Semantic search
The concept of the Buddha's real or essential nature is referred to by (or better: rests upon) many different Sanskrit terms - e.g. (tathāgata-)dhātu, (buddha-)gotra, (tathāgata-)garbha, dharmatā, dharma-kāya, buddhatā. Other terms that are closely related are Tathatā, āśraya, prakṛti, prabhāsvara-citta, dharma-dhātu, buddha-jñāna.'"`UNIQ--ref-000011ED-QINU`"' So when we speak of the Buddha-nature (which is how I will abbreviate the more cumbersome 'the Buddha's real or essential nature' from now on), we are tacitly drawing upon some or all of these terms, which have their own ramifications and interrelations, of course. This is a very complex situation and I want to try and clarify it by approaching it from two angles. First, historically, I want to propose that Buddhism in India always had within it three strands which tended to view and understand the Dharma from their own standpoint; these strands are those of śīla, samādhi and prajñā (see p. 262 for details). Secondly, conceptually, I propose a number of what may be called conceptual nets or images (e.g. withinness, foundation, nature/being—see p. 263 for details) that can be applied to the concept of the Buddha-nature, and which (a) tend to hang together as a group, but in addition (b) each of the conceptual nets to a large extent determines the sort of terminology that is used when speaking of the Buddha-nature. Part of my argument is that works like the RGV (and to a lesser degree, the ŚMS) represent a systematization of the different terms (and hence, tacitly, the conceptual nets that give rise to these terms) that were available at the time that the Mahāyāna was growing to maturity.'"`UNIQ--ref-000011EE-QINU`"' This period of the Mahāyāna is usually referred to as the third turning of the Dharma-cakra; it involved a fundamental shift in the axis of Buddhism which led to a bhedābheda philosophy (i.e. the Absolute is both distinct and non-distinct from its attributes). Finally, we look at what the Chinese made of all this. They settled on the term fo hsing to mean 'Buddha-nature', but we find that hsing is used to translate different Sanskrit terms (e.g. prakṛti, gotra, bhāva—see p. 267 for details), and that these Sanskrit terms are themselves translated by other words than hsing (e.g. t'i, shen, chen, shih). In other words, the inherent ambiguities in the Sanskrit terminology are replaced by inherent ambiguities in the Chinese terminology. In addition, because garbha (which nearly always means 'embryo' in Sanskrit) is translated by ts'ang, ( = 'womb'; lit. 'storehouse'), a certain vacuum was created in the Chinese vocabulary which the terms fo hsing and fo hsin ( = buddha-citta) neatly filled. (Rawlinson, introductory remarks, 259–60)
Buddhism, and especially early Buddhism, is known for the anātman (no self) teaching. By any account, this teaching is central to both doctrine and practice from the beginning. Zen Buddhism (Chinese Ch'an), in contrast, is known for its teaching that the single most important thing in life is to discover the 'true self'. Is there a real, or only an apparent, conflict between these two versions of Buddhism? Certainly there is at the least a radical change in the linguistic formulation of the teaching. Examining the two teachings on the linguistic level, we note that the use of the term 'true' in the phrase 'true self' may indicate that we have here a conscious reformation of the place of the term 'self' in the tradition, or perhaps that the use of this phrase in Zen is the product of such a conscious formulation. Thus we may expect, upon investigation, to find an evolution from one teaching to the other, rather than a true doctrinal disparity. The apparent, or linguistic, conflict between the two, however, remains; hence we must also expect to find a doctrinal formulation at some point in this evolution in which the apparent conflict is consciously apprehended and resolved.
That is, Buddhism embraces both the teaching that there is no self and the teaching that the goal of life is to discover the true self. Not only does Buddhism embrace these two formulations, but each in its own context is the central pivot of the teachings of the school or community concerned. Two questions arise here. (1) How can a single tradition affirm both no self and true self? How can the two ideas be reconciled? (This is the philosophical question.) (2) In linking early Buddhism and Zen we are discussing two religious movements separated by approximately 12 centuries and by their development in two vastly different cultures, the Indian and the Chinese. What is there in the course of this development that could account for the transition from talk of no self to talk of true self? (This is the question of intellectual history.) In the present essay I will attempt to show that it is by examining the Buddha nature (fo hsing 佛性) concept and understanding it as a term representing certain actions that these questions may be answered. (King, "The Buddha Nature," 255)
Watsuji Tetsurō (1889-1960) brought Dōgen out of this long period of obscurity with his treatise Shamon Dōgen written between 1919 and 1921.'"`UNIQ--ref-00000D58-QINU`"' Watsuji's contribution, however, is not limited to his introduction of Dōgen to public attention. Instead of treating Dōgen as the founder of the Sōtō School, he presents him as a human being, a person, a man (hito):
- ...it may be justifiable to assert that I opened a gate to a new interpretation of Dōgen. He thereby becomes not the Dōgen of a sect but of mankind; not the founder Dōgen but rather our Dōgen. The reason why I claim it so daringly is due to my realization that his truth was killed by sheer sectarian treatments (Watsuji 1925,p. 160).
This realization grew out of Watsuji’s effort to solve the problem of how a layman like himself could attempt to understand Dōgen's "truth" without engaging in the rigorous training prescribed by the Zen tradition (Watsuji 1925, p , 156). A sectarian would claim that the "truth" must be experienced immediately and that any attempt to verbalize or conceptualize it constitutes falsification. If the immediate experience is the only gateway to the "truth," as the sectarian would claim, why did Dōgen himself write so much? Dōgen believed that it was through writing that his truth was to be transmitted to others. For his own religious training, he singlemindedly concentrated on sitting in meditation; yet he saw no intrinsic conflict between sitting and writing. This is why Dōgen started writing Shōbōgenzō in 1231: so that he might be able to "transmit the
Buddha’s authentic Dharma to those who are misguided by false teachers" (Watsuji 1925, p. 157). Watsuji further quotes from Dogen: "Although it (Shōbōgenzō) might appear to be a mere 'theory,' it still bears indispensable importance for the sake of Dharma" (1925,p. 157). Thus Watsuji claims that his approach, which relies on words and concepts, is a valid alternative to the monk’s subjective pursuit.
According to Dōgen, enlightenment is possible only through rigorous sitting in meditation (kufū zazen) and through the study of Dharma under a master (sanshi monpō). One can encounter Dōgen as a master through his writings, for he answers one’s questions in his works. But one still must practice sitting in meditation. Watsuji insists that meditation can be done in an office or a study as well as in a meditation hall; he even goes so far as to say that perhaps a study may be a more congenial place for this purpose than a meditation hall when many monasteries are no longer concerned with the transmission of the truth but are immersed in secular concerns (1925,p. 158). Therefore, for Watsuji, meditation does not necessarily require the act of entering a monastery.
Of the two prerequisites for the realization of the truth, sitting in meditation is left to the individual. But the other, the pursuit of Dharma under a master, is Watsuji's principle concern. Shamon Dogen is an account of Watsuji's personal encounter with the person of Dōgen as he speaks in his writings, primarily Shōbōgenzō and Shōbōgenzō zuimonki, the latter of which was compiled by Ejō, Dōgen's closest disciple. In Watsuji's treatise, we encounter not only Watsuji as he faced Dōgen but Dōgen himself.
Watsuji’s new methodology considers it central to discover and encounter the person (hito) of Dōgen in his works.'"`UNIQ--ref-00000D59-QINU`"' Many people have followed Watsuji’s methodology. Professor Tamaki Kōshirō of the University of Tokyo, for instance, remarks that not only was he first exposed to Dōgen through Watsuji, but also that he encountered the living Dōgen in Watsuji’s treatise.'"`UNIQ--ref-00000D5A-QINU`"'
This writer finds Watsuji's methodology to be particularly applicable to the study of Dōgen. Dōgen himself saw the truth fully embodied in the personhood of his Chinese master, Juching. Dōgen's encounter with this individual was the single
most decisive experience in his life, as is abundantly attested in his writings. Furthermore, Dōgen repeatedly discouraged his disciples from associating with institutionalized Zen. This paper, therefore, is the result of the writer’s attempt to encounter the personhood of Dōgen.
While this writer uses Watsuji’s methodology, the main body of literature that is examined in this paper is the chapter of Dōgen’s Shōbōgenzō devoted to the busshō or Buddha-nature. The reasons for this choice are three. The question that tormented the young monk Dōgen concerned the Buddha-nature. Dōgen's search for the answer to this question took him to the eminent monks of his time: Kōen of Mt. Hiei; Kōin of Miidera temple;
Yōsai of Kenninji temple; Myōzen, who succeeded Yōsai at this first Rinzai Zen monastery in Japan; Wu-chi Liao-pai and finally T'ien-t'ung Ju-ching in Southern Sung China. This pilgrimage spanned a period of over ten years ending in 1225 when he attained enlightenment under Ju-ching’s instruction and solved his question. Thus it is possible to look at Dōgen's formative years as a continuing struggle with the fundamental question he first raised on Mt. Hiei. Secondly, the Buddha-nature chapter is one of the longest of the ninety-two chapters, in the Shōbōgenzō which may suggest Dōgen's particular concern for the subject matter. Lastly, the original manuscript of this chapter, now preserved in Eiheiji temple, bears witness to the fact that Dōgen laboriously revised the chapter a number of times. Study of the Buddha-nature chapter, therefore, can
reasonably be taken as central to understanding Dōgen's life and thought. (Kodera, "The Buddha-nature in Dogen's
Shōbōgenzō," 267–70)
So far, no lifeless universe has been discovered. That is, the occurrence of matter without the occurrence of life is, judging by the available empirical evidence viewed globally, something that does not happen. In every case that matter has been there in any universe, life has occurred—eventually.
I do not mean that there has never been a time, a single snapshot moment or a billion such moments, during which there was only matter but no life. Nor do I mean that there is no part of the universe in which, considered in isolation from all other parts, there is only lifelessness. "In every case that matter has been there in any universe, life has occurred" is true even if there are immense periods of time, considered in isolation, and immense swaths of space, considered in isolation, where there is no life.
The crux of the problem, however, lies in those three words, "considered in isolation." Everything depends on how we divide things up, where our definition of "one thing" begins and ends.
For what I mean when I say that "matter without life has never existed" is that, scientifically speaking, there has never appeared even one particle of any kind of matter found in any non-life-producing universe, considering that universe as a whole. For no non-life-producing universe has yet been discovered. Likewise, there is no lifeless matter in any period of time that is not part of at least one sequence of time that produces life.
All matter that has ever been discovered has existed only in a universe that also contains life, and all lifeless times were part of this sequence of time we are now in, the total sequence of time that produced this life.
No lifeless universe has ever been discovered. Among all the universes that have been discovered so far, there is not even one that is devoid of life. I challenge you or anyone to show me even one particle of matter, or even one moment of time, from a universe without life.
At this point we have merely been speaking empirically about what has so far been discovered. There are very few things that we can know with absolute certainty without relying on empirical contingency. But in fact this is one thing we can know with absolute certainty: no universe will ever be discovered devoid of life.
We can know this for two reasons. The first is perhaps relatively trivial, although some philosophers attach great significance to it. It is that the act of "discovering" itself requires a living being. Ipso facto, wherever any discovering is done, life is also present. Therefore no universe devoid of life can ever be discovered.
The second reason has to do with how we define universe. Th is is the hidden premise of the claims I am making here: it is because we understand the idea of "universe" in a certain way that we can claim, with absolute certainty, that there is no lifeless universe. If the universe is taken in its broadest meaning, which is also its most commonsensical meaning, it means "all that exists." All that exists certainly includes this planet, this solar system, this period of time. The universe in this broadest sense is what includes any more-narrowly construed universes—for example, all alternate universes. If we call the sum total of all possible universes "the universe," then it is obvious that there is no universe but this one, and since this one contains life, no universe can be discovered that is devoid of life. Whatever might be discovered is by definition part of this totality that includes our lives.
All of the above is true even if life exists only once, for a few million years, on one small planet. Even if there was no life for billions of years—and in most of the universe there never has been and never will be life—even if the phenomenon "life" is a peculiar flash that occurs only on planet Earth between the Hadean Eon 4,500 million years ago until 2018 CE, and never arises anywhere ever again, it is still true that there is no universe devoid of life and that there can never be any universe devoid of life.
And yet people often contemplate those vast billions of years and expanses of space and speak of "lifeless matter." This makes sense only if we divide the world in a certain way. That is, it is only because we are in the habit of dividing self and other, or mind and its objects, or—to put it most generally—inside and outside, that it is possible to speak of lifeless matter. Only if any one part of the universe is thought of as an entity truly separate from all other parts can anything be lifeless. The key question is how much of the universe do we consider to be "one thing." Where do we draw the line that divides inside from outside? If "me and that rock" are one thing, that one thing has life, just as "my skin and my fingernails" has life. If me and that rock are separate, then my body has life and the rock has no life.
Mahāyāna Buddhism, particularly that developed in the Madhyamaka school and further elaborated in Tiantai Buddhism, holds that the separation of "inside and outside" is impossible to sustain in any nonambiguous way. These schools generally develop this idea logically by use of reductio ad absurdum arguments that try to demonstrate that any way of drawing common-sense dividing lines to define one object in distinction to another end up being self-contradictory. (Read the entire article here).
Buddhist doctrine refers to entities possessing mind (Skt., citta) as sentient beings (Skt., sattva) and considers them to undergo rebirth through the six realms of existence (hells, hungry spirits, animals, asuras, human beings, heavenly beings). It is because they possess mind that they give rise to the defilements, accumulating the negative karma that is the cause of rebirth. The purpose of Buddhism therefore is to release beings from the suffering associated with rebirth, a condition called liberation (Skt., vimokśa) and nirvana. Mahayana calls it the attainment of buddhahood (Jpn., jōbutsu). There also exist nonsentient beings (Skt., asattva). Since they do not possess mind, they do not undergo the cycle of rebirth and so cannot attain liberation, nirvana, or buddhahood. In principle, therefore, plants, like inorganic substances not possessing "mind," are not understood to undergo rebirth. It is therefore impossible to discuss their attainment of buddhahood. However, when Buddhism entered China, the potential for buddhahood of nonsentient beings became an important subject for debate. Since China had not previously had any concept of sentient beings, no strict distinction was made between sentient and nonsentient, which was why the question of nonsentient buddhahood was taken up. The Jingangbi lun (Diamond Scalpel Treatise) of the sixth Tiantai patriarch, Zhanran (711–82), confronted the issue directly and asserted that nonsentient beings could attain buddhahood. This did not, however, mean that they could aspire to enlightenment, practice, and achieve buddhahood of themselves. Rather, when a sentient being attains buddhahood, the whole environment becomes the Buddha's realm. A sentient being's subjective existence (Jpn., shōhō) arises from past karmic effects and this causes the realm of the environment (Jpn., ehō) to arise. Environment is thus dependent on subjective existence, and therefore, when a sentient being attains enlightenment, so do nonsentient beings. What is important here is that sentient beings attain enlightenment through their own practice, whereas nonsentient beings can only do so as the environment of sentient beings. This was a solution consonant with Chinese ideas that placed significance on a person's own actions, seen typically in Confucianism. The Japanese did not view human beings in any special way as did the Chinese. Furthermore, they tended to look on nature in terms of plants. The land of Japan was called the "middle land of the reed beds" (ashihara no nakatsu kuni), its landscape being described as a swamp where reeds grew. The fecundity of plants symbolized the evolution of the world. According to the Nihon shoki (Chronicle of Japan, eighth century), before Ninigi, grandson of the sun goddess Amaterasu, descended from the heavenly plain, the land of Japan was where "the standing trees, and even the single blade of grass, uttered words." This is thought to represent the disordered state of nature that existed before the land was civilized. Humankind was referred to as people grass (hitogusa); in other words, the mass of people was understood through the model of grasses and trees.
In Japan, therefore, nature was thought of in terms of plants, and people were thought to be close to them. Japan's view of nature is often described as animism, but this is not necessarily appropriate. Not all natural phenomena were regarded as spiritual entities, nor were they objects of veneration. Deities (kami) resided in the depths of nature, manifesting themselves in natural objects serving as receptacles (yorishiro). For example, at Ōmiwa Shrine in Nara Prefecture, Mount Miwa is described as the body (shintai) of its kami. Originally, though, the mountain was regarded as sacred because it was the place to which the kami descended: it was not itself the kami. The buddhahood of grasses and trees came to be a concern precisely because human beings and plants were thought of as being of the same quality. Whereas in China tiles and stones were presented as representative of nonsentient existence, in Japan it was grasses and trees. (Read the entire article here)
America—but also, and no less importantly, in the course of its development
within historical India itself.
One way in which Buddhism has responded to these intellectual and cultural encounters can be related to hermeneutics: that is, the modes by which a tradition explains its sources and thereby interprets (or reinterprets) itself
in a continuing process of reactivation and renewal of its heritage.[1]
In the case of Buddhism this process—perhaps comparable in part to what in another context is now frequently referred to as aggiornamento—had both endogenous and exogenous causes. It was, in other words, set in train both by internal, systemically generated requirements and tensions within the
Buddhist tradition as it evolved in geographical space and historical time, and by external impulses received from its intellectual and social environment, which could be, according to the case, either positive or negative in character.
The purpose of this paper is to explore this process with respect to the Buddhist hermeneutics of the ideas of non-self (anatman) and of a spiritual matrix or germ (gotra, tathagatagarbha or Buddha-nature) and the relationship of this pair of ideas to Vedantic notions and Brahmanical social groups in classical India. Reference will be made also to certain exegetical developments that either originated in Tibet or were at least fully realized there for the first time. Our analysis will revolve around the fact that, however historically antithetical and structurally contrasting these two ideas are in Buddhism, they in fact have not invariably been treated by Buddhist hermeneuticians as contradictory or even as systematically exclusive of each other.
Because of its philosophical and religious significance in the fields of soteriology and gnoseology, the Mahāyānist theory of the tathāgatagarbha—the Germ of Buddhahood latent in all sentient beings—occupies a crucial position in Buddhist thought, and indeed in Indian thought as a whole. In virtue of both their extent and their contents, the sūtras treating the tathāgatagarbha—and the systematically related doctrines of the natural luminosity (prakṛtiprabhāsvaratā) of mind (citta) and the spiritual germ existent by nature (prakṛtistha-gotra)[2]—are amongst the most important in the Mahāyāna. The idea that the doctrine of the tathāgatagarbha and Buddha-nature is one of the supreme teachings of the Mahāyāna is explicitly stated in
the Mahāparinirvāṇa-sutra.[3]
In light of all this, it might seem rather daring to suggest that an Indian actually composed the AFM, but that is what I propose to argue. I do not intend to suggest that the Sarvāstivādin Aśvaghoṣa, or even a "Mahāyāna Aśvaghoṣa" composed the AFM. The first place that any Aśvaghoṣa is listed as the author of the text is in Hui-yüan's Ta-ch'êng i chang, a work composed about a half century after Paramārtha was said to have translated the AFM, so the attribution of the text to Aśvaghoṣa probably postdated its composition. But there are a couple of pieces of important philological evidence, heretofore largely overlooked, that seem to point strongly to an Indian Buddhist, most likely Paramārtha himself, as the real author of the text, or at least of major parts of it. The first piece of evidence is the use in the AFM of the three categories of t'i, hsiang, and yung, categories which I will try to show were derived by the author of the AFM from Sanskrit categories used in the Ratnagotravibhāgamahāyānottaratantraśāstra (RGV) and which could not have been formulated by anyone who did not possess a knowledge of Sanskrit. The second piece of evidence is Paramārtha's interpolation of passages from the RGV into the Mahāyānasaṃgrahabhāṣya (MSbh), which seems to show not only that Paramārtha was intimately familiar with the RGV and its categories, but also that he was personally concerned about issues
central to the AFM. When examined together with some interesting biographical details from accounts of Paramārtha's life, this evidence seems to suggest the very real possibility that Paramārtha was the author of the AFM. (Grosnick, introduction, 65–66)Read more here . . .
The debate over the role of the Awakening of Faith in the theory and practice of Chinese Buddhism is one of the central ongoing debates among both Chinese Buddhists and scholars of Buddhism in the modern period. To understand this debate, and the views contained within it, it is necessary to contextualize it within the history of modern East Asian Buddhism. The following review focuses both on a critical assessment of the Awakening of Faith’s authenticity, as well as the role Ouyang played in shifting the course of this debate. This disputation was at the heart of Ouyang’s quest for authenticity. The chapter will not be a comprehensive treatment of all the thinkers involved in these debates; I will deal here only with dimensions of the text that became contentious for Ouyang and with the contribution of other participants who carried forward the debate at that time. (Aviv, introduction, 69)
Notes
- The Awakening of Faith exists in two purported “translations.” One is attributed to Paramārtha, T.32.1666.0575a03–0583b17, in 554 ce; the other, later version is attributed to Śikṣānanda, T.32.1667.0583b21–0591c22, in 695–700 ce. While the title includes the term Mahāyāna, and the text is often translated as the Awakening of Faith in the Mahāyāna or according to the Mahāyāna, I take the term Mahāyāna as part of the customary classificatory term in the canon rather than as part of the actual title, as is common with other texts with the same classificatory term and other texts marked with terms such as Abhidharma (阿毘達磨) or the mothers of the Buddha (佛母).
In the analysis of the texts, the author suggests that Mo-ho-yen's doctrinal position was that of an extreme non-dualist who thought practice came after enlightenment. Consequently Mo-ho-yen denied the value of means to that enlightenment, yet he still had to allow for a means for people of lesser abilities. This admission probably gave his opponents grounds for criticism.
There is a glossary of Tibetan terms and their Chinese equivalents based on a comparison of the fragments in Tibetan with the Chinese of the Tun-wu Ta-sheng cheng-li chüeh which depicts Mo-ho-yen's side of the dispute (for which it may have been profitable to consult Hasebe Koichi's edition from the Pelliot and Stein Chinese manuscripts, the "Toban Bukkyō to Zen", Aichigakuin Daigaku bungakubu kiyō no. 1). Gomez in fact suggests that terminological ambiguity was one source of misunderstanding between the Chinese and Indian parties. Recently R.A. Stein has begun work on the Tibetan translations of Chinese and Indian vocabulary ("Tibetica Antiqua", BEFEO 72, 1983) which sheds more light on the subject. For example, lun and mdo (Gomez p. 87, notes 23 and 39), or gzhung and gzhun (Gomez p. 140) are interpreted slightly differently by Stein (pp. 175-6 and p. 179 respectively). (John Jorgensen, "Review of Studies in Ch'an and Hua-yan," JIABS 9, no. 2 (1986): 177–78).
To illustrate this general point Keenan considers the case of the translator Paramārtha and his amanuensis Hui-k'ai, and shows that in their work on Indic texts they not infrequently added references to tathtāgatagarbha and Buddha Nature where no such mention was made in the originals; they thus contributed to the centrality of Buddha Nature thought in East Asian Buddhism. (Griffiths and Keenan, introduction to Buddha Nature, 5)
I propose in this paper to challenge Matsumoto and Hakamaya’s reading of Buddha-nature thought. In my understanding, while Buddha-nature thought uses some of the terminology of essentialist and monistic philosophy, and thus may give the reader the impression that it is essentialist or monistic, a careful study of how those terms are used—how they actually function in the text—leads the reader to a very different conclusion. I will attempt to demonstrate that Buddha-nature thought is by no means dhātu-vāda as charged, but is instead an impeccably Buddhist variety of thought, based firmly on the idea of emptiness, which in turn is a development of the principle of pratītyasamutpāda
In making my remarks I draw upon the exposition of Buddha-nature thought given in the Buddha-Nature Treatise (Fo hsing lun), attributed to Vasubandhu and translated into Chinese by Paramārtha.'"`UNIQ--ref-00000D45-QINU`"' The Buddha-Nature Treatise is a particularly useful text to consult in this matter inasmuch as it constitutes a considered attempt, by an author of great philosophical sophistication, to articulate the Buddha-nature concept per se and to explain both its philosophical meaning and its soteriological function. Indeed, the author is savvy enough to have anticipated the criticisms that this concept would face, including the particular criticisms leveled in our time by Matsumoto and Hakamaya, and to have effectively countered them in the 6th century CE. In this chapter, then, I will consider some of these criticisms in turn and see how the author of the Buddha-Nature Treatise defends as Buddhist the concept of Buddha-nature and the language in which it is expressed.'"`UNIQ--ref-00000D46-QINU`"' (King, "The Doctrine of Buddha-Nature Is Impeccably Buddhist," 174–75)
Among the many concepts current among Chinese Buddhists, "Buddha-nature" is undoubtedly the most central and the most widely debated. As is well-known, the idea "Buddha-nature" first became popular in China with the translation of the Mahayana Mahāparinirvāṇa-sūtra (hence-forth referred to as MNS) in the early fifth century; since then, a variety of theses have been proposed on several aspects of the subject. These are worth examining not only because of the important role they play in the history and development of Chinese Buddhist thought, but also because they reflect more fundamental doctrinal differences. Once these differences have been clarified, a more comprehensive picture of the various dominant philosophical trends in the field of Chinese Buddhism will appear. This paper will unravel the diverse streams of thought which came to be associated with the Buddha-nature concept during the Northern and Southern Dynasties, i.e., in the first two centuries of the propagation of the Buddha-nature doctrine in China. (Liu, foreword, 1)
Accepting the possibility of enlightenment as a fundamental Buddhist axiom, one has to either explain the causal process of its production, or accept its primordial existence, for example in terms of a buddha nature (tathāgatagarbha). The latter also applies, of course, when buddhahood is not taken to be produced from scratch. The way this basic issue is addressed is an ideal touchstone for systematically comparing various masters and their philosophical hermeneutical positions in the complex landscape of Tibetan intellectual history. The diversity of views on buddha nature has its roots in the multilayered structure of the standard Indian treatise on buddha nature, the Ratnagotravibhāga. Depending on whether one follows the original intent of the Tathāgatagarbhasūtras (which can be identified in the earliest layer of the Ratnagotravibhāga), or the Yogācāra interpretation of the latter in the Ratnagotravibhāga, buddha nature can refer to either an already fully developed buddha, or the naturally present potential (prakṛtisthāgotra) or natural luminosity of mind, i.e., sentient beings’ ability to become buddhas. While some saw in such positive descriptions of the ultimate only synonyms for the emptiness of mind,[1] or simply teachings of provisional meaning,[2] the Jo nang pas, and many bKa’ brgyud pas and rNying ma pas as well, took them as statements of definitive meaning.[3] Among the latter, i.e., those for whom buddha nature is more than just emptiness, there was disagreement about the relationship between such a positively described buddha nature and its adventitious stains, which include all ordinary states of mind and the world experienced by the latter.
For my analysis of Mi bskyod rdo rje’s view on the relation between buddha nature and its adventitious stains I have chosen his Abhisamayālaṃkāra commentary, the rGan po’i rlung sman,[4] which contains a critical review of ’Gos Lo tsā ba gZhon nu dpal’s (1392-1481) rGyud gsum gsang ba; the sKu gsum ngo sprod rnam bshad; the Phyag rgya chen po’i sgros ‘bum and Mi bskyod rdo rje’s independent work on gzhan stong, the dBu ma gzhan stong smra ba’i srol legs par phye ba’i sgron me. While these texts have in common that they endorse a robust distinction between buddha nature and the adventitious stains, the respective gzhan stong ("other empty") views underlying this relationship slightly differ, or are not mentioned in explicit terms. The homogeneous clear-cut distinction between impure sentient beings and a pure mind, dharmadhātu, or buddha nature is strikingly similar to what we find in the relevant works of the third Karma pa Rang byung rdo rje (1284-1339).5) Even though Rang byung rdo rje does not explicitly mention the word gzhan stong in his mainly Yogācāra-based presentation of buddha nature, Karma Phrin las pa’s[6] (1456-1539) and Kong sprul Blo gros mtha’ yas’s (1813-1899) description of Rang byung rdo rje as a gzhan stong pa[7] is at least understandable on the grounds that Mi bskyod rdo rje uses this label for a doctrine similar to Rang byung rdo rje’s.[8] In order to further contextualize Mi bskyod rdo rje’s distinction between buddha nature and adventitious stains I have also consulted relevant passages from his commentaries on the Madhyamakāvatāra and the dGongs gcig. (Mathes, introductory remarks, 65–67)
Notes
- This mainly is the position of rNgog Blo ldan shes rab (1059-1109), who claims in his Theg chen rgyud bla’i don bsdus pa, 5b3: "The mental continuum, which has emptiness as its nature, is the [buddha] element (i.e., buddha nature)." (... stong pa nyid kyi rang bzhin du gyur pa’i sems kyi rgyud ni khams yin no). A similar line of thought is followed by the dGe lugs pas, for whom emptiness is what is taught in the doctrine of tathāgatagarbha (see Seyfort Ruegg 1969, 402).
- This is, for example, the position maintained by Sa skya Paṇḍita (1182-1251) and Bu ston Rin chen ‘grub (1290-1364) (Seyfort Ruegg 1973, 29-33).
- For rNgog Blo ldan shes rab and some dGe lugs pas, too, buddha nature has definitive meaning on the grounds that it is a synonym of emptiness (see Mathes 2008:26-27; and Seyfort Ruegg 1969, 402) .
- This is how the author originally referred to his work, even though it appears in the Collected Works in the less irreverent title Sublime Fragrance of the Nectar of Analysis (Higgins and Draszczyk 2016, vol. 1, 12).
- I.e., the Zab mo nang don and its autocommentary, the sNying po bstan pa, the Dharmadhātustava commentary, and the Rang byung rdo rje’i mgur rnams. See Mathes 2008, 51-75.
- See Karma 'Phrin las pa: "Dris lan yid kyi mun sel zhes bya ba lcags mo’i dris lan bzhugs", 91, 1-4. For the Tibetan text and an English translation, see Mathes 2008, 55 & 441.
- See Kong sprul Blo gros mtha’ yas: Shes bya kun khyab mdzod, vol. 1, 460, 2-13.
- The fact that the relation between buddha nature and its adventitious stains is only occasionally labelled gzhan stong by Mi bskyod rdo rje is not very telling, since in his dBu ma gzhan stong smra ma’i srol the main topic is the said relation, and Mi bskyod rdo rje refers to it as gzhan stong merely in the title.
In the course of his monumental work on the Prajñāpāramitā Sūtras E. Conze has written: 'It is quite a problem how the Dharma-element which is common to all can be regarded as the source of a variety of "lineages" [gotra]'.[1] It has been the endeavour of the present writer in a series of publications starting in 1968 to shed light on this very fundamental and interesting question. An article in the Festschrift dedicated to the late E. Frauwallner was devoted to the interconnexion between the single, unique and undifferentiated dharmadhātu, the naturally existent spiritual element or germ (prakṛtisthaṃ gotram) and the variously conditioned psycho-spiritual categories (gotra)[2] recognized by the Buddhist texts as explained by Ārya Vimuktisena (ca. 500 ?) and his successor Bhadanta Vimuktisena in their commentaries on the Abhisamayālaṃkāra (i. 37-39), which they correlate with the topics of the Pañcaviṃśatisāhasrikā Prajñāpāramitā.[3] And shortly afterwards there followed a more detailed study of this question as it relates to the notion of the tathāgatagarbha or buddha-nature in La théorie du tathāgatagarbha et du gotra: Études sur ta sotériologie et la gnoséologie du bouddhisme (Paris, 1969) and Le traité du tathāgatagarbha de Bu ston Rin chen grub (Paris, 1973). In the last publications Haribhadra's commentaries on the Prajñāpāramitā were discussed, and the importance of the doctrine of the One Vehicle (ekayāna), was taken up at some length not only from the point of view of soteriology but also from that of gnoseology
Between the two Vimuktisenas and Haribhadra (fl. c. 750-800) on the one side and the Tibetan exegetes on the other there lived a number of important Indian commentators whose work could be only briefly touched on in the Théorie. Amongst the most important of these later Indian masters of the Prajñāpāramitā are Dharmamitra and Abhayākaragupta, both of whom have been reckoned by Buddhist doxographers as being, for certain systematic reasons, close to the Svātantrika-Mādhyamika school, and Ratnākaraśānti (first half of the 11th century), a Vijñānavādin (of the Alīkākāravāda branch) who appears to have undertaken a harmonization of the Vijñānavāda and the Madhyamaka in the manner of the synthesizing movements especially characteristic of later Buddhist thought in India.
One of Ratnākaraśānti's main works on the Prajñāpāramitā—the Sārottamā (or Sāratamā ?), a Pañjikā on the Aṣṭasāhasrikā, which until recently was known only by its Tibetan version in the Bstan 'gyur—has now been recovered in an incomplete Sanskrit manuscript. Since the promised publication of this text is awaited with keenest interest by students of this literature, his work must be left for another occasion.[4] The present paper will therefore consider the discussions by Dharmamitra and Abhayākaragupta of the relation between the gotra, the dharmadhātu, the ekayāna, and the tathāgatagarbha. (Ruegg, "The Gotra, Ekayāna and Tathāgatagarbha Theories of the Prajñāpāramitā," 283–284)
Notes
- E. Conze, The Large Sūtra on Perfect Wisdom (London 1961), p. 105 note 2. References hereunder to the folios of Tibetan translations of Indian texts contained in the Bstan 'gyur relate to the Peking edition as reproduced in the Japanese reprint published by the Tibetan Tripiṭaka Research Institute (Tokyo and Kyoto). Prints of other editions of the Bstan 'gyur were unfortunately unavailable during the writing of the present paper.
- On the meanings of the term gotra, and in particular on the two meanings '(spiritual) element, germ, capacity' and '(spiritual) lineage, class, category' which might be described respectively as the intensional and extensional meanings of the word when the gotra as germ determines the classification of persons possessing it in a gotra as category, see the present writer's article in BSOAS 39 (1976) p. 341sq.
- "Ārya and Bhadanta Vimuktisena on the gotra-theory of the Prajñāpāramitā," Beitriige zur Geistesgeschichte Indiens (Festschrift fur Erich Frauwallner), WZKSO 12-13 (1968/1969), pp. 303–317.
4. Ratnākaraśānti's other work on the subject, a commentary on the AA entitled Śuddhimatī, (or: Śuddhamatī) will be referred to below.
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Modern scholarship on the Five Treatises has so far privileged studying the texts of the Five Treatises individually, not giving much importance to the concept of the Five Treatises per se and its consequences on the interpretation of the texts that form it. In the following pages I argue that, on the contrary, the notion of the Five Treatises and the idea that they form a unit is crucial enough for Tibetan interpreters that we cannot fully understand Tibetan interpretations of those texts without taking this into consideration. If we look at the way Tibetan interpreters define the category and how they form their interpretations around it, we come to the conclusion that a study of Tibetan interpretations of individual treatises cannot represent fully the influence of those texts on Tibetan Buddhist literature and thought
In order to establish that claim, having explained the concept of the Five Treatises as a unit and where that unit fits among Tibetan Buddhist scriptures, I will trace its origin and development from the recognition of Maitreya’s authorship of the Treatises to the notion that the Five Treatises form a single work. I will conclude by explaining how the study of the Five Treatises as a whole and of that concept itself allows us to understand things that the study of the texts individually cannot provide. (Turenne, introduction, 215–16)
The idea of dhātu-vāda is thus an integral part of the Critical Buddhism critique and as such merits careful examination in any evaluation of the overall standpoint. Since Matsumoto first found the dhātu-vāda structure in Indian tathāgata-garbha and Yogācāra literature, we need to begin with a look at the texts in question. My approach here will be purely philological and will limit itself to the theoretical treatises (śāstras). (Yamabe, introductory remarks, 193)
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One of the most popular sūtras in China is the Ta-pan nieh-pan ching, the Mahāparinirvāṇa-sūtra translated by Dharmakṣema in 421 A.D. Its doctrine of "universal Buddha-nature" has endeared itself to the Orient so much that it became an axiom of sorts, and any challenge to this doctrine would be seen as a challenge against Mahayana itself. To this day, this sūtra, TPNPC for short, is well received by all major Buddhist schools. The Pali canon preserved its version of the teaching of the Buddha at his parinirvāṇa, great extinction, in the Dighanikaya. The Mahayana tradition's redaction is the Mahāparinirvāṇa-sūtra, of which the Chinese translations alone survive. Prior to Dharmakṣema, Fa-hsien the pilgrim and Buddhabhadra translated a shorter Ta-pan ni-yüan ching in six chapters. This version was based on an earlier Sanskrit text that corresponds now to the first ten chapters of the forty-chaptered TPNC. The texts were unknown to Kumārajīva (d. 413) the Kuchan translator who produced the authoritative Miao-fa lien-hua ching, the Saddharma-puṇḍarīka or Lotus-sūtra. When the TPNPC was known to the Chinese, it was almost immediately crowned as the final, ultimate 'positive'—that is affirming the permanence of the Buddha-nature qua Dharmakāya qua mahā-nirvāṇa—teaching of the Buddha. Even the Lotus-sūtra was placed, both in time and in content, second to it. In the Sui dynasty, however, T'ien-t'ai master Chih'i, establishing the Lotus school, reversed the judgement somewhat.[2] It is in part to uncover the glory that once belonged to the TPNPC that the present essay tries to analyze the initial reception of this sūtra. (Lai, "The Mahāparinirvāṇa-Sūtra and Its Earliest Interpreters in China," 99)
Notes
- The placement of note #1 in the text is unclear in the original. Nevertheless it reads: On the impact of the TPNPC, see Kenneth Ch'en, Buddhism in China (Princeton: Princeton University, 1964), pp. 112-129 or Fuse Kōgaku, Nehanshū no kenkyū, I, II (Tokyo, Sōbun, 1942) and Tokiwa Daijō, Busshō no kenkyū (Tokyo, Meiji, 1944).
- On Chih-i's p'an-chiao, see Leon Hurvitz, "Chih-i," Melanges chinois et Bouddhiques, XII, (Brussells, 1960-62), esp. appendix on p'an-chiao.
It is well recognized by Buddhologists that the Mahāsāṃghika sect arose by a schism from the previously undivided Buddhist saṃgha in the second century after the Buddha's Nirvāṇa (A.N.), leaving the other part of the saṃgha to be called Sthavira. As to precisely when the schism occurred, there was a difference of opinion as to whether it happened as a result of the Second Buddhist Council (about 110 A.N.) over a laxity of Vinaya rules by some monks, or happened later in the century (137 A.N.) over the five theses about Arhats and which occasioned a 'Third Buddhist Council' sponsored by the Kings Nanda and Mahāpadma. There were some other possibilities, as summarized by Nattier and Prebish,[2] who conclude that the schism occurred 116 A.N. over Vinaya rules, while the argument over Arhat attainment provoked a further split within the already existing Mahāsāṃghika sect. It is immaterial for our purposes whether the 'five theses of Mahādeva' downgrading the Arhat occasioned the schism between the Mahāsāṃghikas and the Sthaviras, or whether this downgrading was an internal argument within the Mahāsāṃghika. What is important here is that the downgrading of the Arhat continued into a Mahāyāna scripture called the Śrīmālā-sūtra, and that the five theses are a characteristic of the Mahāsāṃghika, to wit: 1. Arhats are tempted by others, 2. they still have ignorance, 3. they still have doubt, 4. they are liberated by others; and 5. the path is accompanied by utterance. The fifth of these seems explainable by other Mahāsāṃghika tenets, in Bareau's listing:[3] No. 58 'morality is not mental'; No. 59 'morality does not follow upon thought'; No. 60 'virtue caused by a vow increases'; No. 61 'candor (vijñapti) is virtue'; No. 62 'reticence (avijñapti) is immoral.'
Part I of this paper attempts to relate the Śrīmālā-sūtra and the Tathāgatagarbha doctrine to the Mahāsaṃnghika school. Part II discusses the terms dharmatā and svabhāva so as to expose an ancient quarrel. (Wayman, introduction, 35–36)
Notes
- Akira Hirakawa, "The Rise of Mahāyāna Buddhism and its Relationship to the Worship of Stupas," Memoirs of the Research Department of the Toyo Bunko, No. 22, Tokyo, 1963, p. 57.
- Janice J. Nattier and Charles S. Prebish, "Mahāsaṃghika Origins: The Beginnings of Buddhist Sectarianism," History of Religions, 16:3, Feb., 1977, pp. 237, ff.
- André Bareau, Les sectes bouddhiques du Petit Véhicule (École Française d'Extrême-Orient, 1955), Chapitre I 'Les Mahâsânghika', pp. 55–74.
Yet the significance of the MPNS goes well beyond that restricted topic, despite its interest to many. For example, when utilized to the fullest, the available textual materials for the MPNS allow unique insights into the creation, development & transmission of Mahāyāna texts in general. Additionally, I believe that the composition of the main elements of the MPNS can be reliably dated to a narrow period from the middle decades to the end years of the 1st century CE, when read in conjunction with the small group of associated texts (the Mahāmegha-sūtra, Mahā-bherī-sūtra and the Aṅgulimālīya-sūtra), due to the specific mention in them of the Sātavāhana ruler Gautamīputra Sātakarṇi in conjunction with the timetable of a dire eschatological prophesy. There would also seem to be biographical details of a certain individual who may have been the founder or author of the MPNS “movement”. In sum, this situation seems to be virtually unique among all Mahāyāna sutras and, if properly understood, should have far-reaching ramifications for the study of the early Mahāyāna movements, for the MPNS may now be taken as a fixed reference point for constructing a relative chronology for many other early Mahāyāna sutras, though with the usual caveats concerning interpolated material. (Hodge, introduction, 1)
The word gotra is frequently used in the literature of Mahāyāna Buddhism to denote categories of persons classified according to their psychological, intellectual, and spiritual types. The chief types usually mentioned in this kind of classification are the Auditors making up the śrāvaka-gotra, the Individual Buddhas making up the pratyehabuddha-gotra, and the Bodhisattvas making up the bodhisattva-gotra.[2] In the Saṃdhinirmocanasūtra these three types constitute altogether different gotras, which thus coincide with the three separate Vehicles (yāna) as recognized by the Yogācārin/Vijñaptimātratā, school.[3] To these three some sources add the further category of the undetermined (aniyatagotra), which is made up of persons not yet definitively attached to one of the three preceding classes; and the non-gotra (agotra), that is the category made up of persons who cannot be assigned to any spiritual class.[4] Each of the first three categories is thus comprised of persons capable of achieving a particular kind of maturity and spiritual perfection in accordance with their specific type or class, the Auditor then attaining the Awakening (bodhi) characteristic of the Śrāvaka and so on.[5] Especially remarkable in this connexion, and somewhat anomalous as a gotra, is the non-gotra, i.e. that category of persons who seem to have been considered, at least by certain Yogācārin authorities, as spiritual ‘outcastes’ lacking the capacity for attaining spiritual perfection or Awakening of any kind; since they therefore achieve neither bodhi nor nirvāṇa, they represent the same type as the icchantikas to the extent that the latter also are considered to lack this capacity.[6]
The three gotras mentioned first together with the aniyatagotra and the agotra are discussed chiefly in the Śāstras of the Yogācārins[7] and in the commentaries on the Abhisamayālaṃkāra.[8]
In addition, the gotra functions so to speak as a spiritual or psychological 'gene' determining the classification of living beings into the above-mentioned categories, which may be either absolutely or temporarily different according to whether one accepts the theory that the three Vehicles (yāna) are ultimately and absolutely separate because they lead to the three quite different kinds of Awakening of the Śrāvaka, Pratyekabuddha, and Bodhisattva—namely the extreme triyāna doctrine-or, on the contrary, the theory that the Vehicles are ultimately one because all sentient beings are finally to attain Awakening and buddhahood which are essentially one—in other words the characterized Mādhyamika version of the ekayāna theory.[9]
Notes
- (Note 1 belongs to title): A shortened version of this paper was read before the Indological section of the twenty-ninth International Congress of Orientalists in Paris in July 1973.
The following abbreviations are used.
IBK Indogaku-Bukkyōgaku Kenkyū.
MSA Mahāyānasūtrālaṃkāra (ed. Lévi).
RGV Ratnagotravibhāga (Sanskrit text ed. E. H. Johnston).
RGVV Ratnagotravibhāgavyākhyā (Sanskrit text ed. E. H. Johnston).
TGS Tathāgatagarbhasūtra (Tibetan translation in the lHa-sa ed. of the bKa'-'gyur).
Théorie D. Seyfort Ruegg, La théorie du tathāgatagarbha et du gotra (Publications de l'École Française d'Extreme-Orient, LXX, Paris, 1969). - v. Laṅkāvatārasūtra, ed. Nanjō, 2, pp. 63-6, and the other sources quoted in Ruegg, Théorie, 74 f.
- Saṃdhinirmocanasūtra 7.15, 24; cf. Théorie, 73-4.
- Laṅkāvatārasūtra 2, p. 63.
- v. Laṅkāvatārasūtra 2, pp. 63-5; MSABh. 3.2.
- Laṅkāvatārasūtra 2, pp. 65-6; MSABh. 3.11: aparinirvāṇadharmaka. There are two categories of persons not attaining nirvāṇa, those who do not attain it for a certain length of time (tatkālāparinirvāṇadharman) and those who never do so (atyantāparinirvāṇadharman). The theory that some persons are destined never to attain nirvāṇa and buddhahood is considered characteristic of the Yogācārin school, which does not admit the doctrine of universal buddhahood implied by the usual interpretation of the ekayāna theory (see Saṃdhinirmocanasūtra 7.24) and the theory of the tathāgatagarbha present in all sentient beings. (MSA 9.37 does not, it seems, refer to the fully developed tathāgatagarbha theory which is based on three factors—the irradiation of the dharmakāya, the non-differentiation of the tathatā, and the presence of the gotra [see RGV 1.27 f.]—and concerns only the non-differentiation of the tathatā, and the tathāgatatva, which all beings possess as their embryonic essence. Cf. below, n. 50.)
The agotra doctrine to the extent that it assumes a class of spiritual 'outcastes' being evidently incompatible with the tathāgatagarbha theory, the question arises as to the significance of the allusion to persons without a gotra in RGV 1.41. The reference there seems to be to a hypothetical case (opposed to the author's own view expressed before in RGV 1.40-41c), which is not, however, admitted by the author; and the revised reading of pāda 1.41d agotrāṇāṃ na tad yataḥ (cf. L. Schmithausen, WZKS, xv, 1971, 145) 'since this is not so for those without gotra ' makes this interpretation easier (see p. 346). Indeed, according to RGVV 1.41, any allusion to an icchantika who does not attain nirvāṇa is to be interpreted as referring to a certain interval of time (kālāntarābhiprāya) only, and not to a permanent incapacity. On the icchantika cf. D. S. Ruegg, Le traité du tathāgatagarbha de Bu ston Rin chen grub, Paris, 1973, p. 12, n. 1. The aparinirvāṇagotra is also mentioned in RGVV 1.32-3, 1.38, and 1.41, and the aparinirvāṇadharman in 1.41. - cf. MSA, ch. 3; Madhyāntavibhāgabhāṣya and ºṭīkā, 2.1, 4.15-16.
- cf. Théorie, 123 f.
- v. Théorie, 177 f.; MSA 11.53-9; Madhyāntavibhāgaṭīkā 3.1a, 22. On the equivalence of nirvāṇa and buddhahood, see RGV 1.87.
Notes
- CYC pp. 13 and 17 for the term of ch'an-men; pp. 57, 86, 210 and 320 for ch'an-tsung. Compare Sekiguchi Shindaiaa, "Zenshū no hassei." Fukui sensei shōju ki'nen Tōyō shisō ronshü (Tokyo, 1960), pp. 321–338.
- Jan Yūn-hua, "Tsung-mi and his Analysis of Ch'an Buddhism", TP 58 (1972): 1–54; for a detailed study of Tsung-mi, see Shigeo Kamata, Shūmitsu kyōgaku no shisōshi teki kenkyū (Tokyo: Institute of Oriental Culture, University of Tokyo, 1975).
- CYC, pp. 30 and 254.
A brief summary of the content of the work in which Dge rtse Mahāpaṇḍita unfolds his understanding of the history of Buddhism is as follows. After the title, his homage to buddhas, and a statement of the composition’s purpose, he sets out to give an account of the Three Turnings of the Wheel of the Teaching. Doxographically, the First Turning gives rise to the doctrines of the Vaibhāṣika and Sautrāntika schools of the Lesser Vehicle. The author explains the ultimate truth as conceived by the Vaibhāṣika School, but rejects its atomic theory as being deluded, since it posits the existence of subtlest particles of both matter and cognition. He likewise cannot follow the Sautrāntikas in their assertion of the true existence of external objects. From there, he jumps to the Last Turning, which he deals with until the end of the work, primarily on the basis of quoted scriptures. Among them, those concerning the Mind-Only school focus in on the Three Natures theory, which in turn he disallows, given that a truly existing perceiving subject does not comport with the essencelessness of phenomena. That school, he claims, died out, and their works did not gain entry into Tibet. From there he moves on to the next great figures to arrive on the scene: Nāgārjuna and Asaṅga. He goes on to explain the two modes of Madhyamaka, and contends that though both of them are in fact Mādhyamikas of the Middle Wheel, some biased persons claim Asaṅga for the Mind-Only school. Mādhyamikas, whose doctrine is grounded in the Two Truths, divided into two subschools, the Svātantrikas and Prāsaṅgikas. The former, represented in the Indian tradition by Bhāviveka, accepted the existence of phenomena only on the relative level. The latter, by contrast, represented by Buddhapālita, do not accept phenomena even on the relative level. That was the stage to which the Indian Mādhyamikas developed. Dge rtse Mahāpaṇḍita identifies his own position as that of a true successor of Indian Buddhism’s Prāsaṅgika-Madhyamaka. In Tibet, Tsong kha pa (1357-1419) initiated a new approach, whereby the truth was subject to confirmation by means of valid cognition, which led to a tradition of rigorous debate. Extensively citing the Ratnapradīpa of Bhavya (clearly distinguished from the Svātantrika Bhāviveka), which expounds the subtle, inner Madhyamaka of practice, he refutes the use of logic when it comes to ultimate reality. He asserts that the doctrine of mind-only as taught in such works associated with the Last Turning of the Wheels as the Laṅkāvatāra-sūtra and the Ghanavyūha-sūtra is the subtle, inner Madhyamaka—and Nāgārjuna, Āryadeva, Candrakīrti, and Bhavya also taught it as such. He equates it with the Great Madhyamaka of other-emptiness, which he also terms the Great Madhyamaka of definitive meaning. He defends Hwa shang's "abandoning mental engagement," as being the tradition of the instruction of Madhyamaka. The practitioners of Rdzogs chen, he notes, label the doctrine of the Last Turning the "king and creator of all" (kun byed rgyal po), and so he regards Rdzogs chen as the same as the Great Madhyamaka of other-emptiness. Thus, he places Madhyamaka at the summit of the doxographical hierarchy of Buddhist schools as it crystallized in Tibet from its roots in India. He thereby emphasizes that the two modes of emptiness, or two forms of Madhyamaka, that is, self-emptiness and other-emptiness, are in harmony. For Dge rtse Mahāpaṇḍita, the essence of the Buddhist doctrine, which is the Great Madhyamaka of other¬emptiness, is shared by all Tibetan Buddhist schools, be they Jo nang pas, the early Dge lugs pas, Bka' brgyud pas, Sa skya pas, or Rnying ma pas. He ends by stating that Tantric practice is fundamental to the Great Madhyamaka of other-emptiness, and that it is predicated on the existence of the Buddha-nature—that is, Buddhahood—in every sentient being. (Makidono, preliminary remarks, 77–79)
Notes
2. Dge rtse Mahāpaṇḍita. Nges don dbu ma chen po'i tshul rnam par nges pa'i gtam bde gshegs snying po'i rgyan. I have used three editions of the text for my translation; see the References. The section headings in the translation have been added.In this paper, which is exploratory in nature, I shall briefly outline these two views and then ask the question of what the psychological or social effects of holding one or other of these views might be. The views I have in mind are expressed in the Tibetan Buddhist tradition as the view of self-emptiness and the view of other-emptiness (rangstong and gzhan-stong). (Hookham, "The Practical Implications of the Doctrine of Buddha-nature," 149)