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Getting Better Handle On Methane Emissions From Livestock

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Cattle, swine and poultry contribute a hefty portion to the average American’s diet, but raising all this livestock comes at a cost to the environment: The industry produces a lot of methane, a potent greenhouse gas. Just how much gas the animals release, however, is the subject of debate.

Now, one group reports in ACS’ journal Environmental Science & Technology that a new approach could shed light on how accurate current data are.

According to the U.S. Environmental Protection Agency, the livestock industry is the second-biggest methane emitter in the U.S. The gas comes from the microbial fermentation that occurs in the animals’ stomachs, resulting in digestion-related (enteric) emissions, and from fermentation in their manure. The total amount depends on the type of animal, what the animals eat and how their manure is stored.

For example, cattle that mostly consume grain-based feed release significantly less enteric methane than cattle that graze on pasture. But current estimates of total livestock methane emissions may rely on outdated emission factors and do not fully consider feed intake and differences in animal diets, or the facilities used to store manure. These data gaps lead to large uncertainties in methane emission figures. To better understand livestock contributions to these emissions in the U.S., Alexander Hristov and colleagues sought to fill in the missing data gaps.

The team analyzed the feed intake data for cattle, as well as manure storage practices for cattle, pigs and poultry, at the county and state levels in the contiguous U.S. Their resulting estimates for methane emissions by location varied widely from numbers currently reported by inventories such as the European Emission Database for Global Atmospheric Research (EDGAR).

For example, the researchers found that the combined enteric and manure methane emissions from livestock in Texas and California were 36 percent less and 100 percent greater, respectively, than estimates by EDGAR. Based on their data, the researchers say that results from studies that use inaccurate distribution inventories to determine emissions sources should be cautiously interpreted.


Combination HIV Prevention Reduces New Infections By 42 Percent In Ugandan District

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A study published in the New England Journal of Medicine provides real-world evidence that implementing a combination of proven HIV prevention measures across communities can substantially reduce new HIV infections in a population.

Investigators found that HIV incidence dropped by 42 percent among nearly 18,000 people in Rakai District, Uganda, during a seven-year period in which the rates of HIV treatment and voluntary medical male circumcision increased significantly.

The HIV prevention strategy whose impact was observed in the study is based on earlier findings by the National Institutes of Health (NIH) and others demonstrating the protective effect of voluntary medical male circumcision for HIV-uninfected men and of HIV-suppressing antiretroviral therapy (ART) for halting sexual transmission of the virus to uninfected partners. The strategy is also based on studies showing that changes in sexual behavior, such as having only one sexual partner, can help prevent HIV infection.

“Before this study, we knew that these HIV prevention measures worked at an individual level, yet it was not clear that they would substantially reduce HIV incidence in a population–or even if it would be possible to get large numbers of people to adopt them,” said Anthony S. Fauci, M.D., director of the National Institute of Allergy and Infectious Diseases (NIAID), part of NIH. “This new analysis demonstrates that scaling up combination HIV prevention is possible and can turn the tide of the epidemic.”

NIAID co-funded the research, and NIAID investigators oversaw all laboratory operations. The President’s Emergency Plan for AIDS Relief (PEPFAR) funded the provision of combination HIV prevention, including ART and circumcision services, during the period observed in the study.

The newly reported research involved nearly 34,000 people ages 15 to 49 years residing in 30 communities that participate in the Rakai Community Cohort Study (RCCS) conducted by the Rakai Health Sciences Program in Uganda. With funding from NIH and others, this program promoted HIV testing, ART and voluntary medical male circumcision to study participants. Every one or two years from April 1999 until September 2016, participants were tested for HIV and surveyed about their sexual behavior, use of HIV treatment, and male circumcision status. The authors of the new paper analyzed these survey data under the leadership of M. Kate Grabowski, Ph.D., an assistant professor at The Johns Hopkins University School of Medicine in Baltimore and an epidemiologist with the Rakai Health Sciences Program.

The investigators found that the proportion of study participants living with HIV who reported taking ART climbed from zero in 2003 to 69 percent in 2016. The proportion of male study participants who were voluntarily circumcised grew from 15 percent in 1999 to 59 percent in 2016. While levels of condom use with casual partners and the proportion of people reporting multiple sexual partners remained largely unchanged, the proportion of adolescents ages 15 to 19 who reported never having sex rose from 30 percent in 1999 to 55 percent in 2016.

As an apparent consequence of these increases, particularly in ART use and voluntary male circumcision, the annual number of new HIV infections in the cohort fell from 1.17 per 100 person-years in 2009 to 0.66 per 100 person-years in 2016, a 42 percent decrease. Person-years are the sum of the number of years that each cohort member participated in the study. The researchers calculated the annual number of new HIV infections using data from nearly 18,000 of the almost 34,000 total participants.

In addition, the proportion of cohort members living with HIV whose treatment suppressed the virus increased from 42 percent in 2009 to 75 percent in 2016, showing the feasibility of meeting the goal of the UNAIDS 90-90-90 initiative to achieve 73 percent viral suppression.

“These findings are extremely encouraging and suggest that with sustained commitment to increase the number of people who use combination HIV prevention, it may be possible to achieve epidemic control and eventual elimination of HIV,” said David Serwadda, M.B.Ch.B., M.Med., M.P.H., co-founder of the Rakai Health Science Program and Professor at Makerere University School of Public Health in Kampala, Uganda.

HIV incidence dropped the most–by 57 percent–among circumcised men, likely because both their own circumcision and ART taken by their female sexual partners living with HIV protected these men from the virus. HIV incidence declined by 54 percent among all men but by only 32 percent among all women. According to the investigators, this difference probably occurred because a greater percentage of women living with HIV than men living with HIV took ART, and because nearly two-thirds of men chose the extra preventive benefit of circumcision. The researchers suggest addressing this gender imbalance by influencing more men living with HIV to take ART and by giving HIV-uninfected women HIV prevention tools that they can control unilaterally, such as pre-exposure prophylaxis (PrEP). The scientists anticipate that the RCCS will add PrEP to its combination HIV prevention package as the study continues.

“We expect that this multifaceted approach to HIV prevention will work as well in other populations as it has in rural Uganda,” said Dr. Grabowski. “Our results make a strong case for further expanding ART and male circumcision for HIV prevention in Rakai District and beyond. Additional proven HIV prevention interventions, such as PrEP, should be added to the mix to reduce HIV infections in women and other high-risk groups.”

Hot, Sunny Days Can Slow 5G Networks

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Hot, sunny weather could degrade future fifth-generation or “5G” cellular transmissions by more than 15% — which could mean more dropped calls in places like Florida and the Middle East — but an Embry-Riddle Aeronautical University engineer says research will guide solutions.

Forthcoming 5G cellular systems could support applications requiring ultra-fast processing speeds by tapping into super-high frequency radio waves, which would offer 10 to 100 times more computing space than today’s 4G cellular systems.

But, how would bright sunshine affect such high-speed transmissions?

To answer this question, Ahmed Sulyman, an associate professor in Embry-Riddle’s Prescott, Ariz.-based Department of Computer, Electrical, & Software Engineering, teamed up with colleagues in Saudi Arabia to publish the first comprehensive analysis of solar radio emissions on land-based wireless communications systems at 60 Gigahertz (GHz) bands.

Sulyman’s study appears in a special edition of the peer-reviewed journal IEEE Transactions on Antennas and Propagation (Volume: 65, Issue 12, Dec. 2017, pp. 6624-6635).

The conclusion? Future 5G cellular systems using 60 GHz bands might work better at night because solar radio emissions seem to degrade such transmissions. “This suggests there could be more dropped calls and lost data transmission, and the data rate could be lower during the day compared to nighttime,” said Sulyman.

He added, however, that effective communication links at 60 GHz are possible at distances up to 134 meters indoors, and up to 110 meters outdoors, even in hilly, dense urban areas — particularly if antennas are pointed toward each other.

“Engineers can always work around problems if they understand them properly,” said Sulyman, a Senior Member of IEEE, the world’s largest technical professional organization. “Once we understand the exact nature of solar radio interference on 5G networks, we can plan for it by optimizing links for day-time and night-time operations.”

He noted that satellite televisions work well during the day and at night because planners offset any transmission degradation so seamlessly that consumers never know the difference. Similarly, he said, continuing studies of how bright sunshine affects 5G networks will help developers make better decisions to support those systems, too, he said: “These results will help 5G cellular network planners to prepare appropriate link budgets when deploying 60 GHz radio outdoors in extremely hot and sunny weather.”

First-generation cellular systems were introduced in 1982, and each subsequent generation of the technology has tended to require about 10 years of development. Rollout of 5G wireless digital systems could happen in the 2020s or sooner, Sulyman said. New 5G standards should be developed in 2019, during the World Radiocommunication Conference.

If 5G systems could make use of extremely high-frequency radio waves — characterized by millimeter-length bands (30- to 300 GHz) — users would benefit from much faster data-access speeds and “nomadic” service that functions much like Wi-Fi, untethered from transmission towers.

As a cost-saving measure, telecommunications developers have been looking at transmissions in the unlicensed 5 GHz and 60 GHz bands. Transmissions in this range would provide cellular operators with an appealing business option in areas not profitable enough to justify more expensive licensed bands.

Currently, most 4G LTE networks make it possible to download a full-length high-definition movie in about five to ten minutes. Future 5G technology would offer much higher speeds. But there could be drawbacks to using higher-frequency radio waves, which have shorter transmission ranges shorter transmission ranges that can be blocked by buildings and weakened by atmospheric conditions.

For his study, Sulyman and colleagues looked at how solar radio emissions would affect 60 GHz communication, in various system configurations such as line-of-sight and non-line-of-sight setups. First they configured an indoor experiment in order to determine the “path loss exponent” or PLE – a measure of transmission degradation – resulting from solar radio emissions. Then, they compared those results with measurements gathered at two sunny outdoor locations in Riyadh city, Saudi Arabia – a hilly region with high-rise buildings and vegetation, and similar terrain with very little vegetation. In hot and sunny weather, PLE values increased by 9.0 to 15.6%, compared to measurements captured at night in cool, clear weather. In other words, the integrity of transmissions were negatively affected by strong sunshine.

Sulyman’s journal article in IEEE Transactions on Antennas and Propagation, “Effectives of Solar Radio Emissions on Outdoor Propagation Path Loss Models at 60 GHz bands for Access/backhaul links and D2D communications,” was co-authored by Hussein Seleem, Abdulmalik Alwarafy, Khaled Humadi and Abdulhameed Alsanie of King Saud University.

In June 2017, Sulyman published another paper in IEEE Wireless Communications, describing a novel architectural approach to bridging Internet-based “Internet of Things” networks with cellular based systems. Sulyman, who is a senior member of IEEE, joined Embry-Riddle’s Prescott Campus in February 2017, having previously taught in Saudi Arabia.

Breakthrough Made In Curing Fatal Cat Disease

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A new clinical trial funded in part by Morris Animal Foundation has resulted in a critical veterinary breakthrough – cats with feline infectious peritonitis (FIP) in remission following treatment with a novel antiviral drug. This fatal viral disease previously had no effective treatment or cure. Researchers from Kansas State University and the University of California, Davis, published their study results in the Journal of Feline Medicine and Surgery.

Morris Animal Foundation, as one of its animal health initiatives, launched its Feline Infectious Peritonitis Initiative in 2015, dedicating more than $1 million to improve diagnostics for and treatments of this fatal disease. The Foundation is committed to saving cats from FIP by funding a cluster of studies that has the potential to help animal health scientists better understand, treat and even develop cures for the disease. One of these studies, launched in March 2016 by Dr. Yunjeong Kim at Kansas State University and Dr. Niels Pedersen at University of California, Davis, was a small clinical trial to investigate whether a novel antiviral drug could cure or greatly extend the lifespan and quality of life for cats with FIP.

“This research is the first attempt to use modern antiviral strategies to cure a fatal, systemic viral disease of any veterinary species,” said Dr. Pedersen. “Our task was to identify the best candidates for antiviral treatment, and the best dose and duration of treatment. Saving or improving the lives of even a few cats is a huge win for FIP research.”

The team conducted a clinical trial with 20 client-owned cats that presented with various forms and stages of FIP, treating them with the antiviral drug. At the time of publication, seven cats were still in disease remission, a positive step forward for a historically untreatable disease.

“We found that most of cats, except for those with neurological disease, can be put into clinical remission quickly with antiviral treatment, but achieving long-term remission is challenging with chronic cases. These findings give us more insight into FIP pathogenesis and also underscores the importance of early diagnosis and early treatment” said Dr. Kim.

The best long-term treatment response was seen in kittens under 16 to 18 weeks of age with a particular form of FIP, and that were at certain stages in the disease’s progression. Unfortunately, cats with neurological disease associated with FIP did not respond as well to the drug and did not achieve disease remission.

“Dr. Kim and I have been collaborating for over two years on an antiviral drug that proved highly active against the FIP virus in tissue culture and in a mouse model. The positive results of these studies convinced us to test the drug against naturally occurring FIP in cats,” said Dr. Pedersen.

Feline infectious peritonitis is caused by a mutated coronavirus, and targets kittens and young cats under 2 years of age. At highest risk are cats that live in close proximity to each other, such as cats that live in shelters, where FIP is five to 10 times more prevalent. FIP is challenging to diagnose as early symptoms can resemble other diseases and, while there are supportive treatments if caught early, FIP is 100 percent fatal.

Although FIP affects only a small percentage of cats, (an estimated 1 percent to 5 percent of shelter cats die of FIP), the disease is devastating. Better diagnostic tools and development of an effective treatment are desperately needed. The virus that causes FIP also is similar to the coronaviruses responsible for Middle East respiratory syndrome (MERS) and severe acute respiratory syndrome (SARS), often fatal diseases in humans. Research done in coronaviruses to advance feline health may have the added benefit of helping people, too.

Current FIP research projects at Morris Animal Foundation include:

  • Investigating a vaccine strategy against feline enteric coronavirus, the common, nonlethal virus that can mutate into FIP, to help protect cats
  • Understanding the role of FIP-related mutations in disease progression
  • Development of a vaccine against feline enteric coronavirus infection to protect against FIP
  • Determining correlates of protection against feline enteric coronavirus, a first step toward preventing FIP
  • Identifying mutations within the FIP virus and determining how these mutations help the virus invade critical cells of the cat’s immune system
  • Exploring novel ways to diagnose and predict the likelihood of a cat to develop FIP

“Too many people have adopted a kitten from their local shelter, only to have their hearts broken when that precious life is taken away by this terrible disease. It is greatly rewarding to see that our investment, and the hard work of the research team, is paying off in the promise of a life-saving treatment for our feline companions,” said Dr. John Reddington, President and CEO of Morris Animal Foundation. “Many felt finding a cure for FIP was too daunting or impossible. However we were determined to change the outcome for cats.”

The drug needs to be commercialized which is a complex process that involves identifying potential companies interested in taking a drug through FDA approval and licensing. This task could take several years before the drug is approved and made available for use by licensed veterinarians.

UK Ramps Up Counter-Terror Effort In Iraq As ISIS Caliphate Crumbles

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Prime Minister Theresa May became the first major foreign leader to visit Iraq since the fall of Mosul, announcing the UK’s commitment to addressing the evolving threat from Islamic State (Daesh) and countering the dispersal of foreign fighters as Daesh is squeezed out of the battlefield in Syria and Iraq.

Speaking to British troops in Iraq, the Prime Minister said that the UK’s military success against Daesh means they are increasingly losing control of their territory and resources, but in response to military success, Daesh has become more diffuse, organic and networked.

May has committed to three specific things to counter the evolving Daesh threat and to manage the risk of foreign fighters returning to Europe

“First, we will deepen our counter-terrorism relationship with Iraq. The UK will invest £10m over the next three years to build Iraq’s counter-terrorism capability to meet the new threat. This means more personnel working with Government of Iraq counter-terrorism agencies. And it means deploying law enforcement resources to develop effective judicial pathways. This will allow us to spot and respond to terrorist threats against Iraq and ourselves, in partnership with Iraqi security forces,” May said.

May said the UK will work with partners across the region to develop border infrastructure, watch-lists and biometric capabilities, to counter foreign fighter dispersal. “This will help ensure foreign fighters are identified, stopped, and disrupted before they can harm people, and so we can manage the return of women and children.”

Third, the UK will do more to tackle terrorist abuse of the internet. The Prime Minister has advocated, most recently at the UN General Assembly with President Macron, Prime Minister Gentiloni and 70 other countries, for the major communications companies to live up to their responsibility, and remove content within one to two hours of release. The companies have begun to act: they have set up the industry led Global Internet Forum to Counter Terrorism but they need to go further and faster in identifying and removing content and ultimately preventing it from going up in the first place.

May has also announced that the UK will continue to support Iraqi defence and security through the provision of officer training, including places for Iraqi students on high profile UK courses at the Military Colleges and the Defence Academy, and UK training teams continuing to develop Iraqi trainers, supporting them in the delivery of courses on topics such as Counter-Improvised Explosive Devices, combat medicine, military planning, logistics, and force protection.

May visited British, Coalition and Iraqi troops at Taji and congratulated them on the success of the counter Daesh campaign. Around 80 British troops are based at Taji, and the Prime Minister had the opportunity to see them alongside their Coalition counterparts, training the Iraqi security forces.

OPEC And Russia Agree Extension To Oil Output Cuts

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By Richard Wachman

OPEC and non-OPEC countries, including Russia, patched up their differences and agreed to a nine month extension to oil output cuts first agreed in December 2016 after the price fell as low as $30 per barrel.

The current deal, under which producers agreed to cut supply by about 1.8 million barrels per day, was due to expire in March 2018, but will now be extended till the end of next year following a meeting in Vienna.

Markets breathed a sigh of relief as the current tariff of about $62 per barrel was viewed as factoring in an extension of production curbs that have helped the price recover by around 38 percent since last December’s $45 per barrel.

Robust global economic growth has also been a major factor, and there has been a significant reduction in global inventories as producer countries combined forces in a bid to bring supply and demand back into balance.

There will be wriggle room for the agreed cuts to lapse in the event of the market overheating. Additionally, there remains uncertainty as to the “trigger” price that could see US shale operators suddenly ramp up supply, raising the spectre of another glut.

The new agreement seeks to involve OPEC members Nigeria and Libya, which were not signatories to the earlier accords.

The Vienna accord is a geopolitical and diplomatic win for Saudi Arabia, by far OPEC’s largest supplier, as its leaders would appear to have persuaded Russia to go along with an extension even though some Russian suppliers have lobbied for the agreement to be scrapped as Russia needs lower oil prices to balance its budget than KSA.

But last month’s visit to Moscow by King Salman who met Vladimir Putin underlined the development of a more positive relationship between the two countries. Both have an interest in maintaining a balanced oil market.

The state visit was the first by a reigning Saudi monarch and came despite Russian support for Iranian-backed forces in Syria.

In Austria yesterday, Saudi Energy Minister Khalid Al-Falih told the gathering that in May the OECD stock overhang was 280 million barrels above the moving five-year average, but it had since fallen by almost half to 140 million barrels for the month of October.

He said: “All in all, market stability has improved and sentiment is generally upbeat. The rebalancing trend (towards the five year average) has accelerated and inventories are on a generally declining trend.”

Compliance with the production targets by the combined OPEC 12 was around 100 percent and OPEC’s credibility had been enhanced, although a couple of members had “lagged” behind, he said.

He added: “To succeed going forward, it is essential that we continue to maintain unity within OPEC. But let me hasten to add that without the support of our non-OPEC partners, the encouraging situation we see today would not have been achieved. So, we should seek to institutionalize the OPEC and non-OPEC cooperation framework, and further build on the healthy foundation we have laid.”

Nuclear Weapons As A Guarantee Of Security: Kim’s Lesson – OpEd

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By Dr. Arshad M. Khan*

Pyongyang tested another intercontinental ballistic missile on Wednesday. Fired nearly vertically, it reached an altitude of 4500 km (2800 miles). That means it could travel 13,000 km (8150 miles) on a standard trajectory, according to the Union of Concerned Scientists, putting the entire continental U.S. within its range.

In September, the North Koreans conducted a sixth nuclear test. And the story is they already have a small hydrogen bomb to fit atop a missile.

Perhaps weighted with a warhead, the missile will travel a few miles less but Kim Jong Un can still land one on the White House … if he felt so inclined. Will he? Of course not. He may be bad, but he’s not mad.

In fact, if we ask the question, how many countries has North Korea meddled in or attacked, the answer is none. Turn it around and ask the same question of the U.S., and the response is dozens — often to possible short-term advantage and long term disaster.

As to what the U.S. can do about the missile and bomb tests, the short answer is nothing. Yes, a Security Council meeting has been called for by Rex Tillerson, and yes, there will be more sanctions. But North Korea is already the most sanctioned country in the world, and it has had zero effect. Further sanctions will make little difference. They have the Chinese lifeline and China will never allow a South Korea that has swallowed the North on its doorstep. It prefers a buffer state.

The fact remains, nuclear weapons have become a form of insurance for small states. Kim Jong Un has seen what happened to Muammar Gaddafi in Libya. He abandoned his quest for nuclear weapons in exchange for economic progress and rapprochement with the West. It was a fatal miscalculation. Libya was destroyed and he lost his life.

Saddam Hussein made a similar mistake in Iraq. It might have been apparent to thinking observers why Hans Blix, the Swedish diplomat and former Foreign Minister heading the International Atomic Agency, and his team had not discovered any Weapons of Mass Destruction. The Bush team ignored him, came up with the notorious slogan of ‘the smoking gun will be a mushroom cloud’ and went ahead with the Iraq invasion. When no WMD were found, they changed the mission to bringing democracy in Iraq. The country is devastated.

The result of these military adventures is at least a million dead, millions more displaced, a refugee crisis causing dissension in Europe, and a Britain exiting the EU. The economic cost to the U.S. is in the order of $5 trillion.

Mr. Kim’s major lesson is survival. And nuclear weapons serve as guarantee. His father Kim Jong Il might have been interested in trading nuclear capacity for economic aid and peace. Kim Jong Un would rather have the certainty of survival, and bargain from strength.

A callow youngster in his twenties when he succeeded his father, he is now at 33 firmly in power. He has eliminated opposition ruthlessly, playing off factions and executing or purging over 300, and his calculated ‘madness’ instills fear worldwide, most notably in his own country.

Nothing if not practical, he is quietly cultivating a private sector economy, as in China, to improve economic conditions. Less a fool, he has become a force to be reckoned with.

About the author:
Dr. Arshad M. Khan
is a former Professor based in the US. Educated at King’s College London, OSU and The University of Chicago, he has a multidisciplinary background that has frequently informed his research. Thus he headed the analysis of an innovation survey of Norway, and his work on SMEs published in major journals has been widely cited. He has for several decades also written for the press: These articles and occasional comments have appeared in print media such as The Dallas Morning News, Dawn (Pakistan), The Fort Worth Star Telegram, The Monitor, The Wall Street Journal and others. On the internet, he has written for Antiwar.com, Asia Times, Common Dreams, Counterpunch, Countercurrents, Dissident Voice, Eurasia Review and Modern Diplomacy among many. His work has been quoted in the U.S. Congress and published in its Congressional Record.

Source:
This article was published by Modern Diplomacy

Bangladesh: Pope Francis Issues Call To Action On Rohingya Crisis

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By Elise Harris

Pope Francis arrived in Bangladesh with words of praise for the humanitarian assistance the nation has given to Rohingya Muslim refugees, and urged greater action on their behalf from the international community.

Speaking to Bangladeshi president Abdul Harmid and the nation’s authorities and diplomatic corps, the Pope said that in recent months “the spirit of generosity and solidarity” the country is known for “has been seen most vividly in its humanitarian outreach to a massive influx of refugees from Rakhine State.”

He noted how Bangladesh “at no little sacrifice” has provided shelter and basic necessities for the hundreds of thousands of Rohingya Muslims at their border.

With the eyes of the world watching the crisis unfold, no one “can fail to be aware of the gravity of the situation, the immense toll of human suffering involved, and the precarious living conditions of so many of our brothers and sisters, a majority of whom are women and children, crowded in the refugee camps,” he said.

It is therefore “imperative” that the international community “take decisive measures to address this grave crisis.”

Resolution, he said, means not only working to resolve the political problems that led to the mass displacement of people in recent months, “but also by offering immediate material assistance to Bangladesh in its effort to respond effectively to urgent human needs.”

Pope Francis spoke hours after arriving in Dhaka, Bangladesh, for the second phase of his Nov. 27-Dec. 2 tour of Asia. He was in Burma Nov. 27-30, and will stay in Bangladesh for two days before returning to Rome.

His visit comes amid boiling tensions over the mass exodus of the Rohingya, a largely Muslim ethnic group who reside in Burma’s Rakhine State, from their homeland amid increasing state-sponsored violence that has led the United Nations to declare the crisis “a textbook example of ethnic cleansing.”

With an increase in persecution in their home country of Burma more than 600,000 Rohingya have fled across the border to Bangladesh, where millions are in refugee camps.

Though the Vatican has said the crisis was not the original reason behind the Pope’s visit to the two nations, it has largely overshadowed the trip, with many keeping a watchful eye on how the Pope would respond, specifically when it comes to use of the term “Rohingya.”

Despite widespread use of the word in the international community, it is controversial within Burma. The Burmese government refuses to use the term, and considers the Rohingya to be illegal immigrants from Bangladesh. At the request of local Church leaders in Burma, Pope Francis refrained from using the word, and he has also done so in Bangladesh.

In his speech to authorities, the Pope praised the natural beauty in Bangladesh, which is seen in its vast network of rivers and waterways, saying the vision is symbolic of the nation’s identity as a people made up of various languages and backgrounds.

Pope Francis then pointed to the nation’s first leaders, whom he said “envisioned a modern, pluralistic and inclusive society in which every person and community could live in freedom, peace and security, with respect for the innate dignity and equal rights of all.”

Bangladesh gained independence from West Pakistan in 1971 after a bloody nine-month war that began when Pakistani military attacked their eastern state in a bid to eliminate Bengali nationalists from the region. West Pakistan began their assault in March 1971, and surrendered in December of the same year, resulting in the independence of the People’s Republic of Bangladesh.

The future of democracy in the young nation and the health of its political life, then, are “essentially linked” to fidelity to the original vision of the founding fathers, Pope Francis said.

“Only through sincere dialogue and respect for legitimate diversity can a people reconcile divisions, overcome unilateral perspectives, and recognize the validity of differing viewpoints,” Francis said, adding that true dialogue looks to the future and builds unity in the service of the common good.

This dialogue, he said, is also concerned for the needs of “all citizens, especially the poor, the underprivileged and those who have no voice.”

These words are especially relevant for Bangladesh, which is among the most populated countries in the world, but is also one of the poorest, with nearly 30 percent of the population living under the poverty line.

Francis said that while he came primarily to support the tiny Catholic community in the country, he is looking forward to meeting with interreligious leaders, as he did in Burma.

Interfaith dialogue has been a major theme of the Pope’s visit, as Burma is a majority Buddhist nation and Bangladesh is majority Muslim. In Bangladesh, 86 percent of the population practices Islam. The 375,000 Catholics there represent less than 0.2 of the total population.

In his speech, Pope Francis noted that Bangladesh is known for the sense of harmony that exists between followers of different religions, saying this atmosphere of mutual respect and interreligious dialogue “enables believers to express freely their deepest convictions about the meaning and purpose of life.”

By doing this, religions are able to better promote the spiritual values which form the basis for a just and peaceful society. And in a world “where religion is often – scandalously – misused to foment division, such a witness to its reconciling and unifying power is all the more necessary.”

Francis said this witness was seen in an “eloquent way” after a brutal terrorist attack at a bakery in Dhaka last year left 29 people dead, prompting the country’s leaders to make a firm statement that God’s name “can never be invoked to justify hatred and violence against our fellow human beings.”

Speaking of the role Catholics play in the country, Pope Francis said they have an essential contribution, specifically through the schools, clinics and medical centers run by the Church.

The Church, he said, “appreciates the freedom to practice her faith and to pursue her charitable works, which benefit the entire nation, not least by providing young people, who represent the future of society.”

He noted how many of the students and teachers in Church-run schools are not Catholic, and voiced his confidence that in keeping with the Bangladeshi constitution, the Church “will continue to enjoy the freedom to carry out these good works as an expression of its commitment to the common good.”

The Pope closed his speech assuring his of his prayers “that in your lofty responsibilities, you will always be inspired by the high ideals of justice and service to your fellow citizens.”

In his greeting to Pope Francis, Bangladesh President Abdul Harmid thanked the Pope for his visit and stressed the importance the nation places on religious freedom and development.

“People are only truly free when they can practice their faith freely and without fear,” he said, adding that in Bangladesh they “cherish” religious liberty and therefore stand with the Pope in defending it, “knowing that people everywhere must be able to live with their faith, free from fear and intimidation.”

Harmid also pointed to Francis’ message on mercy, which he said Bangladesh has put into practice with their welcome of the Rohingya Muslims.

“It is our shared responsibility to ensure for them a safe, sustainable and dignified return to their own home and integration with the social, economic and political life of Myanmar,” he said, adding that the Pope’s “passionate” condemnation of the brutality they face brings hope for a resolution.

“Your closeness to them, your call for helping them and to ensure their full rights gives moral responsibility to the international community to act with promptness and sincerity.”

The president also pointed to the problem of radical terrorist violence, saying “no religion is immune from forms of individual delusion or ideological extremism.”

The Bangladesh government, he said, is therefore pursuing a “zero tolerance” policy committed to eradicating the root causes of terrorism and violent extremism.

“We denounce terrorism and violent extremism, in all its forms and manifestations,” Harmid said, yet at the same time, like other Muslim majority countries, Bangladesh is also concerned about “the rise of Islamophobia and hate crimes in many western societies, which is adversely affecting lives of millions of peaceful people of faith.”

“We believe that inter-faith dialogue, at all levels of the society, is important to combat such extremist trends,” he said. He closed his speech with an appeal to protect the natural environment, and said the Pope’s visit “renews our resolve towards building a peaceful, harmonious and prosperous world.”


Vietnam: Blogger Nguyen Van Hoa Sentenced To Seven Years In Prison

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Reporters Without Borders (RSF) has announced its intention to continue with its #StopTheCrackdownVN campaign about events in Vietnam after a 22-year-old blogger and citizen-journalist was given a long jail sentence in a summary trial this morning in the central city of Ha Tinh.

A Ha Tinh court added Nguyen Van Hoa’s name to the long list of persecuted bloggers at the end a trial lasting just two and a half hours, sentencing him to seven years in prison followed by three years of house arrest on a charge of “disseminating propaganda against the state” under article 88 of Vietnam’s penal code.

“We firmly condemn this totally disproportionate sentence,” said Daniel Bastard, the head of RSF’s Asia-Pacific desk. “It was all the more severe because Hoa showed his good faith by accepting all the police recommendations. He did not take a lawyer and signed a confession that was broadcast on state TV in April.

“Not even his family was warned that this trial was going to take place. Such drastic action confirms the intransigence of Vietnam’s refusal to tolerate any reporting freedom. Vietnam’s commercial partners should draw the appropriate conclusions.”

Using its distinctive wording, the regional state-controlled online newspaper Bao Ha Tinh reported that Hoa was accused of “using Facebook to disseminate reactionary propaganda against the party and state policy by means of articles, videos and photos with negative content.”

The main reason for Hoa’s arrest in early 2017 was his coverage of the reactions to a toxic spill from a Taiwanese steel plant in Ha Tinh province that poisoned millions of fish and reduced thousands of fishermen to penury. Hoa covered the ensuing protests, sometimes using a camera mounted on a drone

Nguyen Ngoc Nhu Quynh, a blogger better known as “Me Nam” (Mother Mushroom) was given a ten-year jail sentence for similar reasons last June.

Just four days before Quynh’s appeal is heard on 30 November, her lawyer, Vo An Don, was struck from the bar association with the apparent aim of preventing him from discussing the case in public. Quynh’s mother said she was not pinning much hope on the hearing.

As part of the #StopTheCrackdownVN campaign by RSF and other NGOs in response to these media freedom violations, a delegation met with European Parliament members in Brussels on 22 and 23 November to discuss the fate of Vietnam’s bloggers and the possibility of an emergency European Parliament resolution on Vietnam (see attached document).

Vietnam is ranked 175th out of 180 countries in RSF’s 2017 World Press Freedom Index.

Dolphins Getting Stoned On Fish Toxins

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The makers of a documentary called “Dolphins: Spy in the Pod” found that the animals enjoyed getting themselves high off toxins produced by puffer fish, Civilized reports.

As a defensive mechanism, puffer fish release a toxin when threatened by other animals. In high doses, this can be deadly. But at lower doses, the toxin produces a mind-altering effect similar to getting high.

In the documentary, dolphins can be seen grabbing puffer fish in order to get them to release the neurotoxin. Once they do so, a group of them will swim around the toxin to get a taste of the effects.

One of the producers in the film noted, “After chewing the puffer gently and passing it round, they began acting most peculiarly, hanging around with their noses at the surface as if fascinated by their own reflection.”

From Hollywood To Battlefield: Violence Against Women Affects Us All – OpEd

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By José Francisco Alvarado Cóbar, Emma Bjertén-Günther, Yeonju Jung and Dr Amiera Sawas*

Estimates show that more than one in three women worldwide have experienced physical and/or sexual violence at some point in their lives. In some countries–for example, South Sudan–this figure is as high as 70 per cent. The #MeToo social media campaign brought some needed attention to the scale of the problem. Globally, two in three victims of intimate partner or family-related homicides are women.

Violence against women is an epidemic that cuts across socio-economic background, race, ethnicity, sexual orientation, religion, age and educational level. Violence against women occurs in workplaces, public spaces and at home. However, there are reasons to be cautious with these estimated figures: violence against women (VAW) and gender-based violence (GBV) more broadly remain under-reported and under-documented. Therefore, it is difficult to fully understand the scale. Men are of course also victims of violence. For example, men killed directly in conflict by other men, far exceeds the deaths of women. This raises questions about the role of men, ideas about masculinities and violence. On top of this, trans women and men–who seem to be invisible in these debates–are more susceptible to violence than both.

November 25 is the International Day for the Elimination of Violence against Women. According to the Declaration on the Elimination of Violence against Women, adopted by the UN General Assembly in 1993, the term ‘violence against women’ means any act of gender-based violence that results in or is likely to result in physical, sexual or psychological harm or suffering to women. VAW and GBV are an obstacle to achieving gender equality, development and peace, and are therefore addressed by several international frameworks and commitments like the Convention on the Elimination of All Forms of Discrimination against Women (CEDAW, 1979); the Beijing Platform for Action (1995); UNSCR 1325 on Women, Peace and Security (2000); and its follow up resolutions, and Sustainable Development Goal 5 (2015).

These frameworks and commitments were adopted as a result of decades of global activism among women’s groups highlighting how violence against women disrupts international peace and security. For example, Davies et al (2013) contend that widespread sexual violence causes ‘social fracturing that exacerbates conflict and stifles transitions to peace. These views gave rise to UN activities such as the ‘Stop Rape Now’ campaign and UN bodies, such as the UN Department of Peacekeeping Operations (UNDPKO), incorporating commitments of UNSCR 1325 into their policy development processes, as well as providing further impetus for supporting the Women Peace and Security (WPS) Agenda. However, examples like Bosnia Hercegovina show that violence against women often continues after peace agreements are signed and is a security issue even in times defined as peace by the international community.

Re-arranging deck chairs on the Titanic?

Critics of the WPS Agenda argue that without addressing the root cause of GBV, substantive change is unlikely to come. The underlying causes of GBV, are hegemonic masculine norms, linked to the way that violent masculinities are intertwined with social power structures. This has not been adequately addressed in international policy frameworks and are not properly reflected in the WPS Agenda. Ultimately, the WPS Agenda in its current form denies accountability of women as enablers and perpetrators of GBV. Women are commonly precluded from de-mobilisation and re-integration initiatives, and are un-incentivised by the stereotyped opportunities provided for them in post-conflict initiatives.

Hegemonic masculine norms, reinforced by states and societies, legitimize and institutionalise the subordination of women and the LBGTI community to cis, heterosexual men. This is of particular concern given that ‘hypermasculine’ attitudes, where young men seek to assert dominance and social control, are being applauded by certain world leaders, who aspire to masculine notions of entitlement and power that they consider to be rightfully theirs. As an example of the rollback in gender equality and reassertion of hegemonic masculine norms, this year Russia decriminalized a first offense of family violence in cases when the victim’s injuries do not require hospital treatment.  International organizations like Amnesty, Human Rights Watch and women’s groups warned that the new law would weaken protections against domestic violence and thereby putting women at risk.

If not properly addressed, violent masculine norms could silence the voices of men who speak out against atrocities considered taboo in many societies. Although underestimated and understudied, sexual abuse targeting men, boys, and sexual and gender minorities is also closely associated with violent masculinities. In some ways, accurately estimating the incidence of gender-based violence against men, boys and sexual and gender minorities is even harder due to under-reporting as a result of social stigma.

We have seen initiatives like the MenEngage Alliance, which work with men and boys for gender equality and He for She, a campaign by UN Women that promotes male advocacy of gender equality as a human rights issue. Despite these efforts, compared to women, men are still rarely addressed as a gender or a group in resolutions within the UN system. Men are simply the norm. The Report of the High-level Independent Panel on United Nations Peace Operations  (HIPPO), from June 2015, demonstrates the challenges implementing the WPS Agenda by suggesting that, instead of being recognized as a security issue for both men and women, the WPS Agenda is a ‘women’s issue’ that can only be addressed by women. Rather than integrating a gender perspective across and within UN entities, gender is too often assigned to staff in gender units within organizations.

Is #MeToo just a phase?

The recent #MeToo campaign, was initiated by activist Tarana Burke over a decade ago but the campaign exploded last month after allegations against the film producer Harvey Weinstein, having a widespread impact. The authors of this blog, hailing from Guatemala, South Korea, Sweden and the United Kingdom, are witnessing the marches, events, prosecutions, public debates and calls to action in their home countries that were inspired by the campaign. #MeToo shed light on violence against women and has contributed to shifting the focus away from shaming the victims, to shift the shame to where it belongs, on the perpetrators

Part of what makes #MeToo so powerful is that it leverages social media platforms to visualize the ubiquity of sexual harassment and violence against (mainly) women. This has been rather successful in forcing social media users to realize that GBV is a structural problem in their own societies, and illuminating how unequal gendered power relations contribute to a culture of silence. In response to #MeToo, there has been a strong reaction against this culture of silence. Women and men are now calling for action. The question is still to be seen: what will the long-term impact be?

We commemorate the International Day for the Elimination of Violence Against Women on 25 November by calling on analysts and policymakers across the fields of development and peace to:

  • Conduct more contextualized analyses of gender gaps, masculine norms and power relations;
  • Stop making trans and non-binary populations invisible: validate their existence, their vulnerabilities and their agency;
  • Incentivise men to be more self-aware of social norms, their role in society and different forms of alternative masculinities they can embody;
  • Address the prevalent hierarchies existing within gender groups;
  • Move current discussions in the WPS Agenda away from the notion that it is only a ‘women’s issue’.

*About the authors:
José Francisco Alvarado Cóbar
is an Intern in the SIPRI Peace and Development Programme.

Emma Bjertén-Günther is a Researcher within the SIPRI Peace and Development Programme.

Yeonju Jung is a Research Assistant with the SIPRI Peace and Development Programme.

Dr Amiera Sawas is a Researcher in the Climate Change and Risk Project.

Source:
This article was published by SIPRI

State, Secrecy And CPEC – OpEd

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Ever since the inception of the idea of CPEC, it has been embroiled in controversies with regards to its viability, alleged provincial preferences, never-ending debate about cost and benefit and above all for the lack of transparency.

Intentionally or unintentionally, the ruling party in the Government has resorted to the policy of secrecy about the CPEC project despite it being the most sought after not just by the policy makers of the two countries involved, but by the common public and the regional stakeholders alike.

While CPEC does bring a wave of hope for the downtrodden province and parts of Pakistan by promising economic relief and addressing the energy crisis through energy projects, time and again there have been growing concerns and fears of all types associated with this multi billion developmental project.

Only recently there has been a renewed hue and cry about China getting 91 percent of the revenues from the Gwadar port as part of CPEC for the next 40 years leaving only 9 percent for Pakistan. There have been debates, concerns and endless analytical discussion in print and electronic media questioning the very purpose of the CPEC project when this is all that Pakistan is eventually going to end up with. This situation does raise question in one’s mind as to why the Government is bent upon staying ambiguous even at the cost of inviting negative propaganda by ill wishers.

To find an answer to this particular question, one has to look at the situation from a few slightly different perspectives. First and foremost there is no doubt that ideally any democratic government should be accountable to the people; otherwise it inevitably leads to the pattern of distrust between the two.

But at the same time every government has some limitations which in fact are intentionally being observed in order to keep the negative elements at bay. For instance the states are particularly discreet about their respective capabilities as it varies from government to government.

Such a disposition allows the states to work on their policies, projects, plans and interests with some level of freedom by keeping the enemies guessing. This kind of approach is especially adopted because every state enjoys different position of power in the global context.

Maximilian C. Forte, an Associate Professor in the Department of Sociology and Anthropology at Concordia University in Montreal believes that it is usually the weaker states that forego openness because the “so-called weaker states of the ‘periphery,’ formerly colonized nations, especially those which are the targets of covert war, economic destabilization, and political inference both by more powerful states and by multilateral financial institutions, have historically been the ones with the most to lose from ‘openness’ (whether voluntary, or as in most cases, coerced)”. Hence from this explanation it becomes quite satisfactorily clear that sometimes it is in the best interest of the government to stay discreet in an effort to ultimately safeguard their national security.

One can infer that this could very well be the reason in case of CPEC as well. Pakistan once was a British colony; it continues to be the target of proxy wars, the economic disturbances and political instability is caused not just by the incompetence of the concerned authorities but also because of the effective exploitation of the situation by the adversaries. Hence the government being secretive is justified to some extent especially when it the secrecy is being observed to gain some power or control. This control may not necessarily be aimed at controlling others but essentially to have an authority over carrying out one’s own actions with full autonomy.

However one cannot ignore the fact that secrecy does create an issue of legitimacy about governments’ policies. Trust building is a two way process. If the government is not transparent in its working, it will lead to distrusting citizens. From that perspective, the governments should never hide anything from its people.

The same has also been highlighted by Adil Najam, Professor of International Relations at Boston University, who believes that “Keeping some secrets may indeed be inevitable. But let them be so few, so infrequent, so vital, and so unusual that triggering secrecy requires not a public list or standard procedures, but deliberation, and maybe even introspection, at the highest levels. When in doubt, governments should err on the side of openness”.

By allowing the distrust to flourish, the citizens feed on their own doubts and end up spewing conspiracies against their own governments. Unfortunately this case also applies to Pakistan.

This further leads to yet another question as to “who” should be “told” and “know” “how much”. In today’s age and time, this is slightly tricky to answer since most of the information is accessible with just a click of a button owing to the advancement in technology. However the credibility factor of course cannot be ruled out in that case.

Nevertheless public demand for information cannot be out rightly rejected or ignored. It is for the same purpose that the official pages and websites have been generated to provide information about the CPEC. Relevant Chinese and Pakistani officials have been promptly addressing public queries on those sites. As was also in the case of recent information where China is set to get 91 percent revenues generated from Gwadar port.

Federal Minister for Ports and Shipping Mir Hasil Bizenjo shared this news after senators expressed concern over the secrecy surrounding the CPEC long-term agreement plan, with many observing that the agreement tilted heavily in China’s favour. Some further explanation was instantly provided by the Gwadar Port Authority which clarifies that the Gwadar port agreement is the same that was signed with Singapore Port Authority 10 years ago in 2007. It was signed with former port operating company, namely, Port of Singapore Authority International (PSAI). The port and its Free Zone could not be developed by PSAI as per the Agreement on Built-Operater-Transfer (BOT) basis till 2013. The present Port Operator, namely, China Oversees Ports Holding (COPHC) took over the operations of the Port after commercial negotiation with the concerned authorities in 2013 without any single amendment in the agreement.

Therefore the terms and conditions were defined long before the CPEC existed. Under the agreement the port operator has to construct new port terminals with equipment, machinery, marine vessels, and allied facilities on a vast area of the port. Furthermore, the company is developing Gwadar Free Zone at an area of about 2,300 acres of land.

The entire project is to be completed on BOT basis with company funding. The company will be spending around US$ 5 billions during the Concession period up to 2048. After completion of the Concession period the entire fixed asset constructed and developed will be transferred to GPA with billions of dollars businesses operating in Gwadar Port and Gwadar Free Zone. During the Concession period GPA is getting 9% of the gross revenue from port and marine service businesses and 15% of the Free Zone businesses.

This detailed and timely sharing of information sufficiently put several doubts to rest. It is commendable that Gwadar Port Authority immediately responded to the concerns and has managed to cultivate confidence and better understanding of various modalities of the project.

Hence it is important to note that Governments do need confidentiality to function, yet need to develop procedures for responding effectively to shifting demands of openness and secrecy. Developments in this direction benefit citizens, businesses, governance, and foreign policy.

*The author, Sadia Kazmi is a Senior Research Associate at the Strategic Vision Institute, Islamabad. She is pursuing a PhD in the Department of Strategic Studies at the National Defence University, Islamabad. She can be reached at sadia.kazmi.svi@gmail.com

Pakistan Should Continue To Highlight India’s Offensive Designs – OpEd

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South Asia with two nuclear rivals India and Pakistan is facing a number of traditional and non-traditional security threats because of perennial security issues.

‘Disparity’ is a more appropriate term when describing the Indo-Pak equation. India sees itself as a rising regional and extra-regional power and considers military power as a main element in regional power structure. Like any aspiring regional player, India also seeks potential partners such as the United States; and is wary of potential rivals such as China and Pakistan. Pakistan, being in different position, seeks to deter any offence from India. However, India has started adopting an offensive-defensive posture which poses greater challenges to the already fragile regional security.

In numerical terms of population, economics, military manpower and equipment, it is almost meaningless to discuss an India-Pakistan balance. India’s defence partnership with Israel is a critical example of India’s designs to upgrade and modernize its military might.

The Indian security establishment came up with the Cold Star Doctrine to address the future threats from Pakistan with massive conventional force. The ‘Indo-US Strategic Partnership’ is an indication of not only Indian ambitions, but also a sign to follow the aggressive diplomacy in the region.

Indo-US cooperation in high-tech defence equipment has raised concerns in Pakistan that have compelled it to look for advanced weapons technology. Such compulsions may create a path towards destabilization of the strategic balance in the region. India and Israel in future may also work in partnership to induct Dvora-III vessels into the Indian Navy to secure an edge over Pakistan when it comes to contesting claims between the two countries over the Exclusive Economic Zone in the Arabian Sea, specifically in the Sir Creek area.

With the changing strategic dynamics, Pakistan finds itself in an altogether different position. However, Pakistan is well aware of the situation as Ex Chief of Army Staff General Raheel Sharif mentioned: “Pakistan is capable of dealing with all kinds of internal and external threats, be it conventional or sub-conventional, cold start or hot start. We are ready.”

Be that as it may, with India enlarging its defence production; Pakistan needs to deter any offence not only for the future, but also for its present efforts in the War on Terror. Given India’s massive defence budget and its overall military strength in terms of sheer numbers, Pakistan should invest in defence technologies that maximize its capabilities against any enemy, be itexternal or internal. Pakistan needs to continue the development of tactical nuclear weapons to deter India from launching a limited war.

On the diplomatic front, Pakistan should continue to highlight India’s offensive designs in the region as well as internationally. In the changing view of international and regional security dynamics, Pakistan has to maintain a uniform posture on Full Spectrum Deterrence (FSD).

Most importantly Pakistan should keep its nuclear doctrine ambiguous. As per Indian security experts’ writing and expressing visible fears, India still does not know at what point Pakistan would cross its nuclear threshold. This feeling of doubt and fear deters India from carrying out any conventional adventure such as surgical strikes inside Pakistan.Pakistan should start focusing on improving its network-centric and electronic warfare capabilities. Pakistan must take every effort to complete the China-Pakistan Economic Corridor (CPEC) since it would create strategic interdependence of China on Pakistan. China, being the strongest player, both economically and militarily, in the region with a permanent seat in the United Nations Security Council (UNSC), would not like any conflict between Pakistan and India and could use its influence internationally, if so needed.

Nevertheless, India’s offensive posture is a harbinger of grave dangers for South Asia, especially for Pakistan. Along with that, Indian aggressive policies have already provoked an arms race in the region. According to Terestita C. Schaffer, a former U.S. diplomat and a senior analyst with Brookings:“In a nuclear environment, the conventional war concept propagated by India is not logical, it is not possible to quantify the concept of limited war in terms of geography, weapons or political objectives in the Indo-Pakistan equation. A limited war from Indian point of view may not be limited from Pakistani perspective”.

Pakistan desires peace and seeks cordial relations with all its neighbors, especially with India since indulgence in any war may be more costly to the former than the latter. The technological developments by India including Anti-Ballistic Missile (ABMs) systems and its defence agreements with other countries especially Israel and the US, is worsening the strategic picture of South Asia. India’s continuing arms build-up not only means more suffering for its own poverty-ridden people; but also for the people of Pakistan.

*Anum Malik works for Strategic Vision Institute

Islamic State Claims Southeast Asian Countries Part Of Caliphate

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By Hata Wahari

The terror group Islamic State (IS) has named six Southeast Asian countries as part of its “East Asia wilayah” or region, Malaysian Defense Minister Hishammuddin Hussein told senior defense officials from 40 Muslim-majority nations in Riyadh.

Hishammuddin spoke Sunday during the kick-off meeting of the Islamic Military Counter Terrorism Coalition (IMCTC), an alliance of Sunni-dominated governments that claimed to be launching a four-pronged strategy to tackle terrorism “at its deepest roots.”

“Their self-declared caliphate spans Singapore, Malaysia, Indonesia, Philippines, Southern Thailand and Myanmar as they continue to lose territory in Iraq and Syria,” Hishammuddin said, according to a transcript of his speech received by BenarNews on Monday.

“Make no mistake, this development will not hamper our efforts, we will fight them on all fronts,” he said.

Hishammuddin said members of the Association of Southeast Asian Nations (ASEAN) had been closely monitoring the movements of IS and other terrorist groups in the region.

“Malaysia is aware that there is a widespread belief here that Iran has contributed to the instability in the region,” he said, without elaborating.

IS militants are now fighting from a small stretch of land inside Syria and the desert regions along the Iraq-Syria border, according to reports.

Two years ago, Hishammuddin said, he “consciously persuaded and convinced all 10 ASEAN Defense Ministers to jointly declare our strong condemnation” against IS.

“However, my fellow colleagues, it seems our biggest fear have become a reality,” he said. “It pains me to say that this threat has now reached our shores in Southeast Asia.”

Hishammuddin’s remarks were a rare public acknowledgement by a senior official of warnings already voiced by security experts about IS’s Asian ambitions.

In June, Jasminder Singh, a senior analyst at the S. Rajaratnam School of International Studies in Singapore, flagged the same six countries and Japan as nations that had been pinpointed by IS as part of its East Asia region.

“For foreign fighters coming into the region, this gives them an idea of what they will be in for, and what the targets are,” Singh told the Straits Times, a Singaporean news outlet.

‘Harrowing’

Hishammuddin noted a meeting last week between Malaysian Prime Minister Najib Razak and Indonesian President Joko Widodo, who agreed to increase the number of security posts along their shared border.

The two nations, he said, had been involved in trilateral patrols with the Philippines as part of a months-old effort to rid the waters between their countries of threats from pro-IS extremists.

Hishammuddin said the landmark regional collaboration was needed after the Philippines had declared in late October an end to a “harrowing” five-month battle with IS-linked militants in the southern city of Marawi, during which 930 militants and 165 soldiers were killed.

“I believe one thing we can all agree on today is that we have a common enemy, and this has united us in more ways than one,” Hishammuddin said.

Neither Indonesia nor the Philippines are part of the IMCTC coalition, according to the coalition’s website.

The group’s first meeting, which came in the wake of a terror attack that killed more than 300 people in Egypt on Friday, resolved to stomp out terrorism by combating its ideology, communications and financing, as well as through military efforts.

Contradictions Of White Supremacy – OpEd

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American media have a collective crush on avowed racists. The New York Times is only the most recent perpetrator with their now maligned profile of an Ohio Nazi . The kid glove approach was too obvious and readers rose up in uproar. The back pedaling and apologizing shouldn’t let them off the hook, nor allow their colleagues at other outlets to escape scrutiny. The alt-right got a significant boost from a puff piece profile of their leader Richard Spencer in the supposedly progressive Mother Jones . Mother Jones referred to the “prom-king good looks” of the “dapper white nationalist.”

The pattern is repeated often enough that a few questions must be posed. Why do northern liberal elites find racists so fascinating? Millions of people choose to be racist and align themselves with likeminded groups. The election of Donald Trump gave them legitimacy. That is all there is to say. But the New York Times and other media insist on conducting fact finding missions to reveal what self-proclaimed white supremacists eat for dinner and where they do their shopping.

The sad fact is that very few white Americans stray far from this country’s racist origins. The same New York Times readers who were rightly offended by the Nazi apologia were also supportive of their black neighbors being stopped and frisked by the NYPD. The people who are still aghast at the Trump victory should not necessarily be given a get out of jail free card.

They may get the vapors because a New York Times reporter didn’t give sufficient pushback to a man who owns Nazi memorabilia. But they aren’t so supportive of black people that they will cease gentrifying in Harlem or Brooklyn or Washington D.C. They thrive through a variety of arrangements which benefit them because they are white.

They are well aware of and happily make use of all the advantages that come with whiteness yet don’t cross the line into open and overt racism. Doing so would offend their highbrow sensibilities. But beneath the outrage about Trump’s election lies an affinity which could not be kept hidden for very long.

The Ohio Nazi Tony Hovater is portrayed as being somehow mysterious because he does all of the right and “normal” things. The Times reporter reveals that he has a job and is newly married and says please and thank you. The unwritten subtext is that whiteness itself is normative. There will always be an effort to defend the overt racists as long as that pernicious idea goes unexamined.

Yet there should be no confusion among black people. The Ohio Nazi article was problematic because he was given the floor and allowed to say that Hitler was “chill.” But the existence of people like him is not surprising to us. We know that the country was and is deeply racist and that we live in an environment that literally endangers our lives. We are never safe, regardless of who occupies the white house. We also know that white people who would never consider themselves racists are in fact just that, and that we must be on guard against them. Perhaps there should be investigative reporting about their ability to compartmentalize and the pretense that allows them to feel superior despite their own foibles.

The overt white supremacist most certainly poses great dangers. They should be closeted. They should live in fear of being revealed. But they should not be treated as outliers either.

Black people are, as ever, placed in a quandary. Our condition was not a good one before last year’s presidential election. We lag behind in every positive measure and are at the top of every bad one. Our precarious position didn’t occur overnight when Trump and his white nationalists won the day.

If elitist liberals claim to be outraged by racism let us put them on the spot. Will they fight against mass incarceration? Will they stop displacing people of color from their communities? Will they fight against job discrimination and for living wages? Will they campaign for black community control of the police?

The questions are rhetorical of course. They won’t do any of these things and unless black people fight for self-determination we will continue accepting political crumbs. That is what we did before Trump’s election. We had good reason to be outraged about any number of issues but felt compelled to feel relieved if Democrats prevailed instead of Republicans and white nationalists stayed in the closet.

The open white supremacists cannot be the determining factor of how we pursue political action. The same is true of faux outrage from white liberals. It cannot be trusted either. We will live with these contradictions until we rid ourselves of dependence on the duopoly which keeps us trapped in a state of terror or phony comfort.

The truth is that we must depend upon ourselves to change our condition. Self-determination is the key to changing our lot in this country. That task is huge but it isn’t made any easier because white Americans differ only in how they present themselves publicly. It doesn’t matter if liberals or white nationalists feel ascendant. Our struggle continues regardless.


Massive Overkill: The Pentagon’s High-Priced Nuclear Arsenal – Analysis

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By William D. Hartung*

Until recently, few of us woke up worrying about the threat of nuclear war. Such dangers seemed like Cold War relics, associated with outmoded practices like building fallout shelters and “duck and cover” drills.

But give Donald Trump credit. When it comes to nukes, he’s gotten our attention. He’s prompted renewed concern, if not outright alarm, about the possibility that such weaponry could actually be used for the first time since the 6th and 9th of August 1945. That’s what happens when the man in the Oval Office begins threatening to rain “fire and fury like the world has never seen” on another country or, as he did in his presidential campaign, claimingcryptically that, when it comes to nuclear weapons, “the devastation is very important to me.”

Trump’s pronouncements are at least as unnerving as President Ronald Reagan’s infamous “joke” that “we begin bombing [the Soviet Union] in five minutes” or the comment of a Reagan aide that, “with enough shovels,” the United States could survive a superpower nuclear exchange.

Whether in the 1980s or today, a tough-guy attitude on nuclear weapons, when combined with an apparent ignorance about their world-ending potential, adds up to a toxic brew. An unprecedented global anti-nuclear movement — spearheaded by the European Nuclear Disarmament campaign and, in the United States, the Nuclear Freeze campaign — helped turn President Reagan around, so much so that he later agreed to substantial nuclear cuts and acknowledged that “a nuclear war cannot be won and must never be fought.”

It remains to be seen whether anything could similarly influence Donald Trump. One thing is certain, however: the president has plenty of nuclear weapons to back up his aggressive rhetoric — more than 4,000 of them in the active U.S. stockpile, when a mere handful of them could obliterate North Korea at the cost of millions of lives. Indeed, a few hundred nuclear warheads could do the same for even the largest of nations and those 4,000, if ever used, could essentially destroy the planet.

In other words, in every sense of the term, the U.S. nuclear arsenal already represents overkill on an almost unimaginable scale. Independent experts from U.S. war colleges suggest that about 300 warheads would be more than enough to deter any country from launching a nuclear attack on the United States.

Despite this, Donald Trump is all in (and more) on the Pentagon’s plan — developed under Barack Obama — to build a new generation of nuclear-armed bombers, submarines, and missiles, as well as new generations of warheads to go with them. The cost of this “modernization” program? The Congressional Budget Office recently pegged it at $1.7 trillion over the next three decades, adjusted for inflation. As Derek Johnson, director of the antinuclear organization Global Zero, has noted, “That’s money we don’t have for an arsenal we don’t need.”

Building a Nuclear Complex

Why the desire for so many nukes? There is, in fact, a dirty little secret behind the massive U.S. arsenal: it has more to do with the power and profits of this country’s major weapons makers than it does with any imaginable strategic considerations.

It may not surprise you to learn that there’s nothing new about the influence the nuclear weapons lobby has over Pentagon spending priorities. The successful machinations of the makers of strategic bombers and intercontinental ballistic missiles, intended to keep taxpayer dollars flowing their way, date back to the dawn of the nuclear age and are the primary reason President Dwight D. Eisenhower coined the term “military-industrial complex” and warned of its dangers in his 1961 farewell address.

Without the development of such weapons, that complex simply would not exist in the form it does today. The Manhattan Project, the vast scientific-industrial endeavor that produced the first such weaponry during World War II, was one of the largest government-funded research and manufacturing projects in history. Today’s nuclear warhead complex is still largely built around facilities and locations that date back to that time.

The Manhattan Project was the first building block of the permanent arms establishment that came to rule Washington. In addition, the nuclear arms race against that other superpower of the era, the Soviet Union, was crucial to the rationale for a permanent war state. In those years, it was the key to sustaining the building, funding, and institutionalizing of the arms establishment.

As Eisenhower noted in that farewell address of his, “a permanent arms industry of vast proportions” had developed for a simple enough reason. In a nuclear age, America had to be ready ahead of time. As he put it, “We can no longer risk emergency improvisation of national defense.” And that was for a simple enough reason: in an era of potential nuclear war, any society could be destroyed in a matter of hours. There would be no time, as in the past, to mobilize or prepare after the fact.

In addition, there were some very specific ways in which the quest for more nuclear weapons and delivery vehicles drove Eisenhower to give that farewell address. One of his biggest fights was over whether to build a new nuclear bomber. The Air Force and the arms industry were desperate to do so. Eisenhower thought it a waste of money, given all the other nuclear delivery vehicles the U.S. was building at the time. He even cancelled the bomber, only to find himself forced to revive it under immense pressure from the arms lobby. In the process, he lost the larger struggle to rein in the nation’s nuclear buildup and corral the burgeoning military-industrial complex.

At the same time, there were rumblings in the intelligence community, the military establishment, the media, and Congress about a “missile gap” with the Soviet Union. The notion was that Moscow had somehow jumped ahead of the United States in developing and building intercontinental ballistic missiles (ICBMs). There was no definitive intelligence to substantiate the claim (and it was later proved to be false). However, a wave of worst-case scenarios leaked by or promoted by intelligence analysts and eagerly backed by industry propaganda made that missile gap part of the everyday news of the time.

Such fears were then exaggerated further, thanks to hawkish journalists of the era like Joseph Alsop and prominent Democratic senators like John F. Kennedy and Lyndon Johnson, as well as Stuart Symington, who just happened to be a friend and former colleague of an executive at the aircraft manufacturing company Convair, which, in turn, just happened to make ICBMs. As a result, he lobbied hard on behalf of a Pentagon plan to build more of that corporation’s Atlas ballistic missiles, while Kennedy would famously make the nonexistent missile gap a central theme of his successful 1960 campaign for the presidency.

Eisenhower couldn’t have been more clear-eyed about all of this. He saw the missile gap for the fiction it was or, as he put it, a “useful piece of political demagoguery” for his opponents. “Munitions makers,” he insisted, “are making tremendous efforts towards getting more contracts and in fact seem to be exerting undue influence over the Senators.”

Once Kennedy took office, it became all too apparent that there was no missile gap, but by then it hardly mattered. The damage had been done. Billions of dollars more were flowing into the nuclear-industrial complex to build up an American arsenal of ICBMs already unmatched on the planet.

The techniques that the arms lobby and its allies in government used more than half a century ago to promote sky-high nuclear weapons spending continue to be wielded to this day. The twenty-first-century arms complex employs tools of influence that Kennedy and his compatriots would have found familiar indeed — including millions of dollars in campaign contributions that flow to members of Congress and the continual employment of 700 to 1,000 lobbyists to influence them. At certain moments, in other words, there have been nearly two arms lobbyists for every member of Congress. Much of this sort of activity remains focused on ensuring that nuclear weapons of all types are amply financed and that the funding for the new generations of the bombers, submarines, and missiles that will deliver them stays on track.

When traditional lobbying methods don’t get the job done, the industry’s argument of last resort is jobs — in particular, jobs in the states and districts of key members of Congress. This process is aided by the fact that nuclear weapons facilities are spread remarkably widely across the country. There are nuclear weapons labs in California and New Mexico; a nuclear weapons testing and research site in Nevada; a nuclear warhead assembly and disassembly plant in Texas; a factory in Kansas City, Missouri, that builds nonnuclear parts for such weapons; and a plant in Oak Ridge, Tennessee, that enriches uranium for those same weapons. There are factories or bases for ICBMs, bombers, and ballistic missile submarines in Connecticut, Georgia, Washington State, California, Ohio, Massachusetts, Louisiana, North Dakota, and Wyoming. Such a nuclear geography ensures that a striking number of congressional representatives will automatically favor more spending on nuclear weapons.

In reality, the jobs argument is deeply flawed. As the experts know, virtually any other activity into which such funding flowed would create significantly more jobs than Pentagon spending. A study by economists at the University of Massachusetts, for example, found infrastructure investment would create one and one-half times as many jobs as Pentagon funding and education spending twice as many.

In most cases it hasn’t seemed to matter that the jobs claims for weapons spending are grotesquely exaggerated and better alternatives litter the landscape. The argument remains remarkably potent in states and communities that are particularly dependent on the Pentagon. Perhaps unsurprisingly, members of Congress from such areas are disproportionately represented on the committees that decide how much will be spent on nuclear and conventional weaponry.

A Field Guide to Influencing Nuclear Thinking in Washington

Another way the nuclear weapons industry (like the rest of the military-industrial complex) tries to control and focus public debate is by funding hawkish, right-wing think tanks. The advantage to weapons makers is that those institutions and their associated “experts” can serve as front groups for the complex, while posing as objective policy analysts. Think of it as an intellectual version of money laundering.

One of the most effective industry-funded think tanks in terms of promoting costly, ill-advised policies has undoubtedly been Frank Gaffney’s Center for Security Policy. In 1983, when President Ronald Reagan first announced his Strategic Defense Initiative (which soon gained the nickname “Star Wars”), the high-tech space weapons system that was either meant to defend the country against a future Soviet first strike or — depending on how you looked at it — free the country to use its nuclear weapons without fear of being attacked, Gaffney was its biggest booster. More recently, he has become a prominent purveyor of Islamophobia, but the impact of his promotional work for Star Wars continues to be felt in contracts for future weaponry to this day.

He had served in the Reagan-era Pentagon, but left because even that administration wasn’t anti-Soviet enough for his tastes, once the president and his advisers began to discuss things like reducing nuclear weapons in Europe. It didn’t take him long to set up his center with funding from Boeing, Lockheed, and other defense contractors.

Another key industry-backed think tank in the nuclear policy field is the National Institute for Public Policy (NIPP). It released a report on nuclear weapons policy just as George W. Bush was entering the White House that would be adopted almost wholesale by his administration for its first key nuclear posture review. It advocated such things as increasing the number of countries targeted by the country’s nuclear arsenal and building a new, more “usable,” bunker-busting nuke. At that time, NIPP had an executive from Boeing on its board and its director was Keith Payne. He would become infamous in the annals of nuclear policy for co-authoring a 1980 article at Foreign Policy entitled “Victory Is Possible,” suggesting that the United States could actually win a nuclear war, while “only” losing 30 million to 40 million people. This is the kind of expert the nuclear weapons complex chose to fund to promulgate its views.

Then there is the Lexington Institute, the think tank that never met a weapons system it didn’t like. Their key front man, Loren Thompson, is frequently quoted in news stories on defense issues. It is rarely pointed out that he is funded by Lockheed Martin, Northrop Grumman, and other nuclear weapons contractors.

And these are just a small sampling of Washington’s research and advocacy groups that take money from weapons contractors, ranging from organizations on the right like the Heritage Foundation to Democratic-leaning outfits like the Center for a New American Security, co-founded by former Obama administration Under Secretary of Defense for Policy Michèle Flournoy (who was believed to have the inside track on being appointed secretary of defense had Hillary Clinton won the 2016 election).

And you may not be surprised to learn that Donald Trump is no piker when it comes to colluding with the weapons industry. His strong preference for populating his administration with former arms industry executives is so blatant that Senator John McCain recently pledged to oppose any new nominees with industry ties. Examples of Trump’s industry-heavy administration include Secretary of Defense James Mattis, a former board member at General Dynamics; White House Chief of Staff John Kelly, who worked for a number of defense firms and was an adviser to DynCorp, a private security firm that has done everything from (poorly) training the Iraqi police to contracting with the Department of Homeland Security; former Boeing executive and now Deputy Secretary of Defense Patrick Shanahan; former Lockheed Martin executive John Rood, nominated as undersecretary of defense for policy; former Raytheon Vice President Mark Esper, newly confirmed as secretary of the Army; Heather Wilson, a former consultant to Lockheed Martin, who is secretary of the Air Force; Ellen Lord, a former CEO for the aerospace company Textron, who is undersecretary of defense for acquisition; and National Security Council Chief of Staff Keith Kellogg, a former employee of the major defense and intelligence contractor CACI, where he dealt with “ground combat systems” among other things. And keep in mind that these high-profile industry figures are just the tip of the iceberg when it comes to the corporate revolving door that has for decades been installed in the Pentagon (as documented by Lee Fang of the Intercept in a story from early in Trump’s tenure).

Given the composition of his national security team and Trump’s love of all things nuclear, what can we expect from his administration on the nuclear weapons front? As noted, he has already signed on to the Pentagon’s budget-busting $1.7 trillion nuclear build-up and his impending nuclear posture review seems to include proposals for dangerous new weapons like a “low-yield,” purportedly more usable nuclear warhead. He’s spoken privately with his national security team about expanding the American nuclear arsenal in a staggering fashion, the equivalent of a ten-fold increase. He’s wholeheartedly embraced missile defense spending, pledging to put billions of dollars more into that already overfunded, under-producing set of programs. And of course, he is assiduously trying to undermine the Iran nuclear deal, one of the most effective arms control agreements of recent times, and so threatening to open the door to a new nuclear arms race in the Middle East.

Unless the nuclear spending spree long in the making and now being pushed by President Trump as the best thing since the invention of golf is stopped thanks to public opposition, the rise of an antinuclear movement, or Congressional action, we’re in trouble. And of course, the nuclear weapons lobby will once again have won the day, just as it did almost 60 years ago, despite the opposition of a popular president and decorated war hero. And needless to say, Donald Trump, “bone spurs” and all, is no Dwight D. Eisenhower.

[This piece has been updated and adapted from William D. Hartung’s “Nuclear Politics” in Sleepwalking to Armageddon: The Threat of Nuclear Annihilation, edited by Helen Caldicott and just published by the New Press.]

About the author:
*William D. Hartung
is the director of the Arms and Security Project at the Center for International Policy. He is the author of Prophets of War: Lockheed Martin and the Making of the Military-Industrial Complex.

Source:
This article was published at the MISES Institute and Reprinted from TomDispatch.com.

Russian Foreign Policy In Middle East: Multiple Drivers, Uncertain Outcomes – Analysis

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By Yuval Weber*

(FPRI) — American fatigue in the Middle East from 15 years of conflict and a genuine lack of clarity regarding U.S. power and purpose have created an opportunity for Russia to play a more active role in the region—its most active since the 1970s.

The many drivers and uncertain outcomes of Russian involvement in the Middle East result from two primary factors: recognizing American shortcomings and the unique pressures faced by the United States’ clients unsure of the extent of support they might receive from U.S. President Donald Trump, a far less predictable patron than what they’ve known before. This opportunity has allowed Russia to utilize adroit diplomacy, few domestic constraints, and a greater tolerance for risk to apply enough coercive force in the war in Syria to become part of the political solution of the conflict.

It is still too soon to tell the ultimate impact of the September 11, 2001 terrorist attacks, but the consequences of that day continue to shape the political strengths, weaknesses, and opportunities for local actors and great powers, especially Russia.

Then-President George W. Bush responded decisively against the perpetrators, Osama Bin Laden and al-Qaeda, and their hosts, the Taliban government of Afghanistan, by ordering Special Forces and an air war to remove the latter and search for the former. Any U.S. president would have likely reacted in a roughly similar fashion, yet the decision by Bush to pursue a preventive war in Iraq a year and a half later proved highly contentious and contributed to a decline in American standing around the world and opposition at home regarding the human and financial costs of the war.

That opposition helped shape the candidacy of Barack Obama, both in the primary campaign against Hillary Clinton, who had voted for the resolution authorizing force against Iraq but had later recanted that support, and in the general campaign against John McCain, who had also voted for the same resolution and generally supported a muscular foreign policy course.

When Obama won, his Middle East policy could be summarized as limiting further expansion of U.S. interests and commitments and seeking a nonproliferation deal with Iran to keep that state from obtaining a nuclear weapon and catalyzing a regional nuclear arms race. Reasoning that any nonproliferation deal would need not only international buy-in, but also support from Russia as the world’s other major nuclear power, Obama pursued the “Reset” policy not least to bring Russia into those negotiations.

Russia’s participation in the “P5+1” brought the country back into the Middle East, a region that has interested it since the 19th century when the Russian Empire expanded south towards the Persian and Ottoman Empires. Yet, quite frequently and for long periods of time during the Empire, the Soviet period, and in the current iteration of the Russian Federation, Russia has been a peripheral or inconsistent player in the region.

Might This Time be Different?

In September 2015, Vladimir Putin’s government responded to an official request for support by the Syrian government, an ally to the Soviet Union and the Russian Federation since 1971. Although the intervention into Syria appeared at the time to be a diversion from the ongoing war in Ukraine, Russia has demonstrated considerable staying power there. The existential threats enveloping Assad’s rule emerged from several directions: rebels motivated by the anti-authoritarian Arab Spring movement and jihadists that had emerged from the anti-American insurgency in Iraq and had transformed themselves into a proto-state.

Russia’s foray into the fight grew in importance and effect from only airstrikes to the stationing of Russian forces in the country. Eventually, Russian forces defeated all the non-jihadist opposition to Assad through a division of labor where Russian air power and Spetsnaz (Special Forces) would lead the attacks and support the Syrian ground forces. The retaking of the ancient city of Palmyra from ISIS represented a high point of the Russian campaign, and the destruction of the city of Aleppo by Russian air forces and its sacking by Syrian ground forces represented the last stands of non-jihadist opposition to Assad. Vladimir Putin’s support for Assad saved his client from military defeat and made Russia a key player in what appears to be the reshaping of the Middle East in a time of uncertain American interests and a burgeoning conflict between Saudi Arabia and Iran.

Seeking Great Power Status

There is no doubt that Russia has applied enough coercive force to shape the outcome of the war in Syria and the transnational fight against ISIS. This reality, unthinkable even two or three years ago, allows Russian policymakers to achieve their main goal: global recognition of their status as a great power. From the perspective of Russian policymakers, external recognition of their country’s status as a great power will come when the resolution of a major international crisis involving several other great and regional powers cannot come without Russian participation. That status then comes with a very tantalizing and important set of perquisites: the ability to set the rules of international political and economic interactions—or the ability to carve out exceptions for themselves.

The challenge for Russia is bridging the gap between tactics and strategy. Intervention into (and by extension participation in) one of the world’s most politically complicated regions can help Russia achieve a number of goals central to its larger goal of being recognized as a great power by its ostensible peer competitors. These include protecting the Assad government to avoid yet another state’s collapse under Western pressure, protecting a client state to draw a pointed comparison to the United States that let several of its longstanding allies go down during the Arab Spring, projecting power into a region not its own, displaying its weaponry “in the shop window,” gaining battlefield experience for its troops and officers, and becoming part of a political solution in the Middle East that could potentially lead to issue linkage elsewhere, such as Ukraine.

These advances and these goals represent the best case scenario. At the moment, this is the most propitious setting for Russian intervention. Under President Barack Obama, the United States was very committed to not expanding its Mideast presence and intervening into yet another regional conflict. Under President Donald Trump, American policy is unclear at best. Without concerted U.S. efforts to stop, shape, or limit Russian intervention, Russia could very well save Assad’s government from suffering battlefield defeat at the hands of ISIS and domestic rebels across various parts of its territory. And not to put too fine of a point on it, but fighting poorly equipped rebel armies is a lot different from fighting modern armies who can shoot back.

A Test of Russian Will

Most important, however, are the false promises that tactical intervention and general strategic aims provide in combination. What is left unsaid is what does medium- and long-term success for Russia look like in case all the best-case scenarios do not pan out? If, for instance, Saudi Arabia escalates its presence and intervenes openly into the Syrian war without tacit Israeli and American support to stymie ISIS but in effect to counter Iran, is Russia ready to match that escalation? If the death throes of ISIS in southwestern Syria lead to attacks on Israeli forces in the Golan Heights, will Russia protect its direct and indirect allies, meaning Syrian and Hezbollah forces? If a change in U.S. policy calls for taking a more active role in the region to challenge Russia directly and protect client governments in Iraq, Jordan, Saudi Arabia, Israel, the Gulf States, and elsewhere, what are the off-ramps for Russia? So far, Russia has identified its end goals and the benefits of relatively low-cost tactics, but how will the country protect its position in case of changing external conditions?

The logical answer regarding the extension of a foreign policy push from tactics to strategy is to consider the strength and sustainability of the coalition being built to withstand short-term volatility. Do Russian policymakers have a long-term commitment to the coalition of Iran, Syria, and Hezbollah, or will they try to play the field and maintain potential coalitions of convenience with other states—namely Egypt, Saudi Arabia, Qatar, and Turkey—who consider themselves leading lights of the region? Will Russian policymakers maintain their relatively modest financial and troop commitments—estimated to be about $1-2 billion dollars annually and 3000-6000 troops at any moment—or will they resist the temptation to increase those commitments if and when greater violence erupts?

Russian public opinion provides some clues regarding the latter question. Although the war has been fought with few announced casualties and presented on nightly news as a source of international strength and respect, the Levada Center polling agency has already found that 49% of respondents in September 2017 would like the operation to come to an end, with 30% in support of continuing the fight and 21% finding it difficult to express a strong opinion. The same survey found that 56% of respondents do not follow developments in Syria closely, 26% do not follow events there at all, and only 18% follow news and analysis from Syria closely.

At the moment the conditions for Russian expansion into the Middle East are as good as they get: fairly low public knowledge and interest in a foreign war, a political system that permits decisiveness unavailable in more democratic states, a relatively cheap war to intervene into, an existing great power that continues to be bedeviled by domestic troubles and unclear purpose in the region, and regional powers that are reevaluating their own foreign policies in light of all of the above.

Should any of those conditions change, Russia will find itself in a position many external powers have found themselves in: commit more resources to maintain position or prestige or struggle to leave with dignity.

About the author:
*Yuval Weber
is a Visiting Assistant Professor on Government at Harvard University.

Source:
This article was published by FPRI.

Can Congress Limit President’s Power To Launch Nuclear Weapons? – OpEd

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By Stephen P. Mulligan*

Recent legislation proposed in the 115th Congress intended to limit the President’s ability to launch nuclear weapons has prompted heightened attention on Congress’s constitutional power to control the nuclear arsenal.

As outlined in earlier CRS products, the Constitution allocates the authorities necessary to conduct war and other military operations between Congress and the President. But the precise contours of each branch’s respective powers have been the subject of debate since the founding era. Moreover, courts traditionally have been reluctant to resolve wartime separation of powers disputes between the legislative and executive branches, often dismissing these cases on jurisdictional grounds without reaching the merits of the constitutional challenges.

Against this backdrop of uncertainty, commentators have reached dramatically differing conclusions on the constitutionality of proposals to restrict the President’s power over the nuclear arsenal. Proponents of congressional authority reason that Congress’s many enumerated war powers—including the power to power “raise and support Armies” and “provide and maintain a Navy”—necessarily subsume a lesser authority to define how the President may utilize the forces and weapons that Congress has provided.

But proponents of executive authority often argue that such restrictions would unconstitutionally infringe on the President’s “commander in chief” power to make tactical decisions on how best to subdue an enemy.

As a matter of historical practice, Congress has used the power of the purse on several occasions to effectively prohibit or compel the termination of military operations, or to otherwise limit the deployment of U.S. troops (as discussed in more detail here).

While the appropriations power is not unfettered, it is likely well within Congress’s constitutional authority to end the production of nuclear weapons through the power of the purse. Legislation that limits the President’s power to control weapons that are already in the military arsenal, however, could implicate the complex and long-standing debate over the scope of congressional war powers that then-Assistant Attorney General (and later-Chief Justice of the Supreme Court) William Rehnquist once described as “the most difficult area of all of the Constitution[.]”

(A congressional distribution memorandum with citations to the material discussed in this Sidebar and a more detailed analysis of the constitutional implications of legislation limiting the President’s power to use nuclear is available upon request from the author.)

About the author:
*Stephen P. Mulligan, Legislative Attorney

Source:
This article was published by the Congressional Research Service (PDF)

Sri Lanka’s Trade Imperative – Analysis

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Optimism in Sri Lanka following the end of Mahinda Rajapaksa’s presidency in 2015 saw civil and political freedoms liberalised, ethnic relations improved, and foreign relations with China and India rebalanced. However, the government’s scorecard in managing the economy has been disappointing, with analysts pointing to large excesses in fiscal and monetary policymaking. This has arguably contributed to a slowing economy and mounting debt. This paper emphasises the need for the government to boost exports and foreign investments, revamp the tax system and lower barriers to competition in key domestic sectors to improve the economy.

By Amresh Gunasingham*

Introduction

Sri Lanka should be sitting pretty. Eight years on from the end of a three-decade long civil war, the country must appear to be reaping a peace dividend – growth was initially strong between 2009 and 2014. The new government, elected in 2015, inherited an economy with great potential – Sri Lanka is strategically located within a rising Asia and the Indian Ocean region.

However, economic growth is on the decline, falling from a peak of eight per cent in 2009 to 4.8 per cent in 2015 and 4.4 per cent in 2016, according to data from the Department of Census and Statistics of Sri Lanka.2 This is expected to remain stagnant in 2017.3

The economic recovery in the United States (US) has boosted the country’s exports, although the trade deficit has surpassed S$1 billion.4 Government debt is at 77 percent of the country’s Gross Domestic Product (GDP), which stands at S$112 billion this year, while inflation reached five per cent due to increased domestic consumption.

Unemployment, on the other hand, is estimated at four percent.5 The budget deficit for this year is expected to reach five per cent, mainly due to government expenditure on bureaucratic salary increases and a drought that severely reduced agricultural output.
Growth is expected to improve gradually over the next two years. The Economic and Social Survey of Asia and the Pacific 2017 released earlier this year by the United Nations Economics and Social Commission for Asia and the Pacific6 highlights agriculture activity to recover from adverse weather conditions experienced last year and in the early months of this year. The banking sector has loosened regulations for granting loans, while construction is resurging, particularly in areas affected by the recent civil war. The service sector contributes 60 percent to GDP.7

However, a major challenge will be the fiscal tightening undertaken by the government that will constrain consumer spending and public investment, according to the report.8

It concludes that the country’s medium-term economic performance is contingent upon the success of reforms designed to reduce stubbornly large fiscal and trade deficits.
The rest of this paper will examine Sri Lanka’s trade deficit conundrum in greater detail.

Trade Deficit

Sri Lanka is grappling with a severe trade imbalance, capital outflows and inadequate foreign investment. Due to exports being only a little over half of the country’s import expenditure, the large trade deficits of recent years have been an important reason for the country’s weak foreign exchange reserves. The trade deficit of S$10.2 billion in 2013 expanded to S$11.4 billion in 2015 and to more than S$12 billion in 2016, In the current account, which is the sum of the trade balance, net income from abroad and other transfers, the trade deficit was offset by remittances of about S$11 billion and tourist earnings of S$4.7 billion.9 However, these incomings do not paper over the fundamental weakness in the economy of imports being considerably higher than export earnings.

The data paints a vivid picture of Sri Lanka and its overreliance on imports and inability to boost exports – an issue that stretches back decades. One major reason is the rising cost of producing goods domestically. In simple terms, as Sri Lanka upgraded to a middle income status country,10 the wages of labourers rose, making it difficult for Sri Lanka to compete internationally, as production costs are lower in countries like Bangladesh.

On the other hand, Sri Lanka has yet to move up the chain in terms of producing higher value products for export. There are several important factors that make it difficult to reduce the reliance on imports. Verité Research, an independent think tank that covers the Asia Pacific region, identifies three structural issues that constrain trade deficit management: post-war growth has primarily been import driven, government revenue is import dependent and exports are heavily reliant on imports. Around 50.9 percent of imports are intermediate goods, on which the majority of the exports are dependent.11
Sri Lanka exports mostly textiles and garments (40 per cent of total exports) and tea (17 percent). Its main export partners are the US, the United Kingdom, Germany, Belgium and Italy. Petroleum, textile fabrics, foodstuff and machinery and transportation equipment are the main imports, primarily from India, China, Iran and Singapore.12

External Sector

As a small island economy with a population of 21 million, Sri Lanka depends heavily on
foreign direct investment (FDI) and the export sector to catalyse economic growth.

A noted economist, Professor Razeen Sally, who chairs the country’s Institute of Policy Studies, said recently that Sri Lanka simply does not have the market size to generate and sustain economic growth at a reasonable rate without external trade, inward investments and the lowering of barriers to competition in key domestic sectors.13 He estimates that Sri Lanka, as an emerging economy, realistically needs to grow at 7-8 percent annually, which is the level needed to increase real incomes across the population and boost other economic indicators. To support this, he estimates that FDI of between US$3-5 billion (S$4.1-6.8 billion) a year is needed, as opposed to the US$500 million (S$681 million) it currently attracts.14

The tight control on key sectors of the economy by local business elites and the cumbersome bureaucratic red tape for foreigners to invest are strong barriers to enticing greater foreign investments. Sri Lanka’s FDI slumped 54 percent last year to reach S$610 million, compared with S$1.3 billion in the previous year.15

Not only is FDI lagging, it has almost entirely been confined to the construction and real estate sectors, while manufacturing and services have been largely neglected. An important reason for Sri Lanka seeking to attract such capital is the belief that such inflows, besides enhancing foreign exchange reserves in the short run, would enhance the competitiveness of its industry, such as exportable manufacturing, which will increase exports and render the balance of payments (BOP) sustainable in the medium and long term.

In recent years, much of the FDI has come from China for massive infrastructure deals. An unexpected setback to the country’s BOP account was the suspension of expected Chinese investment in the Hambantota development projects, following the election of the new government in 2015. President Maithripala Sirisena initially sought to put distance on the cosy relations with China developed by the previous Rajapaksa regime. However, the dire debt situation has brought a recalibration in thinking, as evidenced by the green-lighting of the S$2 billion capital injection from Chinese companies to finance Hambantota, which has brought some relief to the government’s debt servicing efforts. Going forward, Sri Lanka can expect substantial investments as part of China’s One Belt One Road Initiative. 16

The government is increasingly turning towards broader engagement with East Asia and, in doing so, recognising the country’s pivotal position as a strategic asset to both India and China. Considerable measures have been taken over the past two years to demonstrate a willingness to balance both Indian and Chinese interests by granting China access to an industrial park and management of the Hambantota Deep Sea Port and International Airport, while working with India to develop a war-era oil tank farm in Trincomalee, a strategically- located port to the east of the island.17

It is also hoping to finalise free trade agreements (FTAs) with many of the major regional powers in the next six months. Among these are the Economic and Technology Cooperative Agreement with India and FTAs with China and Singapore. If these succeed, Sri Lanka will have preferential access to India, one of the fastest-growing economies in the world, and it will also be a key investment hub for the Chinese maritime silk route.18

Speaking in Singapore last year, Sri Lankan Prime Minister Ranil Wickremesinghe promoted the idea of a tri-nation economic pact between Sri Lanka, Singapore and the five southern states of India. This idea is based on Sri Lanka’s proximity to these five southern Indian states and their 300-million strong consumer market and supply chain clusters.19 For India, Sri Lanka’s unique geo-strategic location at the crossroads of major shipping routes is important. For Singapore, the proposed arrangement will help to expand its importance and capacity for business networking in the region. The Singapore-Sri Lanka FTA is expected to be signed by early next year20 although progress has been slow, mainly due to capacity limitations amongst Sri Lankan policymakers – Sri Lanka has not negotiated an FTA in over a decade. Yet, there appears to be enough goodwill on both sides to get the deal done.

The Colombo Port City is the most ambitious of the myriad infrastructure projects bankrolled by China. Since renamed the Colombo International Finance Centre (CIFC), it aims to be a special zone along the lines of Dubai’s International Financial Centre. At an initial cost of S$2 billion and rising to S$11 billion, the CIFC is expected to be the largest FDI project in the country to date. The financial backing and development is provided by the state-owned China Harbour Engineering Corporation, although, in what could signal a new phase in Sino-Indian economic relations, China has invited India to also participate. The offshore financial centre aims to attract more than S$17 billion21 in FDI from investors, including international banks, hotels and malls, with China being the lead promoter.22

India has also been a leading investor in Sri Lanka, with investments topping US$1 billion since 2003, although this pales in comparison to the size of China’s involvement in Sri Lanka over the same period. Indian interests are in such diverse areas as petroleum retail, information technology, financial services, real estate, telecommunication, hospitality and infrastructure development (railway, power, water supply). A number of proposals involving Indian companies are still in discussions such as the Tata Housing Slave Island Development project, done in cooperation with the Urban Development Authority of Sri Lanka. A landmark development is the ‘Colombo One’, ITC’s S$540 million hotel, residential and leisure complex which is under construction.23

Conclusion

As a small economy, Sri Lanka needs an aggressive external trade policy to fuel its resurgence. Its trade hovers at around 50 per cent of GDP. Economies in Southeast and East Asia with similar populations, such as Malaysia, have trade to GDP ratios of between 100- 200 per cent of GDP.24 It also needs a more diversified export basket beyond garments and cash crops and foreign investment into the more productive manufacturing and services sectors with links to global value chains.

The persistent large trade deficits are a serious concern that must be addressed in the medium- to long-term. In this context, the government’s strategic shift towards East Asia, given an increasingly inward-looking American foreign and economic policy and the consequent shift in global economic power towards Asia, increases opportunities for Sri Lanka to be a strategic economic hub within the Indian Ocean region.25 The change in focus, however, could pose potential challenges in terms of balancing Indian and Chinese interests as both nations consider Sri Lanka a strategic asset.

The next budget, expected to be announced is seen by some analysts as a key litmus test for the country to achieve genuine economic reforms.

About the author:
*Mr Amresh Gunasingham
is a Research Intern at the Institute of South Asian Studies (ISAS), an autonomous research institute at the National University of Singapore. He can be contacted at amresh@nus.edu.sg. The author bears full responsibility for the facts cited and opinions expressed in this paper.

Source:
This article was published by ISAS as ISAS Insights Nomber 475 (PDF).

Notes:
1. Mr Amresh Gunasingham is a Research Intern at the Institute of South Asian Studies (ISAS), an autonomous research institute at the National University of Singapore. He can be contacted at amresh@nus.edu.sg. The author bears full responsibility for the facts cited and opinions expressed in this paper.
2. National Account Estimates of Sri Lanka 2016 – http://www.statistics.gov.lk/national_accounts/dcsna_r2/ reports/summary_tables_2016_english.pdf. Accessed on 9 August 2017.
3. Economic Outlook 2017/2018, First Capital Research – https://www.firstcapital.lk/wp-content/uploads/ 2015/06/Mid-Year-Economic-Outlook-Aug-2017.pdf. Accessed on 9 August 2017.
4. Central Bank of Sri Lanka, Annual Report 2016 (12 June 2017) – http://www.cbsl.gov.lk/pics_n_docs/10_ pub/_docs/efr/annual_report/AR2016/English/5_Chapter_01.pdf. Accessed on 15 August 2017.
5. Ibid.
6. United Nations’ Economic and Social Survey of Asia 2017 – http://www.unescap.org/sites/default/files/SRI per cent20LANKA.pdf. Accessed on 25 August 2017.
7. Sri Lanka: Economic Outline, Lloyds Bank Trade – https://www.lloydsbanktrade.com/en/market-potential/ sri-lanka/economy?vider_sticky=oui. Accessed on 25 August 2017.
8. Ibid.
9.Central Bank of Sri Lanka, Annual Report 2016 (12 June 2017), op. cit.
10. “SL’s economy to face real test from 2019”, The Daily Mirror, 17 August 2017.
11. Sri Lanka: International Trade Performance and Prognosis – www.veriteresearch.org/download-pdf_spreport.cfm?pdf_id=24. Accessed on 18 August 2017.
12. “Sri Lanka’s Balance of Trade 2003-2017”. Trading Economics – https://tradingeconomics.com/sri-lanka/balance-of-trade?embed. Accessed on 18 August 2017.
13. Email correspondence with Professor Razeen Sally, 7 September 2017.
14. Ibid.
15. SL’s legal process delays FDI-Investment Chief, Reuters, 5 April 2017.
16. China’s One Belt One Route Initiative: Implications for Sri Lanka, Institute of Policy Studies – http://www.i ps.lk/talkingeconomics/2016/06/22/chinas-one-belt-one-road-initiative-implications-for-sri-lanka/. Accessed on 15 September 2017.
17. Kithmina Hewage, “Sri Lanka’s New Regionalism”, South Asian Voices, July 4 2017.
18. “Budget deficit the root cause for Lanka’s woes: CB chief”, Daily FT, 20 August 2017.
19. “Opportunities for Convergence: Key Note Address at the South Diaspora Conference 2016”, Ministry of
Foreign Affairs – http://www.mfa.gov.lk/index.php/en/media/statements/6537-sadc-pm. Accessed on 20
September 2017.
20. Email correspondence with Razeen Sally, op cit.
21. “Sri Lanka’s $US15 Billion “Port City Colombo” Marked For Completion In 2041”, The Urban Developer, 12 August 2017.
22. Ibid.
23. “Bilateral Brief on India-Sri Lanka Relations”, Ministry of External Affairs – https://www.mea.gov.in/
Portal/ForeignRelation/Sri_Lanka_December_2016.pdf. Accessed on 18 September 2017.
24. Email correspondence with Razeen Sally, op cit.
25. Kithmina Hewage, “Sri Lanka’s New Regionalism”, op. cit.

The Sad Death Of Vocational Education – OpEd

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By Erik Lidström*

The destruction of vocational training is one of the many tragedies wrought by attempts at school reform over the past century. In fact, the destruction of vocational training is one of the key reasons why virtually all other forms of education in America, Britain, Sweden, and the transatlantic sphere are today in such a dismal state.

I will use my native Sweden as an example of what happened to vocational training.

As in America, most Swedes could both read and write centuries before most forms of education became a government concern. Sweden began implementing government schools for the general population from 1842 onwards.

Children started school at age seven, and schooling was compulsory for six years. The schools employed traditional teaching methods, and by the time students were 12 or 13 years old, they knew more, in total than those who today finish high school (albeit in different subjects). On average they knew how to read and write, in addition to algebra, history, and civics – all arguably better than their modern, 19-year-old counterparts.

I say “arguably,” because those who imposed a new school system upon Sweden made no comparisons, after initial work in the 1950s had demonstrated that the new school system had created negative results. (For more in this, see Sixten Marklund’s Skolan förr och nu – 50 år av utveckling and Hadenius, Karin. 1990. Jämlikhet och frihet: Politiska mål för den svenska grundskolan, Acta Universitatis Upsaliensis.)

I have gathered much of the available evidence of the harm these policies inflicted in my book, Education Unchained. As an example of the educational level of workers who had six years of formal schooling (or less), look at their reaction to August Palm, one of the pioneering Social Democrats in Sweden in 1885:

Palm was born to be a popular agitator with his lively, not to say hot temper and engaging, drastic way of speaking, that captivated, sometimes fascinated his listeners. To reach a larger audience, Palm first tried his hand as a newspaperman in Malmö, but because of difficulties there, he established himself in earnest in Stockholm, where he founded the Social Democrat in September 1885.

Here, however, he had entered into an area that he did not master. The workers, who already then were trained and critical newspaper readers, were put off by the many grammatical mistakes, stylistic faults and coarse language in Palm’s articles. (Erik O. Löfgren. Oscar II, Sveriges historia genom tiderna IV. 1948. Stockholm: Saxon & Lindströms förlag, p. 396. Emphasis added.)

In contrast, lecturers at Uppsala University wrote that, in 2013, “Among the students who come to us right from high school, a majority has problems with the language.” Elsewhere, half of those who begin high school do not master the mathematics they were supposed to learn between the ages of 10 and 12. These are the results of students who focused on theoretical subjects. Those who pursue vocational studies did far worse on these tests.

In the old system in Sweden, after year 6, some like my father began to work, but a larger fraction went on to vocational training. Many attended municipal schools, which were of an exceptional standard because they had copied practices from the free market; that is, they taught actual job skills. Others went to large companies that provided vocational training, mixed with work and other educational subjects, on their premises.

These vocational schools took another four years, so people matriculated at 16 or 17 as highly skilled workers and craftsmen. However, with the “school reform” of 1962 and 1968, all this changed.

How vocational training was destroyed

In those years, the government decided that all children in Sweden should go to “junior high” and study only theoretical subjects. This immediately created chaos in schools during the seventh to ninth year of education. Traditional teaching methods were abandoned at this time, and allowing students to choose their own classes according to ability and interests became strictly prohibited.

Since no vocational training option existed during school year 7 through year 9, two-year curricula were added at high schools, which became virtually compulsory in order to get a job. Later, these programs were extended to three years, further delaying students’ entry into the job market.

During the 1970s, the chaos that had been created in the years 7 to 9 gradually spread downward through the grades. Since the classes consisted of students of mixed abilities and interests, the pace of study for all students and the quality of the content taught declined. Those who found studying easy learned much less than they had previously. Those who did not want to be there at all commonly learned nothing and instead disrupted others’ studies. Ironically, this system was implemented, according to our politicians, so that all children received the same “high-quality education.”

The end result is that this category of young people, who previously began working or went into vocational training, today often exit with a lower quality education, despite spending six extra years in school. If they then apply themselves, and manage to shake the counterproductive habits they acquired at school, they may become as proficient at their jobs at the age of 25 as a previous generation used to be at age 17.

Again, there is nothing more ennobling about being an academic than working in a trade. But because of the destructive policies of “experts” and politicians, it has become exceedingly difficult to become a good tradesman.

There are no “higher” and “lower” vocations in life. The academic may enjoy a higher social status in some circles. But that person has not achieved a more praiseworthy function than the plumber or the carpenter. In any modern economy, there are tens of thousands of different jobs to be done. All are necessary, and if done right, all praiseworthy.

We all have varying skills in different areas and amazingly varied interests in life. Exactly how interest in a specific topic, practice, and other factors develop expertise is debated. (Compare this study with Anders, Krampe, and Tesch-Römer, “The Role of Deliberate Practice in the Acquisition of Expert Performance,” Psychological Review 100 no. 3 (1993): 363–406.) But this illustrates the importance of allowing all students to pursue their wondrously diverse passions.

Finding our niche in life, our vocation, is never easy, and some achieve this more perfectly than others. But our work creates mutually beneficial relationships with others. We continuously adjust to their desires, they to ours, and gradually we all more-or-less find our ways.

But instead of the freedom to pursue their own happiness, society imposes on young people an ideal of at least attending a high school, ideally followed by a four-year college degree, that offers almost nothing except abstract and theoretical education. For at least six years of their lives, much of the population is forced down a path that is not of their choosing, and not in harmony with their interests, passions and gifts – to the detriment of everyone else in society.

About the author:
Erik Lidström
is the author of the 2015 book Education Unchained: What it takes to restore schools and learning,” recommended by Choice magazine. Erik holds an M.Sc. and a Ph.D. in physics from Uppsala University as well as an MBA from the Open University. After research at the ESRF in Grenoble, he moved to the software industry in 2000. He has worked in Britain, France, Sweden, and Morocco, lately with an interest primarily in complex development processes and organizational issues.

Source:
This article was published by the Acton Institute

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