirmed countless times by archaeology and other sciences. It possesses divine insight into the nature of the universe and has made correct predictions about distant future events with perfect accuracy. When Christians read the Bible, they cannot help but recognize the voice of their Creator. The Bible claims to be the Word of God, and it demonstrates this claim by making knowledge possible. It is the standard of standards. The proof of the Bible is that unless its truth is presupposed, we couldn’t prove anything at all.8

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Footnotes

  1. See chapters 5 and 12 of Brian Edwards, Nothing but the Truth (Darlington, UK: Evangelical Press, 2006). Back
  2. Josh McDowell and Bill Wilson, A Ready Defense (Nashville, TN: Thomas Nelson Publishers, 1993), pp. 42–55. Back
  3. Bryant Wood, “The Walls of Jericho,” Creation 21 (2) March–May 1999, pp. 36–40, http://www.answersingenesis.org/creation/v21/i2/jericho.asp. Back
  4. Bryant Wood, “The Discovery of the Sin Cities of Sodom and Gomorrah,” Bible and Spade (Summer 1999), http://www.biblearchaeology.org/post/2008/04/16/The-Discovery-of-the-Sin-Cities-of-Sodom-and-Gomorrah.aspx. Back
  5. Even this begs the question to some degree. A critic could (hypothetically) argue that some people have the ability to perceive distant future events through some as-yet-undiscovered mechanism (be it psychic powers or whatever). The Christian knows better; he knows that God alone declares the end from the beginning (Isaiah 46:9–10). But the Christian knows this because it is what the Bible says. So, only by presupposing the truth of the Bible could we cogently argue that only God can know the future. Back
  6. E.g., 2 Peter 3:8; Isaiah 46:9–10. Back
  7. Babies do not “learn” uniformity in nature. They are born already knowing it. When a baby burns his hand on a candle, he does not quickly do it again because he rightly believes that if he does it again it will hurt again. The baby already knows that the future reflects the past. Back
  8. This fact has been recognized and elaborated upon by Christian scholars such as Dr. Cornelius Van Til and Dr. Greg Bahnsen. Back

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Biblical Archaeology: Factual Evidence to Support the Historicity of the Bible Article ID: DA111 | By: Paul L. Maier

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The Bible and Archaeology

Biblical Archaeology: Factual Evidence to Support the Historicity of the Bible

Article ID: DA111 | By: Paul L. Maier

This article first appeared in the Christian Research Journal, volume 27, number 2 (2004). For further information or to subscribe to the Christian Research Journal go to: http://www.equip.org


Archaeological finds that contradict the contentions of biblical minimalists and other revisionists have been listed above. There are many more, however, that corroborate biblical evidence, and the following list provides only the most significant discoveries:

The Existence of Hittites. Genesis 23 reports that Abraham buried Sarah in the Cave of Machpelah, which he purchased from Ephron the Hittite. Second Samuel 11 tells of David’s adultery with Bathsheba, the wife of Uriah the Hittite. A century ago the Hittites were unknown outside of the Old Testament, and critics claimed that they were a figment of biblical imagination. In 1906, however, archaeologists digging east of Ankara, Turkey, discovered the ruins of Hattusas, the ancient Hittite capital at what is today called Boghazkoy, as well as its vast collection of Hittite historical records, which showed an empire flourishing in the mid-second millennium BC. This critical challenge, among many others, was immediately proved worthless — a pattern that would often be repeated in the decades to come.

The Merneptah Stele. A seven-foot slab engraved with hieroglyphics, also called the Israel Stele, boasts of the Egyptian pharaoh’s conquest of Libyans and peoples in Palestine, including the Israelites: “Israel — his seed is not.” This is the earliest reference to Israel in nonbiblical sources and demonstrates that, as of c. 1230 BC, the Hebrews were already living in the Promised Land.

Biblical Cities Attested Archaeologically. In addition to Jericho, places such as Haran, Hazor, Dan, Megiddo, Shechem, Samaria, Shiloh, Gezer, Gibeah, Beth Shemesh, Beth Shean, Beersheba, Lachish, and many other urban sites have been excavated, quite apart from such larger and obvious locations as Jerusalem or Babylon. Such geographical markers are extremely significant in demonstrating that fact, not fantasy, is intended in the Old Testament historical narratives; otherwise, the specificity regarding these urban sites would have been replaced by “Once upon a time” narratives with only hazy geographical parameters, if any.

Israel’s enemies in the Hebrew Bible likewise are not contrived but solidly historical. Among the most dangerous of these were the Philistines, the people after whom Palestine itself would be named. Their earliest depiction is on the Temple of Rameses III at Thebes, c. 1150 BC, as “peoples of the sea” who invaded the Delta area and later the coastal plain of Canaan. The Pentapolis (five cities) they established — namely Ashkelon, Ashdod, Gaza, Gath, and Ekron — have all been excavated, at least in part, and some remain cities to this day. Such precise urban evidence measures favorably when compared with the geographical sites claimed in the holy books of other religious systems, which often have no basis whatever in reality.10

Shishak’s Invasion of Judah. First Kings 14 and 2 Chronicles 12 tell of Pharaoh Shishak’s conquest of Judah in the fifth year of the reign of King Rehoboam, the brainless son of Solomon, and how Solomon’s temple in Jerusalem was robbed of its treasures on that occasion. This victory is also commemorated in hieroglyphic wall carvings on the Temple of Amon at Thebes.

The Moabite Stone. Second Kings 3 reports that Mesha, the king of Moab, rebelled against the king of Israel following the death of Ahab. A three-foot stone slab, also called the Mesha Stele, confirms the revolt by claiming triumph over Ahab’s family, c. 850 BC, and that Israel had “perished forever.”

Obelisk of Shalmaneser III. In 2 Kings 9–10, Jehu is mentioned as King of Israel (841–814 BC). That the growing power of Assyria was already encroaching on the northern kings prior to their ultimate conquest in 722 BC is demonstrated by a six-and-a-half-foot black obelisk discovered in the ruins of the palace at Nimrud in 1846. On it, Jehu is shown kneeling before Shalmaneser III and offering tribute to the Assyrian king, the only relief we have to date of a Hebrew monarch.

Burial Plaque of King Uzziah. Down in Judah, King Uzziah ruled from 792 to 740 BC, a contemporary of Amos, Hosea, and Isaiah. Like Solomon, he began well and ended badly. In 2 Chronicles 26 his sin is recorded, which resulted in his being struck with leprosy later in life. When Uzziah died, he was interred in a “field of burial that belonged to the kings.” His stone burial plaque has been discovered on the Mount of Olives, and it reads: “Here, the bones of Uzziah, King of Judah, were brought. Do not open.”

Hezekiah’s Siloam Tunnel Inscription. King Hezekiah of Judah ruled from 721 to 686 BC. Fearing a siege by the Assyrian king, Sennacherib, Hezekiah preserved Jerusalem’s water supply by cutting a tunnel through 1,750 feet of solid rock from the Gihon Spring to the Pool of Siloam inside the city walls (2 Kings 20; 2 Chron. 32). At the Siloam end of the tunnel, an inscription, presently in the archaeological museum at Istanbul, Turkey, celebrates this remarkable accomplishment. The tunnel is probably the only biblical site that has not changed its appearance in 2,700 years.

The Sennacherib Prism. After having conquered the 10 northern tribes of Israel, the Assyrians moved southward to do the same to Judah (2 Kings 18–19). The prophet Isaiah, however, told Hezekiah that God would protect Judah and Jerusalem against Sennacherib (2 Chron. 32; Isa. 36–37). Assyrian records virtually confirm this. The cuneiform on a hexagonal, 15-inch baked clay prism found at the Assyrian capital of Nineveh describes Sennacherib’s invasion of Judah in 701 BC in which it claims that the Assyrian king shut Hezekiah inside Jerusalem “like a caged bird.” Like the biblical record, however, it does not state that he conquered Jerusalem, which the prism certainly would have done had this been the case. The Assyrians, in fact, bypassed Jerusalem on their way to Egypt, and the city would not fall until the time of Nebuchadnezzar and the Neo-Babylonians in 586 BC. Sennacherib himself returned to Nineveh where his own sons murdered him.

The Cylinder of Cyrus the Great. Second Chronicles 36:23 and Ezra 1 report that Cyrus the Great of Persia, after conquering Babylon, permitted Jews in the Babylonian Captivity to return to their homeland. Isaiah had even prophesied this (Isa. 44:28). This tolerant policy of the founder of the Persian Empire is borne out by the discovery of a nine-inch clay cylinder found at Babylon from the time of its conquest, 539 BC, which reports Cyrus’s victory and his subsequent policy of permitting Babylonian captives to return to their homes and even rebuild their temples.

So it goes. This list of correlations between Old Testament texts and the hard evidence of Near Eastern archaeology could easily be tripled in length. When it comes to the intertestamental and New Testament eras, as we might expect, the needle on the gauge of positive correlations simply goes off the scale.

To use terms such as “false testament” for the Hebrew Bible and to vaporize its earlier personalities into nonexistence accordingly has no justification whatever in terms of the mass of geographical, archaeological, and historical evidence that correlates so admirably with Scripture.

notes

1. Israel Finkelstein and Neil Asher Silberman, The Bible Unearthed: Archaeology’s New Vision of Ancient Israel and the Origin of Its Sacred Texts (New York: The Free Press, 2001).

2. Daniel Lazare, “False Testament: Archaeology Refutes the Bible’s Claim to History,” Harper’s, March 2002, 39–47.

3. Ibid., 40.

4. See Kenneth Kitchen, “The Patriarchal Age: Myth or History?” Biblical Archaeology Review(hereafter BAR), March/April 1995, 48ff.

5. A considerable, and growing, body of literature exists on the Hebrews in Egypt, the role of Joseph, the pharaoh who befriended him, the Hyksos, the pharaoh of the Oppression, the pharaoh of the Exodus, and the Exodus itself. See recent issues of Bible and Spade, especially no. 16 (Winter 2003). Joseph P. Free and Howard F. Vos, Archaeology and Bible History (Grand Rapids: Zondervan Publishing House, 1992), 69–105 is also helpful, as is Alfred J. Hoerth,Archaeology and the Old Testament (Grand Rapids: Baker Book House, 1999).

6. Kathleen M. Kenyon, Digging up Jericho (London: Ernest Benn, 1957); Excavations at Jericho, vol. 3 (London: British School of Archaeology in Jerusalem, 1981).

7. Bryant G. Wood, “Did the Israelites Conquer Jericho?” BAR, March/April 1990, 44–58.

8. Lazare, 45–46.

9. Hershel Shanks, “Biran at Ninety,” BAR, September/October 1999, 44.

10. For example, in The Book of Mormon, proper names of places and people have no substantiation from outside sources.

11. William A. Dever, “Save Us from Postmodern Malarkey,” BAR, March/April 2000, 28.

12. William A. Dever, cited in Gordon Govier, “Biblical Archaeology’s Dusty Little Secret,”Christianity Today, October 2003, 38.

13. Steven Feldman, “Is the Bible a Bunch of Historical Hooey?” BAR, May/June 2002, 6.

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1963 interview with Christianity Today magazine, William F. Albright (1891-1971)

_________________

Critics – Part 1
By Dr

In my ongoing debate with other bloggers on the Arkansas Times Blog, I had an interesting response from Dobert:

You can’t have it both ways. If the Gospel writers were allowed to adapt their message to a particular audience then it can’t be claimed that God literally took their hand and wrote the scriptures. If we allow the Gospel writers to adapt their message, then we had better get ready to accept the fact that Paul interjected his own opinion about so many matters that he was personally opposed to or were culturally dominant at the time he wrote it. God would not have written inconsistencies in His Scriptures unless we want to admit that God has a sense of humor.

I responded with this:

Hank Hanegraaff the director of CRI has noted:

 “Can anything involving human beings contain the inerrant Word of God”? 

The short answer to that question is “yes.” It’s true that humans are fallible vessels that they’re prone to error, but that in no way precludes the inerrancy of the Bible. All Scripture is God breathed. All Scripture is useful for teaching, rebuking, correcting, training in righteousness, so that the man of God may be thoroughly equipped for every good work (2 Tim. 3:16-17). The Apostle Paul there puts a very significant premium of the accuracy of all Scripture. 

The Apostle Peter does essentially the same thing. He says that prophecy never had its origin in the will of man, but men spoke from God as they were carried along by the Holy Spirit.  

The doctrine of inspiration tells us that God did something miraculous in inspiration. He worked through fallible human prophets, He utilized their individual personalities, all to pen what is authoritative, infallible, and sacred as Scripture. In fact we can demonstrate that the Bible is divine as opposed to human in origin. If you look just at archeology, you find what is concealed in the soil, corresponds to what is revealed in the Scriptures, and that with minute precision. I’m talking about people, and places, even particulars. So we know, we have evidence that the Bible corresponds to reality, and therefore it is truth, and a miracle—the miracle of infallible inspiration, the inspiration that comes from the Holy Spirit. 

Now we don’t suppose that the disciples walked around with tape recorders, or we’re programmed automatons, but what we do suppose is that the believers who are used by God to pen the Scriptures captured the essential voice of God in the Scripture. Not the exact words they heard. For example, if you look at the Sermon on the Mount, you’ll see that there are various versions of the Sermon on the Mount given by Mark, Matthew, and Luke. And you see that the Sermon on the Mount is given in a different way but is essentially the same, because through their own personalities Matthew and Luke capture the essential voice of Jesus not the exact verbiage that Jesus used, and that’s why there can be differences and yet complete agreement because there’s no difference in the message that is being communicated in either case.

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I remember listening to a 90 minute lecture by Francis Schaeffer on the conclusions the great American archaeologist (William F. Albright) who changed his views over the years because of the archaeological evidence. Below is some of that evidence. (You can access some of the evidence that convinced William Ramsey concerning the Book of Luke and Acts here.)

I went and secured a copy of the interview and read it myself. In a 1963 interview with Christianity Today magazine, William F. Albright (1891-1971) stated:

In my opinion, every book of the New Testament was written by a baptized Jew between the forties and eighties of the first century A.D. (very probably sometime between about 50 and 75 A.D.)(Christianity Today, VII, 359, January 18, 1963, “Toward a More Conservative View,” interview with William F. Albright.)

. John Ankerberg, Dr. John Weldon

Biblical Archaeology, Silencing the critics (Part 1)Significantly, even liberal theologians, secular academics, and critics generally cannot deny that archaeology has confirmed thebiblical record at many points. Rationalistic detractors of the Bible can attack it all day long, but they cannot dispute archaeological facts. Consider the weekly PBS series “Mysteries of the Bible.” Despite some shortcomings, such as the theologically liberal experts and non-Christian commentators, this program has offered example after example, week after week, of the archaeological reliability of the Bible.To further illustrate, probably the three greatest American archaeologists of the twentieth century each had their liberal training modified by their archaeological work. W. F. Albright, Nelson Glueck, and George Ernest Wright all “received training in the liberal scholarship of the day, which had resulted from the earlier and continuing critical study of the Bible, predominantly by German scholars.”1 Despite their liberal training, it was archaeological research that bolstered their confidence in the biblical text:Albright said of himself, “I must admit that I tried to be rational and empirical in my approach [but] we all have presuppositions of a philosophical order.” The same statement could be applied as easily to Gleuck and Wright, for all three were deeply imbued with the theological perceptions which infused their work. Albright, the son of a Methodist missionary, came to see that much of German critical thought was established upon a philosophical base that could not be sustained in the light of archaeological discoveries…. Nelson Glueck was Albright’s student. In his own explorations in Trans-Jordan and the Negev and in his excavations, Glueck worked with the Bible in hand. He trusted what he called “the remarkable phenomenon of historical memory in the Bible.” He was the president of the prestigious Hebrew Union College-Jewish Institute of Religion and an ordained Rabbi. Wright went from the faculty of the McCormick Theological Seminary in Chicago to a position in the Harvard Divinity School which he retained until his death. He, too, was a student of Albright.2Glueck forthrightly declared, “As a matter of fact, however, it may be clearly stated categorically that no archaeological discovery has ever controverted a single biblical reference. Scores of archaeological findings have been made which confirm in clear outline or exact details historical statements in the Bible.”3In fact, “Much of the credit for this relatively new assessment of the patriarchal tradition must go to the ‘Albright school.’ Albright himself pointed out years ago that apart from ‘a few diehards among older scholars’ there is hardly a single biblical historian who is not at least impressed with the rapid accumulation of data supporting the ‘substantial historicity’ of patriarchal tradition.”4And, in fact, this is true not just for the patriarchal tradition but the Bible generally. The earlier statement by assyriologist A. H. Sayce continues to hold true today: “Time after time the most positive assertions of a skeptical criticism have been disproved by archaeological discovery, events and personages that were confidently pronounced to be mythical have been shown to be historical, and the older [i.e., biblical] writers have turned out to have been better acquainted with what they were describing than the modern critics who has flouted them.”5

Millar Burrows of Yale points out that, “Archaeology has in many cases refuted the views of modern critics. It has been shown in a number of instances that these views rest on false assumptions and unreal, artificial schemes of historical development….” And, “The excessive skepticism of many liberal theologians stems not from a careful evaluation of the available data, but from an enormous predisposition against the supernatural.”6

Many other examples could be given of how firsthand archaeological work changed the view of a critic. One of the most prominent is that of Sir William Ramsay. Ramsey’s own archaeological findings convinced him of the reliability of the Bible and the truth of what it taught. In his The Bearing of Recent Discovery on the Trustworthiness of the New Testamentand other books, he shows why he came to conclude that “Luke’s history is unsurpassed in respect of its trustworthiness” and that “Luke is a historian of the first rank … In short, this author should be placed along with the very greatest of historians.”7

As part of his secular academic duties, Dr. Clifford Wilson was for some years required to research and teach higher critical approaches to the Bible. This gave him a great deal of firsthand exposure and insight to the assumptions and methodologies that go into these approaches. Yet his own archaeological research was found to continually refute such skeptical theories, so much so that he finally concluded, “It is the steady conviction of this writer that the Bible is … the ancient world’s most reliable history textbook….”8

In a personal communication he added the following,

I was not always the “literalist” I am today. I’ve always had a profound respect for the Bible, but accepted that the use of poetic forms meant that the record could often be interpreted symbolically where now I take it literally—though of course there are times when symbolism is clearly utilized. Thus in later Scriptures “Egypt” can be a geographic country or a symbolic term.

That liberalism is especially true in relation to Genesis chapters 1 through 11, often considered allegorical or mythical, where my researches have led me to the conclusion that this is profound writing, meant to be taken literally. There was a real Adam, creation that was contemporaneous for the various life forms as shown in Genesis chapter 1, and a consistent style of history writing—such as the outlines given in Genesis one, then zeroing in on the specifics relating to mankind in Genesis chapter 2; the history of all the early peoples in Genesis chapter 10, then the concentration on Abraham and his descendants from Genesis chapter 11 onwards. Early man, “the birth of the lady of the rib,” long-living man, giants in the earth (animals, birds, and men), the flood, the Tower of Babel—and much more—point to factual, accurate recording of history in these early chapters of Genesis.

Over 40 years have passed since I first became professionally involved in biblical archaeology and my commitment to the Bible as the world’s greatest history book is firmly settled. As Psalm 119:89 states, “Forever O Lord, your word is established in heaven.”

Indeed one of the most valuable contributions of modern archaeology has been its reputation of higher critical views toward scripture. Consider for example the discovery of the Dead Sea scrolls.

J. Randall Price (Ph.D., Middle Eastern Studies) currently working on a forthcoming apologetic text on biblical archaeology writes, “Those who expect the [Dead Sea] scrolls to produce a radical revision of the Bible have been disappointed, for these texts have only verified the reliability and stability of the Old Testament as it appears in our modern translations.”9

He further points out how the Daniel fragments of the Dead Sea Scrolls should require scholars to abandon a Maccabean date. The same kind of evidence forced scholars to abandon Maccabean dates for Chronicles, Ecclesiastes, and many of the Psalms. But so far, most scholars refuse to do this for Daniel: “Unfortunately, critical scholars have not arrived at a similar conclusion for the Book of Daniel, even though the evidence is identical.”10 In fact, according to Old Testament scholar Gerhard Hasel, a date for Daniel in the sixth or fifth century BC “has more in its favor today from the point of view of language alone than ever before.”11 The Dead Sea Scrolls also provide significant evidence for the unity and single authorship of the Book of Isaiah. Dr. Price concludes, “The discovery of the Dead Sea Scrolls, then, has made a contribution toward confirming the integrity of the biblical text and its own claim to predictive prophecy. Rather than support the recent theories of documentary disunity, the Scrolls have returned scholars to a time when the Bible’s internal witness to its own consistency and veracity was fully accepted by its adherents.”12

(to be continued)

Notes:

1 Keith N. Scoville, Biblical Archeology in Focus (Grand Rapids, MI: Baker, 1978), p. 163.

2 Ibid., p. 163.

3 Norman L. Geisler and Ron Brooks, When Skeptics Ask: A Handbook on Christian Evidences (Wheaton, IL: Victor, 1990), p. 179.

4 Eugene H. Merrill, Professor of Old Testament Studies, Dallas Theological Seminary, “Ebla and Biblical Historical Inerrancy” in Roy B. Zuck (Genesis ed.), Vital Apologetic Issues: Examining Reasons and Revelation in Biblical Perspective (Grand Rapids, MI: Kregel, 1995), p. 180.

5 A. H. Sayce, Monument Facts and Higher Critical Fancies (London: The Religious Tract Society, 1904), p. 23, Cited in Josh McDowell, More Evidence That Demands a Verdict(Arrowhead Springs, CA: Campus Crusade for Christ, 1975), p. 53.

6 As cited in Josh McDowell, Evidence that Demands a Verdict (Arrowhead Springs, CA: Campus Crusade for Christ, 1972) p. 66.

7 William M. Ramsay, The Bearing of Recent Discovery on the Trustworthiness of the New Testament (Grand Rapids, MI: Baker Bookhouse, 1959), p. 91; cf. William M. Ramsay, Luke the Physician, pp. 177-79, 222 from F. F. Bruce, The New Testament Documents: Are They Reliable? (Downers Grove, IL: InterVarsity Press, 1971), pp. 90-91.

8 Clifford Wilson, Rocks, Relics and Biblical Reliability (Grand Rapids, MI: Zondervan/Richardson, TX: Probe, 1977), p. 126

9 J. Randall Price, Secrets of the Dead Sea Scrolls (Eugene, OR: Harvest House, 1996), p. 146.

10 Ibid., p. 159.

11 Ibid., p. 163.

12 Ibid., p. 164; cf. p. 157.

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FRANCIS SCHAEFFER ANALYZES ART AND CULTURE PART 46 Friedrich Nietzsche (Featured artist is Thomas Schütte)

____________________________________ Francis Schaeffer pictured below: __________ Francis Schaeffer has written extensively on art and culture spanning the last 2000years and here are some posts I have done on this subject before : Francis Schaeffer’s “How should we then live?” Video and outline of episode 10 “Final Choices” , episode 9 “The Age of Personal Peace and Affluence”, episode 8 […]

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Henry Schaefer discusses Stephen Hawking and his Christian wife Jane Wilde Hawking

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Henry Schaefer discusses Stephen Hawking and his Christian wife Jane Wilde Hawking. Begin at the 25 minute point.

The Kalam Cosmological Argument (Scientific Evidence) (Henry Schaefer, PhD)

Published on Jun 11, 2012

Scientist Dr. Henry “Fritz” Schaefer gives a lecture on the cosmological argument and shows how contemporary science backs it up.

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     Stephen Hawking: the closed mind of a dogmatic atheist

A review of Music to Move the Stars by Jane Hawking
McMillan, New York, 2004

by

Book Cover 'Music to Move the Stars' by Jane Hawking

Jane Hawking was, for a quarter century, the wife of Stephen Hawking, one of the most famous living scientists of today. Stephen Hawking, now an international celebrity, has sold millions of books, and draws huge crowds wherever he speaks. Cited by Time as the heir to Einstein, only Darwin and Einstein are arguably better known among the public. The first American edition of his best seller, A Brief History of Time, had a press run of ten thousand copies—typical press runs are five hundred to two thousand copies.1 A professor at Cambridge, he occupies the same Lucasian chair that Isaac Newton filled two centuries earlier. Hawking is not only famous as a physicist, but also as one who has overcome obstacles due to the severely disabling neuromuscular disease, Amyotrophic Lateral Sclerosis (ALS), commonly called Lou Gehrig’s Disease.

Courtship and marriage

The book contains much background about Jane’s courtship with Stephen, their marriage, and the problems in their marriage due to the domestic friction that one would expect when a family member is seriously handicapped. Stephen’s pioneering research is clearly explained in simple terms for those lacking a Ph.D. in the mathematical physics of black holes. Even though her Ph.D. was not in science, but Spanish poetry, she explains modern cosmology with almost the same elegance, fluidity, precision and accuracy as that of her world-famous husband. The book provides much insight on the age-old conflicts between science and religion, a subject that Jane discusses in depth. Jane also provides much insight into the minds of the world’s leading scientists, especially cosmologists.

Jane married Stephen Hawking knowing that he had an incurable disease, but, believing that his life would be short, they hoped to jam as much love and fulfilment into what they thought would be only a few years together (Stephen outlived all expectations, and they were together for over 25 years). They married fairly young, and soon had three children. For years, Jane was an astounding care giver, dealing with Stephen’s progressive physical decline and heavier demands. She managed the household, reared the children, and hauled him around for years before a serious respiratory incident forced them to hire full-time professional nurses. She also recounts her battles with the British health care system, and with Cambridge University for access.

Jane’s theism vs Stephen’s atheistic faith

One factor that was central to their relationship—and eventual divorce—was religious conflicts. Jane notes that ‘Stephen had no hesitation in declaring himself an atheist despite the strongly Methodist background’ of his family (p. 46). She concluded that his reasoning was, ‘as a cosmologist examining the laws which governed the universe, he could not allow his calculations to be muddled by a confessed belief in the existence in a Creator God’ (p. 46). With candid insights into her private spiritual experiences, Jane draws her own conclusions regarding God’s role in the universe.

Jane also discusses in detail the anthropic principle, which she calls ‘an important cosmological principle of the twentieth century’ (p. 153). She observed that the strong version has a ‘close philosophical affinity to the medieval cosmos’ where humans were at the center of creation (p. 153). She then concluded that the anthropic principle places humans in a ‘special place at the centre of the universe’, just as did the Ptolemaic system, and that, ‘for the medieval populace, this special position was a strong statement of the unique relationship between human beings and their Creator’ (p. 153). The main intent of early philosophers was to reconcile the

‘existence of God with the rigours of the laws of science, towards unifying the image of the Creator with the scientific complexity of His Creation. … Conversely, their intellectual heirs, some 800 years later, seemed intent on distancing science as far as possible from religion and on excluding God from any role in Creation. The suggestion of the presence of a Creator God was an awkward obstacle for an atheistic scientist whose aim was to reduce the origins of the universe to an unified package of scientific laws, expressed in equations and symbols. To the uninitiated, these equations and symbols were far more difficult to comprehend than the notion of God as the prime mover, the motivating force behind Creation’ (pp. 154–155).

She adds that, as a direct result of the focus of modern cosmologists on mathematics, the concept of a personal God became irrelevant for these scientists because, in their mind, their calculations diminished ‘any possible scope for a Creator’, and

‘they could not envisage any other place or role for God in the physical universe. Concepts which could not be quantified in mathematical terms as a theoretical reflection of physical realities, whether or not the actual existence of those physical realities was proven, were meaningless’ (p. 155).

The nihilism of atheism

Her major concern is that she perceives—and discusses extensively why, based on discussions with her husband and the leading physicists of the world—that the result of the goals of science would eventually result in the situation where

‘Human reactions in all their complexities, emotional and psychological, would one day … be reduced to scientific formulae because, in effect, these reactions were no more than the microscopic chemical interactions of molecules’ (p. 156).

The result was that ‘in the face of such dogmatically rational arguments, there was no point in raising questions of spirituality and religious faith, of the soul and of a God who was prepared to suffer for the sake of humanity—questions which ran completely counter to the selfish reality of genetic theory’, evidently referring to the work of Richard Dawkins and others (p. 156).

Jane notes,

‘at the end of the twentieth century, religion finds its revelationary truths threatened by scientific theory and discovery, and retreats into a defensive corner, while scientists go into the attack insisting that rational argument is the only valid criterion for an understanding of the workings of the universe’ (p. 200).

She concludes that the complexity of the cosmologist’s calculations and the admiration their discoveries have caused some people

‘to fall into the trap of believing that science has become a substitute for religion and that, as its great high priests, they can claim to have all the answers to all the questions. However, because of their reluctance to admit spiritual and philosophical values, some of them do not appear to be aware of the nature of some of the questions’ (p. 200).

She is especially disheartened with attempts to extrapolate animal-behaviour rules to human behaviour, as illustrated by the evolutionary psychology field. After noting that evolutionary psychologists ascribe altruism solely as a result of natural selection, she adds that

‘scientists still cannot satisfactorily explain why some human beings are prepared to give their lives for others. The complexity of such anomaly lies far outside the scope of their purely mechanical grasp. Nor can they explain why so much human activity operates at a subliminal level. The spiritual sophistication of musical, artistic, politic, and scientific creativity far exceeds that of any primitive function programmed into the brain as a basic survival mechanism’ (p. 200).

Although scientists offer explanations, they ‘acknowledge that they are still very far from reaching’ the goal of answering ‘why’, noting that many scientists

‘arrogantly even aspire to become gods themselves by denying the rest of us our freedom of choice and disputing our right to ask the question “Why?” in relation to the origins of the universe and the origins of life. They claim that the question is as … inappropriate, as it would be to ask why Mt. Everest is there. They dismiss the suggestion that the question ‘Why’ is the prerogative of theologians and philosophers rather than scientist because, they say, theologians are engaged in the “study of fantasy”: belief in God can be attributed to “a shortage in the oxygen supply to the brain”. Their theories reduce the whole of Creation to a handful of material components. They complain with a weary disdain of the stupidity of the human race, that human beings are always asking “Why?” Perhaps they should be asking themselves why this is so. Might it not be that our minds have been programmed to ask “Why?” And if this is the case they might then ask who programmed the human computer. The “Why” question is the one which, above all, theologians should be addressing’ (p. 201).

She concludes by opining that, since the modes of thought by scientists

‘are dictated by purely rational, materialistic criteria, physicists cannot claim to answer the questions of why the universe exists and why we, human beings, are here to observe it, any more than molecular biologists can satisfactorily explain why, if our actions are determined by the workings of a selfish genetic coding, we sometimes listen to the voice of conscience and behave with altruism, compassion and generosity’ (p. 200).

Their marriage deteriorates

In the latter days of their marriage, her ‘attempts to discuss the profound matters of science and religion with Stephen were met with an enigmatic smile’ (p. 465). Stephen usually ‘grinned’ at the ‘mention of religious faith and belief, though on one historic occasion he actually made the startling concession that, like religion, his own science of the universe’ also required a leap of faith as did theism (p. 465). Jane approvingly quoted scientist-theologian Cecil Gibbons, who concluded that ‘scientific research required just as broad a leap of faith in choosing a working hypothesis as did religious belief’ (p. 465). Although in theory, a leap of faith in science ‘had to be tested against observation’, the problem is that a scientist has to ‘rely on an intuitive sense that his choice was right or he might be wasting years in pointless research with an end result that was definitively wrong’ (p. 465).

When asked if he believed in God, ‘Always the answer was the same. No, Stephen did not believe in God and there was no room for God in his universe’ (p. 494). When Stephen gave his usual atheistic answers in Jerusalem, this struck Jane as especially ironic, and she quipped:

‘My life with Stephen had been built on faith—faith in his courage and genius, faith in our joint efforts and ultimately religious faith—and yet here we were in the very cradle of the world’s three great religions, preaching some sort of ill-defined atheism founded on impersonal scientific values with little reference to human experience’ (pp. 494–495).

She concludes by saying that the blunt denial by Stephen ‘of all that I believed in was bitter indeed’. Jane was also stuck at the insensitivity of the press to matters of religious faith—they often treated it as something that, if one possesses it, should be kept well hidden (p. 525).

As he got older, Stephen became more and more hardened in his atheism. As a result, Jane notes that although in the early days their arguments on religion ‘were playful and fairly light-hearted’, in later years they increasingly

‘became more personal, divisive and hurtful. It was then apparent that the damaging schism between religion and science had insidiously extended its reach into our very lives: Stephen would adamantly assert the blunt positivist stance which I found too depressing and too limiting to my view of the world because I fervently needed to believe that there was more to life than the bald facts of the laws of physics and the day-to-day struggle for survival. Compromise was anathema to Stephen, however, because it admitted an unacceptable degree of uncertainty when he dealt only with the certainties of mathematics’ (p. 201).

The Galileo irony

Ironically, Stephen’s hero was Galileo—‘a devout Catholic’ (p. 200). Stephen launched a personal campaign for Galileo’s reinstatement, which was eventually successful. But it ‘was nevertheless seen as a victory for the rational advance of science over the hidebound antiquated forces of religion rather than as a reconciliation of science with religion’ (p. 202). Indeed, Galileo’s main problem was the dogmatism of the Aristotelian scientific establishment of his day! The intransigence of Stephen on religion is in dramatic contrast to the many changes he made in his theories and ideas—for example, the conclusion that ‘contrary to all previously held theories on black holes, a black hole could radiate energy’ (p. 236).

Dogmatic boffins

As Stephen became more famous, his associations changed to more and more eminent scientists, which Jane had to admit she did not find appealing. The contrast between her old friends and the world’s leading scientists who became their friends (as Stephen became increasingly renowned in his field) was enormous. Their old friends were able to talk intelligently about many things and show a ‘human interest in people and situations’. In contrast, as a whole, their new friends were ‘a dry, obsessive bunch of boffins’, little concerned with people, but rather very concerned with their personal scientific reputations. She adds, ‘They were much more aggressively competitive than the relaxed, friendly relativists with whom we had associated in the past’ (p. 296). Their old friends’ dedication to science verged on the dilettante in comparison with the ‘driving fanaticism’ of their new friends (p. 296). Jane stresses that she concluded that

‘Nature was powerless to influence intellectual beings who were governed by rational thought, [but] who could not recognize reality when it stood, bared before them, pleading for help. They appeared to jump to conclusions, which distorted the truth to make it fit their preconceptions’ (p. 312).

Jane’s solace in religion

Religion permeated Jane’s world, as is obvious from her extensive discussions. This world, though, her husband did not want any part of, nor did most of his friends. It was a world that Jane eventually left, partly because the antagonism of Stephen and his atheistic friends. She concluded that most famous scientists, her former husband among them, were dogmatic atheists, unwilling to even reason on the evidence for design in the universe. Jane even called physics a ‘demon goddess’. Such scientists, in turn, saw someone such as Jane, who believed in God, as an ignorant person who inhabited a world that they were not part of, nor did they want to be part of.

Stephen’s view of the world was a universe ‘which had neither beginning nor end, nor any role for a Creator-God’ (p. 389). And this was a universe in which Jane did not want to live, and which many people increasingly see as not only unreal, but one that avoids reality. Jane summarized her concept of much of the research, of which her husband was in the forefront, as ‘theorizing on abstruse suppositions about imaginary particulars traveling in imaginary time in a looking-glass universe which did not exist except in the mind of the theorists.’ This she described as ‘the demon goddess of physics’ (p. 372).

In an assembly before the Pope, Jane states the Pope said that scientists ‘could study the evolution of the universe’, but ‘should not ask what happened at the moment of Creation at the Big Bang and certainly not before it because that was God’s preserve’ (p. 391). She stated that she was not impressed with this attitude; rather she believed that

‘Instead of embracing the modern scientific quest for truth to its ultimate objective and glorying in the even deeper layers of mystery thus revealed, the Vatican still viewed cosmological science as a contentious issue, a threat to religious stability, which had to be contained’ (p. 391).

She concluded that the Pope’s prohibition was misdirected, and what is dangerous is the misinterpretation of, and the use to which, these discoveries are put—especially those who have an axe to grind, such as many eminent scientists.

The fact that many came to look at Stephen as godlike is discussed in several sections of her book. She stated,

‘I found myself telling him that he was not God. The truth was that supercilious enigma of that smile which Stephen wore whenever the subjects of religious faith and scientific research came up was driving me to my wit’s end. It seemed that Stephen had little respect for me as a person and no respect at all for my beliefs and opinions’ (p. 536).

One of her strongly held opinions was that ‘reason and science alone could not furnish all of the answers to the imponderable mysteries of human existence’ (p. 536). Yet this ‘simple and fairly obvious’ truth was ‘most unpalatable to those people who had come to believe in Stephen’s immortality and infallibility’ (p. 537). The fact is, in the minds of many people, Stephen’s scientific theories became ‘the basis for a new religion’ (p. 537). Nonetheless, she concluded that ‘Religion for me had to be a personal relationship with God and through it … I found the germinating seeds of an incipient peace and a wholeness which I had not known for a very long time’ (p. 572).

A critical stabilizing factor in Jane’s life was her church. She often talked about her minister’s sermons, and how they helped her to cope with the difficulties of dealing with an invalid husband who required twenty-four-hour-a-day care—he needed to be bathed, have his teeth brushed, have his hair combed, and have his bodily functions taken care of just like a six-month-old baby, yet he attracted worldwide notoriety wherever they went—and they traveled often, which was also a struggle. Jane noted that, as his conditioned deteriorated, she became more like a nurse taking care of a man with a body like a Holocaust victim who had the needs of a child. A concern she had was that ‘Although I derived comfort from my return to the Church, it also posed imponderable questions in my mind.’ One was, ‘What was God really asking of me? How great a sacrifice was required of me?’ (p. 336).

Although Stephen’s state of health was often extremely precarious, modern medicine and twenty-four-hour nursing care (he carried his own mini-hospital with him everywhere) allowed Stephen to pursue a ‘hedonistic way of life, compensating ever more tenaciously for his disability, ever more assured of his own invincibility, mocking the untimely death whose grasp he had evaded’ (p. 476). What sustained Jane was trusting ‘in God through darkness, pain and fear’ (p. 484). When she tried to help Stephen understand the solace she obtained from her faith, and especially the Bible, Stephen ‘was insulted by any mention of compassion; he equated it with pity and religious sentimentality’—something for which he had contempt (p. 485).

Jane discusses her friendship with many well-known cosmologists, many of which were close and personal friends. The theistic evolutionist John Polkinghorne, whom she states she admired, was one of the few who was a great encouragement to her, partly because he helped her realize that ‘atheism was not an essential prerequisite of science and not all scientists were as atheistic as they seemed’ (p. 246). Jane’s assessment is especially critical because she was able to stand back and observe both the worlds of science and religion in order to make objective judgments. Indeed, her book clearly represents an effort to come to grips with some of the central questions of humanity, and why she accepted theism and rejected the atheism of virtually all the leading scientists with whom she spent much of her life, including, especially, her husband. She was the proverbial fly on the wall, giving us insight that can be found nowhere else into the thinking of the world’s leading cosmologists.

The enigma of evil

Evil was a subject with which she had to deal because of Stephen’s progressing illness, which caused endless hospital stays and almost insurmountable obstacles necessary to live a life that resembles normalcy. With much insight, she notes that if ‘belief in God were automatically decreed by the Creator, the human race would simply be a breed of automatons’ (p. 461). The world God created provided motivation for discovery, and a sense of wonder due to freedom of choice. Jane recognized that, given this freedom, therein lies the heart of the source of suffering and evil. God could eliminate evil, but if He did, freedom of choice also would be eliminated. She stresses that most evil is often reducible ‘to human greed and selfishness’ (p. 461).

However, this does not explain physical evil such as her husband’s illness which only a literal Genesis Creation and Fall, provides.

Jane abandoned by Stephen

Although many other women might have left Stephen because of his intolerable attitude toward her, and especially what she represented, she stuck by her husband through everything. It was he who left her for another woman. She tried in vain to reconcile with Stephen—his terms were, he would live at home with his family for part of the week, and the rest of the week he would live ‘with his ladylove’ (p. 574). This was unacceptable to Jane. His selfishness and hedonism had shown through again.

Much of this work is a contrast between a woman deeply conscious of her Christian spirituality, and a man firmly closed to any theistic spirituality. It is also a sober warning against a Christian becoming unequally yoked with an unbeliever in marriage. Jane concluded that faith is the outward expression of one’s spirituality that ‘can make sense of all the wonders of Creation and of all the suffering in the world’ and give ‘substance to all our hopes. However far-reaching our intelligent achievements and however advanced our knowledge of Creation, without faith and a sense of our own spirituality there is only isolation and despair, and the human race is really a lost cause’ (p. 594).

One cannot read this book without truly admiring Jane and feeling the struggle that she faced. It is an important work for all people interested in not only science/religion conflicts, but also the human needs that so many of us possess.

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Reference

  1. As a point comparison, the first American edition of Jonathan Sarfati’s best sellers Refuting Evolution and Refuting Evolution 2 had a press run of 19,472 and 22,494 copies, respectively. Return to text.

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Scientific Foreknowledge and Medical Acumen of the Bible by Kyle Butt, M.Div.

-__________

Scientific Foreknowledge and Medical Acumen of the Bible

by Kyle Butt, M.Div.

While it is the case that the Bible does not present itself as a scientific or medical textbook, it is only reasonable that if God truly did inspire the books that compose the Bible, they would be completely accurate in every scientific or medical detail found among their pages. Furthermore, if the omniscient Ruler of the Universe actually did inspire these books, scientific and medical errors that fill the pages of other ancient, non-inspired texts should be entirely absent from the biblical record. Is the Bible infallible when it speaks about scientific fields of discipline, or does it contain the errors that one would expect to find in the writings of fallible men in ancient times?

That the first five books of the Old Testament are a product of Moses is a matter of historical record (Lyons and Staff, 2003). Furthermore, the story of Moses’ education among the Egyptian culture was well understood. In fact, even those Jews who did not convert to Christianity were so familiar with the historic fact that Moses was educated in “all the wisdom of the Egyptians” (Acts 7:22), that Stephen’s statement to that effect went completely undisputed. Moses had been trained under the most advanced Egyptian educational system of his day. With such training, it would have been only natural for Moses to include some of the Egyptian “wisdom” in his writings if he were composing the Pentateuch by using his own prowess and mental faculties.

A look into the medical practices from ancient Egypt and those found in the Pentateuch, however, reveals that Moses did not necessarily rely on “wisdom” of the Egyptians (which, in many cases, consisted of life-threatening malpractice). While some medical practices in the Pentateuch are similar to those found in ancient Egyptian documents, the Pentateuch exhibits a conspicuous absence of those harmful malpractices that plague the writings of the Egyptians. Moses penned the most advanced, flawless medical prescriptions that had ever been recorded. Furthermore, every statement that pertained to the health and medical well-being of the Israelite nation recorded by Moses could theoretically still be implemented and be completely in accord with every fact modern medicine has learned in regard to germ spreading, epidemic disease control, communal sanitation, and a host of other medical and scientific discoveries.

It is the case that the ancient Egyptians were renowned in the ancient world for their progress in the field of medicine. Dr. Massengill noted that “Egypt was the medical center of the ancient world” (1943, p. 13). During the days of in the Medo-Persian Empire, the ancient historian Herodotus recorded that it was king Darius’ practice “to keep in attendance certain Egyptian doctors, who had a reputation for the highest eminence in their profession” (3.129). Thus, while the medical practices of the Bible could be equally compared to those of other ancient cultures and found to be flawlessly superior, comparing them to that of the eminent Egyptian culture should suffice to manifest the Bible’s supernatural superiority in the field.

It Will Cure You—If It Doesn’t Kill You First

Among the ancient documents that detail much of the Egyptian medicinal knowledge, the Ebers Papyrus ranks as one of the foremost sources. This papyrus was discovered in 1872 by a German Egyptologist named Georg Ebers (the name from which the papyrus acquired its moniker) (Ancient Egyptian…, 1930, p. 1). It consists of a host of medical remedies purported to heal, enhance, and prevent. “Altogether 811 prescriptions are set forth in the Papyrus, and they take the form of salves, plasters, and poultices; snuffs, inhalations, and gargles; draughts, confections, and pills; fumigations, suppositories, and enemata” (p. 15). Among the hundreds of prescriptions, disgusting treatments that caused much more harm than good can be found. For instance, under a section titled “What to do to draw out splinters in the flesh,” a remedy is prescribed consisting of worm blood, mole, and donkey dung” (p. 73). [Doctors S.I. McMillen and David Stern note that dung “is loaded with tetanus spores” and “a simple splinter often resulted in a gruesome death from lockjaw (2000, p. 10).] Remedies to help heal skin diseases included such prescriptions as: “A hog’s tooth, cat’s dung, dog’s dung, aau-of-samu-oil, berries-of-the-xet-plant, pound and apply as poultice” (Ancient Egyptian…, 1930, p. 92). Various other ingredients for the plethora of remedies concocted included “dried excrement of a child” (p. 98), “hog dung” (p. 115), and “a farmer’s urine” (p. 131). One recipe to prevent hair growth included lizard dung and the blood from a cow, donkey, pig, dog, and stag (p. 102). While it must be noted that some of the Egyptian medicine actually did include prescriptions and remedies that could be helpful, the harmful remedies and ingredients cast a sickening shadow of untrustworthiness over the entire Egyptian endeavor as viewed by the modern reader.

As medical doctor S.E. Massengill stated:

The early Egyptian physicians made considerable use of drugs. Their drugs were of the kind usually found in early civilizations; a few effective remedies lost in a mass of substances of purely superstitious origin. They used opium, squill, and other vegetable substances, but also excrement and urine. It is said that the urine of a faithful wife was with them effective in the treatment of sore eyes (1943, p. 15).

In addition, it seems that the Egyptians were among the first to present the idea of “good and laudable pus” (McMillen and Stern, 2000, p. 10). Due to the idea that infection was good and the pus that resulted from it was a welcomed effect, “well-meaning doctors killed millions by deliberately infecting their wounds” (p. 10). Needless to say, the modern-day reader would not want to be a patient in an ancient Egyptian clinic!

PRESCRIPTIONS IN THE PENTATEUCH

The first five books of the Old Testament, admittedly, are not devoted entirely to the enumeration of medical prescriptions. They are not ancient medical textbooks. These books do, however, contain numerous regulations for sanitation, quarantine, and other medical procedures that were to govern the daily lives of the Israelite nation. Missing entirely from the pages of these writings are the harmful remedies and ingredients prescribed by other ancient civilizations. In fact, the Pentateuch exhibits an understanding of germs and disease that much “modern” medicine did not grasp for 3,500 years after the books were written.

Blood: The Liquid of Life

Blood always has been a curious substance whose vast mysteries and capabilities have yet to be fully explored. Doctors in the twenty-first century transfuse it, draw it, separate it, package it, store it, ship it, and sell it. And, although modern-day scientists have not uncovered completely all of the wonders of blood, they have discovered that it is the key to life. Without this “liquid of life,” humans and animals would have no way to circulate the necessary oxygen and proteins that their bodies need in order to survive and reproduce. Hemoglobin found in the red blood cells carries oxygen to the brain, which in turn uses that oxygen to control the entire body. A brain without oxygen is like a car without gas or a computer without electricity. Blood makes all of the functions in the body possible.

In the past, ignorance of blood’s value caused some “learned” men to do tragic things. For instance, during the middle ages, and even until the nineteenth century, doctors believed that harmful “vapors” entered the blood and caused sickness. For this reason, leeches were applied to victims of fever and other illnesses in an attempt to draw out blood containing these vapors. Also, the veins and arteries located just above the elbow were opened, and the patient’s arms were bled to expunge the contaminated blood. George Washington, the first President of the United States, died because of such misplaced medical zeal. An eyewitness account of Washington’s death relates that he came down with a chill, and in an effort to cure him, those who attended him resorted to bleeding; “a vein was opened, but no relief afforded” (“The Death of George Washington,” 2001).

Thousands of years before the lethal practice of bloodletting was conceived, mankind had been informed by God that blood was indeed the key to life. In Leviticus 17:11, Moses wrote: “For the life of the flesh is in the blood.”

Today, we understand completely the truthfulness of Moses’ statement that “the life of the flesh is in the blood.” But how did an ancient shepherd like Moses come to know such information? Just a lucky guess? How could Moses have known almost 3,500 years ago that life was in the blood, while it took the rest of the scientific and medical community thousands of years (and thousands of lives!) to grasp this truth? The Old Testament’s conspicuous failure to institute improper medical procedures as they related to blood speaks loudly of its medical accuracy.

Germs, Labor Fever, and Biblical Sanitation

In their book, None of These Diseases, physicians S.I. McMillen and David Stern discussed how many of the hygienic rules established by God for the children of Israel still are applicable today. To illustrate their point, they recounted the story of Ignaz Semmelweis.

In 1847, an obstetrician named Ignaz Semmelweis was the director of a hospital ward in Vienna, Austria. Many pregnant women checked into his ward, but 18% of them never checked out. One out of every six that received treatment in Semmelweis’ ward died of labor fever (Nuland, 2003, p. 31). Autopsies revealed pus under their skin, in their chest cavities, in their eye sockets, etc. Semmelweis was distraught over the mortality rate in his ward, and other hospital wards like it all over Europe. Nuland noted that Australia, the Americas, Britain, Ireland, and practically every other nation that had established a hospital suffered a similar mortality rate (2003, pp. 41-43). If a woman delivered a baby using a midwife, then the death fell to only about 3%. Yet if she chose to use the most advanced medical knowledge and facilities of the day, her chance of dying skyrocketed immensely!

Semmelweis tried everything to curb the carnage. He turned all the women on their sides in hopes that the death rate would drop, but with no results. He thought maybe the bell that the priest rang late in the evenings scared the women, so he made the priest enter silently, yet without any drop in death rates.

As he contemplated his dilemma, he watched young medical students perform their routine tasks. Each day the students would perform autopsies on the dead mothers. Then they would rinse their hands in a bowl of bloody water, wipe them off on a common, shared towel, and immediately begin internal examinations of the still-living women. Nuland commented concerning the practice: “Because there seemed no reason for them to wash their hands, except superficially, or change their clothing before coming to the First Division, they did neither” (2003, p. 100). As a twenty-first-century observer, one is appalled to think that such practices actually took place in institutes of what was at the time “modern technology.” What doctor in his right mind would touch a dead person and then perform examinations on living patients—without first employing some sort of minimal hygienic practices intended to kill germs? But to Europeans in the middle-nineteenth-century, germs were virtually a foreign concept. They never had seen a germ, much less been able to predict its destructive potential. According to many of their most prevalent theories, disease was caused by “atmospheric conditions” or “cosmic telluric influences.”

Semmelweis ordered everyone in his ward to wash his or her hands thoroughly in a chlorine solution after every examination. In three months, the death rate fell from 18% to 1%. Semmelweis had made an amazing discovery. On the inside cover-flap of the book about Semmelweis, written by medical doctor and historian Sherwin Nuland, the text reads:

Ignác Semmelweis is remembered for the now-commonplace notion that doctors must wash their hands before examining patients. In mid-nineteenth-century Vienna, this was a subversive idea. With deaths from childbed fever exploding, Semmelweis discovered that doctors themselves were spreading the disease (2003, inside cover flap).

Had Semmeliweis made a groundbreaking discovery, or is it possible that he simply “rediscovered” what had been known in some circles for many years? Almost 3,300 years before Semmelweis lived, Moses had written: “He who touches the dead body of anyone shall be unclean seven days. He shall purify himself with the water on the third day and on the seventh day; then he will be clean. But if he does not purify himself on the third day and on the seventh day, he will not be clean.” Germs were no new discovery in 1847; the biblical text recorded measures to check their spread as far back as approximately 1500 B.C.

The Water of Purification

Also germane to this discussion is the composition of the “water of purification” listed in Numbers 19. When Old Testament instructions are compared to the New Testament explanations for those actions, it becomes clear that some of the ancient injunctions were primarily symbolic in nature. For instance, when the Passover Lamb was eaten, none of its bones was to be broken. This symbolized the sacrifice of Christ, Whose side was pierced, yet even in death escaped the usual practice of having His legs broken (John 19:31-37).

With the presence of such symbolism in the Old Testament, it is important that we do not overlook the Old Testament instructions that were pragmatic in value and that testify to a Master Mind behind the writing of the Law. One such directive is found in Numbers 19, where the Israelites were instructed to prepare the “water of purification” that was to be used to wash any person who had touched a dead body.

At first glance, the water of purification sounds like a hodge-podge of superstitious potion-making that included the ashes of a red heifer, hyssop, cedar wood, and scarlet. But this formula was the farthest thing from a symbolic potion intended to “ward off evil spirits.” On the contrary, the recipe for the water of purification stands today as a wonderful example of the Bible’s brilliance, since the recipe is nothing less than a procedure to produce an antibacterial soap.

When we look at the ingredients individually, we begin to see the value of each. First, consider the ashes of a red heifer and cedar. As most school children know, the pioneers in this country could not go to the nearest supermarket and buy their favorite personal hygiene products. If they needed soap or shampoo, they made it themselves. Under such situations, they concocted various recipes for soap. One of the most oft’-produced types of soap was lye soap. Practically anyone today can easily obtain a recipe for lye soap via a quick search of the Internet (see “Soapmaking,” n.d.). The various lye-soap recipes reveal that, to obtain lye, water often is poured through ashes. The water retrieved from pouring it through the ashes contains a concentration of lye. Lye, in high concentrations, is very caustic and irritating to the skin. It is, in fact, one of the main ingredients in many modern chemical mixtures used to unclog drains. In more diluted concentrations, it can be used as an excellent exfoliant and cleansing agent. Many companies today still produce lye soaps. Amazingly, Moses instructed the Israelites to prepare a mixture that would have included lye mixed in a diluted solution.

Furthermore, consider that hyssop was also added to the “water of purification.” Hyssop contains the antiseptic thymol, the same ingredient that we find today in some brands of mouthwash (McMillen and Stern, 2000, p. 24). Hyssop oil continues to be a popular “healing oil,” and actually is quite expensive. In listing the benefits of hyssop, one Web site noted: “Once used for purifying temples and cleansing lepers, the leaves contain an antiseptic, antiviral oil. A mold that produces penicillin grows on the leaves. An infusion is taken as a sedative expectorant for flue, bronchitis, and phlegm” (see “Hyssop”).

Other ingredients in the “water of purification” also stand out as having beneficial properties. The oil from the cedar wood in the mixture most likely maintained numerous salutary properties. A Web site dealing with various essential oils noted: “Cedar wood has long been used for storage cabinets because of its ability to repel insects and prevent decay. In oil form, applied to humans, it is an antiseptic, astringent, expectorant (removes mucus from respiratory system), anti-fungal, sedative and insecticide” (“Spa Essential Oils,” 2005). Another site, more specifically dealing with the beneficial properties of cedar, explained:

Cedar leaves and twigs are in fact rich in vitamin C, and it was their effectiveness in preventing or treating scurvy that led to the tree’s being called arbor vitae or tree of life. In addition, recent research has shown that extracts prepared from either Thuja occidentalis or Thuja plicata [types of oriental cedar—KB] do in fact have antiviral, anti-inflammatory, and antibacterial properties. A group of German researchers reported in 2002 that an extract prepared from cedar leaf, alcohol, and water inhibits the reproduction of influenza virus type A, while a team of researchers in Japan found that an extract of Western red cedar was effective in treating eczema (Frey, n.d).

It is interesting to note that this information about the beneficial properties of the ingredients such as cedar, hyssop, and lye in the water of purification is not coming from Bible-based sources. Most of it is simply coming from studies that have been done through cosmetic and therapeutic research.

Finally, the Israelites were instructed to toss into the mix “scarlet,” which most likely was scarlet wool (see Hebrews 9:19). Adding wool fibers to the concoction would have made the mixture the “ancient equivalent of Lava® soap” (McMillen and Stern, 2000, p. 25).

Thousands of years before any formal studies were done to see what type of cleaning methods were the most effective; millennia before American pioneers concocted their lye solutions; and ages before our most advanced medical students knew a thing about germ theory, Moses instructed the Israelites to concoct an amazingly effective recipe for soap, that, if used properly in medical facilities like hospitals in Vienna, would literally have saved thousands of lives.

Quarantine

Moses detailed measures to prevent the spread of germs from dead bodies to living humans long before such was understood and prescribed in modern medicine. But the Old Testament record added another extremely beneficial practice to the field of medicine in its detailed descriptions of maladies for which living individuals should be quarantined. The book of Leviticus lists a plethora of diseases and ways in which an Israelite would come in contact with germs. Those with such diseases as leprosy were instructed to “dwell alone” “outside the camp” (Leviticus 13:46). If and when a diseased individual did get close to those who were not diseased, he was instructed to “cover his mustache, and cry, ‘Unclean! Unclean!” (13:45). It is of interest that the covering of ones mustache would prevent spit and spray from the mouth of the individual to pass freely through the air, much like the covering of one’s mouth during a cough.

Concerning such quarantine practices, S.E. Massengill wrote in his book A Sketch of Medicine and Pharmacy:

In the prevention of disease, however, the ancient Hebrews made real progress. The teachings of Moses, as embodied in the Priestly Code of the Old Testament, contain two clear conceptions of modern sanitation—the importance of cleanliness and the possibility of controlling epidemic disease by isolation and quarantine (1943, p. 252).

In regard to the understanding of contagion implied in the quarantine rules in the Old Testament, McGrew noted in the Encyclopedia of Medical History: “The idea of contagion was foreign to the classic medical tradition and found no place in the voluminous Hippocratic writings. The Old Testament, however, is a rich source for contagionist sentiment, especially in regard to leprosy and venereal disease” (1985, pp.77-78). Here again, the Old Testament exhibits amazingly accurate medical knowledge that surpasses any known human ingenuity available at the time of its writing.

LAWS OF FOOD CONSUMPTION

Food regulations enumerated in the first five books of the Old Testament have been scrutinized by credentialed professionals in the fields of dietary and pathological research. The regulations have proven to coincide with modern science’s understanding of various aspects of health and disease prevention.

In 1953, an extensive study, performed by David I. Macht and published in the Bulletin of the History of Medicine (a publication of the American Association of the History of Medicine and of The Johns Hopkins Institute of the History of Medicine), tested the toxicity of the meat of animals listed in Leviticus 11 and Deuteronomy 14. Macht’s technique was to place a certain seedling (Lupinus albus) in fresh muscle juices of the various animals noted as clean and unclean in the biblical text. This method was used at the time to study the blood of normal human patients as compared to the blood of cancerous patients (1953, p. 444). Macht noted that his results revealed “data which are of considerable interest not only to the medical investigator but also to the students of ancient Biblical literature” (p. 445).

Some of his results were indeed of interest. For instance, he would take a control group of seedlings that grew in normal solutions and compare that group to seedlings placed in the various meat juices. He would then record the percent of seeds that grew in the meat juices as compared to those that grew under normal circumstances. For example, when placing the seedlings in meat juices from the Ox, the seeds grew 91% as often as they would if placed in a regular growing solution. Seeds in sheep juices grew 94% as often as those in the control group in regular solution. Seedlings in meat juice from a calf—82%; from a goat—90%; and from a deer 90%. Since these animals chew the cud and have a divided hoof, they were listed as clean in Leviticus 11 and Deuteronomy 14:

Now the Lord spoke to Moses and Aaron, saying to them, “Speak to the children of Israel, saying, ‘These are the animals which you may eat among all the animals that are on the earth: Among the animals, whatever divides the hoof, having cloven hooves and chewing the cud—that you may eat’” (Leviticus 11:1-3).

When several unclean animals were studied, however, they showed significantly higher levels of toxicity and much lower levels of seedling growth. Seedlings in meat juice from pigs grew only 54% as often as the control group under normal growing conditions; rabbit—49%; camel—41%; and horse—39%. These results for larger mammals suggested that the biblical division between clean and unclean could have been related to the toxicity of the juices of such animals.

Macht did similar research on birds, in which he found that extracts from biblical clean birds such as the pigeon and quail grew his seedlings 93% and 89%, while those from unclean birds such as the Red-tail hawk (36%) and owl (62%) were much more toxic. As Moses said: “And these you shall regard as an abomination among the birds; they shall not be eaten, they are an abomination: the eagle, the vulture, the buzzard, the kite, and the falcon after its kind; every raven after its kind, the ostrich, the short-eared owl, the sea gull, and the hawk after its kind” (Leviticus 11:13-19). Other studies included several different kinds of fish. The biblical regulation for eating fish was that the Israelites could eat any fish that had fins and scales (Deuteronomy 14:9). Those water-living creatures that did not possess fins and scales were not to be eaten (14:10). In regard to his study on the toxicity of fish, Macht wrote:

Of special interest were experiments made with muscle juices and also blood solutions obtained from many species of fishes. Fifty-four species of fishes were so far studied in regard to toxicity of meat extracts. It was found that the muscle extracts of those fishes which possess scales and fins were practically non-toxic [Herring—100%; Pike—98%; Shad—100%—KB], while muscle extracts from fishes without scales and fins were highly toxic for the growth of Lupinus albus seedlings (pp. 446-448).

Macht’s study, even after more than five decades, continues to remain of great interest. His rigorous research led him to conclude:

The observations described above corroborate the impression repeatedly made on the author in investigations as a physician (M.D. Johns Hopkins, 1906), as an experimental biologist (Member of Society for Experimental Biology and Medicine), and as Doctor of Hebrew Literature (Yeshiva University, 1928) that all allusions of the Book of Books, to nature, natural phenomena, and natural history, whether in the form of factual statements or in the form of metaphors, similes, parables, allegories, or other tropes are correct either literally or figuratively…. Such being the extraordinary concordance between the data of the Scriptures and many of the modern and even most recent discoveries in both the biological and physico-chemical sciences, every serious student of the Bible will, I believe, endorse the assertion of Sir Isaac Newton, that “The Scriptures of God are the most sublime philosophy. I find more such marks of authenticity in the Bible than in profane history anywhere” (p. 449).

Some, however, have questioned Macht’s results. Prior research done by Macht in 1936 and 1949 produced discordant results from his research in 1953. But there are several compelling reasons for accepting Macht’s 1953 research. First, it could be the case that Macht’s 1953 research simply was more refined and the procedure better understood. As one would expect in the scientific field, research generally tends to improve with time. Second, Macht was a high-profile doctor with copious credentials. His research in 1936 and 1949 had been published and was easily accessible. Yet even though his previous research was available, the Johns Hopkins Institute considered it acceptable to publish his 1953 research, which would suggest that the 1953 research included additional methods and/or information that would override the earlier research. Third, Macht’s procedure as described in the 1953 paper was fairly simple and easily reproducible. But those who question the work have failed to produce experimental data after 1953 that would negate Macht’s study. If his 1953 procedures were fraught with error, a few simple experiments could be done to prove that. No such experimental data refuting Macht has been produced.

For these reasons, the findings of Dr. Macht aid in the defense of the Bible’s inspiration and remarkably accurate medical procedures as far back as the time of Moses. But the validity of Old Testament food consumption laws certainly does not rely solely on Macht’s 1953 research. Additional confirmation of the beneficial, protective nature of Mosaic food consumption laws is readily available.

Fins and Scales

As was previously mentioned, the Mosaic criteria for eating water-living creatures was that the creatures have scales and fins (Leviticus 11:12). This injunction was extremely beneficial, since a multitude of problems surround many sea creatures that do not have scales and fins.

The Blowfish

The blowfish has fins but does not have scales. Thus, it would not have been edible under the Old Testament laws—fortunately for the Israelites. The blowfish can contain toxin in its ovaries, liver, and other organs that is highly potent and deadly. This toxin, called tetrodotoxin, is thought to be “1250 times more deadly than cyanide” and 160,000 times more potent than cocaine. A tiny amount of it can kill 30 grown adults (Dilion, 2005). As odd as it sounds, blowfish is served as a delicacy all over the world, especially in Japan and other far eastern countries. As a delicacy, it is called fugu, and is prepared by certified, licensed chefs. The toxins can be removed successfully, making the food edible, but the procedure often goes awry. Some who have researched fugu say that it is a food connoisseur’s version of Russian roulette. Due to the extreme danger involved in eating fugu, it is illegal to serve it to the Emperor of Japan! The Mosaic instructions concerning edible fish would have helped the Israelites avoid the dangerous blowfish, as well as danger posed by eating other toxic sea creatures such as certain jelly fish, sea anemones, and octopi.

Shellfish

Although shellfish are edible today, there are inherent dangers in eating ill-prepared types such as oysters. The U.S. Food and Drug Administration has produced a twelve-page tract warning people about the dangers of eating raw or partially cooked oysters (“Carlos’ Tragic…,” 2003). In the tract, the FDA warns that some raw oysters contain the bacteria Vibrio vulnificus. In regard to this dangerous bacteria, the tract states:

Oysters are sometimes contaminated with the naturally occurring bacteria Vibrio vulnificus. Oysters contaminated with Vibrio vulnificus can’t be detected by smell or sight; they look like other oysters. Eating raw oysters containing Vibrio vulnificus is very dangerous for those with pre-existing medical conditions such as liver disease, diabetes, hepatitis, cancer and HIV…. 50 percent of people who are infected with Vibrio vulnificus as a result of eating raw contaminated oysters die (2003).

Eating oysters if they are not cooked properly can be potentially fatal, says the FDA. Thus, the wisdom of the Mosaic prohibition is evident to an honest observer. In a time when proper handling and preparation procedures were difficult to achieve, the best course of action simply would have been to avoid the risk of eating potentially contaminated foods, especially since the contamination cannot be detected by smell or sight.

Reptiles and Salmonella

In Leviticus 11, Moses included reptiles in the list of unclean animals. Obviously, they are not cud-chewers that walk on cloven hooves, so they would not classify as clean, edible animals according to Leviticus 11:3. But to make sure that the Israelites understood, Moses specifically mentioned reptiles such as the large lizard, gecko, monitor lizard, sand reptile, sand lizard, and chameleon (Leviticus 11:29-31). Immediately following this listing of reptiles, the text states: “Whoever touches them when they are dead shall be unclean until evening” (11:31).

Interestingly, reptiles have a much higher rate of carrying Salmonella bacteria than do most mammals, especially those listed as clean in the Old Law. The Center for Disease Control has repeatedly warned people about the possibility of being infected with Salmonella passed through reptiles. In summarizing the CDC’s 2003 report, Lianne McLeod noted that the CDC estimates over 70,000 cases of human Salmonella infection a year are related to the handling of reptiles and amphibians (2007). The CDC recommends that homes with children under five should not have reptiles as pets. Furthermore, while other animals such as cats and dogs can pass Salmonella, McLeod noted:

As high as 90% of reptiles are natural carriers of Salmonella bacteria, harboring strains specific to reptiles without any symptoms of disease in the reptile. While it is true that many pets can carry Salmonella, the problem with reptiles (and apparently amphibians) is that they carry Salmonella with such high frequency. It is prudent to assume that all reptiles and amphibians can be a potential source of Salmonella (2007, emp. added).

In light of such evidence, the prudence of the Mosaic prohibition to eat or handle reptile carcasses is clearly evident.

Of further interest is the fact that reptilian Salmonella contamination can occur without even touching a reptile. If a person touches something that has touched a reptile the bacteria can spread. The ARAV (Association of Reptilian and Amphibian Veterinarians) made this statement: “Salmonella bacteria are easily spread from reptiles to humans. Humans may become infected when they place their hands on objects, including food items, that have been in contact with the stool of reptiles, in their mouths” (“Salmonella Bacteria…,” 2007).

When this statement by the ARAV is compared with the injunctions in Leviticus 11:32-47, the astounding accuracy of the Old Testament regulation is again confirmed.

Anything on which any of them falls, when they are dead shall be unclean, whether it is any item of wood or clothing or skin or sack, whatever item it is, in which any work is done, it must be put in water. And it shall be unclean until evening; then it shall be clean. Any earthen vessel into which any of them falls you shall break; and whatever is in it shall be unclean: in such a vessel, any edible food upon which water falls becomes unclean, and any drink that may be drunk from it becomes unclean (Leviticus 11:32-34).

After reading Leviticus 11:32-34, it seems as though a microbiologist was present with Moses to explain the perfect procedures to avoid spreading Salmonella and other bacteria from reptiles to humans. How could Moses have accurately laid down such precise regulations that belie a superior understanding of bacteria? An honest reader must conclude that he had divine assistance.

Bats and Rabies

Moses specifically forbade the Israelites to eat bats (Leviticus 11:19). The wisdom of this instruction is demonstrated by the fact that bats often carry rabies. While it is true that many animals are susceptible to rabies, bats are especially so. The American College of Emergency Physicians documented that between 1992 and 2002, rabies passed from bats caused 24 of the 26 human deaths from rabies in the United States (“Human Rabies…,” 2002). In the Science Daily article describing this research, “Robert V. Gibbons, MD, MPH, of Walter Reed Army Institute of Research in Silver Spring, MD, reviewed the 24 cases of humans with bat rabies.” From his research, he advised “the public to seek emergency care for preventive treatment for rabies if direct contact with a bat occurs” (“Human Rabies…,” 2002). Moses’ instruction to avoid bats coincides perfectly with modern research. Once again, the super-human wisdom imparted through Moses by God cannot be denied by the conscientious student of the Old Testament. As the eminent archaeologist, W.F. Albright, in comparing the list of clean and unclean animals detailed in the Pentateuch, noted that in other ancient civilizations, “we find no classifications as logical as this in any of the elaborate cuneiform list of fauna or ritual taboos” (1968, p. 180).

Case in Point: Pork Consumption

One of the most well-known Old Testament food regulations is the prohibition of pork consumption (Leviticus 11:7). Under close scrutiny, this prohibition exemplifies the value of the biblical laws regarding clean and unclean animals. During the days of Moses, proper food preparation and cooking conditions did not always exist. In fact, the general knowledge of the need to separate certain uncooked foods, especially meats, during preparation from other foods was virtually non-existent. Certain meats, if contacted raw or under-cooked, have greater potential to carry parasites and other harmful bacteria that can infect the end consumer (in this case, humans).

Due to the fact that pigs are scavengers, and will eat practically anything, they often consume parasites and bacteria when they eat the carcasses of other dead animals. These parasites and bacteria can, and often do, take up residence in the pigs’ muscle tissue. Fully cooking the meat can kill these harmful organisms, but failure to cook the meat completely can cause numerous detrimental effects. R.K. Harrison listed several diseases or other health maladies that can occur due to the ingestion of improperly cooked pork. He noted that pigs often are the host of the tapeworm Taenia solium. Infection by this parasite can cause small tumors to arise throughout the body, including on the skin, eyes, and muscles. Furthermore, these tumors can affect the brain and cause epileptic convulsions. Additionally, humans can develop trichaniasis (trichinosis) infestation from eating undercooked, as well as tape worm known as Echiococcus granulosus from water polluted by pigs. Further, pigs can pass on the microorganisms that cause toxoplamosis, a disease affecting the nervous system (Harrison, 1982, p. 644).

Due to a much more exhaustive body of knowledge concerning parasites and pathogens, modern readers are increasingly attune to the dangers of consuming raw or undercooked pork. In fact, most pork bought in grocery stores contains nitrates and nitrites that have been injected into the meat to hinder the growth of harmful microorganisms. But Moses and the Israelites did not have access to such modern knowledge. How is it that the food regulations recorded by Moses over 3,000 years ago contain such an accurate understanding of disease control? Albright noted along these lines, “thanks to the dietary and hygienic regulations of Mosaic law…subsequent history has been marked by a tremendous advantage in this respect held by Jews over all other comparable ethnic and religious groups” (1968, p. 181).

Circumcision

In the book of Genesis, the text relates that God chose Abraham and his descendants to be a “special” people who were set apart from all other nations. The covenant that God made with Abraham included a physical “sign” that was to be implemented in all future generations of Abraham’s descendants. According to the text, God said:

He who is eight days old among you shall be circumcised, every male child in your generations, he who is born in your house or bought with money from any foreigner who is not your descendant. He who is born in your house and he who is bought with your money must be circumcised, and My covenant shall be in your flesh for an everlasting covenant. And the uncircumcised male child, who is not circumcised in the flesh of his foreskin, that person shall be cut off from his people; he has broken My covenant (Genesis 17:12-14).

Thus, the covenant with Abraham and his offspring was to be indelibly marked in the flesh of every male child.

The inclusion of this medical, surgical practice provides another excellent example of the medical acumen of the biblical text. Two significant aspects of biblical circumcision need to be noted. First, from what modern medicine has been able to gather, circumcision can lessen the chances of getting certain diseases and infections. Pediatrician, Dorothy Greenbaum noted in regard to the health benefits of circumcision: “Medically, circumcision is healthful because it substantially reduces the incidence of urinary tract infection in boys, especially those under one year of age. Some studies cited in the pediatric policy statement report 10 to 20 times more urinary tract infection in uncircumcised compared with circumcised boys.” She further noted that sexually transmitted diseases are passed more readily among men who have not been circumcised (2006). In addition, circumcision virtually eliminates the chance of penile cancer. In an article titled “Benefits of Circumcision,” the text stated: “Neonatal circumcision virtually abolishes the risk [of penile cancer—KB]” and “penile cancer occurs almost entirely in uncircumcised men” (Morris, 2006). [NOTE: Morris’ work is of particular interest due to the fact that it has an evolutionary bias and was in no way written to buttress belief in the biblical record.]

Not only can a litany of health benefits be amassed to encourage the practice of infant circumcision, but the day on which the biblical record commands the practice to be implemented is of extreme importance as well. The encyclopedic work Holt Pediatrics remains today one of the most influential works ever written about child care, pediatric disease, and other health concerns as they relate to children. First written in 1896 by L. Emmet Holt, Jr. and going through several revisions until the year 1953, the nearly 1,500-page work is a master compilation of the “modern” medicine of its day. One section, starting on page 125 of the twelfth edition, is titled “Hemorrhagic Disease of the Newborn.” The information included in the section details the occurrence of occasional spontaneous bleeding among newborns that can sometimes cause severe damage to major organs such as the brain, and even death. In the discussion pertaining to the reasons for such bleeding, the authors note that the excessive bleeding is primarily caused by a decreased level of prothrombin, which in turn is caused by insufficient levels of vitamin K. The text also notes that children’s susceptibility is “peculiar” (meaning “higher”) “between the second and fifth days of life” (1953, p. 126).

In chart form, Holt Pediatrics illustrates that the percent of available prothrombin in a newborn dips from about 90% of normal on its day of birth to about 35% on its third day of life outside the womb. After the third day, the available prothrombin begins to climb. By the eighth day of the child’s life, the available prothrombin level is approximately 110% of normal, about 20% higher than it was on the first day, and about 10% more than it will be during of the child’s life. Such data prove that the eighth day is the perfect day on which to perform a major surgery such as circumcision.

How did Moses know such detailed data about newborn hemorrhaging? Some have suggested that the early Hebrews carried out extensive observations on newborns to determine the perfect day for surgery. But such an idea has little merit. McMillen and Stern noted:

Modern medical textbooks sometimes suggest that the Hebrews conducted careful observations of bleeding tendencies. Yet what is the evidence? Severe bleeding occurs at most in only 1 out of 200 babies. Determining the safest day for circumcision would have required careful experiments, observing thousands of circumcisions. Could Abraham (a primitive, desert-dwelling nomad) have done that (2000, p. 84)?

In fact, such amazing medical accuracy cannot be accounted for on the basis of human ingenuity in the ancient world. If circumcision was the only example of such accuracy, and the Hebrew writings were laced with incorrect, detrimental medical prescriptions, such an explanation might be plausible. But the fact that the entire Old Testament contains medical practices that would still be useful in third world countries, without a hint of error in regard to a single prescription; divine oversight remains the only reasonable answer.

CONCLUSION

In reality, entire books could be written on the Old Testament’s amazing medical accuracy. Medical doctors McMillen and Stern have done just that in their extremely interesting volume None of These Diseases. Many physicians who have compared Moses’ medical instructions to effective modern methods have come to realize the astonishing value and insight of the Old Testament text. As Dr. Macht once wrote: “Every word in the Hebrew Scriptures is well chosen and carries valuable knowledge and deep significance” (Macht, 1953, p. 450). Such is certainly the case in regard to the medical practices listed in its pages. Indeed, the accurate medical practices prescribed thousands of years before their significance was completely understood provide excellent evidence for the divine inspiration of the Bible.

REFERENCES

Albright, W.F. (1968), Yahweh and the Gods of Canaan (Garden City, NY: Doubleday).

Bryan, Cyril (1930), Ancient Egyptian Medicine: The Papyrus Ebers (Chicago, IL: Ares Publishers).

“Carlos’ Tragic and Mysterious Illness: How Carlos Almost Died by Eating Contaminated Raw Oysters” (2003), U.S. Food and Drug Administration, [On-line], URL: http://www.cfsan.fda.gov/~acrobat/vvfoto.pdf.

Collins, Anne (2002), “What is Saturated Fat?” [On-line], URL: http://www.annecollins.com/dieting/saturated-fat.htm.

“The Death of George Washington, 1799,” (2001), EyeWitness to History, [On-line], URL: http://www.eyewitnesstohistory.com/washington.htm.

Dilion, Denise (2005), “Fugu: The Deadly Delicacy,” Welcome Magazine, [On-line], URL: http://www.welcome-moldova.com/articles/fugu.shtml.

Frey, Rebecca J. (no date), “Thuja,” [On-line], URL: http://health.enotes.com/alternative-medicine-encyclopedia/thuja.

Greenbaum, Dorothy (2006), “Say ‘Yes’ to Circumcision,” [On-line], URL: http://www.beliefnet.com/story/8/story_813_1.html.

Harrison, R.K. (1982), “Heal,” International Standard Bible Encyclopedia, ed. Geoffrey W. Bromiley (Grand Rapids, MI: Eerdmans), revised edition.

Herodotus, (1972 reprint), The Histories, trans. Aubrey De Sẻlincourt (London: Penguin).

“Historical Chronology of Significant Medical and Sanitary Engineering Discoveries” (no date), from Gerald Friedland and Meyer Friedman (1998), Medicine’s Ten Greatest Discoveries (New Haven, CT: Yale University Press), [On-line], URL: http://bridge.ecn.purdue.edu/~piwc/w3-history/discoveries/med-env-eng- discoveries.html.

Holt, L.E. and R. McIntosh (1953), Holt Pediatrics (New York: Appleton-Century-Crofts), twelfth edition.

“Human Rabies Often Caused by Undetected, Tiny Bat Bites” (2002), Science Daily, [On-line], URL: http://www.sciencedaily.com/releases/2002/05/020506074445.htm.

“Hyssop” (no date), [On-line], URL: http://www.taoherbfarm.com/herbs/herbs/hyssop.htm.

Lyons, Eric and A.P. Staff (2003), “Mosaic Authorship of the Pentateuch—Tried and TrueReason & Revelation, 23:1-7, January.

Macht, David I. (1953), “An Experimental Pharmacological Appreciation of Leviticus XI and Deuteronomy XIV,” Bulletin of the History of Medicine, 27[5]:444-450, September-October.

Massengill, S.E. (1943), A Sketch of Medicine and Pharmacy (Bristol, TN: S.E. Massengill).

McGrew, Roderick (1985), Encyclopedia of Medical History (London: Macmillan).

McLeod, Lianne (2007), “Salmonella and Reptiles,” [On-line], URL: http://exoticpets.about.com/cs/reptiles/a/reptsalmonella.htm.

McMillen, S.I. and David Stern (2000), None of These Diseases (Grand Rapids, MI: Revell), third edition.

Morris, Brian (2006), “Benefits of Circumcision,” [On-line], URL: http://www.circinfo.net/#why.

“New Dietary Guidelines from the American Heart Association,” (2000), [On-line], URL: http://healthlink.mcw.edu/article/972602194.html.

Nuland, Sherwin B. (2003), The Doctor’s Plague (New York, NY: Atlas Books).

“Salmonella Bacteria and Reptiles” (2007), ARAV, [On-line], URL: http://www.arav.org/SalmonellaOwner.htm.

“Soapmaking” (no date), [On-line], URL: http://www.itdg.org/docs/technical_information_service/ soapmaking.pdf.

“Spa Essential Oils” (2005), [On-line], URL: http://www.mysticthai.com/spa/essential_oil.asp.

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First Life: June 8, 2012

_______________

The very first life form on earth. What was it? What did it look like? When did it appear? How did it come to be? These are all very good questions. Questions which are usually answered with more imagination than actual science since we weren’t there to observe of course. But the biggest question has to be the “how.” It is the “how,” that plagues the scientist’s mind when it comes to the first life.

There are only two means by which the first life could have appeared: natural origins or supernatural origins. Natural origins means the life came from non-living chemicals. Supernatural origins means the life came from an Intelligent Designer, a Creator God. Now immediately science throws out supernatural origins because it is of course not natural, and therefore, in the minds of most scientists, not science. Yet science itself cannot seem to yield any satisfying answers to the origin of life on earth. If life came from non-life, this brings with it a wide variety of problems and dead ends.

The Environment Problem

As much as we understand this planet to be hospitable for life, it is only hospitable for life fitted to live on it. For example, oxygen and water are required for life to exist, but are also detrimental to the internal components of an organism.

Let us take oxygen for example: It is a poisonous gas that oxidizes organic material.[1] The only way organisms can tolerate it is because they are already capable of tolerating it, with membranes that protect oxygen from damaging internal components of the cell. Therefore there is no way the organisms could have evolved from non-living material unless protective membranes were already present to protect the vulnerable internal organelles from oxidization. What are the odds that the first life form ever just so happened to have a protective membrane already in place?

Some evolutionists argue that this is not a problem because it assumes oxygen was not present in the early atmosphere of earth, and therefore not a threat. But the evidence does not support this claim. Even earth’s oldest rocks contain evidence of formation in an oxygen rich atmosphere.[2] Atmospheric physicists believe the earth has been fully oxidized for at least 4 billion years.[3] A fairly recent article published on crystals dated to 4.4 billion years ago show heavy evidence of oxidation.[4] Additionally, oxygen is needed for life as protection from harmful UV rays which we have via from the ozone layer, which is made out of oxygen![5] If there was no oxygen UV rays would eradicate all early life forms. Biochemist and molecular biologist Michael Denton writes, “What we have is sort of a ‘Catch 22’ situation. If we have oxygen we have no organic compounds, but if we don’t have oxygen we have none either.”[6]

To get around this concern of oxidization, scientists propose life formulated in the oceans and therefore was not subjected to oxygen initially. But just as with oxygen, water is hazardous to life as well. Organic molecules would be destroyed through the process of hydrolysis (also called “water splitting”) in which water bonds between two molecules causing them to split apart.[7] Any amino acid trying to form a protein would have its bond broken in a short matter of time. The US National Academy of Sciences confirms, “In water, the assembly of nucleosides from component sugars and nucleobases, the assembly of nucleotides from nucleosides and phosphate, and the assembly of oligonucleotides from nucleotides are all thermodynamically uphill in water. Two amino acids do not spontaneously join in water. Rather, the opposite reaction is thermodynamically favored at any plausible concentrations: polypeptide chains spontaneously hydrolyze in water, yielding their constituent amino acids.”[8] Physicist Richard Morris concurs, “… water tends to break chains of amino acids. If any proteins had formed in the ocean 3.5 billion years ago, they would have quickly disintegrated.”[9] Thus, the first life form would have needed a protective membrane already in place to protect it from oxygen and water. Yet, where did this membrane come from?

Additionally, the cytoplasm of living cells contain essential minerals of potassium, zinc, manganese and phosphate ions. If cells manifested naturally, these minerals would need to be present nearby. But marine environments do not have widespread concentrations of these minerals.[10] This has lead researchers to propose that life originated not in oceans, and not in locations exposed to oxygen, but instead in geothermal pools, geysers and mudpools, much like the primordial soup Darwin proposed. Yet all these geothermal features have one thing in common: They are incredibly acidic.[11] They also tend to be very hot, which would destroy many vital amino acids.[12] How did the cell develop protection from this acidity and from this heat? Without such protection initially it could have never come together.

Some speculate that natural selection of non-living chemicals provided such protective features. This is, however, a common error some scientists make in this arena when they propose natural selection occurred for these protective systems to be in place. As Chemist Dr. Jonathan Sarfati points out, “…when it comes to the origin of first life, natural selection cannot be invoked, because natural selection is differential reproduction. That is, if it worked at all, it could only work on a living organism that could produce offspring. By its very definition, it could not work on non-living chemicals. Therefore, chance alone must produce the precise sequences needed, so these simulations do not apply.”[13]

A significant problem with proposing life arose spontaneously via natural means is that in order to do so, the components of the cell would have to be naturally nearby. In other words, the cell’s chemical makeup would have to be harmonious with the environment’s chemical make up. UniversityCollegeof Londonbiochemist Nick Lanepoints out the problem with this, “To suggest that the ionic composition of primordial cells should reflect the composition of the oceans is to suggest that cells are in equilibrium with their medium, which is close to saying that they are not alive. Cells require dynamic disequilibrium — that is what being alive is all about.”[14] This is a tough fact to accept, but undoubtedly true. How could the first life form have naturally manifested via chemical means with a chemical make up so different and unique from the environment it is within?

The Homochirality Problem

Moving forward brings forth a new set of problems when amino acids are discussed. Often amino acids are discovered in locations where it is suggested they are naturally produced (like being found in meteorites). When this happens there is usually a hype of excitement over uncovering the source of the origin of life via natural means. But simply having amino acids around doesn’t solve the origin of life problem. There is an issue of handedness with amino acids. Out of the twenty amino acids used for life, the atoms that build them formulate two different shapes; right handed and left-handed amino acids. Just like a human hand, they’re slightly different. Your thumb is on the left side on one hand, but on the right side on the other. Amino acids are likewise mirror images of each other and are therefore called chiral.

But this creates a problem. Just like hands clasping together, right and left handed amino acids want to bond, canceling each other out. Yet, the amino acids found in proteins are 100% left handed, where as right handed amino acids are never found in proteins![15] Research indicates that right handed amino acids could never form a functioning protein. The fact that only left handed amino acids can create life is called homochirality. Yet any natural process of creating amino acids would create and equal amount of both left handed and right handed amino acids called racemates.[16]

 

One of the most influential chemist/biochemists of the 20th century, Linus Pauling, writes, “This is a very puzzling fact… All the proteins that have been investigated, obtained from animals and from plants from higher organisms and from very simple  organisms- bacteria, molds, even viruses- are found to have been made of L-amino acids.”[17] This is puzzling of course because what natural process only produces one type of amino acid, and not the other amino acid detrimental to life? The late Robert Shapiro, professor emeritus of chemistry at New York University writes, “The reason for this choice [only L-amino acids] is again a mystery, and a subject of continued dispute.”[18] Biochemist and head of the Department of Nuclear Medicine and Director of Clinical Research at the Singapore General Hospital, Dr. Aw Swee-Eng, is more direct on the subject, “The logical conclusion from these considerations is a simple and parsimonious one, that homochirality and life came together. But evolutionary lore forbids such a notion. It claims to explain how life began, but on the profound issue of life’s “handedness” there is no selective mechanism that it can plausibly endorse.”[19]

The Concept of Information

One factor that is sometimes left out in origin of life talks, that is in my opinion, critical, is the concept of information. All living organisms contain within their DNA information, and not just a little, but a lot! Former physics professor and director of information processing at the Instituteof Physicsand Technology in Braunschweig Germany, Dr. Werner Gitt, writes, “The highest known (statistical) information density is obtained in living cells, exceeding by far the best achievements of highly integrated storage densities in computer systems.”[20] This information leads to highly efficient bio-machinery in our cells that complete a vast array of functions. Every biological function that occurs can be traced back to proteins from genes from reading and transcribing RNA that receives the instructions from the information stored in DNA. It doesn’t simply just happen. It is an immensely complex, sophisticated and detailed process occurring non-stop and very rapidly. In fact, the average cell produces a protein through these processes every four minutes.[21]

Any theory or hypothesis to how life originated naturally must take the source of this information into account. Yet, none can be found. Gitt writes, “There is no known law of nature, no known process and no known sequence of events which can cause information to originate by itself in matter.”[22] Biologist Dr. Raymond Bohlin writes, “DNA is information code… The overwhelming conclusion is that information does not and cannot arise spontaneously by mechanistic processes. Intelligence is a necessity in the origin of any informational code, including the genetic code, no matter how much time is given.”[23] Philosopher of Science and founder of the Discovery Institute, Dr. Stephen Meyer, writes, “Our uniform experience affirms that specified information-whether inscribed hieroglyphics, written in a book, encoded in a radio signal, or produced in a simulation experiment-always arises from an intelligent source, from a mind and not a strictly material process.”[24]

Thus, we are left with no natural method or process by which non-living chemicals can produce the informational code found in every life form that as ever existed. Biologist, Chemist and Physiologist Dr. Gary Parker writes, “Imagine that you have just finished reading a fabulous novel. Wanting to read another book like it, you exclaim to a friend, ‘Wow! That was quite a book. I wonder where I can get a bottle of that ink?’ Of course not! You wouldn’t give the ink and paper credit for writing the book. You’d praise the author, and look for another book by the same writer. By some twist of logic, though, many who read the fabulous DNA script want to give credit to the ‘ink (DNA base code) and paper (proteins)’ for composing the code.”[25]

Not Enough Time

With all things considered, many scientists try to jettison out the first life dilemma with the “time” argument. The argument being that given enough time anything can happen! Even the impossible…

The late Nobel prize winning scientist George Wald once wrote, “However improbable we regard this event [evolution], or any of the steps which it involves, given enough time it will almost certainly happen at least once… Time is in fact the hero of the plot… Given so much time, the ‘impossible’ becomes possible, the possible probable, the probable virtually certain. One has only to wait; time itself performs the miracles.”[26]

Now let us logically think about this. Given enough time, anything is possible? First, I feel pressed to point out that there is something irrational in saying that because something is possible, it will occur. Or anything that can happen,will happen. It is possible that in flipping a coin every minute for fifty years you will get heads every time and never tails… but that doesn’t mean it will happen if you tried. Regardless, the notion that given enough time anything can happen is hardly scientific in my opinion, because it flies in the face of observational science. For example, the Law of Biogenesis which firmly points out that life has only been observed coming from existing life, never from non-life. There is also cell theory, which states that cells arise from pre-existing cells. Regardless of the amount of time tacked onto the issue, the law cannot change, and the dimension of time has no characteristic capable of changing this law.

Let us take for example a chair placed in a room. The chair remains in the room for one hundred years, then a thousand years, and eventually billions of years. At any point would that chair become organic or “living” in anyway? Of course not. It would remain just a chair forever. Why? Because there is nothing inherent in non-living molecules that drive them to arrange themselves into living structures. If there were, they’d be doing so to this day at an observable rate. Such is not the case. Life comes from life, and non-life remains non-life everyday.

Another flaw in this argument is the amount of time in question. Such statements like Wald’s seem to have at least a small degree of plausibility in perhaps an infinite time scenario, but time is not infinite. It definitely had a starting point. A starting point which conventional scientists place at 12 to 14 billion years ago. That is a major constraint on how long time is allowed to work its magic. Cosmologist Dr. Hugh Ross writes, “When it comes to the origin of life, many biologists (and others) have typically assumed that plenty of time is available for natural processes to perform the necessary assembly. But discoveries about the universe and the solar system have shattered that assumption. What we see now is that life must have originated on earth quickly.”[27]

This constraint worsens though because conventional geology and biology places the first life forming 3.5 billion years ago, and the earth is only supposedly 4.5 billion years old. So from a naturalist’s or uniformitarian’s point of view there was a billion years from the time earth was formed to the first fossil evidence of life, from which life is said to have manifested. A billion years is a significant time constraint.

Yet, the time constraint worsens further. From a conventional scientist’s perspective adhering to the nebular hypothesis of sun and planet formation, time is further restricted. The first millions of years would have been one of intense meteorite bombardment of earth as the solar system was forming. These intense meteorite bombardments would have eradicated any chance of life forming on earth. By the time these impacts are calculated to have ceased and the time of the first life forms appearing in the fossil record we’re left with a 10 million year gap.[28] That is an enormous time constraint. Additionally, some scientists propose this time frame was shorter because of the “faint sun paradox.” Namely, that the sun was 20 to 30% less luminous when it first existed, creating a very cold inhospitable world.[29] This makes it difficult to apply Ward’s philosophy of an abundance of time making the impossible possible because there is, for lack of a better phrase, hardly any time at all…

In fact, Nobel Prize winning cytologist and biochemist Christian de Duve states, “It is now generally agreed that if life arose spontaneously by natural processes—a necessary assumption if we wish to remain within the realm of science—it must have arisen fairly quickly, more in a matter of millennia or centuries, perhaps even less.”[30] So much for having all the time in the world.

Lastly, I do feel it is necessary to point out the entropy dilemma when it comes to time. The more time that elapses the higher the entropy, so if anything more time doesn’t make anything possible, but in fact, decreases the potential of anything to happen. As biochemist Dr. Royal Truman writes, “The claim that, with time, anything is possible, including the creation and perpetuation of life, is not based on any scientific principle. Rather, the opposite is true: complex and improbable structures of any kind tend to disintegrate over time.”[31] Sarfati agrees, “Long time periods do not help the evolutionary theory if biochemicals are destroyed faster than they are formed.”[32]

Panspermia; DNA astronauts

The difficulty with life spontaneously arising via chemical means is such a problematic concept that it lead Nobel Prize winner and DNA founder Francis Crick to instead postulate that life originated someplace else and traveled to earth via meteorite or space craft.[33] He admits, correctly, that this does not solve the origin of life problem, but merely pushes it back to another location, but that is precisely the point. He proposes that another life bearing planet may have had a slightly different environment more hospitable for the natural chemical means for life to originate.[34] This theory relies on the hypothetical existence of other such life bearing planets to which there is no scientific evidence of, period.

There is additionally a whole host of other problems with Panspermia. How do living cells survive an arduously long space flight on a meteorite? Let us not forget how far away the nearest star is much less the nearest hypothetical life bearing planet. Think of how difficult it would be to create and engineer a capsule to keep living cells alive for thousands of years of space flight, yet a random natural meteorite is capable of doing the job? DNA would have succumb to radiation exposure over such a long period of time in space flight. How did the DNA withstand the lethal radiation? So, these same cells that defied death in thousands (if not millions) of years of freezing space exposed to lethal radiation then somehow survived a scorching hot entry into earth’s atmosphere to reproduce on earth’s surface? As chemist Russell Grigg puts it, “All in all, interstellar space travel for living organisms is sheer wishful thinking.”[35]

What about contamination? Many of the meteorites found on earth claimed to have evidence of microbial life could just have easily had been contaminated with microbial life after they landed. Contamination is the number one reason why all these claims have been rejected actually.

To get around these concerns, many scientists instead believe meteorites and comets didn’t have life per se, but had the building blocks of life on them. But this circles back around to the original reason why panspermia was imagined in the first place. The building blocks of life were already present on earth. Adding more to the mix via meteorites doesn’t in anyway increase the likelihood of life arising via chemical means anyways. Ross brings up another good point, “Though comets, meteorites partly composed of carbon, and interplanetary dust particles may carry some prebiotics, they carry far too few to make a difference. In fact, with every helpful molecule they bring, come several more that would get in the way- useless molecules that would substitute for the needed ones.”[36] Life developing from nonliving chemicals is hard enough to prove, but suggesting life was seeded by meteorites from hypothetical life elsewhere in the universe is flat out impossible to prove. Yet, likewise, impossible to disprove… and so many cling to this notion to avoid a supernatural cause.

From Bolts to Boeing 747s

Many scientists additionally fail to properly distinguish the building blocks of life and living organisms themselves. Parker writes, “The pyramids are made of stone, but studying the stone does not even begin to explain how the pyramids were built. Similarly, until evolutionists begin to explain the origin of the ‘orderly mechanism,’ they have not evenbegun to talk about the origin of life.”[37]Just as there is a huge void between the bolts and small parts of a 747 to them actually all being carefully assembled into a fully functioning 747, likewise, the simple building blocks of life are organized in an immensely complex way in even the most primitive of organisms.

Hoyle writes of this airplane analogy, “What are the chances that a tornado might blow through a junkyard containing all the parts of a 747, accidentally assemble them into a plane, and leave it ready for take off? The possibilities are so small as to be negligible even if a tornado were to blow through enough junkyards t fill the whole universe!”[38]Botanist Alexander Williams states, “There is an unbridgeable abyss below the autopoietic hierarchy, between the dirty, mass-action chemistry of the natural environment and the perfect purity, the single-molecule precision, the structural specificity, and the inversely causal integration, regulation, repair, maintenance and differential reproduction of life.”[39]

According to molecular biophysicist Harold Morowitz If you were to take a living cell, break every chemical bond within it so that all you are left with is the raw molecular ingredients, the odds of them all reassembling back into a cell (under ideal natural conditions) is one chance in 10100,000,000,000.[40] Additionally, Morowitz assumed all amino acids were bioactive when calculating these odds.[41] But only twenty different types of amino acids are bioactive, and of those, only left handed ones can be used for life. This further worsens the odds… And with odds like that, time is completely irrelevant because no amount of time could surpass before such an impossible miracle occurred naturally.

Non-theists counter argue that life was not necessarily as complex in the beginning as it is today. Therefore, the odds of a less complex form of life spontaneously assembling are much more probable. The problem with this counter argument is that the earth 3.5 billion years ago was supposedly hardly different at all (environment and atmosphere-wise) than earth today. Meaning the bare necessities required for life to exist on earth today were the same in the past, which is that of great complexity. Additionally minimum complexity presents its own problems in that minimally complex organisms require other larger organisms to survive and are not capable of surviving individually. Thus the first life and its subsequent offspring would have had to have been able to survive independently which requires sophisticated biological features.

Astronomer Michael Hart calculated the odds of DNA spontaneously generating with 100 specific genes (what he declared to be the minimum possible for life) in the most unrealistic yet optimistic conditions over the course of ten billion years. The odds? One in ten to the negative three thousandth power (10-3,000).[42] The time it would take for 200,000 amino acids to come together by chance to create one human cell would be 293.5 times the estimated age of earth of 4.6 billion years.[43] The Director of Physics and Astronomy at the University of Delaware, Dermott Mullan, calculates that the odds of RNA assembling into a primitive cell over the course of an optimistic 1 billion years is one in 1079.[44] Material scientist Dr. Walter Bradley and Chemist Dr. Charles Thaxton calculated that the probability of amino acids forming just one protein is 4.9 x 10-191.[45] The odds of amino acids coincidentally being in the precise order and folds required to make the all the enzymes required for life is 10-650.[46] These are all horrible odds for a natural origin of life. Then consider that these statistics are independent of each other; the DNA would have to spontaneously generate, amino acids randomly together to form proteins in a cell, RNA assembling into a cell, etc. It is hard to accept with these odds, that anything that can happen did happen.

The Reproduction Puzzle

The late philosopher Anthony Flew, an ex-atheist, spoke of many of the philosophical troubles he had with the natural origins for life. One of which that was of great concern was reproduction. Life evolving from non-life is already such a statistical impossibility, but if it did happen, this first life would have to be able to reproduce and replicate itself. Information encoded DNA capable of driving life derived from non-living chemicals is already an absurd concept, but to contain information for replication and overall reproduction is astounding. This is from a philosophical standpoint, perplexing. It is too perfect and too coincidental that the very first life, already an impossibility, just so happened to also be able to duplicate itself. Such ability has “design” written all over it, not “chance.”

Error Protection

Even the most primitive cells today have multiple checkpoints in place to protect against errors. Cells have DNA checkpoints, where cell function momentarily pauses for special proteins to repair damaged DNA. There is an apoptosis checkpoint right before mitosis begins where specialized proteins called survivins run a “diagnostics” to determine whether the cell will proceed with mitosis or die through apoptosis. A spindle assembly checkpoint ensures chromosomes are properly bound together. Telomeres burn like fuses every time a cell divides. Once a telomere becomes too short, the cell stops dividing, usually maxing out at fifty divides.[47]  This feature controls cell division. Failure for these mentioned checkpoints to operate leads to a whole host of diseases, most notably cancers.[48]

So how did the first cell protect against errors when it reproduced? Such a capability could not have evolved, because such a capability would have been needed right from the very beginning. Without such a feature, all subsequent life would contain error-prone genetics and would not be able to function or reproduce. Mullan, points out, “A cell formed under these conditions [naturally] would truly be subject to serious uncertainties not only during day to day existence but especially during replication. The cell could hardly be considered robust.”[49] In order to maintain healthy function and reproduction, the first cell would have already needed these specialized checkpoints to guard against errors. The cells could not afford to wait thousands or millions of years for them to evolve. If they did, we wouldn’t be here.

Simultaneous Presence

In order to have fully functioning life at even the most basic kind, functioning RNA, DNA and proteins must be present. Remove any one of these from the picture and life can’t function. For example, transcription, translation and DNA replication all require systems already in place to occur. These functions could not simply have evolved because life requires them in place to begin with. As Ross states, “Thus, for life to originate mechanically, all three kinds of molecules [DNA, RNA, and proteins] would need to emerge spontaneously and simultaneously from organic compounds. Even the most optimistic of researchers agree that the chance appearance of these incredibly complex molecules at exactly the same time and place was beyond the realm of natural possibility.”[50]

Though biologists point out that some RNA has been found to act as enzymes or catalysts to perform functions that DNA or a protein would normally do, this has lead many scientists to propose that all one needs is the spontaneous generation of RNA, and it would take care of the rest. Problems with this theory is that the RNA studied to reveal these abilities was very limited, and could not account for the vast functioning seen in DNA and proteins overall. Furthermore, in order for RNA to function this way it would have to contain just as much information as the DNA and protein itself, so the issue of complexity in even the earliest life isn’t solved with RNA either. Molecular Biologist and professor at the Scripps Research Institute, Dr. Gerald F. Joyce writes, “The most reasonable interpretation is that life did not start with RNA … The transition to an RNA world, like the origins of life in general, is fraught with uncertainty and is plagued by a lack of relevant experimental data. Researchers into the origins of life have grown accustomed to the level of frustration in these problems …”[51]

Conclusion

Biologist Jonathan Wells just about sums it up, “So we remain profoundly ignorant of how life originated.”[52] Earth Scientist Casey Luskin writes, “It’s time for a little reality check here: origin-of-life theorists need to explain how a myriad of complex proteins and features arose and self-assembled into a self-replicating life-form by unguided processes, but they are still scraping for mechanisms to explain how an inert primordial soup of organic molecules could have arisen in the first place.”[53] Hoyle writes, “If there were some deep principle that drove organic systems towards living systems, the operation of the principle should easily be demonstratable in a test tube in half a morning. Needless to say, no such demonstration has ever been given. Nothing happens when organic materials are subjected to the usual prescription of showers of electrical sparks or drenched in ultraviolet light, except the eventual production of a tarry sludge,” and “As biochemists discover more and more about the awesome complexity of live, it is apparent that its chances of originating by accident are so minute that they can be completely ruled out. Life cannot have arisen by chance.”[54] Physicist and Information Theorist Dr. Hubet Yockey writes, “The origin of life by chance in a primeval soup is impossible in probability in the same way that a perpetual machine is in probability. The extremely small probabilities calculated… are not discouraging to true believers . . . [however] A practical person must conclude that life didn’t happen by chance.”[55]

Yockey then goes further to add, “The history of science shows that a paradigm, once it has achieved the status of acceptance (and is incorporated in textbooks) and regardless of its failures, is declared invalid only when a new paradigm is available to replace it. Nevertheless, in order to make progress in science, it is necessary to clear the decks, so to speak, of failed paradigms. This must be done even if this leaves the decks entirely clear and no paradigms survive. It is a characteristic of the true believer in religion, philosophy and ideology that he must have a set of beliefs, come what may… Belief in a primeval soup on the grounds that no other paradigm is available is an example of the logical fallacy of the false alternative. In science it is a virtue to acknowledge ignorance. This has been universally the case in the history of science… There is no reason that this should be different in the research on the origin of life.”[56] Biochemist and head of the Department of Nuclear Medicine and Director of Clinical Research at the Singapore General Hospital, Dr. Aw Swee-Eng, concludes, “The available evidence from the field and the laboratory is not amicable to the theory that life began with the accidental assembly of a self-replicating molecule.”[57]

As it has been clearly demonstrated, there are a wide variety of blockades standing in the way of a natural origins answer for the first life, and no definitive solution has been reached nor can be confidently expected to be reached in the future. Yet, the other option, supernatural origins, is not subject to such obstacles. In fact, every problem a natural origin faces can be satisfactorily answered via supernatural origins. Though many scientists will not appeal to super natural intervention on the grounds that it is not science, and merely a “cut and run” for those who are too impatient to wait for future researchers to provide an adequate natural origins argument.

In response to that notion, Denton answers, “The almost irresistible force of the analogy has completely undermined the complacent assumption, prevalent in biological circles over most of the past century, that the design hypothesis can be excluded on the grounds that the notion is fundamentally a metaphysical a priori concept and therefore scientifically unsound. On the contrary, the inference to design is a purely a posteriori induction based on a ruthlessly consistent application of the logic of analogy. The conclusion may have religious implications, but it does not depend on religious presuppositions.”[58] Therefore, adhering to supernatural cause through rational deduction with proper observational science as support cannot be considered unscientific. Additionally, such a conclusion should not be considered a “cut and run” if the problems faced by natural origins can never be solved via natural means. What discovery (or discoveries) could solve the information, reproduction, environment, homochirality problems?

Physicist H. S. Lipson writes, “If living matter is not, then, caused by the interplay of atoms, natural forces, and radiation [i.e., time, chance, and chemistry], how has it come into being? I think, however, that we must go further than this and admit that the only acceptable explanation is creation.”[59] Parker writes, “In a novel, the ink and paper are merely the means the author uses to express his or her thoughts. In the genetic code, the DNA bases and proteins are merely the means God uses to express His thoughts. The real credit for the message in a novel goes to the author, not the ink and paper, and the real credit for the genetic message in DNA goes to the Author of Life, the Creator…”[60] Medical pathologist David Demick, M.D., concludes, “Thousands of experiments, and all of the recently gained knowledge of molecular biology and genetics, have only served to strengthen the most fundamental law of biology, laid down by Virchow over a century ago: ‘omni cellules e cellules’ (all cells come from other cells), also known as the Law of Biogenesis. Life only comes from life. This was the law established by the Author of Life, Who is the Way, the Truth, and the Life—Jesus Christ.”[61] Griggs concludes, “Life is bristling with machinery, codes and programs, which are not an inherent property of the material substrate (the information for their construction having been passed on during reproduction). No observation has ever shown such information-bearing structures arising spontaneously. The obvious inference from science, as well as the obvious implications of Scripture, is that the original creation of living things involved the very opposite of chance, namely, the imposition of external intelligence on to matter by an original Designer or Creator.”[62]

So we’re left with a choice. Supernatural or natural? One answers all these problems, the other does not. You can hold out for a natural answer if you wish, but I would rather side with a sure thing. Logically, an Intelligent Designer, a God, is in my opinion, the only rational explanation behind the first life.


[1] Ward, P. & Brownlee, D., (2000) Rare Earth, Copernicus:New York,NY, pp. 245.

[2] Clemmey, H. & Badham, N., (1982) “Oxygen in the Atmosphere: An Evaluation of the Geological Evidence,”Geology, 10:141.

[3] Thaxton, C.B., Bradley, W.L., & Olsen, R.L., (1984) The Mystery of Life’s Origin: Reassessing Current Theories,Philosophical Library:New York,NY, pp. 69-98.

[4] Trail, D., Watson, B.E., & Tailby, N.D., (December 2011) “The Oxidation State of Hadean Magmas and Implications for Earth’s Early Atmosphere,” Nature, 480: pp. 79-82.

[5] Riddle, M., (2008) “Can Natural Processes Explain the Origin of Life?” as written in Ken Ham’s The New Answers Book 3, Master Books:Green Forest,AR, pp. 66.

[6] Denton, M., (1985) Evolution: A Theory in Crisis, Alder & Alder:Bethesda,MD, pp. 261.

[7] Riddle, M., (2008) “Can Natural Processes Explain the Origin of Life?” as written in Ken Ham’s The New Answers Book 3, Master Books:Green Forest,AR, pp. 66.

[8] As quoted in Casey Luskin’s “More News Sources Admit the ‘Mystery’ of Life’s Origin,” (February 2012)http://www.evolutionnews.org

[9] Morris, R., (2002) The Big Questions, Times Books/Henry Holt:New York,NY, pp. 167.

[10] Switek, B., (February 2012) “Debate Bubbles Over the Origin of Life,” http://www.nature.com

[11] Switek, B., (February 2012) “Debate Bubbles Over the Origin of Life,” http://www.nature.com

[12] Sarfati, J., “15 Loopholes in the Evolutionary Theory of the Origin of Life,” creation.com

[13] Sarfati, J., (2002) Refuting Evolution 2, Master Books:Green Forest,AR, pp. 157.

[14] As quoted in Brian Switek’s  “Debate Bubbles Over the Origin of Life,” (February 2012) http://www.nature.com

[15] Riddle, M., (2008) “Can Natural Processes Explain the Origin of Life?” as written in Ken Ham’s The New Answers Book 3, Master Books:Green Forest,AR, pp. 67.

[16] Ashton, J., (2000) In Six Days, Master Books:Green Forest,AR, pp. 82.

[17] Pauling, L., (1970) General Chemistry, 3rd Ed., W.H. Freeman & Co.:San Francisco,CA, pp. 774.

[18] Shapiro, R., (1986) Origins: A Skeptic’s Guide to the Creation of Life on Earth, Summit Books:New York,NY, pp. 86.

[19] Swee-Eng, A., “The Origin of Life; a Critique of Current Scientific Models,” creation.com

[20] Gitt, W., “Dazzling Design in Miniture: DNA Information Storage,” creation.com

[21] Parker, G., (January 1994) “The Origin of Life: DNA and Protein,” http://www.answersingenesis.org

[22] Gitt, W., (2006) In The Beginning Was Information, Master Books:Green Forest,AR.

[23] Lester, L. & Bohlin, R., (1989) The Natural Limits To Biological Change, Probe Books:Dallas,TX, pp. 157.

[24] Meyer, S., (2009) Signature in the Cell, Harper Collins:New York,NY, pp. 347

[25] Parker, G., (January 1994) “The Origin of Life: DNA and Protein,” http://www.answersingenesis.org

[26] Wald, G., (1954) “The Origin of Life,” Scientific American, 191 no. 2:48.

[27] Ross, H., (1994) The Creator and the Cosmos, Navpress:Colorado Springs,CO, pp. 137.

[28] Ross, H., (1994) The Creator and the Cosmos, Navpress:Colorado Springs,CO, pp. 138.

[29] Mullan, D., “Probabilities of Randomly Assembling a Primitive Cell on Earth,” http://www.iscid.org

[30] Duve, C., (September-October 1995) “The Beginnings of Life on Earth,” American Scientist, pp. 428.

[31] Truman, R., (December 2001) “The Fish in the Bathtub,” Creation

[32] Sarfati, J., “15 Loopholes in the Evolutionary Theory of the Origin of Life,” creation.com

[33] Morris, J.D., “How Did Life Originate?” http://www.icr.org

[34] Crick, F., (October 1981) “The Seeds of Life,” Discover Magazine

[35] Grigg, R., (September 2000) “Did Life Come to Earth From Outerspace?” Creation, 22:(4), pp. 42

[36] Ross, H., (1994) The Creator and the Cosmos, Navpress:Colorado Springs,CO, pp. 138-139.

[37] Parker, G., (January 1994) “The Origin of Life: DNA and Protein,” http://www.answersingenesis.org

[38] As quoted in Paul E. Little’s Know Why You Believe, 4th Ed., InterVarsity Press:Downers Grove,IL, pp. 26.

[39] Williams, A., (August 2007) “Life’s Irreducible Structure- Part 1: Autopoiesis,” Journal of Creation, 21:(2) pp. 115.

[40] Shapiro, R. (1986) Origins: A Skeptic’s Guide to the Creation of Life on Earth, Summit Books:New York,NY, pp. 128.

[41] Ross, H., (1994) The Creator and the Cosmos, Navpress:Colorado Springs,CO, pp. 141.

[42] Hart, M. H. (1990) “Atmospheric Evolution, the Drake Equation, and DNA: Sparse Life in an Infinite Universe,”Physical Cosmology and Philosophy, MacMillan:New York,NY, pp. 264.

[43] Little, P.E., (2000) Know Why You Believe, 4th Ed.,InterVarsity Press:Downers Grove,IL, pp. 26.

[44] Mullan, D., “Probabilities of Randomly Assembling a Primitive Cell on Earth,” http://www.iscid.org

[45] Thaxton, C., Bradley, W., & Olsen, R., (1984) The Mystery of Life’s Origins: Reassessing Current Theories,Philosophical Library:New York,NY, pp. 80.

[46] Sarfati, J., “15 Loopholes in the Evolutionary Theory of the Origin of Life,” creation.com

[47] Lewis, R., (2008) Human Genetics; Concepts and Applications, 8th Ed., McGraw Hill:New York,NY, Pp. 30-31.

[48] Lewis, R., (2008) Human Genetics; Concepts and Applications, 8th Ed., McGraw Hill:New York,NY, Pp. 355.

[49] Mullan, D., “Probabilities of Randomly Assembling a Primitive Cell on Earth,” http://www.iscid.org

[50] Ross, H., (1994) The Creator and the Cosmos, Navpress:Colorado Springs,CO, pp. 142.

[51] Joyce, G.F.,  (1989) “RNA Evolution and the Origins of Life,” Nature 338: pp. 222-223

[52] Wells, J., (2000) Icons of Evolution, Regnery Publishing:WashingtonD.C., pp. 24.

[53] Luskin, C., (February 2012) “More News Sources Admit the ‘Mystery’ of Life’s Origin,”http://www.evolutionnews.org

[54] Hoyle, F., (1983) The Intelligent Universe, Michael Joseph:London, pp. 251.

[55] Yockey, H.P., (1992) Information Theory and Molecular Biology, CambridgeUniversity Press:UK, pp. 257.

[56] Yockey, H.P., (1992) Information Theory and Molecular Biology, CambridgeUniversity Press:UK, pp. 336.

[57] Swee-Eng, A., “The Origin of Life; a Critique of Current Scientific Models,” creation.com

[58] Denton, M., (1986) Evolution: A Theory in Crisis,3rd Ed., Alder & Alder, pp. 341.

[59] Lipson, H. S., (May 1980) “A Physicist Looks at Evolution,” Physics Bulletin, pp. 138.

[60] Parker, G., (January 1994) “The Origin of Life: DNA and Protein,” http://www.answersingenesis.org

[61] Demick, D., (December 2000) “Life From Non-Life… or Not?” Creation 23:1 pp. 41.

[62] Grigg, R., (December 1990) “Could Monkeys Type the 23rd Psalm?” Creation 13:1 pp. 34

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A Scientific History and Philosophical Defense of the Theory of Intelligent Design by Stephen C. Meyer, Senior Fellow, Discovery Institute; ©October 7, 2008

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A Scientific History and Philosophical Defense of the Theory of Intelligent Design

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By: Stephen C. Meyer, Senior Fellow, Discovery Institute; ©October 7, 2008
What is this theory of intelligent design, and where did it come from? And why does it arouse such passion and inspire such apparently determined efforts to suppress it?

Contents

The Current Landscape

In December of 2004, the renowned British philosopher Antony Flew made worldwide news when he repudiated a lifelong commitment to atheism, citing, among other factors, evi­dence of intelligent design in the DNA molecule. In that same month, the American Civil Lib­erties Union filed suit to prevent a Dover, Pennsylvania school district from informing its stu­dents that they could learn about the theory of intelligent design from a supplementary science textbook in their school library. The following February, The Wall Street Journal (Klinghoffer 2005) reported that an evolutionary biologist at the Smithsonian Institution with two doctor­ates had been punished for publishing a peer-reviewed scientific article making a case for in­telligent design.

Since 2005, the theory of intelligent design has been the focus of a frenzy of international media coverage, with prominent stories appearing in The New York Times, Nature, The Lon­don Times, The Independent (London), Sekai Nippo (Tokyo), The Times of India, Der Spiegel, The Jerusalem Post and Time magazine, to name just a few. And recently, a major conference about intelligent design was held in Prague (attended by some 700 scientists, students and scholars from Europe, Africa and the United States), further signaling that the theory of intel­ligent design has generated worldwide interest.

But what is this theory of intelligent design, and where did it come from? And why does it arouse such passion and inspire such apparently determined efforts to suppress it?

According to a spate of recent media reports, intelligent design is a new “faith-based” al­ternative to evolution – one based on religion rather than scientific evidence. As the story goes, intelligent design is just biblical creationism repackaged by religious fundamentalists in order to circumvent a 1987 United States Supreme Court prohibition against teaching crea­tionism in the U.S. public schools. Over the past two years, major newspapers, magazines and broadcast outlets in the United States and around the world have repeated this trope.

But is it accurate? As one of the architects of the theory of intelligent design and the direc­tor of a research center that supports the work of scientists developing the theory, I know that it isn’t.

The modern theory of intelligent design was not developed in response to a legal setback for creationists in 1987. Instead, it was first proposed in the late 1970s and early 1980s by a group of scientists – Charles Thaxton, Walter Bradley and Roger Olson – who were trying to account for an enduring mystery of modern biology: the origin of the digital information en­coded along the spine of the DNA molecule. Thaxton and his colleagues came to the conclu­sion that the information-bearing properties of DNA provided strong evidence of a prior but unspecified designing intelligence. They wrote a book proposing this idea in 1984, three years before the U.S. Supreme Court decision (in Edwards v. Aguillard) that outlawed the teaching of creationism.

Earlier in the 1960s and 1970s, physicists had already begun to reconsider the design hy­pothesis. Many were impressed by the discovery that the laws and constants of physics are improbably “finely-tuned” to make life possible. As British astrophysicist Fred Hoyle put it, the fine-tuning of the laws and constants of physics suggested that a designing intelligence “had monkeyed with physics” for our benefit.

Contemporary scientific interest in the design hypothesis not only predates the U.S. Su­preme Court ruling against creationism, but the formal theory of intelligent design is clearly different than creationism in both its method and content. The theory of intelligent design, un­like creationism, is not based upon the Bible. Instead, it is based on observations of nature which the theory attempts to explain based on what we know about the cause and effect struc­ture of the world and the patterns that generally indicate intelligent causes. Intelligent design is an inference from empirical evidence, not a deduction from religious authority.

The propositional content of the theory of intelligent design also differs from that of crea­tionism. Creationism or Creation Science, as defined by the U.S. Supreme Court, defends a particular reading of the book of Genesis in the Bible, typically one that asserts that the God of the Bible created the earth in six literal twenty-four hour periods a few thousand years ago. The theory of intelligent design does not offer an interpretation of the book of Genesis, nor does it posit a theory about the length of the Biblical days of creation or even the age of the earth. Instead, it posits a causal explanation for the observed complexity of life.

But if the theory of intelligent design is not creationism, what is it? Intelligent design is an evidence-based scientific theory about life’s origins that challenges strictly materialistic views of evolution. According to Darwinian biologists such as Oxford’s Richard Dawkins (1986: 1), livings systems “give the appearance of having been designed for a purpose.” But, for modern Darwinists, that appearance of design is entirely illusory. Why? According to neo-Darwinism, wholly undirected processes such as natural selection and random mutations are fully capable of producing the intricate designed-like structures in living systems. In their view, natural se­lection can mimic the powers of a designing intelligence without itself being directed by an in­telligence of any kind.

In contrast, the theory of intelligent design holds that there are tell-tale features of living systems and the universe – for example, the information-bearing properties of DNA, the miniature circuits and machines in cells and the fine tuning of the laws and constants of phys­ics – that are best explained by an intelligent cause rather than an undirected material process. The theory does not challenge the idea of “evolution” defined as either change over time or common ancestry, but it does dispute Darwin’s idea that the cause of biological change is wholly blind and undirected. Either life arose as the result of purely undirected material proc­esses or a guiding intelligence played a role. Design theorists affirm the latter option and argue that living organisms look designed because they really were designed.

A Brief History of the Design Argument

By making a case for design based on observations of natural phenomena, advocates of the contemporary theory of intelligent design have resuscitated the classical design argument. Prior to the publication of The Origin of Species by Charles Darwin in 1859, many Western thinkers, for over two thousand years, had answered the question “how did life arise?” by in­voking the activity of a purposeful designer. Design arguments based on observations of the natural world were made by Greek and Roman philosophers such as Plato (1960: 279) and Cicero (1933: 217), by Jewish philosophers such as Maimonides and by Christian thinkers such as Thomas Aquinas[1](see Hick 1970: 1).

The idea of design also figured centrally in the modern scientific revolution (1500-1700). As historians of science (see Gillespie 1987: 1-49) have often pointed out, many of the foun­ders of early modern science assumed that the natural world was intelligible precisely because they also assumed that it had been designed by a rational mind. In addition, many individual scientists – Johannes Kepler in astronomy (see Kepler 1981: 93-103; Kepler 1995: 170, 240),[2] John Ray in biology (see Ray 1701) and Robert Boyle in chemistry (see Boyle 1979: 172) – made specific design arguments based upon empirical discoveries in their respective fields. This tradition attained an almost majestic rhetorical quality in the writing of Sir Isaac Newton, who made both elegant and sophisticated design arguments based upon biological, physical and astronomical discoveries. Writing in the General Scholium to the Principia, Newton (1934: 543-44) suggested that the stability of the planetary system depended not only upon the regular action of universal gravitation, but also upon the very precise initial positioning of the planets and comets in relation to the sun. As he explained:

[T]hough these bodies may, indeed, continue in their orbits by the mere laws of gravity, yet they could by no means have at first derived the regular position of the orbits themselves from those laws […] [Thus] [t]his most beautiful system of the sun, planets and comets, could only proceed from the counsel and dominion of an intelligent and powerful Being.
Or as he wrote in the Opticks:
How came the Bodies of Animals to be contrived with so much Art, and for what ends were their several parts? Was the Eye contrived without Skill in Opticks, and the Ear without Knowledge of Sounds? […] And these things being rightly dispatch’d, does it not appear from Phænomena that there is a Being incorporeal, living, intelligent, omnipresent […]. (Newton 1952: 369-70.)

Scientists continued to make such design arguments well into the early nineteenth century, especially in biology. By the later part of the 18th century, however, some enlightenment phi­losophers began to express skepticism about the design argument. In particular, David Hume, in his Dialogues Concerning Natural Religion (1779), argued that the design argument de­pended upon a flawed analogy with human artifacts. He admitted that artifacts derive from in­telligent artificers, and that biological organisms have certain similarities to complex human artifacts. Eyes and pocket watches both depend upon the functional integration of many sepa­rate and specifically configured parts. Nevertheless, he argued, biological organisms also dif­fer from human artifacts – they reproduce themselves, for example – and the advocates of the design argument fail to take these dissimilarities into account. Since experience teaches that organisms always come from other organisms, Hume argued that analogical argument really ought to suggest that organisms ultimately come from some primeval organism (perhaps a gi­ant spider or vegetable), not a transcendent mind or spirit.

Despite this and other objections, Hume’s categorical rejection of the design argument did not prove entirely decisive with either theistic or secular philosophers. Thinkers as diverse as the Scottish Presbyterian Thomas Reid (1981: 59), the Enlightenment deist Thomas Paine (1925: 6) and the rationalist philosopher Immanuel Kant, continued to affirm[3] various versions of the design argument after the publication of Hume’s Dialogues. Moreover, with the publi­cation of William Paley’s Natural Theology, science-based design arguments would achieve new popularity, both in Britain and on the continent. Paley (1852: 8-9) catalogued a host of biological systems that suggested the work of a superintending intelligence. Paley argued that the astonishing complexity and superb adaptation of means to ends in such systems could not originate strictly through the blind forces of nature, any more than could a complex machine such as a pocket watch. Paley also responded directly to Hume’s claim that the design infer­ence rested upon a faulty analogy. A watch that could reproduce itself, he argued, would con­stitute an even more marvelous effect than one that could not. Thus, for Paley, the differences between artifacts and organisms only seemed to strengthen the conclusion of design. And in­deed, despite the widespread currency of Hume’s objections, many scientists continued to find Paley’s watch-to-watchmaker reasoning compelling well into 19th century.

Darwin and the Eclipse of Design

Acceptance of the design argument began to abate during the late 19th century with the emergence of increasingly powerful materialistic explanations of apparent design in biology, particularly Charles Darwin’s theory of evolution by natural selection. Darwin argued in 1859 that living organisms only appeared to be designed. To make this case, he proposed a concrete mechanism, natural selection acting on random variations, that could explain the adaptation of organisms to their environment (and other evidences of apparent design) without actually in­voking an intelligent or directing agency. Darwin saw that natural forces would accomplish the work of a human breeder and thus that blind nature could come to mimic, over time, the action of a selecting intelligence – a designer. If the origin of biological organisms could be explained naturalistically,[4] as Darwin (1964: 481-82) argued, then explanations invoking an intelligent designer were unnecessary and even vacuous.

Thus, it was not ultimately the arguments of the philosophers that destroyed the popularity of the design argument, but a scientific theory of biological origins. This trend was reinforced by the emergence of other fully naturalistic origins scenarios in astronomy, cosmology and geology. It was also reinforced (and enabled) by an emerging positivistic tradition in science that increasingly sought to exclude appeals to supernatural or intelligent causes from science by definition (see Gillespie 1979: 41-66, 82-108 for a discussion of this methodological shift). Natural theologians such as Robert Chambers, Richard Owen and Asa Gray, writing just prior to Darwin, tended to oblige this convention by locating design in the workings of natural law rather than in the complex structure or function of particular objects. While this move cer­tainly made the natural theological tradition more acceptable to shifting methodological can­ons in science, it also gradually emptied it of any distinctive empirical content, leaving it vul­nerable to charges of subjectivism and vacuousness. By locating design more in natural law and less in complex contrivances that could be understood by direct comparison to human creativity, later British natural theologians ultimately made their research program indistin­guishable from the positivistic and fully naturalistic science of the Darwinians (Dembski 1996). As a result, the notion of design, to the extent it maintained any intellectual currency, soon became relegated to a matter of subjective belief. One could still believe that a mind su­perintended over the regular law-like workings of nature, but one might just as well assert that nature and its laws existed on their own. Thus, by the end of the nineteenth century, natural theologians could no longer point to any specific artifact of nature that required intelligence as a necessary explanation. As a result, intelligent design became undetectable except “through the eyes of faith.”

Though the design argument in biology went into retreat after the publication of The Ori­gin, it never quite disappeared. Darwin was challenged by several leading scientists of his day, most forcefully by the great Harvard naturalist Louis Agassiz, who argued that the sudden ap­pearance of the first complex animal forms in the Cambrian fossil record pointed to “an intel­lectual power” and attested to “acts of mind.” Similarly, the co-founder of the theory of evolu­tion by natural selection, Alfred Russel Wallace (1991: 33-34), argued that some things in bi­ology were better explained by reference to the work of a “Higher intelligence” than by refer­ence to Darwinian evolution. There seemed to him “to be evidence of a Power” guiding the laws of organic development “in definite directions and for special ends.” As he put it, “[S]o far from this view being out of harmony with the teachings of science, it has a striking anal­ogy with what is now taking place in the world.” And in 1897, Oxford scholar F.C.S. Schiller argued that “it will not be possible to rule out the supposition that the process of Evolution may be guided by an intelligent design” (Schiller 1903: 141).

This continued interest in the design hypothesis was made possible in part because the mechanism of natural selection had a mixed reception in the immediate post-Darwinian pe­riod. As the historian of biology Peter Bowler (1986: 44-50) has noted, classical Darwinism entered a period of eclipse during the late 19th and early 20th centuries mainly because Darwin lacked an adequate theory for the origin and transmission of new heritable variation. Natural selection, as Darwin well understood, could accomplish nothing without a steady supply of genetic variation, the ultimate source of new biological structure. Nevertheless, both the blending theory of inheritance that Darwin had assumed and the classical Mendelian genetics that soon replaced it, implied limitations on the amount of genetic variability available to natu­ral selection. This in turn implied limits on the amount of novel structure that natural selection could produce.

By the late 1930s and 1940s, however, natural selection was revived as the main engine of evolutionary change as developments in a number of fields helped to clarify the nature of ge­netic variation. The resuscitation of the variation / natural selection mechanism by modern ge­netics and population genetics became known as the neo-Darwinian synthesis. According to the new synthetic theory of evolution, the mechanism of natural selection acting upon random variations (especially including small-scale mutations) sufficed to account for the origin of novel biological forms and structures. Small-scale “microevolutionary” changes could be ex­trapolated indefinitely to account for large-scale “macroevolutionary” development. With the revival of natural selection, the neo-Darwinists would assert, like Darwinists before them, that they had found a “designer substitute” that could explain the appearance of design in biology as the result of an entirely undirected natural process.[5] As Harvard evolutionary biologist Ernst Mayr (1982: xi-xii) has explained, “[T]he real core of Darwinism […] is the theory of natural selection. This theory is so important for the Darwinian because it permits the explana­tion of adaptation, the ‘design’ of the natural theologian, by natural means.” By the centennial celebration of Darwin’s Origin of Species in 1959, it was assumed by many scientists that natural selection could fully explain the appearance of design and that, consequently, the de­sign argument in biology was dead.

Problems with the Neo-Darwinian Synthesis

Since the late 1960s, however, the modern synthesis that emerged during the 1930s, 1940s and 1950s has begun to unravel in the face of new developments in paleontology, systematics, molecular biology, genetics and developmental biology. Since then a series of technical arti­cles and books – including such recent titles as Evolution: a Theory in Crisis (1986) by Mi­chael Denton, Darwinism: The Refutation of a Myth (1987) by Soren Lovtrup, The Origins of Order (1993) by Stuart A. Kauffman, How The Leopard Changed Its Spots (1994) by Brian C. Goodwin, Reinventing Darwin (1995) by Niles Eldredge, The Shape of Life (1996) by Rudolf A. Raff, Darwin’s Black Box (1996) by Michael Behe, The Origin of Animal Body Plans (1997) by Wallace Arthur, Sudden Origins: Fossils, Genes, and the Emergence of Species (1999) by Jeffrey H. Schwartz – have cast doubt on the creative power of neo-Darwinism’s mutation/selection mechanism. As a result, a search for alternative naturalistic mechanisms of innovation has ensued with, as yet, no apparent success or consensus. So common are doubts about the creative capacity of the selection / mutation mechanism, neo-Darwinism’s “designer substitute,” that prominent spokesmen for evolutionary theory must now periodically assure the public that “just because we don’t know how evolution occurred, does not justify doubt about whether it occurred.”[6] As Niles Eldredge (1982: 508-9) wrote, “Most observers see the current situation in evolutionary theory – where the object is to explain how, not if, life evolves – as bordering on total chaos.” Or as Stephen Gould (1980: 119-20) wrote, “The neo-Darwinism synthesis is effectively dead, despite its continued presence as textbook ortho­doxy.” (See also Müller and Newman 2003: 3-12.)

Soon after Gould and Eldredge acknowledged these difficulties, the first important books (Thaxton, et al. 1984; Denton 1985) advocating the idea of intelligent design as an alternative to neo-Darwinism began to appear in the United States and Britain.[7] But the scientific antece­dents of the modern theory of intelligent design can be traced back to the beginning of the mo­lecular biological revolution. In 1953 when Watson and Crick elucidated the structure of the DNA molecule, they made a startling discovery. The structure of DNA allows it to store in­formation in the form of a four-character digital code. (See Figure 1). Strings of precisely se­quenced chemicals called nucleotide bases store and transmit the assembly instructions – the information – for building the crucial protein molecules and machines the cell needs to sur­vive.

Francis Crick later developed this idea with his famous “sequence hypothesis” according to which the chemical constituents in DNA function like letters in a written language or symbols in a computer code. Just as English letters may convey a particular message depending on their arrangement, so too do certain sequences of chemical bases along the spine of a DNA molecule convey precise instructions for building proteins. The arrangement of the chemical characters determines the function of the sequence as a whole. Thus, the DNA molecule has the same property of “sequence specificity” or “specified complexity” that characterizes codes and language. As Richard Dawkins has acknowledged, “the machine code of the genes is un­cannily computer-like” (Dawkins 1995: 11). As Bill Gates has noted, “DNA is like a computer program but far, far more advanced than any software ever created” (Gates 1995:188). After the early 1960s, further discoveries made clear that the digital information in DNA and RNA is only part of a complex information processing system – an advanced form of nanotechnol­ogy that both mirrors and exceeds our own in its complexity, design logic and information storage density.

Fig-1-history.jpg

Thus, even as the design argument was being declared dead at the Darwinian centennial at the close of the 1950s, evidence that many scientists would later see as pointing to design was being uncovered in the nascent discipline of molecular biology. In any case, discoveries in this field would soon generate a growing rumble of voices dissenting from neo-Darwinism. In By Design, a history of the current design controversy, journalist Larry Witham (2003) traces the immediate roots of the theory of intelligent design in biology to the 1960s, at which time de­velopments in molecular biology were generating new problems for the neo-Darwinian syn­thesis. At this time, mathematicians, engineers and physicists were beginning to express doubts that random mutations could generate the genetic information needed to produce cru­cial evolutionary transitions in the time available to the evolutionary process. Among the most prominent of these skeptical scientists were several from the Massachusetts Institute of Tech­nology.

These researchers might have gone on talking among themselves about their doubts but for an informal gathering of mathematicians and biologists in Geneva in the mid-1960s at the home of MIT physicist Victor Weisskopf. During a picnic lunch the discussion turned to evo­lution, and the mathematicians expressed surprise at the biologists’ confidence in the power of mutations to assemble the genetic information necessary to evolutionary innovation. Nothing was resolved during the argument that ensued, but those present found the discussion stimulat­ing enough that they set about organizing a conference to probe the issue further. This gather­ing occurred at the Wistar Institute in Philadelphia in the spring of 1966 and was chaired by Sir Peter Medawar, Nobel Laureate and director of North London’s Medical Research Coun­cil’s laboratories. In his opening remarks at the meeting, he said that the “immediate cause of this conference is a pretty widespread sense of dissatisfaction about what has come to be thought of as the accepted evolutionary theory in the English-speaking world, the so-called neo-Darwinian theory” (Taylor 1983: 4).

The mathematicians were now in the spotlight and they took the opportunity to argue that neo-Darwinism faced a formidable combinatorial problem (see Moorhead and Kaplan 1967 for the seminar proceedings).[8] In their view, the ratio of the number of functional genes and proteins, on the one hand, to the enormous number of possible sequences corresponding to a gene or protein of a given length, on the other, seemed so small as to preclude the origin of genetic information by a random mutational search. A protein one hundred amino acids in length represents an extremely unlikely occurrence. There are roughly 10130 possible amino acid sequences of this length, if one considers only the 20 protein-forming acids as possibili­ties. The vast majority of these sequences – it was (correctly) assumed – perform no biological function (see Axe 2004: 1295-1314 for a rigorous experimental evaluation of the rarity of functional proteins within the “sequence space” of possible combinations). Would an undi­rected search through this enormous space of possible sequences have a realistic chance of finding a functional sequence in the time allotted for crucial evolutionary transitions? To many of the Wistar mathematicians and physicists, the answer seemed clearly ‘no.’ Distin­guished French mathematician M. P. Schützenberger (1967: 73-5) noted that in human codes, randomness is never the friend of function, much less of progress. When we make changes randomly to computer programs, “we find that we have no chance (i.e. less than 1/101000) even to see what the modified program would compute: it just jams.” MIT’s Murray Eden illus­trated with reference to an imaginary library evolving by random changes to a single phrase: “Begin with a meaningful phrase, retype it with a few mistakes, make it longer by adding let­ters, and rearrange subsequences in the string of letters; then examine the result to see if the new phrase is meaningful. Repeat until the library is complete” (Eden 1967: 110). Would such an exercise have a realistic chance of succeeding, even granting it billions of years? At Wistar, the mathematicians, physicists and engineers argued that it would not. And they insisted that a similar problem confronts any mechanism that relies on random mutations to search large combinatorial spaces for sequences capable of performing novel function – even if, as is the case in biology, some mechanism of selection can act after the fact to preserve functional se­quences once they have arisen.

Just as the mathematicians at Wistar were casting doubt on the idea that chance (i.e., ran­dom mutations) could generate genetic information, another leading scientist was raising ques­tions about the role of law-like necessity. In 1967 and 1968, the Hungarian chemist and phi­losopher of science Michael Polanyi published two articles suggesting that the information in

DNA was “irreducible” to the laws of physics and chemistry (Polanyi 1967: 21; Polanyi 1968: 1308-12). In these papers, Polanyi noted that the DNA conveys information in virtue of very specific arrangements of the nucleotide bases (that is, the chemicals that function as alphabetic or digital characters) in the genetic text. Yet, Polanyi also noted the laws of physics and chem­istry allow for a vast number of other possible arrangements of these same chemical constitu­ents. Since chemical laws allow a vast number of possible arrangements of nucleotide bases, Polanyi reasoned that no specific arrangement was dictated or determined by those laws. In­deed, the chemical properties of the nucleotide bases allow them to attach themselves inter­changeably at any site on the (sugar-phosphate) backbone of the DNA molecule. (See Figure 1). Thus, as Polanyi (1968: 1309) noted, “As the arrangement of a printed page is extraneous to the chemistry of the printed page, so is the base sequence in a DNA molecule extraneous to the chemical forces at work in the DNA molecule.” Polanyi argued that it is precisely this chemical indeterminacy that allows DNA to store information and which also shows the irre­ducibility of that information to physical-chemical laws or forces. As he explained:

Suppose that the actual structure of a DNA molecule were due to the fact that the bindings of its bases were much stronger than the bindings would be for any other distribution of bases, then such a DNA molecule would have no information content. Its code-like character would be effaced by an over­whelming redundancy. […] Whatever may be the origin of a DNA configuration, it can function as a code only if its order is not due to the forces of potential energy. It must be as physically indetermi­nate as the sequence of words is on a printed page (Polanyi 1968:1309).

The Mystery of Life’s Origin

As more scientists began to express doubts about the ability of undirected processes to pro­duce the genetic information necessary to living systems, some began to consider an alterna­tive approach to the problem of the origin of biological form and information. In 1984, after seven years of writing and research, chemist Charles Thaxton, polymer scientist Walter Brad­ley and geochemist Roger Olsen published a book proposing “an intelligent cause” as an ex­planation for the origin of biological information. The book was titled The Mystery of Life’s Origin and was published by The Philosophical Library, then a prestigious New York scien­tific publisher that had previously published more than twenty Nobel laureates.

Thaxton, Bradley and Olsen’s work directly challenged reigning chemical evolutionary ex­planations of the origin-of-life, and old scientific paradigms do not, to borrow from a Dylan Thomas poem, “go gently into that good night.” Aware of the potential opposition to their ideas, Thaxton flew to California to meet with one of the world’s top chemical evolutionary theorists, San Francisco State University biophysicist Dean Kenyon, co-author of a leading monograph on the subject, Biochemical Predestination. Thaxton wanted to talk with Kenyon to ensure that Mystery’s critiques of leading origin-of-life theories (including Kenyon’s), were fair and accurate. But Thaxton also had a second and more audacious motive: he planned to ask Kenyon to write the foreword to the book, even though Mystery critiqued the very origin­of-life theory that had made Kenyon famous in his field.

One can imagine how such a meeting might have unfolded, with Thaxton’s bold plan qui­etly dying in a corner of Kenyon’s office as the two men came to loggerheads over their com­peting theories. But fortunately for Thaxton, things went better than expected. Before he had worked his way around to making his request, Kenyon volunteered for the job, explaining that he had been moving toward Thaxton’s position for some time (Charles Thaxton, interview by Jonathan Witt, August 16, 2005; Jon Buell, interview by Jonathan Witt, September 21, 2005).

Kenyon’s bestselling origin-of-life text, Biochemical Predestination, had outlined what was then arguably the most plausible evolutionary account of how a living cell might have orga­nized itself from chemicals in the “primordial soup.” Already by the 1970s, however, Kenyon was questioning his own hypothesis. Experiments (some performed by Kenyon himself) in­creasingly suggested that simple chemicals do not arrange themselves into complex informa­tion-bearing molecules such as proteins and DNA without guidance from human investigators. Thaxton, Bradley and Olsen appealed to this fact in constructing their argument, and Kenyon found their case both well-reasoned and well-researched. In the foreword he went on to pen, he described The Mystery of Life’s Origin as “an extraordinary new analysis of an age-old question” (Kenyon 1984: v).

The book eventually became the best-selling advanced college-level work on chemical evo­lution, with sales fueled by endorsements from leading scientists such as Kenyon, Robert Shapiro and Robert Jastrow and by favorable reviews in prestigious journals such as the Yale Journal of Biology and Medicine.[9] Others dismissed the work as going beyond science.

What was their idea, and why did it generate interest among leading scientists? First, Mys­tery critiqued all of the current, purely materialistic explanations for the origin of life. In the process, they showed that the famous Miller-Urey experiment did not simulate early Earth conditions, that the existence of an early Earth pre-biotic soup was a myth, that important chemical evolutionary transitions were subject to destructive interfering cross-reactions, and that neither chance nor energy-flow could account for the information in biopolymers such as proteins and DNA. But it was in the book’s epilogue that the three scientists proposed a radi­cally new hypothesis. There they suggested that the information-bearing properties of DNA might point to an intelligent cause. Drawing on the work of Polanyi and others, they argued that chemistry and physics alone couldn’t produce information any more than ink and paper could produce the information in a book. Instead, they argued that our uniform experience suggests that information is the product of an intelligent cause:

We have observational evidence in the present that intelligent investigators can (and do) build con­trivances to channel energy down nonrandom chemical pathways to bring about some complex chemical synthesis, even gene building. May not the principle of uniformity then be used in a broader frame of consideration to suggest that DNA had an intelligent cause at the beginning? (Thaxton et al. 1984: 211.)

Mystery also made the radical claim that intelligent causes could be legitimately considered as scientific hypotheses within the historical sciences, a mode of inquiry they called origins science.

Their book marked the beginning of interest in the theory of intelligent design in the United States, inspiring a generation of younger scholars (see Denton 1985; Denton 1986; Kenyon and Mills 1996: 9-16; Behe 2004: 352-370; Dembski 2002; Dembski 2004: 311-330; Morris 2000: 1-11; Morris 2003a: 13-32; Morris 2003b: 505-515; Lönnig 2001; Lönnig and Saedler 2002: 389-410; Nelson and Wells 2003: 303-322; Meyer 2003a: 223-285; Meyer 2003b: 371­391; Bradley 2004: 331-351) to investigate the question of whether there is actual design in living organisms rather than, as neo-Darwinian biologists and chemical evolutionary theorists had long claimed, the mere appearance of design. At the time the book appeared, I was work­ing as a geophysicist for the Atlantic Richfield Company in Dallas where Charles Thaxton happened to live. I later met him at a scientific conference and became intrigued with the radi­cal idea he was developing about DNA. I began dropping by his office after work to discuss the arguments made in his book. Intrigued, but not yet fully convinced, the next year I left my job as a geophysicist to pursue a Ph.D. at The University of Cambridge in the history and phi­losophy of science. During my Ph.D. research, I investigated several questions that had emerged in my discussions with Thaxton. What methods do scientists use to study biological origins? Is there a distinctive method of historical scientific inquiry? After completing my Ph.D., I would take up another question: Could the argument from DNA to design be formu­lated as a rigorous historical scientific argument?

Of Clues and Causes

During my Ph.D. research at Cambridge, I found that historical sciences (such as geology, paleontology and archeology) do employ a distinctive method of inquiry. Whereas many sci­entific fields involve an attempt to discover universal laws, historical scientists attempt to in­fer past causes from present effects. As Stephen Gould (1986: 61) put it, historical scientists are trying to “infer history from its results.” Visit the Royal Tyrrell Museum in Alberta, Can­ada and you will find there a beautiful reconstruction of the Cambrian seafloor with its stun­ning assemblage of phyla. Or read the fourth chapter of Simon Conway Morris’s book on the Burgess Shale and you will be taken on a vivid guided tour of that long-ago place. But what Morris (1998: 63-115) and the museum scientists did in both cases was to imaginatively re­construct the ancient Cambrian site from an assemblage of present-day fossils. In other words, paleontologists infer a past situation or cause from present clues.

A key figure in elucidating the special nature of this mode of reasoning was a contempo­rary of Darwin, polymath William Whewell, master of Trinity College, Cambridge and best known for two books about the nature of science, History of the Inductive Sciences (1837) and The Philosophy of the Inductive Sciences (1840). Whewell distinguished inductive sciences like mechanics (physics) from what he called palaetiology – historical sciences that are de­fined by three distinguishing features. First, the palaetiological or historical sciences have a distinctive object: to determine “ancient condition[s]” (Whewell 1857, vol. 3: 397) or past causal events. Second, palaetiological sciences explain present events (“manifest effects”) by reference to past (causal) events rather than by reference to general laws (though laws some­times play a subsidiary role). And third, in identifying a “more ancient condition,” Whewell believed palaetiology utilized a distinctive mode of reasoning in which past conditions were inferred from “manifest effects” using generalizations linking present clues with past causes (Whewell 1840, vol. 2: 121-22, 101-103).

Inference to the Best Explanation

This type of inference is called abductive reasoning. It was first described by the American philosopher and logician C.S. Peirce. He noted that, unlike inductive reasoning, in which a universal law or principle is established from repeated observations of the same phenomena, and unlike deductive reasoning, in which a particular fact is deduced by applying a general law or rule to another particular fact or case, abductive reasoning infers unseen facts, events or causes in the past from clues or facts in the present.

As Peirce himself showed, however, there is a problem with abductive reasoning. Consider the following syllogism:

If it rains, the streets will get wet.
The streets are wet.
Therefore, it rained.

This syllogism infers a past condition (i.e., that it rained) but it commits a logical fallacy known as affirming the consequent. Given that the street is wet (and without additional evi­dence to decide the matter), one can only conclude that perhaps it rained. Why? Because there are many other possible ways by which the street may have gotten wet. Rain may have caused the streets to get wet; a street cleaning machine might have caused them to get wet; or an un­capped fire hydrant might have done so. It can be difficult to infer the past from the present because there are many possible causes of a given effect.

Peirce’s question was this: how is it that, despite the logical problem of affirming the con­sequent, we nevertheless frequently make reliable abductive inferences about the past? He noted, for example, that no one doubts the existence of Napoleon. Yet we use abductive rea­soning to infer Napoleon’s existence. That is, we must infer his past existence from present ef­fects. But despite our dependence on abductive reasoning to make this inference, no sane or educated person would doubt that Napoleon Bonaparte actually lived. How could this be if the problem of affirming the consequent bedevils our attempts to reason abductively? Peirce’s an­swer was revealing: “Though we have not seen the man [Napoleon], yet we cannot explain what we have seen without” the hypothesis of his existence (Peirce, 1932, vol. 2: 375). Peirce’s words imply that a particular abductive hypothesis can be strengthened if it can be shown to explain a result in a way that other hypotheses do not, and that it can be reasonably believed (in practice) if it explains in a way that no other hypotheses do. In other words, an abductive inference can be enhanced if it can be shown that it represents the best or the only adequate explanation of the “manifest effects” (to use Whewell’s term).

As Peirce pointed out, the problem with abductive reasoning is that there is often more than one cause that can explain the same effect. To address this problem, pioneering geologist Thomas Chamberlain (1965: 754-59) delineated a method of reasoning that he called “the method of multiple working hypotheses.” Geologists and other historical scientists use this method when there is more than one possible cause or hypothesis to explain the same evi­dence. In such cases, historical scientists carefully weigh the evidence and what they know about various possible causes to determine which best explains the clues before them. In mod­ern times, contemporary philosophers of science have called this the method of inference to the best explanation. That is, when trying to explain the origin of an event or structure in the past, historical scientists compare various hypotheses to see which would, if true, best explain it. They then provisionally affirm that hypothesis that best explains the data as the most likely to be true.

Causes Now in Operation

But what constitutes the best explanation for the historical scientist? My research showed that among historical scientists it’s generally agreed that best doesn’t mean ideologically satis­fying or mainstream; instead, best generally has been taken to mean, first and foremost, most causally adequate. In other words, historical scientists try to identify causes that are known to produce the effect in question. In making such determinations, historical scientists evaluate hypotheses against their present knowledge of cause and effect; causes that are known to pro­duce the effect in question are judged to be better causes than those that are not. For instance, a volcanic eruption is a better explanation for an ash layer in the earth than an earthquake be­cause eruptions have been observed to produce ash layers, whereas earthquakes have not.

This brings us to the great geologist Charles Lyell, a figure who exerted a tremendous in­fluence on 19th century historical science generally and on Charles Darwin specifically. Dar­win read Lyell’s magnum opus, The Principles of Geology, on the voyage of the Beagle and later appealed to its uniformitarian principles to argue that observed micro-evolutionary proc­esses of change could be used to explain the origin of new forms of life. The subtitle of Lyell’s Principles summarized the geologist’s central methodological principle: “Being an At­tempt to Explain the Former Changes of the Earth’s Surface, by Reference to Causes now in Operation.” Lyell argued that when historical scientists are seeking to explain events in the past, they should not invoke unknown or exotic causes, the effects of which we do not know, but instead they should cite causes that are known from our uniform experience to have the power to produce the effect in question (i.e., “causes now in operation”).

Darwin subscribed to this methodological principle. His term for a “presently acting cause” was a vera causa, that is, a true or actual cause. In other words, when explaining the past, his­torical scientists should seek to identify established causes – causes known to produce the ef­fect in question. For example, Darwin tried to show that the process of descent with modifica­tion was the vera causa of certain kinds of patterns found among living organisms. He noted that diverse organisms share many common features. He called these homologies and noted that we know from experience that descendents, although they differ from their ancestors, also resemble them in many ways, usually more closely than others who are more distantly related. So he proposed descent with modification as a vera causa for homologous structures. That is, he argued that our uniform experience shows that the process of descent with modification from a common ancestor is “causally adequate” or capable of producing homologous features.

And Then There Was One

Contemporary philosophers agree that causal adequacy is the key criteria by which compet­ing hypotheses are adjudicated, but they also show that this process leads to secure inferences only where it can be shown that there is just one known cause for the evidence in question. Philosophers of science Michael Scriven and Elliot Sober, for example, point out that histori­cal scientists can make inferences about the past with confidence when they discover evidence or artifacts for which there is only one cause known to be capable of producing them. When historical scientists infer to a uniquely plausible cause, they avoid the fallacy of affirming the consequent and the error of ignoring other possible causes with the power to produce the same effect. It follows that the process of determining the best explanation often involves generat­ing a list of possible hypotheses, comparing their known or theoretically plausible causal powers with respect to the relevant data, and then like a detective attempting to identify the murderer, progressively eliminating potential but inadequate explanations until, finally, one remaining causally adequate explanation can be identified as the best. As Scriven (1966: 250) explains, such abductive reasoning (or what he calls “Reconstructive causal analysis”) “pro­ceeds by the elimination of possible causes,” a process that is essential if historical scientists are to overcome the logical limitations of abductive reasoning.

The matter can be framed in terms of formal logic. As C.S. Peirce noted, arguments of the form:

ifX, then Y
Y
therefore X

commit the fallacy of affirming the consequent. Nevertheless, as Michael Scriven (1959: 480), Elliot Sober (1988: 1-5), W.P. Alston (1971: 23) and W.B. Gallie (1959: 392) have observed, such arguments can be restated in a logically acceptable form if it can be shown that Y has only one known cause (i.e., X) or that X is a necessary condition (or cause) of Y. Thus, argu­ments of the form:

X is antecedently necessary to Y,
Y exists,
Therefore, X existed

are accepted as logically valid by philosophers and persuasive by historical and forensic scien­tists. Scriven especially emphasized this point: if scientists can discover an effect for which there is only one plausible cause, they can infer the presence or action of that cause in the past with great confidence. For instance, the archaeologist who knows that human scribes are the only known cause of linguistic inscriptions will infer scribal activity upon discovering tablets containing ancient writing.

In many cases, of course, the investigator will have to work his way to a unique cause one painstaking step at a time. For instance, both wind shear and compressor blade failure could explain an airline crash, but the forensic investigator will want to know which one did, or if the true cause lies elsewhere. Ideally, the investigator will be able to discover some crucial piece of evidence or suite of evidences for which there is only one known cause, allowing him to distinguish between competing explanations and eliminate every explanation but the correct one.

In my study of the methods of the historical sciences, I found that historical scientists, like detectives and forensic experts, routinely employ this type of abductive and eliminative rea­soning in their attempts to infer the best explanation.[10] In fact, Darwin himself employed this method in The Origin of Species. There he argued for his theory of Universal Common De­scent, not because it could predict future outcomes under controlled experimental conditions, but because it could explain already known facts better than rival hypotheses. As he explained in a letter to Asa Gray:

I […] test this hypothesis [Universal Common Descent] by comparison with as many general and pretty well-established propositions as I can find – in geographical distribution, geological history, af­finities &c., &c. And it seems to me that, supposing that such a hypothesis were to explain such gen­eral propositions, we ought, in accordance with the common way of following all sciences, to admit it till some better hypothesis be found out. (Darwin 1896, vol. 1: 437.)

DNA by Design: Developing the Argument from Information

What does this investigation into the nature of historical scientific reasoning have to do with intelligent design, the origin of biological information and the mystery of life’s origin? For me, it was critically important to deciding whether the design hypothesis could be formu­lated as a rigorous scientific explanation as opposed to just an intriguing intuition. I knew from my study of origin-of-life research that the central question facing scientists trying to ex­plain the origin of the first life was this: how did the sequence-specific digital information (stored in DNA and RNA) necessary to building the first cell arise? As Bernd-Olaf Küppers (1990: 170-172) put it, “the problem of the origin of life is clearly basically the equivalent to the problem of the origin of biological information.” My study of the methodology of the his­torical sciences then led me to ask a series of questions: What is the presently acting cause of the origin of digital information? What is the vera causa of such information? Or: what is the “only known cause” of this effect? Whether I used Lyell’s, Darwin’s or Scriven’s terminol­ogy, the question was the same: what type of cause has demonstrated the power to generate in­formation? Based upon both common experience and my knowledge of the many failed at­tempts to solve the problem with “unguided” pre-biotic simulation experiments and computer simulations, I concluded that there is only one sufficient or “presently acting” cause of the ori­gin of such functionally-specified information. And that cause is intelligence. In other words, I concluded, based on our experience-based understanding of the cause-and-effect structure of the world, that intelligent design is the best explanation for the origin of the information nec­essary to build the first cell. Ironically, I discovered that if one applies Lyell’s uniformitarian method – a practice much maligned by young earth creationists – to the question of the origin of biological information, the evidence from molecular biology supports a new and rigorous scientific argument to design.

What is Information?

In order to develop this argument and avoid equivocation, it was necessary to carefully de­fine what type of information was present in the cell (and what type of information might, based upon our uniform experience, indicate the prior action of a designing intelligence). In­deed, part of the historical scientific method of reasoning involves first defining what philoso­phers of science call the explanandum – the entity that needs to be explained. As the historian of biology Harmke Kamminga (1986: 1) has observed, “At the heart of the problem of the ori­gin of life lies a fundamental question: What is it exactly that we are trying to explain the ori­gin of?” Contemporary biology had shown that the cell was, among other things, a repository of information. For this reason, origin-of-life studies had focused increasingly on trying to ex­plain the origin of that information. But what kind of information is present in the cell? This was an important question to answer because the term “information” can be used to denote several theoretically distinct concepts.

In developing a case for design from the information-bearing properties of DNA, it was necessary to distinguish two key notions of information from one another: mere information carrying capacity, on the one hand, and functionally-specified information, on the other. It was important to make this distinction because the kind of information that is present in DNA (like the information present in machine code or written language) has a feature that the well-known Shannon theory of information does not encompass or describe.

During the 1940s, Claude Shannon at Bell Laboratories developed a mathematical theory of information (1948: 379–423, 623–56) that equated the amount of information transmitted with the amount of uncertainty reduced or eliminated by a series of symbols or characters (Dretske, 1981: 6–10). In Shannon’s theory, the more improbable an event the more uncer­tainty it eliminates, and thus, the more information it conveys. Shannon generalized this rela­tionship by stating that the amount of information conveyed by an event is inversely propor­tional to the prior probability of its occurrence. The greater the number of possibilities, the greater the improbability of any one being actualized, and thus the more information is trans­mitted when a particular possibility occurs.[11] Shannon’s theory applies easily to sequences of alphabetic symbols or characters that func­tion as such. Within a given alphabet of x possible characters, the occurrence or placement of a specific character eliminates x-1 other possibilities and thus a corresponding amount of un­certainty. Or put differently, within any given alphabet or ensemble of x possible characters (where each character has an equi-probable chance of occurring), the probability of any one character occurring is 1/x. In systems where the value of x can be known (or estimated), as in a code or language, mathematicians can easily generate quantitative estimates of information-carrying capacity. The greater the number of possible characters at each site, and the longer the sequence of characters, the greater is the information-carrying capacity – or Shannon in­formation – associated with the sequence.

The way that nucleotide bases in DNA function as alphabetic or digital characters enabled molecular biologists to calculate the information-carrying capacity of those molecules using the new formalism of Shannon’s theory. Since at any given site along the DNA backbone any one of four nucleotide bases may occur with equal probability (Küppers, 1987: 355-369), the probability of the occurrence of a specific nucleotide at that site equals 1/4 or .25. The infor­mation-carrying capacity of a sequence of a specific length n can then be calculated using Shannon’s familiar expression (I= –log2p) once one computes a probability value (p) for the occurrence of a particular sequence n nucleotides long where p = (1/4)n. The probability value thus yields a corresponding measure of information-carrying capacity for a sequence of n nu­cleotide bases (Schneider 1997: 427-441; Yockey 1992: 246-258).

Though Shannon’s theory and equations provided a powerful way to measure the amount of information that could be transmitted across a communication channel, it had important limits. In particular, it did not and could not distinguish merely improbable (or complex) se­quences of symbols from those that conveyed a message or performed a function. As Warren Weaver made clear in 1949, “The word information in this theory is used in a special mathe­matical sense that must not be confused with its ordinary usage. In particular, information must not be confused with meaning.” (Shannon and Weaver 1949: 8.) Information theory could measure the information-carrying capacity of a given sequence of symbols, but it could not distinguish the presence of a meaningful or functional arrangement of symbols from a random sequence.

As scientists applied Shannon information theory to biology it enabled them to render rough quantitative measures of the information-carrying capacity (or brute complexity or im­probability) of DNA sequences and their corresponding proteins. As such, information theory did help to refine biologists’ understanding of one important feature of the crucial bio­molecular components on which life depends: DNA and proteins are highly complex, and quantifiably so. Nevertheless, the ease with which information theory applied to molecular bi­ology (to measure information-carrying capacity) created confusion about the sense in which DNA and proteins contain “information.”

Information theory strongly suggested that DNA and proteins possess vast information-carrying capacities, as defined by Shannon’s theory. When molecular biologists have de­scribed DNA as the carrier of hereditary information, however, they have meant much more than that technically limited term information. Instead, leading molecular biologists defined biological information so as to incorporate the notion of specificity of function (as well as complexity) as early as 1958 (Crick, 1958: 144, 153). Molecular biologists such as Monod and Crick understood biological information – the information stored in DNA and proteins – as something more than mere complexity (or improbability). Crick and Monod also recognized that sequences of nucleotides and amino acids in functioning bio-macromolecules possessed a high degree of specificity relative to the maintenance of cellular function. As Crick explained in 1958, “By information I mean the specification of the amino acid sequence in protein […] Information means here the precise determination of sequence, either of bases in the nucleic acid or on amino acid residues in the protein (1958: 144, 153).”

Since the late 1950s, biologists have equated the “precise determination of sequence” with the extra-information-theoretic property of “specificity” or “specification.” Biologists have de­fined specificity tacitly as ‘necessary to achieving or maintaining function.’ They have deter­mined that DNA base sequences are specified, not by applying information theory, but by making experimental assessments of the function of those sequences within the overall appa­ratus of gene expression (Judson,1979: 470-487). Similar experimental considerations estab­lished the functional specificity of proteins.

In developing an argument for intelligent design based upon the information present in DNA and other bio-macromolecules, I emphasized that the information in these molecules was functionally-specified and complex, not just complex. Indeed, to avoid equivocation, it was necessary to distinguish:

“information content” from mere “information carrying capacity,”“specified information” from mere “Shannon information”“specified complexity” from mere “complexity.”The first of the two terms in each of these couplets refer to sequences in which the function of the sequence depends upon the precise sequential arrangements of the constituent charac­ters or parts, whereas second terms refer to sequences that do not necessarily perform func­tions or convey meaning at all. The second terms refer to sequences that may be merely im­probable or complex; the first terms refer to sequences that are both complex and functionally-specified.

In developing an argument for intelligent design from the information-bearing properties of DNA, I acknowledged that merely complex or improbable phenomena or sequences might arise by undirected natural processes. Nevertheless, I argued – based upon our uniform expe­rience – that sequences that are both complex and functionally-specified (rich in information content or specified information) invariably arise only from the activity of intelligent agents. Thus, I argued that the presence of specified information provides a hallmark or signature of a designing intelligence. In making these analytical distinctions in order to apply them to an analysis of biological systems, I was greatly assisted in my conversations and collaboration with William Dembski who was at the same time (1992-1997) developing a general theory of design detection which I discuss in detail below.

In the years that followed, I published a series of papers (see Meyer 1998a: 519-56; Meyer 1998b, 117-143; Meyer 2000a: 30-38; Meyer 2003a: 225-285) arguing that intelligent design provides a better explanation than competing chemical evolutionary models for the origin of the biological information. To make this argument, I followed the standard method of histori­cal scientific reasoning that I had studied in doctoral work. In particular, I evaluated the causal adequacy of various naturalistic explanations for the origin of biological information including those based on chance, law-like necessities and the combination of the two. In each case, I showed (or the scientific literature showed) that such naturalistic models failed to explain the origin of specified information (or specified complexity or information content) starting from purely physical / chemical antecedents. Instead, I argued, based on our experience, that there is a cause – namely, intelligence – that is known to be capable of producing such information. As the pioneering information theorist Henry Quastler (1964: 16) pointed out, “Information habitually arises from conscious activity.” Moreover, based upon our experience (and the find­ings of contemporary origin-of-life research) it is clear that intelligent design or agency is the only type of cause known to produce large amounts of specified information. Therefore, I ar­gued that the theory of intelligent design provides the best explanation for the information necessary to build the first life.[12]

Darwin on Trial and Philip Johnson

While I was still studying historical scientific reasoning in Cambridge in 1987, I had a fate­ful meeting with a prominent University of California, Berkeley law professor named Phillip Johnson, whose growing interest in the subject of biological origins would transform the con­tours of the debate over evolution. Johnson and I met at a small Greek restaurant on Free School Lane next to the Old Cavendish Laboratory in Cambridge. The meeting had been ar­ranged by a fellow graduate student who knew Johnson from Berkeley. My friend had told me only that Johnson was “a quirky but brilliant law professor” who “was on sabbatical studying torts,” and he “had become obsessed with evolution.” “Would you talk to him?” he asked. His description and the tone of his request led me to expect a very different figure than the one I encountered. Though my own skepticism about Darwinism had been well cemented by this time, I knew enough of the stereotypical evolution-basher to be skeptical that a late-in-career nonscientist could have stumbled onto an original critique of contemporary Darwinian theory.

Only later did I learn of Johnson’s intellectual pedigree: Harvard B.A., top of his class Uni­versity of Chicago law-school graduate, law clerk for Supreme Court Chief Justice Earl War­ren, leading constitutional scholar, occupant of a distinguished chair at University of Califor­nia, Berkeley. In Johnson, I encountered a man of supple and prodigious intellect who seemed in short order to have found the pulse of the origins issue. Johnson told me that his doubts about Darwinism had started with a visit to the British Natural History Museum, where he learned about the controversy that had raged there earlier in the 1980s. At that time, the mu­seum paleontologists presented a display describing Darwin’s theory as “one possible expla­nation” of origins. A furor ensued, resulting in the removal of the display when the editors of the prestigious journal Nature and others in the scientific establishment denounced the mu­seum for its ambivalence about accepted fact. Intrigued by the response to such an apparently innocuous exhibit, Johnson decided to investigate further.

Soon thereafter, as Johnson was still casting about for a research topic early in his sabbati­cal year in London, he stepped off the bus and followed his usual route to his visiting faculty office. Along the way, he passed by a large science bookstore and, glancing in, noticed a pair of books about evolution, The Blind Watchmaker by Richard Dawkins and Evolution: A The­ory in Crisis by Michael Denton. Historian of science Thomas Woodward recounts the epi­sode:

His curiosity aroused, he entered the store, picked up copies of both books from a table near the door, and studied the dust jacket blurbs. The two biologists were apparently driving toward diametrically opposite conclusions. Sensing a delicious scientific dialectic, he bought both books and tucked them under his arm as he continued on to his office. (Woodward 2003: 69.)

The rest, as they say, is history. Johnson began to read whatever he could find on the issue: Gould, Ruse, Ridley, Dawkins, Denton and many others. What he read made him even more suspicious of evolutionary orthodoxy. “Something about the Darwinists’ rhetorical style,” he told me later, “made me think they had something to hide.”

An extensive examination of evolutionary literature confirmed this suspicion. Darwinist polemic revealed a surprising reliance upon arguments that seemed to assume rather than demonstrate the central claim of neo-Darwinism, namely, that life had evolved via a strictly undirected natural process. Johnson also observed an interesting contrast between biologists’ technical papers and their popular defenses of evolutionary theory. He discovered that biolo­gists acknowledged many significant difficulties with both standard and newer evolutionary models when writing in scientific journals. Yet, when defending basic Darwinist commitments (such as the common ancestry of all life and the creative power of the natural selection / muta­tion mechanism) in popular books or textbooks, Darwinists employed an evasive and moraliz­ing rhetorical style to minimize problems and belittle critics. Johnson began to wonder why, given mounting difficulties, Darwinists remained so confident that all organisms had evolved naturally from simpler forms.

In the book Darwin on Trial, Johnson (1991) argued that evolutionary biologists remain confident about neo-Darwinism, not because empirical evidence generally supports the theory, but instead because their perception of the rules of scientific procedure virtually prevent them from considering any alternative view. Johnson cited, among other things, a communiqué from the National Academy of Sciences (NAS) issued to the Supreme Court during the Lou­isiana “creation science” trial. The NAS insisted that “the most basic characteristic of science” is a “reliance upon naturalistic explanations.”

While Johnson accepted this convention, called “methodological naturalism,” as an accu­rate description of how much of science operates, he argued that treating it as a normative rule when seeking to establish that natural processes alone produced life assumes the very point that neo-Darwinists are trying to establish. Johnson reminded readers that Darwinism does not just claim that evolution (in the sense of change over time) has occurred. Instead, it purports to establish that the major innovations in the history of life arose by purely natural mechanisms – that is, without any intelligent direction or design. Thus, Johnson distinguished the various meanings of the term “evolution” (such as change over time or common ancestry) from the central claim of Darwinism, namely, the claim that a purely undirected and unguided process had produced the appearance of design in living organisms. Following Richards Dawkins, the staunch modern defender of Darwinism, Johnson called this latter idea “the Blind Watch­maker thesis” to make clear that Darwinism as a theory is incompatible with the design hy­pothesis. In any case, he argued, modern Darwinists refuse to consider the possibility of de­sign because they think the rules of science forbid it.

Yet if the design hypothesis must be denied consideration from the outset, and if, as the U.S. National Academy of Sciences also asserted, exclusively negative argumentation against evolutionary theory is “unscientific,” then Johnson (1991: 8) observed that “the rules of ar­gument. […] make it impossible to question whether what we are being told about evolution is really true.” Defining opposing positions out of existence “may be one way to win an argu­ment,” but, said Johnson, it scarcely suffices to demonstrate the superiority of a protected the­ory.

When I first met Johnson at the aforementioned Greek restaurant it was not long after he had started his investigation of Darwinism. Nevertheless, we came to an immediate meeting of minds, albeit from different starting points. Johnson saw that, as matter of logic, the conven­tion of methodological naturalism forced scientists into a question-begging affirmation of the proposition that life and humankind had arisen “by a purposeless and natural process that did not have him in mind,” as the neo-Darwinist George Gaylord Simpson (1967: 45) had phrased it. For my part, I had come to question methodological naturalism because it seemed to pre­vent historical scientists from considering all the possible hypotheses that might explain the evidence – despite a clear methodological desideratum to do otherwise. How could an histori­cal scientist claim that he or she had inferred the best explanation if the causal adequacy of some hypotheses were arbitrarily excluded from consideration? For the method of multiple competing hypotheses to work, hypotheses must be allowed to compete without artificial re­strictions on the competition.

In any case, when Darwin on Trial was published in 1991 it created a minor media sensa­tion with magazines and newspapers all over America either reviewing the book or profiling the eccentric Berkeley professor who had dared to take on Darwin. Major science journals in­cluding Nature, Science and Scientific American also reviewed Darwin on Trial. The reviews, including one by Stephen J. Gould, were uniformly critical and even hostile. Yet these reviews helped publicize Johnson’s critique and attracted many scientists who shared Johnson’s skep­ticism about neo-Darwinism. This allowed Johnson to do something that, until that time, hadn’t been done: to bring together dissenting scientists from around the world.

Darwin’s Black Box and Michael Behe

One of those scientists, a tenured biochemist at Lehigh University, Michael Behe, had come to doubt Darwinian evolution in the same way that Johnson had – by reading Denton’s Evolution: A Theory in Crisis. Behe was a Roman Catholic and had been raised to accept Darwinism as the way God chose to create life. Thus, he had no theological objections to Darwinian evolution. For years he had accepted it without questioning. When he finished Denton’s book, he still had no theological objections to evolution, but he did have serious sci­entific doubts. He soon began to investigate what the evidence from his own field of biochem­istry had to say about the plausibility of the neo-Darwinian mechanism. Although he saw no reason to doubt that natural selection could produce relatively minor biological changes, he became extremely skeptical that the Darwinian mechanism could produce the kind of func­tionally integrated complexity that characterizes the inner workings of the cell. Intelligent de­sign, he concluded, must also have played a role.

As his interest grew, he began teaching a freshman course on the evolution controversy. Later in 1992, he wrote a letter to Science defending Johnson’s new book after it had been panned in the review that appeared there. When Johnson saw the letter in Science, he con­tacted Behe and eventually invited him to a symposium at Southern Methodist University in Texas, where Johnson debated the Darwinist philosopher of science Michael Ruse. The meet­ing was significant for two reasons. First, as Behe (2006: 37-47) explained, the scientists skep­tical of Darwin who were present at the debate were able to experience what they already be­lieved intellectually – they had strong arguments that could withstand high-level scrutiny from their peers. Second, at SMU, many of the leaders of the intelligent design research community would meet together for the first time in one place. Before, we had each been solitary skeptics, unsure of how to proceed against an entrenched scientific paradigm. Now we understood that we were part of an interdisciplinary intellectual community. After the symposium, Johnson ar­ranged a larger meeting the following year for a core group of dissidents at Pajaro Dunes, California (shown in the film Unlocking the Mystery of Life). There we talked science and strategy and, at Johnson’s prompting, joined an e-mail listserv so that we would remain in contact and hone our ideas. At Pajaro Dunes, “the movement” congealed.

Behe, in particular, used the new listserv to test and refine the various arguments for a book he was working on. Within three years, Darwin’s Black Box appeared with The Free Press, a major New York trade publisher. The book went on to sell a quarter million copies.

In Darwin’s Black Box, Behe pointed out that over the last 30 years, biologists have dis­covered an exquisite world of nanotechnology within living cells – complex circuits, molecu­lar motors and other miniature machines. For example, bacterial cells are propelled by tiny ro­tary engines called flagellar motors that rotate at speeds up to 100,000 rpm. These engines look as if they were designed by the Mazda corporation, with many distinct mechanical parts (made of proteins) including rotors, stators, O-rings, bushings, U-joints and drive shafts. (See Figure 2). Behe noted that the flagellar motor depends on the coordinated function of 30 pro­tein parts. Remove one of these necessary proteins and the rotary motor simply doesn’t work. The motor is, in Behe’s terminology, “irreducibly complex.”

This, he argued, creates a problem for the Darwinian mechanism. Natural selection pre­serves or “selects” functional advantages. If a random mutation helps an organism survive, it can be preserved and passed on to the next generation. Yet the flagellar motor does not func­tion unless all of its thirty parts are present. Thus, natural selection can “select” or preserve the motor once it has arisen as a functioning whole, but it can’t produce the motor in a step-by­step Darwinian fashion.

Natural selection purportedly builds complex systems from simpler structures by preserv­ing a series of intermediate structures, each of which must perform some function. In the case of the flagellar motor, most of the critical intermediate stages – like the 29-or 28-part version of the flagellar motor – perform no function for natural selection to preserve. This leaves the origin of the flagellar motor, and many complex cellular machines, unexplained by the mechanism – natural selection – that Darwin specifically proposed to replace the design hy­pothesis.

Fig-2-history.jpg

Is there a better explanation? Based upon our uniform experience, we know of only one type of cause that produces irreducibly complex systems – namely, intelligence. Indeed, whenever we encounter such complex systems – whether integrated circuits or internal com­bustion engines – and we know how they arose, invariably a designing intelligence played a role.

The strength of Behe’s argument can be judged in part by the responses of his critics. The neo-Darwinists have had ten years to respond and have so far mustered only vague stories about natural selection building irreducibly complex systems (like the flagellar motor) by “co­opting” simpler functional parts from other systems. For example, some of Behe’s critics, such as Kenneth Miller of Brown University, have suggested that the flagellar motor might have arisen from the functional parts of other simpler systems or from simpler subsystems of the motor. He and others have pointed to a tiny molecular syringe called a type III secretory system (or TTSS) – that is sometimes found in bacteria without the other parts of the flagellar motor present – to illustrate this possibility. Since the type III secretory system is made of ten or so proteins that are also found in the thirty-protein motor, and since this tiny pump does perform a function, Professor Miller (2004: 81-97) has intimated[13] that the bacterial flagellar motor might have arisen from this smaller pump.

While it’s true that the type III secretory system can function separately from the other parts of the flagellar motor, attempts to explain the origin of the flagellar motor by co-option of the TTSS face at least three key difficulties. First, the other twenty or so proteins in the flagellar motor are unique to it and are not found in any other bacterium. This raises the ques­tion: from where were these other protein parts co-opted? Second, as microbiologist Scott Minnich (Minnich and Meyer 2004: 295-304) of the University of Idaho points out, even if all the genes and protein parts were somehow available to make a flagellar motor during the evo­lution of life, the parts would need to be assembled in a specific temporal sequence similar to the way an automobile is assembled in factory. Yet, in order to choreograph the assembly of the flagellar motor, present-day bacteria need an elaborate system of genetic instructions as well as many other protein machines to regulate the timing of the expression of these assem­bly instructions. Arguably, this system is itself irreducibly complex. Thus, advocates of co­option tacitly presuppose the need for the very thing that the co-option hypotheses seek to ex­plain: a functionally interdependent system of proteins (and genes). Co-option only explains irreducible complexity by presupposing irreducible complexity. Third, analyses of the gene sequences of the two systems (Saier 2004: 113-115) suggest that the flagellar motor arose first and the pump came later. In other words, if anything, the syringe evolved from the motor, not the motor from the syringe. (See Behe 2006b: 255-272 for Behe’s response to his critics.)

An Institutional Home

In the same year, 1996, that Behe’s book appeared, the Center for Science and Culture was launched as part of the Seattle-based Discovery Institute. The Center began with a research fellowship program to support the research of scientists and scholars such as Michael Behe, Jonathan Wells and David Berlinski who were challenging neo-Darwinism or developing the alternative theory of intelligent design. The Center has now become the institutional hub for an international groups of scientists and scholars who are challenging scientific materialism or developing the theory of intelligent design.

William Dembski and The Design Inference

One of the first Center-supported research projects was completed two years later when mathematician and probability theorist William Dembski (1998) completed a monograph for Cambridge University Press titled The Design Inference. In this book, Dembski argued that ra­tional agents often infer or detect the prior activity of other designing minds by the character of the effects they leave behind. Archaeologists assume, for example, that rational agents pro­duced the inscriptions on the Rosetta Stone. Insurance fraud investigators detect certain “cheating patterns” that suggest intentional manipulation of circumstances rather than natural disasters. Cryptographers distinguish between random signals and those that carry encoded messages. Dembski’s work showed that recognizing the activity of intelligent agents consti­tutes a common and fully rational mode of inference.

More importantly, Dembski’s work explicated criteria by which rational agents recognize the effects of other rational agents, and distinguish them from the effects of natural causes. He argued that systems or sequences that have the joint properties of “high complexity” (or low probability) and “specification” invariably result from intelligent causes, not chance or physi­cal-chemical laws (see Dembski 1998: 36-66). Dembski noted that complex sequences are those that exhibit an irregular and improbable arrangement that defies expression by a simple rule or algorithm. According to Dembski, a specification, on the other hand, is a match or cor­respondence between a physical system or sequence and a set of independent functional re­quirements or constraints. To illustrate these concepts (of complexity and specification), con­sider the following three sets of symbols:

“inetehnsdysk]idfawqnz,mfdifhsnmcpew,ms.s/a”
“Time and tide waits for no man.”
“ABABABABABABABABABABABABAB”

Both the first and second sequences shown above are complex because both defy reduction to a simple rule. Each represents a highly irregular, aperiodic and improbable sequence of symbols. The third sequence is not complex, but is instead highly ordered and repetitive. Of the two complex sequences, only one exemplifies a set of independent functional requirements – i.e., is specified. English has a number of such functional requirements. For example, to con­vey meaning in English one must employ existing conventions of vocabulary (associations of symbol sequences with particular objects, concepts or ideas) and existing conventions of syn­tax and grammar (such as “every sentence requires a subject and a verb”). When arrangements of symbols “match” or utilize existing vocabulary and grammatical conventions (i.e., func­tional requirements), communication can occur. Such arrangements exhibit “specification.” The second sequence (“Time and tide waits for no man”) clearly exhibits such a match be­tween itself and the preexisting requirements of vocabulary and grammar. It has employed these conventions to express a meaningful idea.

Of the three sequences above only the second (“Time and tide waits for no man”) manifests both the jointly necessary indicators of a designed system. The third sequence lacks complex­ity, though it does exhibit a simple periodic pattern, a specification of sorts. The first sequence is complex, but not specified as we have seen. Only the second sequence exhibits both com­plexity and specification. Thus, according to Dembski’s theory, only the second sequence, but not the first and third, implicates an intelligent cause – as indeed our intuition tells us. (See Dembski 1998).

As it turns out, these criteria are equivalent (or “isomorphic”) to the notion of specified complexity or information content. Thus, Dembski’s work suggested that “high information content” or “specified information” or “specified complexity” indicates prior intelligent activ­ity. This theoretical insight comported with common, as well as scientific, experience. Few ra­tional people would, for example, attribute hieroglyphic inscriptions to natural forces such as wind or erosion; instead, they would immediately recognize the activity of intelligent agents. Dembski’s work shows why: Our reasoning involves a comparative evaluation process that he represents with a device he calls “the explanatory filter.” The filter outlines a formal method by which scientists (as well as ordinary people) decide among three different types of explana­tions: chance, necessity and design. (See Figure 3). His “explanatory filter” constituted, in ef­fect, a scientific method for detecting the effects of intelligence.

Fig-3-history.jpg

Dembski’s academic credentials were impeccable, and since the book had been published after a rigorous peer review process as part of the prestigious Cambridge University Press monograph series, his argument was difficult to ignore. Dembski’s formal method also rein­forced the argument that I was making simultaneously, namely, that the specified information in DNA is best explained by reference to an intelligent cause rather than by reference to chance, necessity or a combination of the two (Meyer 1998a; Meyer 1998b; Meyer 2003a; Meyer et al., 2003.) Indeed, the coding regions of the nucleotide base sequences in DNA manifest both complexity and specification just as does the second of the three symbol strings in the preceding illustration.

Design Beyond Biology

Meanwhile, the fledgling Center for Science and Culture was working with scientists and scholars around the world to develop the case for intelligent design not only in biology but also in the physical sciences. Since then, its fellows have written more than sixty books and hundreds of articles (including many peer-reviewed scientific articles challenging Darwinian evolution or, in some cases, explicitly arguing for intelligent design [see Meyer 2004: 213­239; see http://www.discovery.org/csc for other peer-reviewed books and articles supporting intelligent design]), and have appeared on hundreds of television and radio broadcasts, many of them national or international. In addition, the center co-produced four science documenta­ries and helped improve science education policy in seven states and in the U.S. Congress. As a result of these efforts, the work of the center has generated an international discussion about the growing evidence for design in nature.

Since so much of the intelligent design debate concerns biology, many journalists covering the debate – particularly those guided by boilerplate of the 1925 Scopes Monkey Trial and its Hollywood embodiment, Inherit the Wind – fail to mention that the theory of intelligent de­sign is larger than biology. In recent decades, molecular and cell biology have provided pow­erful evidence of design, but so too have chemistry, astronomy and physics.

Consider, for example, the role that physics has played in reviving the case for intelligent design. Since Fred Hoyle’s prediction and discovery of the resonance levels of Carbon in 1954 (Hoyle 1954: 121-146), physicists have discovered that the existence of life in the universe depends upon a number of precisely balanced physical factors (see Giberson 1997: 63-90; Yates, 1997: 91-104). The constants of physics, the initial conditions of the universe and many other of its contingent features appear delicately balanced to allow for the possibility of life. Even very slight alterations in the values of many independent factors such as the expansion rate of the universe, the speed of light, the precise strength of gravitational or electromagnetic attraction, would render life impossible. Physicists now refer to these factors as “anthropic co­incidences” and to the fortunate convergence of all these coincidences as the “fine-tuning of the universe.” Many have noted that this fine-tuning strongly suggests design by a pre-existent intelligence. As physicist Paul Davies (1988: 203) has put it, “The impression of design is overwhelming.”

To see why, consider the following illustration. Imagine a cosmic explorer has just stum­bled into the control room for the whole universe. There he discovers an elaborate “universe creating machine,” with rows and rows of dials each with many possible settings. As he inves­tigates, he learns that each dial represents some particular parameter that has to be calibrated with a precise value in order to create a universe in which life can survive. One dial represents the possible settings for the strong nuclear force, one for the gravitational constant, one for Planck’s constant, one for the speed of light, one for the ratio of the neutron mass to the pro­ton mass, one for the strength of electromagnetic attraction and so on. As our cosmic explorer examines the dials, he finds that the dials can be easily spun to different settings – that they could have been set otherwise. Moreover, he determines by careful calculation (he is a physi­cist) that even slight alterations in any of the dial settings would alter the architecture of the universe such that life would cease to exist. Yet for some reason each dial sits with just the exact value necessary to keep the universe running – like an already-opened bank safe with multiple dials in which every dial is found with just the just the right value. What should one infer about how these dial settings came to be set?

Not surprisingly, many physicists have been asking the same question about the anthropic coincidences. And for many,[14] the design hypothesis seems the most obvious and intuitively plausible answer to this question. As George Greenstein (1988: 26-27) muses, “the thought insistently arises that some supernatural agency, or rather Agency, must be involved.” As Fred Hoyle (1982: 16) commented, “a commonsense interpretation of the facts suggests that a su­perintellect has monkeyed with physics, as well as chemistry and biology, and that there are no blind forces worth speaking about in nature.” Or as he put it in his book The Intelligent Universe, “A component has evidently been missing from cosmological studies. The origin of the Universe, like the solution of the Rubik cube, requires an intelligence” (Hoyle 1983: 189). Many physicists now concur. They would argue that – in effect – the dials in the cosmic con­trol room appear finely-tuned because someone carefully set them that way.

In the 2004 book The Privileged Planet, astronomer Guillermo Gonzalez and philosopher Jay Richards extended this fine-tuning argument to planet earth (Gonzalez and Richards 2004). They showed first that the Earth’s suitability as a habitable planet depends on a host of very improbable conditions – conditions so improbable in fact as to call into question the widespread assumption that habitable planets are common in our galaxy or even the universe. Further, by drawing on a host of recent astronomical discoveries, Gonzalez and Richards also showed that the set of improbable conditions that render the earth habitable also make it an optimal place for observing the cosmos and making various scientific discoveries. As they put it, habitability correlates with discoverability. They argued that the best explanation for this correlation is that the earth was intelligently designed to be a habitable planet and a platform for making scientific discovery. The Privileged Planet makes a nuanced and cumulative ar­gument[15] – one that resists easy summation, but their groundbreaking advance of the fine-tuning argument for design was persuasive enough that such scientists as Cambridge’s Simon Conway Morris and Harvard’s Owen Gingerich endorsed the book, and David Hughes (2005: 113), a vice-president of the Royal Astronomical Society, gave it an enthusiastic review in the pages of The Observatory.

Three Philosophical Objections

On this and other fronts, advocates of the theory of intelligent design have stirred up de­bate at the highest levels of the scientific community. In response opponents have often re­sponded with philosophical rather than evidential objections. The three of the most common are: (1) that the theory of intelligent design is an argument from ignorance, (2) that it repre­sents the same kind of fallacious argument from analogy that David Hume criticized in the 18th century and (3) that the theory of intelligent design is not “scientific.” Let us examine each of these arguments in turn.

An Argument from Knowledge

Opponents of intelligent design frequently characterize the theory as an argument from ig­norance. According to this criticism anyone who makes a design inference from the presence of information or irreducible complexity in the biological world uses our present ignorance of an adequate materialistic cause of these phenomena as the sole basis for inferring an intelli­gent cause. Since, the objection goes, ‘design advocates can’t imagine a natural process that can produce biological information or irreducibly complex systems, they resort to invoking the mysterious notion of intelligent design.’ In this view, intelligent design functions not as an explanation, but as a placeholder for ignorance.

On the contrary, the arguments for intelligent design described in this essay do not consti­tute fallacious arguments from ignorance. Arguments from ignorance occur when evidence against a proposition is offered as the sole grounds for accepting another, alternative proposi­tion. The inferences and arguments to design made by contemporary design theorists don’t commit this fallacy. True, the design arguments employed by contemporary advocates of in­telligent design do depend in part upon negative assessments of the causal adequacy of com­peting materialistic hypotheses. And clearly, the lack of an adequate materialistic cause does provide part of the grounds for inferring design from information or irreducibly complex structures in the cell. Nevertheless, this lack is only part of the basis for inferring design. Ad­vocates of the theory of intelligent design also infer design because we know that intelligent agents can and do produce information-rich and irreducibly complex systems. In other words, we have positive experience-based knowledge of an alternative cause that is sufficient to have produced such effects. That cause is intelligence. Thus, design theorists infer design not just because natural processes do not or cannot explain the origin of specified information or irre­ducible complexity in biological systems, but also because we know based upon our uniform experience that only intelligent agents produce these effects. In other words, biological sys­tems manifest distinctive and positive hallmarks of intelligent design – ones that in any other realm of experience would trigger the recognition of an intelligent cause.

Thus, Michael Behe has inferred design not only because the mechanism of natural selec­tion cannot (in his judgment) produce “irreducibly complex” systems, but also because in our experience “irreducible complexity” is a feature of systems known always to result from intel­ligent design. That is, whenever we see systems that have the feature of irreducible complexity and we know the causal story about how such systems originated, invariably “intelligent de­sign” played a role in the origin of such systems. Thus, Behe infers intelligent design as the best explanation for the origin of irreducible complexity in cellular molecular motors and cir­cuits based upon what we know, not what we do not know, about the causal powers of intelli­gent agents and natural processes, respectively.

Similarly, the “specified complexity” or “specified information” of DNA implicates a prior intelligent cause, not only because (as I have argued) materialistic scenarios based upon chance, necessity and the combination of the two fail to explain the origin of such informa­tion, but also because we know that intelligent agents can and do produce information of this kind. In other words, we have positive experience-based knowledge of an alternative cause that is sufficient to have produced such effects, namely, intelligence. To quote Henry Quastler again, “Information habitually arises from conscious activity” (Quastler 1964: 16). For this reason, specified information also constitutes a distinctive hallmark (or signature) of intelli­gence. Indeed, in all cases where we know the causal origin of such information, experience has shown that intelligent design played a causal role. Thus, when we encounter such informa­tion in the bio-macromolecules necessary to life, we may infer – based upon our knowledge of established cause-effect relationships (i.e., “presently acting causes”) – that an intelligent cause operated in the past to produce the information necessary to the origin of life.

Thus, contemporary design advocates employ the standard uniformitarian method of rea­soning used in all historical sciences. That contemporary arguments for design necessarily in­clude critical evaluations of the causal adequacy of competing hypotheses is entirely appropri­ate. All historical scientists must compare causal adequacy of competing hypotheses in order to make a judgment as to which hypothesis is best. We would not say, for example, that an ar­cheologist had committed a “scribe of the gaps” fallacy simply because – after rejecting the hypothesis that an ancient hieroglyphic inscription was caused by a sand storm – he went on to conclude that the inscription had been produced by a human scribe. Instead, we recognize that the archeologist has made an inference based upon his experience-based knowledge that information-rich inscriptions invariably arise from intelligent causes, not solely upon his judgment that there are no suitably efficacious natural causes that could explain the inscrip­tion.

Not Analogy but Identity

Nor does the design argument from biological information depend on the analogical rea­soning that Hume critiqued since it does not depend upon assessments of degree of similarity. The argument does not depend upon the similarity of DNA to a computer program or human language but upon the presence of an identical feature (“information” defined as “complexity and specification”) in both DNA and all other designed systems, languages or artifacts. For this reason, the design argument from biological information does not represent an argument from analogy of the sort that Hume criticized, but an “inference to the best explanation.” Such arguments turn not on assessments of the degree of similarity between effects, but instead on an assessment of the adequacy of competing possible causes for the same effect. Because we know intelligent agents can (and do) produce complex and functionally specified sequences of symbols and arrangements of matter (information so defined), intelligent agency qualifies as a sufficient causal explanation for the origin of this effect. In addition, since naturalistic scenar­ios have proven universally inadequate for explaining the origin of such information, mind or creative intelligence now stands as the best explanation for the origin of this feature of living systems.

But Is It Science?

Of course, many simply refuse to consider the design hypothesis on grounds that it does not qualify as “scientific.” Such critics (see Ruse 1988: 103) affirm the extra-evidential principle mentioned above known as methodological naturalism or methodological materialism. Meth­odological naturalism asserts that, as a matter of definition, for a hypothesis, theory or expla­nation to qualify as “scientific,” it must invoke only materialistic entities. Thus, critics say, the theory of intelligent design does not qualify. Yet, even if one grants this definition, it does not follow that some nonscientific (as defined by methodological naturalism) or metaphysical hy­pothesis couldn’t constitute a better, more causally adequate, explanation of some phenomena than competing materialistic hypotheses. Design theorists argue that, whatever its classifica­tion, the design hypothesis does constitute a better explanation than its materialistic rivals for the origin of biological information, irreducibly complex systems and the fine-tuning of the constants of physics. Surely, simply classifying an argument as “not scientific” does not refute it.

In any case, methodological materialism now lacks justification as a normative definition of science. First, attempts to justify methodological materialism by reference to metaphysi­cally neutral (that is, non-question begging) demarcation criteria have failed (see Meyer 2000b; Meyer 2000c; Laudan 2000a: 337-50; Laudan 2000b: 351-355; Plantinga 1986a: 18­26; Plantinga 1986b: 22-34). Second, to assert methodological naturalism as a normative principle for all of science has a negative effect on the practice of certain scientific disciplines, especially those in the historical sciences. In origin-of-life research, for example, methodo­logical materialism artificially restricts inquiry and prevents scientists from considering some hypotheses that might provide the best, most causally adequate explanations. To be a truth-seeking endeavor, the question that origin-of-life researchers must address is not “Which ma­terialistic scenario seems most adequate?” but rather “What actually caused life to arise on Earth?” Clearly, it’s at least logically possibly that the answer to the latter question is this: “Life was designed by an intelligent agent that existed before the advent of humans.” If one accepts methodological naturalism as normative, however, scientists may never consider the design hypothesis as possibly true. Such an exclusionary logic diminishes the significance of any claim of theoretical superiority for any remaining hypothesis and raises the possibility that the best “scientific” explanation (as defined by methodological naturalism) may not be the best in fact.

As many historians and philosophers of science now recognize, scientific theory-evaluation is an inherently comparative enterprise. Theories that gain acceptance in artificially con­strained competitions can claim to be neither ‘most probably true’ nor ‘most empirically ade­quate.’ At best, such theories can be considered the ‘most probably true or adequate among an artificially limited set of options.’ Thus, an openness to the design hypothesis would seem necessary to any fully rational historical science – that is, to one that seeks the truth, “no holds barred” (Bridgman 1955: 535). An historical science committed to following the evidence wherever it leads will not exclude hypotheses a priori on metaphysical grounds. Instead, it will employ only metaphysically neutral criteria – such as explanatory power and causal ade­quacy – to evaluate competing hypotheses. This more open (and seemingly rational) approach to scientific theory evaluation suggests the theory of intelligent design as the best, most caus­ally adequate explanation for the origin of certain features of the natural world, especially in­cluding the origin of the specified information necessary to build the first living organism.

Conclusion

Of course, many continue to dismiss intelligent design as nothing but “religion masquerad­ing as science.” They point to the theory’s obviously friendly implications for theistic belief as a justification for classifying and dismissing the theory as “religion.” But such critics confuse the implications of the theory of intelligent design with its evidential basis. The theory of in­telligent design may well have theistic implications. But that is not grounds for dismissing it. Scientific theories must be judged by their ability to explain evidence, not by whether they have undesirable implications. Those who say otherwise flout logic and overlook the clear tes­timony of the history of science. For example, many scientists initially rejected the Big Bang theory because it seemed to challenge the idea of an eternally self-existent universe and pointed to the need for a transcendent cause of matter, space and time. But scientists eventu­ally accepted the theory despite such apparently unpleasant implications because the evidence strongly supported it. Today a similar metaphysical prejudice confronts the theory of intelli­gent design. Nevertheless, it too must be evaluated on the basis of the evidence, not our phi­losophical preferences or concerns about its possible religious implications. As Professor Flew, the long-time atheistic philosopher who has come to accept the case for design, advises: we must “follow the evidence wherever it leads.”

Acknowledgement: The author would like to acknowledge the assistance of Dr. Jonathan Witt in the preparation of parts of this article.

Notes

  1. Aquinas used the argument from design as one of his proofs for the existence of God.
  2. Kepler’s belief that the work of God is evident in nature is illustrated by his statement in the Har­monies of the World that God “the light of nature promote[s] in us the desire for the light of grace, that by its means [God] ma[y] transport us into the light of glory” (Kepler 1995: 240. See also Kline 1980: 39).
  3. Kant sought to limit the scope of the design argument, but did not reject it wholesale. Though he re­jected the argument as a proof of the transcendent and omnipotent God of Judeo-Christian theology, hestill accepted that it could establish the reality of a powerful and intelligent author of the world. In his words, “physical-theological argument can indeed lead us to the point of admiring the greatness, wisdom, power, etc., of the Author of the world, but can take us no further” (Kant 1963: 523).
  4. The effort to explain biological organisms was reinforced by a trend in science to provide fully natu­ralistic accounts for other phenomena such as the precise configuration of the planets in the solar system(Laplace) and the origin of geological features (Lyell and Hutton). It was also reinforced (and in large part made possible) by an emerging positivistic tradition in science that increasingly sought to exclude appeals to supernatural or intelligent causes from science by definition (see Gillespie 1987: 1-49).
  5. “[T]he fact of evolution was not generally accepted until a theory had been put forward to suggesthow evolution had occurred, and in particular how organisms could become adapted to their environ­ment; in the absence of such a theory, adaptation suggested design, and so implied a creator. It was this need which Darwin’s theory of natural selection satisfied” (Smith, 1975: 30).
  6. “There is absolutely no disagreement among professional biologists on the fact that evolution hasoccurred. […] But the theory of how evolution occurs is quite another matter, and is the subject of intense dispute” (Futuyma 1985: 3-13). Of course, to admit that natural selection cannot explain the appearance of design is in effect to admit that it has failed to perform the role that is claimed for it as a “designer substitute.”
  7. Note that similar developments were already taking place in Germany, starting with W.-E. Lönnig’s Auge – widerlegt Zufalls-Evolution [=The Eye Disproves Accidental Evolution] (Stuttgart: Selbstver­lag, 1976) and Henning Kahle’s book, Evolution – Irrweg moderner Wissenschaft? [=Evolution – Error of Modern Science?] (Bielefeld: Moderner Buch Service, 1980).
  8. Commenting on events at this symposium, mathematician David Berlinski writes, “However it may operate in life, randomness in language is the enemy of order, a way of annihilating meaning. And not only in language, but in any language-like system—computer programs, for example. The alien influ­ence of randomness in such systems was first noted by the distinguished French mathematician M. P. Schützenberger, who also marked the significance of this circumstance for evolutionary theory.
  9. For instance, it also received praise in the Journal of College Science Teaching and in a major re­view essay by Klaus Dose, “The Origin of Life: More Questions than Answers,” Interdisciplinary Sci­ence Reviews, 13.4, 1988.
  10. Gian Capretti (1983: 143) has developed the implications of Peircian abduction. Capretti and oth­ers explore the use of abductive reasoning by Sherlock Holmes in detective fiction of Sir Arthur Conan Doyle. Capretti attributes the success of Holmesian abductive “reconstructions” to a willingness to em­ploy a method of “progressively eliminating hypotheses.”
  11. Moreover, information increases as improbabilities multiply. The probability of getting four headsin a row when flipping a fair coin is 1/2 X 1/2 X 1/2 X 1/2 or (1/2)4. Thus, the probability of attaining a specific sequence of heads and/or tails decreases exponentially as the number of trials increases. The quantity of information increases correspondingly. Even so, information theorists found it convenient to measure information additively rather than multiplicatively. Thus, the common mathematical expression (I= –log2p) for calculating information converts probability values into informational measures through a negative logarithmic function, where the negative sign expresses an inverse relationship between in­formation and probability.
  12. I later extended this information argument to an analysis of the geologically-sudden appearance of animal body plans that occurred in the Cambrian period. In a peer-reviewed article published in 2004 with the Proceedings of the Biological Society of Washington, a journal published out of the Smithsonian Institution, I argued that intelligent design provided the best explanation of the quantum increase in bio­logical information that was necessary to build the Cambrian animals. In constructing this case, I again self-consciously followed the method of multiple competing hypotheses by showing that neither neo-Darwinian mechanism, nor structuralism, nor self-organizational models nor other materialistic modelsoffered an adequate causal explanation for the origin of the Cambrian explosion in biological form and information (see Meyer 2004: 213-239; Meyer et al. 2003). Instead, I argued that, based upon our uni­form and repeated experience, only intelligent agency (mind, not a material process) has demonstrated the power to produce the large amounts of specified information such as that which arose with the Cam­brian animals.
  13. Kenneth Miller carefully avoids saying that the bacterial flagellar motor actually did evolve from the type III secretory system. Instead, he insists that the TTSS simply refutes Behe’s claim that the flag­ellar motor is irreducibly complex. But as Behe has made clear his definition of “irreducible complexity”(IC) does not entail the claim that the parts of an irreducibly complex system perform no other function, only that the loss of parts from an irreducibly complex system destroys the function of that system. Sys­tems that are IC even by this less restrictive definition still pose formidable obstacles to co-option sce­narios, even granting that some of their parts may have had some other selectable function in the past. For co-option scenarios to be plausible, natural selection must build complex systems from simpler structures by preserving a series of intermediate structures, each of which must perform some function. For this reason, it is not enough for advocates of co-option to point to a single possible ancestral struc­ture, but instead they must show that a plausible series of such structures existed and could have main­tained function at each stage. In the case of the flagellar motor, co-option scenarios lack such plausibility in part because experimental research has shown that the presumptively precedent stages to a fully func­tional flagellar motor (for example, the 29, 28 and 27—part versions of the flagellar motor) have no mo­tor function. If the last stages in a hypothetical series of functional intermediates are not functional, then it follows that the series as a whole is not. For this and other reasons, co-option does not presently pro­vide either an adequate explanation of the origin of the flagellar motor or a better explanation than Behe’s design hypothesis.
  14. Greenstein himself does not favor the design hypothesis. Instead, he favors the so-called “participa­tory universe principle” or “PAP.” PAP attributes the apparent design of the fine tuning of the physicalconstants to the universe’s (alleged) need to be observed in order to exist. As he says, the universe “brought forth life in order to exist […] that the very Cosmos does not exist unless observed.” See Greenstein 1988: 223.
  15. In arguing that our place in the cosmos is optimized for life and discovery, they introduce a concept from engineering, constrained optimization, offering the example of a notebook computer. Yes, a note­book computer’s screen could be substantially bigger, but that would compromise its effectiveness as alightweight, portable computer. The best notebook computer is the best compromise among a range of sometimes competing qualities. In the same way, Earth’s situation in the cosmos might be improved inthis or that way, but these improvements would involve tradeoffs. For instance, if we were near the cen­ter of our galaxy, we might be able to learn more about the black hole posited to rest there, but the brightgalactic core would greatly compromise our ability to observe distant galaxies. Our actual viewing posi­tion, while perhaps not ideal in any one respect, possesses the same quality of constrained optimization that a well-designed notebook computer possesses.

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Müller, G. B. / Newman, S. A. (2003): Origination of organismal form: The forgotten cause in evolu­tionary theory, in: G. B. Müller / S. A. Newman (eds.), Origination of organismal form: Beyond the gene in developmental and evolutionary biology, Cambridge, MA, 3-12.

Nelson, P. / Wells, J. (2003): Homology in biology: problem for naturalistic science and prospect for in­telligent design, in: J. A. Campbell / S. C. Meyer (eds.), Darwinism, design and public education, Lansing, MI, 303-322.

Newton, I. (1934): Newton’s Principia: Motte’s translation revised (1686), translated by A. Motte, re­vised by F. Cajori, Berkeley, 543-44.

(1952): Opticks, New York, 369-70.

Paine, T. (1925): The life and works of Thomas Paine, vol. 8: The age of reason, New Rochelle, NY, 6.

Paley, W. (1852): Natural theology, Boston, 8-9.

Peirce, C. S. (1932): Collected papers, Vols. 1-6, edited by C. Hartshorne and P. Weiss, Cambridge, MA, vol. 2, 375.

Plantinga, A. (1986a): Methodological naturalism?, in: Origins and design 18.1, 18-26.

– (1986b): Methodological naturalism?, in: Origins and design 18.2, 22-34.

Plato (1960): The laws, translated by A. E. Taylor, London, 279.

Polanyi, M. (1967): Life transcending physics and chemistry, in: Chemical and engineering news 45(35), 21.

– (1968): Life’s irreducible structure, in: Science 160, 1308-12.

Ray, J. (1701): The wisdom of God manifested in the works of the creation, 3rd edition, London.

Quastler, H. (1964): The emergence of biological organization, 16. New Haven, Connecticut.

Reid, T. (1981): Lectures on natural theology (1780), edited by E. Duncan and W. R. Eakin, Washing­ton, D.C., 59.

Ruse, M. (1988): McLean v. Arkansas: Witness testimony sheet, in: M. Ruse (ed.), But is it science?, Amherst, NY, 103.

Saier, M. H. (2004): Evolution of bacterial type III protein secretion systems, in: Trends in microbiology 12, 113-115.

Shannon, C. E. (1948): A Mathematical theory of communication, in: Bell System Technical Journal, 27, 379–423; 623–56.

Shannon, C. E. / Weaver, W. (1949): The Mathematical theory of communication. Urbana, IL.

Schiller, F. C. S. (1903): Darwinism and design argument, in: Humanism: Philosophical essays, New York, 141.

Schneider, T. D. (1997): Information content of individual genetic sequences, in: Journal of Theoretical Biology, 189, 427–41.

Schützenberger, M. (1967): Algorithms and neo-Darwinian theory, in: P. S. Moorhead / M. M. Kaplan (eds.), Mathematical challenges to the neo-Darwinian interpretation of evolution, Philadelphia, 73-5.

Scriven, M. (1959): Explanation and prediction in evolutionary theory, in: Science 130, 477-82.

(1966): Causes, connections and conditions in history, in: W. H. Dray (ed.), Philosophical analysis and history, New York, 238-64.

Simpson, G. G. (1978): The meaning of evolution, Cambridge, MA, 45.

Smith, J. M. (1975): The theory of evolution, 3rd edition, London, 30.

Sober, E. (1988): Reconstructing the past: parsimony, evolution, and inference, Cambridge, MA, 1-5.

Taylor, G. R. (1983): The great evolution mystery, New York, 4.

Thaxton, C. / Bradley, W. / Olsen, R. L. (1984): The mystery of life’s origin, New York.

Wallace, A. R. (1991): Sir Charles Lyell on geological climates the origin of species, in: C. H. Smith (ed.), An anthology of his shorter writings, Oxford, 33-34.

Whewell, W. (1840): The philosophy of the inductive sciences, 2 vols., London, vol. 2, 121-22; 101-03.

– (1857): History of the inductive sciences, 3 vols., London, vol. 3, 397.

Witham, L. (2003): By design, San Francisco, chapter 2. Woodward, T. (2003): Doubts about Darwin: A history of intelligent design, Grand Rapids, Michigan, 69.

Yates, S. (1997): Postmodern creation myth? A response, in: Journal of interdisciplinary studies 9, 91­, 104.

Yockey, H. P. (1992): Information theory and molecular biology, Cambridge.

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Tornado-Designed 747s The Irrationality of Atheism  by  Chuck Colson 

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Tornado-Designed 747s

The Irrationality of Atheism  by  Chuck Colson
Category: , Christian Worldview

I remember an incident back during my Watergate days that illustrates how utterly irrational atheism is. I had approached one of my colleagues to offer spiritual help. He was on his way to prison.

“No thanks,” was his reply. “I’m a rationalist.” He’d decided that God was merely the figment of a pious imagination.

For a time his “rationalism” seemed to work. After his prison term, he went on to a successful business career. He seemed to have it all together—without God.

But years later rumors reached me that my former colleague was reading Christian literature, seeking deeper answers to life. “I can no longer be an atheist,” he wrote to me, “for I cannot get by the question of how life began. The scientific rationales are themselves simply irrational.”

But, of course, my friend came to realize what some of our best scientific minds are telling us: that it is irrational to believe that the universe came into existence through purely natural causes.

In his book Origins, Robert Shapiro describes a set of calculations performed by Yale University physicist Harold Morowitz. Morowitz calculated the probability of generating a single bacterium by chance as 1 chance in 10 to the 100 billionth power: that’s the number 10 followed by 100 billion zeros.

Shapiro concludes that “the improbability involved in generating even one bacterium is so large that it reduces all considerations of time and space to nothingness.” In other words, belief in the random generation of life requires a herculean leap of faith.

It’s no wonder that British astronomer Sir Fred Hoyle dismissed the idea of the random origin of life. It is “as ridiculous and improbable as the proposition that a tornado blowing through a junkyard may assemble a Boeing 747.”

Well put. In fact, the onus is on the nonbeliever to provide a credible explanation as to how life could have come into being without God.

Some quite imaginative ideas have been proposed. Francis Crick, the scientist who discovered the double helix structure of DNA, realized the impossibility of such complexity arising on Earth by chance. Crick’s solution? He theorized that DNA had somehow been transported to our planet from elsewhere in the universe.

That, of course, absurd as it is, just moves the problem back a step. The real question is how something as complex as DNA could have developed by chance anywhere in the universe. A world view predicated on the existence of a Creator—far from being irrational sentiment—is actually the only intellectually defensible position. Historian Paul Johnson writes that there has been “an orgy of scientific God-questing . . . books by eminent scientists” disillusioned with the failures of current theories.

So don’t be intimidated by worn-out charges that faith in God is blind and irrational. It’s quite the contrary. Why don’t you share this entire special series with your neighbors?

Atheists can’t be too careful. Like my Watergate pal, when they subject their atheism to rigorous scrutiny—they soon realize that their flight from God is no more rational than a tornado-designed 747.

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It is NOT true that all scientists believe in Evolution. September 21, 2011 by freechristianteaching

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sir fred hoyle

Sir Fred Hoyle

Sir Fred Hoyle, a famous UKastronomer, wrote: 

“A super intellect has monkeyed with physics, as well as with chemistry and biology … The likelihood of the formation of life from inanimate matter is one to a number of 10 with 40 thousand noughts (zeros) after it. It is enough to bury Darwin and the whole theory of Evolution. There was no primeval soup, neither on this planet nor on any other, and if the beginnings of life were not random they must therefore have been the product of a purposeful intelligence,” (Nature: vol.294:105, Nov 12 1981).

francis crick

Francis Crick

In 1982 Francis Crick, after discovering DNA, wrote: 

“An honest man, armed with all the knowledge available to us now, could only state that in some sense, the Origin of lifeappears at the moment to be almost a miracle, so many are the conditions which would have to be satisfied to get it going”(Life Itself, Its Origin and Nature, Futura, London 1982).

James Jeans

Sir James Jeans

In 1930 British physicist Sir James Jeans wrote: 

“Nature seems very conversant with the rules of pure mathematics … In the same way, a scientific study of the action of the Universe has suggested a conclusion which may be summed up… in the statement that the Universe appears to have been designed by a pure mathematician… the Universe can best be pictured, although still very imperfectly and inadequately, as consisting of pure thought… If the Universe is a Universe of thought, then its Creation must have been an act of thought. Indeed the finiteness of space compels us to think of the creator as working outside time and space, which are part of his Creation, just as an artist is outside his canvas,” (The Mysterious Universe p 146).

robert jastrow

Robert Jastrow

NASA astronomer Robert Jastrow wrote:

Robert Jastrow “Now we see how the astronomical evidence leads to a Biblical view of the Origin of the world: the chain of events leading to man commenced suddenly and sharply in a definite moment of time, in a flash of light and energy”, (God and the Astronomers, page 14).

prof george greenstein

Professor George Greenstein

The astronomer George Greenstein wrote:

“As we survey all the evidence, the thought instantly arises that some supernatural agency, or rather Agency, must be involved. Is it possible that suddenly, without intending to, we have stumbled upon the existence of a Supreme Being? Was it God who stepped in and so providentially crafted the cosmos for our benefit? ” 

dr arno penzias

Dr Arno Penzias

Physicist and Nobel Laureate Arno Penziaswrote:

“Astronomy leads us to a unique event, an Universe which was created out of nothing, one with a very delicate balance needed to provide exactly the conditions required to permit life, and one which has an underlying (one might say ‘supernatural’) plan.” 

Robert Shapiro wrote: 

“The improbability involved in generating even one bacterium is so large that it reduces all considerations of time and space to nothingness. Given such odds, the time until the black holes evaporate and the space to the ends of the Universe would make no difference at all. If we were to wait, we would truly be waiting for a miracle”,

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Many people have questioned the accuracy of the Bible, but I have posted many videos and articles with evidence pointing out that the Bible has many pieces of evidence from archaeology supporting the view that the Bible is historically accurate. Take a look at the video above and below.

_________________________-

Many people have questioned the accuracy of the Bible, but I have posted many videos and articles with evidence pointing out that the Bible has many pieces of evidence from archaeology supporting the view that the Bible is historically accurate. Take a look at the video above and below.

The Bible and Archaeology – Is the Bible from God? (Kyle Butt 42 min)

You want some evidence that indicates that the Bible is true? Here is a good place to start and that is taking a closer look at the archaeology of the Old Testament times. Is the Bible historically accurate? Here are some of the posts I have done in the past on the subject: 1. The Babylonian Chronicle, of Nebuchadnezzars Siege of Jerusalem, 2. Hezekiah’s Siloam Tunnel Inscription. 3. Taylor Prism (Sennacherib Hexagonal Prism), 4. Biblical Cities Attested Archaeologically. 5. The Discovery of the Hittites, 6.Shishak Smiting His Captives, 7. Moabite Stone, 8. Black Obelisk of Shalmaneser III, 9A Verification of places in Gospel of John and Book of Acts., 9B Discovery of Ebla Tablets. 10. Cyrus Cylinder, 11. Puru “The lot of Yahali” 9th Century B.C.E., 12. The Uzziah Tablet Inscription, 13. The Pilate Inscription, 14. Caiaphas Ossuary, 14 B Pontius Pilate Part 2, 14c. Three greatest American Archaeologists moved to accept Bible’s accuracy through archaeology.,

Here is some very convincing evidence that points to the view that the Bible is historically accurate.

Archaeological and External Evidence for the Bible

Archeology consistently confirms the Bible!

Archaeology and the Old Testament

Ebla tablets—discovered in 1970s in Northern Syria. Documents written on clay tablets from around 2300 B.C. demonstrate that personal and place names in the Patriarchal accounts are genuine. In use in Ebla was the name “Canaan,” a name critics once said was not used at that time and was used incorrectly in the early chapters of the Bible. The tablets refer to all five “cities of the plain” mentioned in Genesis 14, previously assumed to have been mere legends.
Greater proportion of Egyptian words in the Pentateuch (first five books) than in rest of the Old Testament. Accurate Egyptian names: Potiphar (Gen.39), Zaphenath-Paneah (Joseph’s Egyptian name, Gen. 41:45), Asenath (Gen.41:45), On (Gen. 41:45), Rameses (Gen. 47:11), Oithom (Exodus 1:11).
Finds in Egypt are consistent with the time, place, and other details of biblical accounts of the Israelites in Egypt. These include housing and tombs that could have been of the Israelites, as well as a villa and tomb that could have been Joseph’s.
Confounding earlier skeptics, but confirming the Bible, an important discovery was made in Egypt in 1896. A tablet—the Merneptah Stela—was found that mentions Israel. (Merneptah was the pharaoh that ruled Egypt in 1212-1202 B.C.) The context of the stela indicates that Israel was a significant entity in the late 13th century B.C.
The Hittites were once thought to be a biblical legend, until their capital and records were discovered in Turkey.
Crucial find in Nuzi (northeastern Iraq), an entire cache of Hittite legal documents from 1400 B.C. Confirms many details of Genesis, Deuteronomy, such as: (a) siring of legitimate children through handmaidens, (b) oral deathbed will as binding, (c) the power to sell one’s birthright for relatively trivial property (Jacob & Esau), (d) need for family idols, such as Rachel stole from Laban, to secure inheritance, (e) form of the covenant in Deuteronomy exactly matches the form of suzerainty treaties between Hittite emperors and vassal kings.
Walls of Jericho—discovery in 1930s by John Garstang. The walls fell suddenly, and outwardly (unique), so Israelites could clamber over the ruins into the city (Joshua 6:20).
In 1986, scholars identified an ancient seal belonging to Baruch, son of Neriah, a scribe who recorded the prophecies of Jeremiah (Jer. 45:11).
In 1990, Harvard researchers unearthed a silver-plated bronze calf figurine reminiscent of the huge golden calf mentioned in the book of Exodus.
In 1993, archaeologists uncovered a 9th century B.C. inscription at Tel Dan. The words carved into a chunk of basalt refer to the “House of David” and the “King of Israel.” And the Bible’s version of Israelite history after the reign of David’s son, Solomon, is believed to be based on historical fact because it is corroborated by independent account of Egyptian and Assyrian inscriptions.
It was once claimed there was no Assyrian king named Sargon as recorded in Isaiah 20:1, because this name was not known in any other record. Then, Sargon’s palace was discovered in Iraq. The very event mentioned in Isaiah 20, his capture of Ashdod, was recorded in the palace walls! Even more, fragments of a stela (a poetic eulogy) memorializing the victory were found at Ashdod itself.
Another king who was in doubt was Belshazzar, king of Babylon, named in Daniel 5. The last king of Babylon was Nabonidus according to recorded history. Tablet was found showing that Belshazzar was Nabonidus’ son.
The ruins of Sodom and Gomorrah have been discovered southeast of the Dead Sea. Evidence at the site seems consistent with the biblical account: “Then the Lord rained down burning sulfur on Sodom and Gomorrah—from the Lord out of the heavens.” The destruction debris was about 3 feet thick and buildings were burned from fires that started on the rooftops. Geologist Frederick Clapp theorizes that that pressure from an earthquake could have spewed out sulfur-laden bitumen (similar to asphalt) known to be in the area through the fault line upon which the cities rest. The dense smoke reported by Abraham is consistent with a fire from such material, which could have ignited by a spark or ground fire.
Archaeology and the New Testament

The New Testament mentions specific individuals, places, and various official titles of local authorities, confirmed by recent archeology. Luke sites exact titles of officials. (Titles varied from city to city so they are easily checked for accuracy.) Lysanias the Tetrarch in Abilene (Luke 3:1)—verified by inscription dated 14-29 A.D. Erastus, city treasurer of Corinth (Romans 16:23)—verified by pavement inscription. Gallio—proconsul of Achaia (Greece) in A.D. 51 (Acts 18:12). Politarchs (“city ruler”) in Thessalonica (Acts 17:6). Chief Man of the Island on Malta (Acts 28:7). Stone Pavement at Pilate’s headquarters (John 19:13)—discovered recently. Pool at Bethesda— discovered in 1888. Many examples of silver shrines to Artemis found (Acts 19:28). Inscription confirms the title of the city as “Temple Warden of Artemis”. Account of Paul’s sea voyage in Acts is “one of the most instructive documents for the knowledge of ancient seamanship.”
Census of Luke 1. Census began under Augustus approximately every 14 years: 23-22 B.C., 9-8 B.C., 6 A.D. There is evidence of enrollment in 11-8 B.C. in Egyptian papyri.
Problem: Historian Josephus puts Quirinius as governor in Syria at 6 A.D. Solution: Recent inscription confirms that Quirinius served as governor in 7 B. C. (in extraordinary, military capacity).
Problem: Herod’s kingdom was not part of the Roman Empire at the time, so there would not have been a census. Solution: it was a client kingdom. Augustus treated Herod as subject (Josephus). Parallel—a census took place in the client kingdom of Antiochus in eastern Asia Minor under Tiberius.
Enrollment in hometown? Confirmed by edict of Vibius Maximus, Roman prefect of Egypt, in 104 A.D. “…it is necessary for all who are for any cause whatsoever way from their administrative divisions to return home to comply with the customary ordinance of enrollment.”
Opinion of Sir William Ramsay, one of the outstanding Near Eastern archeologists: “Luke is a historian of the first rank; not merely are his statements of fact trustworthy; he is possessed of the true historic sense; he fixes his mind on the idea and plan that rules in the evolution of history, and proportions the scale of his treatment to the importance of each incident. He seizes the important and critical events and shows their true nature at greater length…In short, this author should be placed among the very greatest of historians.”
Diggers recently uncovered an ossuary (repository for bones) with the inscription “Joseph Son of Caiaphas.” This marked the first archaeological evidence that the high priest Caiaphas was a real person. According to the gospels, Caiaphas presided at the Sanhedrin’s trial of Jesus.
External References to Jesus and the Christian Church.

Josephus. Born to priestly family in A.D. 37. Commanded Jewish troops in Galilee during rebellion. Surrendered, and earned favor of Emperor Vespasian. Wrote 20 books of Antiquities of the Jews. Refers to John the Baptist (killed by Herod) and to James, the brother of Jesus (condemned to death by stoning by the Sanhedrin). He referred to Jesus in his Antiquities 18:63. The standard text of Josephus reads as follows:
“About this time lived Jesus, a wise man, if indeed one ought to call him a man. For he was the achiever of extraordinary deeds and was a teacher of those who accept the truth gladly. He won over many Jews and many of the Greeks. He was the Messiah. When he was indicted by the principal men among us and Pilate condemned him to be crucified, those who had come to love him originally did not cease to do so; for he appeared to them on the third day restored to life, as the prophets of the Deity had foretold these and countless other marvelous things about him, and the tribe of the Christians, so named after him, has not disappeared to this day.” (Josephus—The Essential Works, P. L. Maier ed./trans.).

Although this passage is so worded in the Josephus manuscripts as early as the third-century church historian Eusebius, scholars have long suspected a Christian interpolation, since Josephus could hardly have believed Jesus to be the Messiah or in his resurrection and have remained, as he did, a non-Christian Jew. In 1972, however, Professor Schlomo Pines of the Hebrew University in Jerusalem announced his discovery of a different manuscript tradition of Josephus’s writings in the tenth-century Melkite historian Agapius, which reads as follows:

“At this time there was a wise man called Jesus, and his conduct was good, and he was known to be virtuous. Many people among the Jews and the other nations became his disciples. Pilate condemned him to be crucified and to die. But those who had become his disciples did not abandon his discipleship. They reported that he had appeared to them three days after his crucifixion and that he was alive. Accordingly, he was perhaps the Messiah, concerning whom the prophets have reported wonders. And the tribe of the Christians, so named after him, has not disappeared to this day.”

Here, clearly, is language that a Jew could have written without conversion to Christianity. (Schlomo Pines, An Arabic Version of the Testimonium Flavianum and its Implications [Jerusalem: Israel Academy of Sciences and Humanities, 1971.])

According to Dr. Paul Maier, professor of ancient history, “Scholars fall into three basic camps regarding Antiquities 18:63: 1) The original passage is entirely authentic—a minority position; 2) it is entirely a Christian forgery—a much smaller minority position; and 3) it contains Christian interpolations in what was Josephus’s original, authentic material about Jesus—the large majority position today, particularly in view of the Agapian text (immediately above) which shows no signs of interpolation. Josephus must have mentioned Jesus in authentic core material at 18:63 since this passage is present in all Greek manuscripts of Josephus, and the Agapian version accords well with his grammar and vocabulary elsewhere. Moreover, Jesus is portrayed as a ‘wise man’ [sophos aner], a phrase not used by Christians but employed by Josephus for such personalities as David and Solomon in the Hebrew Bible. Furthermore, his claim that Jesus won over “many of the Greeks” is not substantiated in the New Testament, and thus hardly a Christian interpolation but rather something that Josephus would have noted in his own day. Finally, the fact that the second reference to Jesus at Antiquities 20:200, which follows, merely calls him the Christos [Messiah] without further explanation suggests that a previous, fuller identification had already taken place. Had Jesus appeared for the first time at the later point in Josephus’s record, he would most probably have introduced a phrase like “…brother of a certain Jesus, who was called the Christ.”

Early Gentile writers, referred to by Christian apologists in 2nd century.
Thallus—wrote a history of Greece and Asia Minor in A.D. 52. Julius Africanus (221 AD), commenting on Thallus, said: “Thallus, in the third book of his histories, explains away the darkness [during the crucifixion] as an eclipse of the sun—unreasonably, as it seems to me [since the Passover took place during a full moon.]”
Official Roman records of the census, and Pontius Pilate’s official report to the Emperor. Justin Martyr wrote his “Defense of Christianity” to Emperor Antonius Pius, referred him to Pilate’s report, preserved in the archives. Tertullian, writing to Roman officials, writes with confidence that records of the Luke 1 census can still be found.
Roman historians
Tacitus—Greatest Roman historian, born 52 A.D., wrote a history of the reign of Nero in 110 A.D. “…Christus, from whom they got their name, had been executed by sentence of the procurator Pontius Pilate when Tiberias was emperor; and the pernicious superstition was checked for a short time only to break out afresh, not only in Judea, the home of the plague, but in Rome itself, .. ” (Annals 15:44)
Suetonius—AD. 120. In his Life of Claudius: “As the Jews were making disturbances at the instigation of Chrestus, he expelled them from Rome.”
Pliny the Younger—Governor of Bithynia in Asia Minor, wrote the emperor in A.D. 112 about the sect of Christians, who were in “the habit of meeting on a certain fixed day, before it was light, when they sang an anthem to Christ as God.”
Note: A good web site for biblical archaeology is http://www.christiananswers.net.

Manuscript Evidence
Archaeological Evidence
Prophetic Evidence
Statistical Evidence
Introduction to Apologetics
Summary for Memorization
__________

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