Parsimony is among the most prominent methodological considerations
in metaphysics. Yet beneath the surface there lurks a puzzle. I will
bring this puzzle about parsimony to light. As I will show, the puzzle
highlights a conceptual tension between several prominent positions in
metaphysics. I will then offer three responses to the puzzle. Each
response faces unique challenges.
First, I will make some starting assumptions. These assumptions are
not unassailable. But each is independently plausible and each has broad
support amongst metaphysicians.
Parsimony has traditionally been restricted to ontology: do not
multiply entities beyond necessity. Lately, however, metaphysicians have
turned their attention toward ideological parsimony.
Ideological parsimony, as I understand it, concerns the primitive (i.e.,
undefined) terminology used to state a theory. Recently, many
philosophers (Brenner
2017; Cowling 2013; Schaffer 2015; Sider 2011; Turner 2015) have
defended the claim that both ontological and ideological parsimony make
a theory more worthy of our endorsement. I will assume that they are
right.
I will also assume what is sometimes called a realist or
externalist interpretation of ideology. Like an analogous
interpretation of ontology, ideological externalism states that the
quality of a theory’s ideology is ultimately judged by the extent to
which it corresponds to objective reality, i.e., the world’s
metaphysical structure. (Ideological externalism can be
contrasted with ideological internalism, which states that the quality
of a theory’s ideology is judged by details internal to the theoretic
process—e.g., the intelligibility of the terminology employed.)
I will also adopt the orthodox approach to meta-ontology,
neo-Quineanism. According to neo-Quineanism, a theory’s
ontological commitments are determined by what the theory quantifies
over when regimented with a suitably perspicuous language.
Finally, I will focus on theories about the fundamental nature of the
world. While there might be versions of this puzzle that extend to
non-fundamental theories, I do not have much to say about them. That is
in large part because I do not have much to say in general about the
relationship between fundamental and non-fundamental theories.
These assumptions help generate a puzzle, one that highlights a
conceptual tension in how some metaphysicians understand the role of
parsimony in theory choice. This tension has, until now, gone
unrecognized. To bring out the tension, I identify in section 1 four approaches to parsimony that differ
along two axes: ontology/ideology and quantitative/qualitative. We seem
to have an intuitive grasp on these approaches and understand the
differences between them, in particular the differences between
ontological and ideological parsimony. But in section 2, I argue that qualitative ontological
parsimony entails a restricted version of quantitative ideological
parsimony. This is a surprising and worrisome puzzle. It is surprising
because it goes against our intuitive grasp of parsimony. It is
worrisome because it seems inconsistent with a popular position amongst
metaphysicians—i.e., that greater qualitative ontological parsimony
makes a theory more worthy of endorsement but it is not the case that
greater quantitative ideological parsimony makes a theory more worthy of
endorsement. I then suggest that the entailment is no coincidence;
qualitative ontological parsimony may be conceptually distinct from
quantitative ideological parsimony, but the most sensible applications
of them target the same feature of reality, the world’s metaphysical
structure.
In section 3, I discuss three available
responses to this puzzle. First, we could resist the puzzle by rejecting
neo-Quineanism. Second, we could downplay the significance of the puzzle
by offering a more nuanced application of parsimony. Finally, we could
reevaluate the value of quantitative ideological parsimony as a
theoretical virtue. Ultimately, I favor the third response.
Metaphysicians should value quantitative ideological parsimony more than
they currently do.
Four Different Approaches to
Parsimony
Many metaphysicians think that parsimony should play a role in theory
choice. They have cited parsimony in support of theories as wide-ranging
as compositional nihilism (Horgan and Potrč 2008), bundle
theory (Paul
2017), materialism (Churchland 1984), and nominalism
(Melia
2008).
But such metaphysicians often differ in how they use parsimony. Even
when restricted to the ontology of a fundamental theory, there are two
importantly different approaches they take. Some (e.g., Nolan 1997) tend to prefer the
theory that minimizes the number of entities posited. Others (e.g., Lewis 1973)
tend to prefer the theory that minimizes the number of kinds of
entities. Following a convenient shorthand from Cowling (2013), I will name these two
different approaches (NO-Parsimony) and (KO-Parsimony),
respectively.
I won’t take a stand on which approach is best. I
simply note that even those inclined toward (NO-Parsimony) also tend to
be inclined toward (KO-Parsimony). More generally, among the
metaphysicians who care about parsimony at all, most of them accept
(KO-Parsimony).
We can also consider the parsimony of a fundamental theory’s
ideology. David Lewis, for example, claims that modal realism enables us
“to reduce the diversity of notions we must accept as primitive” (1986, 4). Theodore
Sider argues that compositional nihilism “allows us to eliminate the
extra-logical (or perhaps quasi-logical) notion of ‘part’ from our
ideology” (2013,
239). Both modal realism and compositional nihilism are
ideologically parsimonious. For Lewis and Sider, the ideological
parsimony of their theories provides a reason to endorse them.
Just as with ontology, there are two importantly different approaches
to ideological parsimony. Metaphysicians may prefer the theory that
minimizes the total number of terms that are employed but undefined
within the theory (“bits of ideology”). Or they may prefer the theory
that minimizes the number of kinds of terms so employed (“ideological
kinds”). Adopting another shorthand from Cowling (2013), I will name these
approaches (NI-Parsimony) and (KI-Parsimony), respectively.
I should note that it’s not obvious how to individuate ideological
kinds. (The same could be said about ontological kinds.) Metaphysicians
often rely on the imprecise but intuitive method of individuation by
topic. For instance, there is an ideological kind corresponding to
color. All color predicates like ‘blue,’ ‘periwinkle,’ and ‘Pantone
19-4052’ are of this kind, as are relational predicates like ‘is more
saturated than.’ There is also an ideological kind corresponding to
modality. Primitive modal operators, predicates like ‘possibly true’ and
‘consistent,’ as well as primitive dispositional predicates like
‘fragile’ are of this kind. There is much more worth saying about the
individuation of ideological kinds. Yet I do not think that
my main argument is affected by this issue. In what follows I will stick
to the intuitive understanding just sketched.
Some metaphysicians may deny that our use of ideological parsimony
can be neatly divided into (NI-Parsimony) and (KI-Parsimony). Yet the
distinction seems intuitive enough and many think there is something to
it (e.g., Cameron 2012, 18;
Cowling 2013, 3897). In addition, there are intuitive reasons to
favor (KI-Parsimony) and reject (NI-Parsimony). For one, (NI-Parsimony)
seems to force us to make objectionably arbitrary decisions.
(NI-Parsimony) recommends that, all else being equal, we minimize the
number of compositional predicates in our ideology. What this
recommendation precisely amounts to will depend on the resolution of
issues that are too large to address here. To
see the worry, though, suppose that there are no other relevant
considerations regarding our choice of compositional ideology.
(NI-Parsimony) then recommends that we employ a minimal expressively
adequate set of predicates. For composition, this can be achieved by
choosing one from among ‘is a part of,’ ‘is a proper part of,’ and
‘overlaps’ (supplemented with identity). We are then faced with an
unsettling question: which of these three should we choose? Each option
is unsavory because they all seem to commit us to an unreasonable view
about the fundamental compositional structure of the world. Each option
also seems impossible to motivate—what could justify choosing one over
the other? These worries about arbitrariness disappear if we reject
(NI-Parsimony) in favor of (KI-Parsimony). Compositional predicates are
(plausibly) of the same ideological kind. So there is no methodological
pressure to arbitrarily choose one predicate over the others.
Many metaphysicians nowadays think that both ontological parsimony
and ideological parsimony should play a role in theory choice. Why?
Historically, parsimony-based considerations have been defended on
non-alethic grounds: an ideologically parsimonious theory might be
easier to comprehend, or an ontologically parsimonious theory might be
more aesthetically pleasing. But such defenses are less popular nowadays
since they are seen as relying on reasons that should be irrelevant to
theory choice in metaphysics. Nowadays, most metaphysicians who think
that parsimony should play a role in theory choice think so because they
think parsimony is truth-conducive. This connection between
parsimony and truth holds for both ontological parsimony and ideological
parsimony. According to ideological externalism, a more ideologically
parsimonious theory conveys a more simple—and therefore more likely to
be true—picture of the world’s structure. Yet metaphysicians are less
willing to extend this defense to quantitative ideological parsimony.
(Intuitively, a theory that employs only ‘is a part of’ is not any more
likely to be true than a theory that employs ‘is a part of’ and
‘overlaps.’) Thus, that approach to parsimony is under-motivated.
Because of this lack of motivation and the aforementioned worries about
arbitrariness, many metaphysicians reject (NI-Parsimony).
Thus far, I have presented four approaches to parsimony. I have
suggested that the overall most attractive package for applying
parsimony to theory choice is one that (i) can include (NO Parsimony),
(ii) definitely includes (KO-Parsimony) and (KI-Parsimony), but (iii)
does not include (NI-Parsimony). Not coincidentally, this is a package
that has recently gained prominence amongst metaphysicians who care
about the parsimony of their theories. Even the most ardent supporters
of parsimony have shied away from including (NI-Parsimony). Sider (2011, 258–259)
admits that ‘[t]here is a real question about which of
propositional logic’s connectives carve at the joints, and similarly for
\(\forall\) and \(\exists\),’ and yet nevertheless
‘egalitarian answers can be given. . . [o]ne might hold that both \(\exists\) and \(\forall\) carve at the joints, or that all
the truth-functional connectives do, and thus avoid drawing invidious
metaphysical distinctions.’
But, as I will now show, there is a puzzle that undermines this
package’s credibility.
The Puzzle
In this section, I will argue that (KO-Parsimony) entails a
restricted form of (NI-Parsimony). I will then suggest that this is no
mere entailment; properly understood, (KO-Parsimony) and (NI-Parsimony)
target the same feature of reality, the structure of the world. Thus,
insofar as these two approaches to parsimony are motivated by a desire
to posit a simple world, it is puzzling that metaphysicians should treat
them so differently.
To illustrate these connections, I will work through a paradigm
example of the neo-Quinean methodology at work in the metaphysics of
composite objects.
According to compositional nihilism, there are no composite
objects—no tables, no chairs, and no people (if people are composite
objects). Yet natural language claims like
Some composite objects are larger than other composite objects
seem undeniably true. The most
straightforward regimentation of this English claim using first order
logic is: \[\exists x \exists y(C(x) \land
C(y) \land (x \neq y) \land L(x,y))\]
which informally reads ‘There is an \(x\) and there is a \(y\) such that \(x\) is a composite object, \(y\) is a composite object, \(x\) is not identical with \(y\), and \(x\) is larger than \(y\).’ According to orthodox neo-Quineanism,
if we endorse this regimentation we thereby incur an ontological
commitment to composite objects.
But we want to avoid an ontological commitment to composite objects.
This is in part because (KO-Parsimony) recommends reducing the number of
posited ontological kinds when feasible. Composite objects form an
ontological kind. So we ought to avoid positing them.
How do we accomplish that goal? It is not enough merely to reduce the
number of references to composite objects or to relegate claims about
composite objects to a theoretically insignificant role. On the
neo-Quinean methodology, we posit an ontological kind when, in stating
our theory, we employ a predicate that ranges over entities found within
that kind. Thus, we need to avoid the mention of composite objects
altogether. To accomplish that, we need to find an alternative
regimentation to the English sentence (‘Some composite objects are
larger than other composite objects.’) that uses only nihilistically
acceptable ideology.
Here’s how we can do that. First, we replace the composite object
predicate, ‘\(C\),’ with the predicate
‘\(AC\),’ which reads as ‘arranged
composite-object-wise.’ This predicate ranges over the things that are
spatially distributed as if they composed an object. If contemporary
physics is correct, the entities that satisfy this predicate are quarks,
leptons, and bosons. But so as to not presuppose any particular theory,
let’s call them—whatever they are—“simples.” ‘\(AC\)’ ranges over simples, but in a
non-distributive manner. No single simple is arranged composite-object
wise. Rather, all of the simples are collectively arranged
composite-object-wise. Finally, we must be able to quantify over simples
arranged composite-object-wise in a way that avoids committing ourselves
to something “over and above” those simples. To that end, we supplement
first-order logic’s singular quantification with plural quantification.
Following some fairly standard notation from Burgess and Rosen (1997), we
can use doubled letters (e.g., ‘\(xx\),’ ‘\(yy\)’) to represent the variables for
plural quantification. We can then regiment the English sentence as
follows: \[\begin{gathered}
\exists xx \exists yy(AC(xx) \land AC(yy) \land (xx \neq yy) \land L(xx,
yy))
\end{gathered}\]
This sentence successfully avoids an ontological commitment to
composite objects.
Yet things are not so simple. We can use plural quantification to
eliminate singular references to composite objects. But English also
plausibly includes plural references to composite objects. Consider, for example, the
following sentence:
Some composite objects are in contact only with one another.
We would need to employ plural quantification in the regimentation of
this sentence even with an ontological commitment to composite objects.
For instance, where ‘\(T\)’ is a
predicate that ranges over things in contact and ‘\(\prec\)’ is a special relation between
individuals and pluralities of individuals, functioning like the English
expression ‘among’: \[\begin{gathered}
\exists xx \lbrack \forall u ((u \prec xx) \rightarrow C(u))\,\land\\
\forall v \forall w(((v \prec xx) \land T(v,w)) \rightarrow ((w \prec
xx) \land v \neq w))\rbrack
\end{gathered}\]
From an ideological perspective, this regimented sentence is already
quite ugly. But, because it employs a predicate for composite objects,
it would commit us to the existence of composite objects. So, to avoid
such a commitment, we must construct a different regimentation that does
not use such a predicate. This nihilistically acceptable regimentation
will be even uglier. That’s because it must rely on plurally
plural—i.e., perplural—quantification. Just as plural quantification
ranges over pluralities of individuals, perplural quantification ranges
over second-level pluralities of pluralities. Let’s use tripled letters
(e.g., ‘\(xxx\),’ ‘\(yyy\)’) to represent the variables for
perplural quantification. We then get the following regimentation:\[\begin{gathered}
\exists xxx \lbrack \forall uu ((uu \prec xxx) \rightarrow
AC(uu))\,\land\\
\forall vv \forall ww (((vv \prec xxx) \land T (vv, ww)) \rightarrow
((ww \prec xxx) \land vv \neq ww))\rbrack
\end{gathered}\]
In this way, metaphysicians can avoid an ontological commitment to
composite objects, thereby minimizing the kinds of objects to which they
are ontologically committed. But their use of (primitive) perplural
quantification increases the ideological kinds to which they are
committed.
So far as the metaphysics of composite objects goes, we have two
options. First, we can employ a predicate that ranges over composite
objects. Or, to avoid the ontological commitment, we can remove the
predicate. Choosing this second option seems to involve a trade-off
between a specially problematic predicate and a more complicated form of
quantification.
Our intuitive grasp of the relevant concepts initially suggested that
ontology and ideology are quite distinct. So it’s surprising that a
commitment to (KO-Parsimony) entails a de facto commitment to
(NI-Parsimony). This connection cries out for explanation.
In fact, I think the explanation is quite straightforward for
ideological externalists. If we use a theory’s ideology to pick out
features of the world, then it’s entirely plausible that in doing so we
sometimes pick out ontological kinds.
Think of it this way. The elimination of a single object from a
metaphysician’s ontology improves its quantitative ontological
parsimony. So, too, does the elimination of every object of a given
kind. But the elimination of an ontological kind does not necessarily
result in the elimination of any objects. It’s perfectly ordinary for a
reductive project to “relocate” the objects of one kind into the
province of another. For example, David Lewis’s modal realism (1986) is
ontologically parsimonious insofar as it avoids an ontological
commitment to sui generis possible worlds. But it does not
minimize the overall number of objects; in a manner of speaking, what
would have been sui generis possible worlds are instead
causally isolated concrete entities. So, (KO-Parsimony) should not be
understood as an efficient means of reducing the overall number of
objects posited. Similarly, (KO-Parsimony) should not be understood
merely as a preference for “empty kinds” over “populated kinds.” In many
cases, whether or not an ontological kind is populated should depend on
contingent facts of the world rather than metaphysical necessities.
(KO-Parsimony) should be understood as a preference for the
elimination of ontological kinds. As the compositional example
above suggests, the elimination of an ontological kind is achieved by
the abandonment of its corresponding predicate. Here is where
ideological externalism is relevant. When a theory commits to an
ontological kind, it is not committing to some object that it quantifies
over. Rather, when a theory commits to an ontological kind, it is
committing to a structural feature of the world that corresponds to a
predicate employed by the theory’s ideology. Similarly, when a theory
eliminates an ontological kind, it eliminates a structural feature of
the world. Ontological kinds are features of the world’s metaphysical
structure.
Compare this theoretical identification to the theoretical
identification of water and H2O. Our concept of water is
quite different from our concept of H2O: our concept of water
predates our concept of H2O; our concept of water is rooted
in its geographic, biological, and sociological functions whereas our
concept of H2O is rooted in the scientific discipline of
chemistry; and so on. As a matter of fact, though, the two concepts pick
out the same substance. Of course, in some sense our concept of water
“could have” picked out a different substance. Perhaps, even, our
concept of water “could have” picked out a metaphysically gruesome
disjunction of substances. But that’s not how things turned out.
Consequently, to be concerned with water is to be concerned with
H2O. Imagine someone who stressed the importance of bringing
water on a camping trip. If they stressed the importance of bringing
water but denied the importance of bringing
H2O, we would be confused—and rightly so.
So, too, for ontological kinds and the world’s metaphysical
structure. While our concept of an ontological kind may predate our
concept of the world’s metaphysical structure, the two concepts
ultimately pick out the same feature. Of course, there may be some
differences between the two theoretical identifications. Those who
maintain a firm distinction between the a priori and the a
posteriori would likely consider “Water is H2O” to be an
a posteriori identification and “Ontological kinds are
metaphysical structure” to be an a priori identification. But,
assuming the identities hold, many of the comparisons are apt. If a
metaphysician stresses the importance of minimizing the ontological
kinds posited by a theory, we should expect them to stress the
importance of minimizing the structural complexity posited by a
theory—it’s the same thing that is being minimized! At a minimum, the
metaphysician owes us an explanation for the difference in attitude.
Thus far, I have argued that those committed to (KO-Parsimony) should
be committed to a restricted version of (NI-Parsimony). I have also
suggested that there is an identity between the targets of these two
principles of parsimony; both seek to minimize the structural complexity
of the world. It does not follow that qualitative ontological parsimony
just is quantitative ideological parsimony. There will still be
instances of the latter that aren’t instances of the former. Consider,
for instance, a choice between two competing modal theories. Some forms
of actualism (like those in Prior and Fine
1977) eschew quantifying over possible worlds and take the
sentential modal operators as primitive. Suppose that actualist theory
T1 takes both ‘\(\Box\)’ and
‘\(\Diamond\)’ as primitive and
actualist theory T2 takes only ‘\(\Box\)’ as primitive, defining ‘\(\Diamond\)’ in the standard way.
(NI-Parsimony) would recommend T1 over T2 because
it employs one less bit of ideology. But by hypothesis neither theory
posits more or fewer kinds of entities. Thus, some disputes about
ideology are not reducible to disputes that involve ontology.
Here’s a small, but important, complication that I’ve ignored. Thus far, I have worked through a
single case, the metaphysics of composition. Even if what I have said
holds for this case, does the point generalize? Or is it merely an
artifact of the case that might or might not apply to others?
The point generalizes. On the neo-Quinean paradigm, there is no
ontological commitment to something unless there is a regimented
sentence held to be true which includes a bound variable that must refer
to that thing. But there is no need to have such a referring bound
variable unless that variable attaches to a predicate of some kind. In
other words, because ontological parsimony is a difference in ontology
and because ontology is always expressed through ideology, ontological
parsimony always involves a difference in ideology.
There is one slight exception. Some metaphysicians adopt principles
of parsimony that discriminate on the basis of fundamentality. For
example, Schaffer
(2009) adopts the Laser, which recommends minimizing the number
of fundamental entities but does not care about the number of
non-fundamental entities. Such a principle makes the connection
between ontology and ideology weaker. More specifically, when using the
Laser there will be predicates—the ones corresponding to non-fundamental
entities—whose elimination or introduction would not impact ontological
parsimony.
But this exception does not solve the puzzle. First, it’s unclear
what the status of such predicates is. Plausibly, non-fundamental
ontology is expressed through non-fundamental ideology. If so, then this
exception is simply irrelevant to the puzzle I’ve presented. Second,
this exception still entails a strong relationship between fundamental
ontology and fundamental ideology. So, at best, it would solve only part
of the puzzle.
What to Do?
I will end by briefly discussing three ways to respond to the puzzle
about parsimony. Each has its advantages and disadvantages. While I do
favor one of the ways over the others, I think all three are worth
developing more fully.
First, we could try to resist the puzzle. I generated the puzzle by
assuming orthodox neo-Quineanism. One way of resisting, then, is to
reject the claim that a theory’s ontology is that over which the theory
quantifies. There are several alternatives to the Quinean criterion of
ontological commitment, but one promising option is the truthmaker view.
On the truthmaker view, a theory’s ontology is that which makes the
theory’s sentences true. Importantly, the view
explicitly permits two theories to differ with respect to their
ideologies without also differing with respect to their ontological
commitments. For instance, on the truthmaker view a theory might truly
state “Some composite objects are larger than other composite objects”
without incurring an ontological commitment to composite objects. What
matters is not what the sentence quantifies over but rather what makes
the sentence true—and what makes the sentence true need not be composite
objects. More importantly, the view entails that the two regimentations
offered above—“\(\exists x \exists
y(C(x)\,\land C(y) \land (x \neq y)\,\land\,L(x,y))\)” and “\(\exists xx \exists yy(AC(xx)\,\land\,AC(yy)\,\land
(xx \neq yy) \land L(xx,yy))\)”—have the same ontological
commitments. The change in ideology does not impact the ontology. Thus,
on the truthmaker view of ontological commitment, (KO-Parsimony) does
not entail any version of (NI-Parsimony), nor does it suggest an
identity between their targets. In a way, then, the puzzle about
parsimony could motivate us to reject orthodox neo-Quineanism.
Those of us not yet ready to abandon orthodoxy have to either embrace
the puzzle or downplay its significance. I suspect many would prefer the
second option. Some metaphysicians (e.g., Bennett 2009) have
characterized many metaphysical disputes as being, as bottom, trade-offs
between ontology and ideology. This characterization is hard to maintain
if they have the same target (i.e., the world’s metaphysical structure).
It seems, then, that my puzzle puts that characterization in a hard
place. But perhaps the essence of their characterization can be
maintained. I can see two strategies for doing so.
On the first strategy, there are many more ideological kinds than
previously assumed. More specifically, each predicate that expresses an
ontological kind forms its own ideological kind. If this is so, then
(KO-Parsimony) actually entails (KI-Parsimony) and the methodological
tension vanishes. But here’s a challenge that this strategy must
overcome. By following the neo-Quinean orthodoxy, we eliminate
ontologically committing predicates but we do not eliminate the
complements of those predicates. So, for instance, the compositional
nihilist eliminates ‘composite object’ but does not eliminate ‘not a
composite object,’ otherwise known as ‘simple.’ Yet, intuitively,
“positive” predicates like ‘composite object’ and “negative” complements
like ‘simple’ are of the same ideological kind. So, those who want to
pursue this first strategy of downplaying the significance of the puzzle
must offer a more sophisticated means of individuating ideological
kinds.
On the second strategy, there are two categories of ideology such
that (i) we ought to minimize the number of ideological bits from the
first category, and (ii) it is not the case that we ought to minimize
the number of ideological bits from the second category. Obviously,
those who pursue this strategy must offer some explanation for the
difference in treatment. One somewhat radical explanation is to say that
structural simplicity is more important in some domains than it is in
others. I do not see how this explanation can be plausibly maintained.
Parsimony is currently treated as a comprehensive value: choose the
theory that is overall more simple. Why would simplicity in one
domain be less important (i.e., less truth conducive) than simplicity in
another domain? On an alternative explanation, the relationship between
ideological bits and metaphysical structure is more nuanced than
previously thought. Perhaps ideological bits are more fine-grained than
the corresponding structure. If so, then some ideological bits (like ‘is
a part of’ and ‘overlaps’) would correspond to the same aspect of the
world’s metaphysical structure, and so there is no need to choose
between the two. In contrast, other ideological bits (like ‘composite
object’ and ‘simple’) would correspond to different aspects of the
world’s metaphysical structure, and so there is value in eliminating one
if not the other. This explanation is interesting. But as it stands it
is ad hoc. In the absence of a worked-out account of
ideological correspondence, why should we think that it works the way
this strategy needs it to work?
That leaves the third response: embrace the puzzle. If we embrace the
puzzle, we ought to claim that (NI-Parsimony) is no less justified a
principle than (KO-Parsimony). This claim is quite shocking (well, as
shocking as an esoteric claim about the proper methodological
application of parsimony can be, anyway). (KO-Parsimony) has a rich
history and is likely the most broadly endorsed approach to parsimony.
In contrast, almost no one explicitly endorses (NI-Parsimony).
Nevertheless, by embracing the puzzle we can save neo-Quineanism as well
as the standard characterization of metaphysical disputes as disputes
that involve trade-offs between ontology and ideology. Yet those who
pursue this third strategy have their own explaining to do. Intuitively,
it seems objectionably arbitrary to choose between functionally
equivalent terminology. So why isn’t it? For example, why should we
reduce the number of compositional predicates we employ in stating our
theories?
Perhaps we can extend the standard motivations for parsimony-based
considerations and say that we should reduce the number of compositional
predicates because the resulting theory posits a more simple structure
and is therefore more likely to be true. This might still generate an
epistemic deadlock with regard to competing “equivalent” theories.
(NI-Parsimony) would suggest that a theory that employs only ‘overlaps’
is more likely to accurately represent the compositional structure of
the world than a theory that employs both ‘overlaps’ and ‘is a part of.’
Mutatis mutandis for a theory that employs only ‘is a part of.’
But at this point our methodology fails us and we do not know which of
the two predicates we ought to employ.
Personally, I think we ought to embrace the puzzle. It’s not a
perfect response, but it is the best available. Neo-Quineanism is
battle-tested orthodoxy. (More modestly, neo-Quineanism is much closer
to the center of my web of belief than are the other elements of the
puzzle.) For that reason I reject the first response. The second
response raises a number of issues regarding ideological correspondence.
I am doubtful that those issues can be addressed satisfactorily. So I
also reject the second response. Finally, I do not think that the third
response is that bad. I don’t know how to choose between overlap and
parthood. I don’t even know how to think about that choice. But a hard
choice is not ipso facto a bad choice.