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Egypt To Expand Natural Gas Network

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By Waleed Abu al-Khair

Egypt’s Ministry of Petroleum and Mineral Resources in October accepted a $500 million loan from the World Bank to help extend the gas network in the country.

The loan will support the expansion of the current gas grid to, within eight years, cover eight million more housing units, ministry adviser Radwan Fathallah told Al-Shorfa.

The natural gas grid currently serves 5.5 million Egyptian households.

The expansion is intended to reduce the ministry’s gas subsidisation bill, as the current reliance on gas cylinders — which must be repaired regularly, replaced, filled and distributed to consumers — generates large expenses for the government.

The ministry is currently inviting bids for the project from a group of local and regional companies, Fathallah said.

A special portfolio also has been created for gas-operated factories to link to the grid, he said.

Work already has begun to extend the gas grid to 66,000 more homes, he said, as “secondary pumping stations have been installed and equipped and work is being done to install pipes along with meters in homes, paving the way for gas to be pumped”.

Fathallah said the government faces its biggest challenges in expanding the grid in rural areas and in Upper Egypt, where houses are dispersed across wide areas.

Reducing government costs

“The primary goal behind the natural gas grid for homes is to conserve consumption and reduce the government’s subsidisation bill,” said Cairo University petroleum sciences professor Fahim Abdul Zouaq.

With the connection of 5.5 million homes to the gas grid, the government has saved 8 billion Egyptian pounds ($1.2 billion) a year on its subsidy bill for butane, he said.

The subsidy bill for butane in the fiscal year 2012-2013 reached 20 billion Egyptian pounds ($2.9 billion), according to the General Petroleum Authority.

Government employee Mohsen al-Amine said he decided to join the natural gas grid for several reasons.

“First of all, I want to guarantee sufficient home supply at all times in addition to not having to search for a new gas cylinder whenever the old one runs out at home,” he told Al-Shorfa.

Even with the low price of government-subsidised gas cylinders — no more than six Egyptian pounds ($0.87) — “waiting in line at distribution centres could take hours and I would sometimes have to be away from work to get gas cheaply”, he said.

Al-Amine currently pays 10 pounds ($1.45) a month for gas piped straight to his home, while installation of the meter cost him 1,500 pounds ($218), a bill he is paying off in instalments.

The article Egypt To Expand Natural Gas Network appeared first on Eurasia Review.


On Tolerance Day, Macedonia Organises National Discussion On Hate Speech

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By Miki Trajkovski and Klaudija Lutovska

Macedonia celebrated Tolerance Day on November 15th with a national discussion on hate speech in an effort to ensure greater religious tolerance and ethnic understanding.

The Macedonian Academy of Arts and Sciences (MANU), supported by OSCE, invited academicians, political, civil society and religious leaders after a video emerged in the media of a Gostivar imam calling for a boycott of Macedonian products and services. The video was the latest of a series of religious-based incidents that caused tensions.

All participants in the discussion condemned hate speech and said no efforts should be spared to achieve unity and greater understanding among societal actors.

The discussion led to the conclusion to create a declaration on co-operation for all religious communities in Macedonia that will be signed soon, said Vlado Kambovski, president of the academy.

“[That is because] we cannot experiment in this field nor make it into a polygon for political and other confrontations conceived to gain political points,” Kambovski told SETimes.

The declaration is based on the European Declaration of Human Rights. By signing it, all religious communities commit to respecting the religious freedoms as well as linguistic and cultural diversity of all others.

Kambovski said such a proactive approach — to hold people accountable — is necessary because ethical values are at times brushed aside in favour of materialist, political and other short-term interests.

Kambovski also said the academy will continue to offer and deliver proposals similar to the declaration in order to eliminate hate speech and also will encourage all appropriate institutions to implement them.

Experts said taming inter-religious and other hate speech necessitates improving the political environment that enables it, adding that such messages are most often expressed through the media.

“We plan to form an ethics council, a self-regulating body to protect the public interest,” Naser Selmani, president of the Journalist Association of Macedonia, told SETimes.

The latest polls indicated 60 percent of Macedonian citizens identified inter-religious tolerance in the country while half of the respondents said they know the five main religious communities in the country.

The national discussion on Tolerance Day coincided with the International Tolerance Day, which was celebrated by some civil society groups in favour of gay and women’s rights.

It also followed several incidents, including the assault of eight students in a bus in the ethnically and religiously mixed village of Stajkovci near Skopje.

While it is good to propagate tolerance, the authorities should also act non-selectively to protect lives and property and treat all citizens as equal before the law, said Todor Petrov, president of the Macedonian World Congress.

“The assaults of Macedonian pupils in buses and in public places are repeated and seem to be used for a purpose. … The police are clearing out the individual cases, but the Congress is calling on the authorities and the public to join a wider debate on ethnic, racial and religious hatred as well as terrorism in the country, aiming to come up with preventative measures against violence,” Petrov told SETimes.

All forms of hate speech are dangerous, said Branko Naumovski, president of Macedonia’s Constitutional Court.

“The medicine to all of them is tolerance. But now that we posed the diagnosis, we should take action, i.e., show a proactive approach to this philosophical principle,” Naumovski told SETimes.

The article On Tolerance Day, Macedonia Organises National Discussion On Hate Speech appeared first on Eurasia Review.

Libya: Benghazi Security Chief Escapes Assassination Attempt

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By Ali al-Gattani

The head of Benghazi’s Joint Security Room survived an assassination attempt on Monday (November 18th) after his motorcade was hit by a bomb blast.

A bodyguard of Colonel Abdallah al-Saati was killed in the attack. Al-Saati, who was not injured, took up the position just a month ago.

“I still have life and I won’t die until my hour comes,” al-Saati said after the bombing. “I won’t back down, and this attack will only make me stronger. I’m prepared to sacrifice my life for this country.”

Joint Security Room spokesman Abdullah Zaidi said that the colonel’s motorcade was targeted in the al-Hadaek area of Benghazi.

“Explosives experts are now examining the area to know how the motorcade was targeted and identify the quantity of used explosives, the sound of which was heard in most areas of the city,” the spokesman added.

Zaidi noted that a number of citizens’ vehicles and car sale shops were heavily damaged in the blast.

Before the incident, the city witnessed a period of relative calm after army forces were heavily deployed.

“I’m sad for what’s happening in Benghazi,” journalist Fatima al-Mariami told Magharebia.

“There is no state or sovereignty, as everything has become temporary. Even freedom has become temporary due to the proliferation of arms and various armed militias in view of failure of officials, absence of law and delay of constitution. Benghazi has paid the price for all that, and then came this strong blow to the men of Benghazi,” she added.

Meanwhile, Benghazi resident Ezzedine Shikhi praised what he said was courage on the part of al-Saati. “I was moved by Colonel al-Saati’s statements following the attempt on his life when he said his blood was a sacrifice for the country and that he wouldn’t back down.”

“We aren’t more honest than those who sacrificed their own lives for the country,” Shikhi added. “We’ll continue to perform our tasks. Libya wants only men who aren’t dissuaded by assassinations.”

According to Libyan Observatory for Human Rights founder Nasser al-Houari, the assassination attempt “came at a time when the popularity of Libyan army commanders grew, after the army deployed its forces in Benghazi streets, and after citizens supported army commanders and soldiers.”

“The name of al-Saati became known, and his and other army commanders’ determination to deal with murders and bombings and restore lost security to Benghazi became clear,” al-Houari told Magharebia.

“The departure of armed militias from the capital Tripoli will clearly help restore security and stability,” he continued. “The militias have been a source of great concern for the capital residents, and kidnappings and tortures at militias’ prisons can no longer be ignored.”

Al-Houari added that with the militias gone, the army and police could finally take the initiative to secure the city.

The article Libya: Benghazi Security Chief Escapes Assassination Attempt appeared first on Eurasia Review.

Migration Myths Debunked

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Widespread negative public opinion about migration and migrants is often driven less by facts, such as the actual number of migrants arriving in a particular country, than by a raft of misperceptions: migrants are stealing jobs from locals, driving up crime rates and burdening public services.

Numerous studies by academics and researchers have produced evidence disproving many of these fallacies. IRIN takes a look at some of the most common myths surrounding migration and presents some of the evidence that challenges them.

1. MYTH: The majority of migrants come from the poorer South and move to the richer North
FACT: Less than half (40 percent) of all migrants worldwide move from the developing countries of the South to the developed countries of the North. According to Gallop Poll data published in the International Organization for Migration’s 2013 World Migration Report, at least one-third of migrants move from one developing country to another (South to South) and 22 percent migrate from one developed country to another (North to North). A small but growing number of migrants (5 percent) move from North to South.

2. MYTH: Migration is on the increase
FACT: The number of international migrants has grown to 232 million in 2013 (from 175 million in 2000 and154 million in 1990), but this is mainly the result of population growth. Migrants as a share of the world’s population have remained fairly steady at between 2.5 and 3 percent. A number of studies have found that people in migrant-receiving countries consistently overestimate the size of their migrant population, which contributes to the perception that there are “too many” migrants.

3. MYTH: Tackling poverty and lack of development in migrant-sending countries would reduce migration to wealthier countries
FACT: Social and economic development in poor countries leads to more migration, not less, at least in the short- to medium-term. While migrants are often portrayed as poor and desperate, it takes significant resources to migrate over long distances. Hein de Hass, co-director of the International Migration Institute at the University of Oxford has pointed out that it also takes an awareness of opportunities elsewhere, which usually only comes with a certain level of education and access to modern media. Increased development produces a larger section of the population with the aspiration and resources to migrate.

4. MYTH: Stricter border controls and regulations reduce irregular migration
FACT: Migrants and asylum seekers are more likely to resort to entering a country irregularly when there are no legal alternatives. This often means relying on smugglers and using routes that expose them to numerous dangers and even death. Tragedies like the recent shipwreck off the coast of Lampedusa, in which more than 350 migrants lost their lives trying to reach Europe, tend to result in calls for yet more border controls that often deflect irregular migration flows rather than significantly reducing them. Ironically, studies have shown that stricter border controls prevent short-term and circular migration whereby migrants return home regularly before returning to host countries and force them to stay put in destination countries for longer due to the difficulty and expense of re-entry.

5. MYTH: Migrants take jobs that would otherwise go to natives
FACT: The effects of immigration on labour markets are complex and varied, depending on time and place. In developed countries, especially during periods of economic growth, migrant workers often hold low-skilled, low-paid jobs that natives are unwilling to do. Although competition for such jobs may become fiercer during an economic downturn, immigration can also create jobs by stimulating economic growth, and because migrant-run businesses often employ locals. There is a strong correlation between immigration rates and economic growth rates. When growth and job opportunities slow, so does immigration.

6. MYTH: Migrants are a drain on social services and public resources
FACT: In many countries, migrants – particularly irregular migrants – have no access to social services such as public healthcare and housing. Where they can access the welfare system, they are much less likely to do so than locals, partly because a larger proportion of them are young adults with fewer health and educational needs. A study by University College London found that recent migrants to the UK were 45 percent less likely to receive state benefits or tax credits than natives. The same study found that migrants contributed significantly more in taxes than they received in social benefits.

7. MYTH: Individuals who enter a country irregularly are illegal immigrants

FACT: While crossing a border without documents may constitute an infringement of immigration laws, it does not make an individual “illegal”, particularly if that individual is an asylum seeker. The UN Refugee Convention recognizes the right of people fleeing persecution to enter a country for the purposes of seeking asylum, regardless of whether they hold valid travel documents. Even for non-asylum seekers, violations of immigration laws are usually considered civil rather than criminal offences. In the past year, a number of media outlets have stopped using the term “illegal immigrant” and replaced it with undocumented or irregular migrant.

8. MYTH: Most migrants are “illegal”
FACT: Although, for obvious reasons, it is very difficult to count numbers of irregular migrants, they represent a fraction of the total number of international migrants. In the United States, for example, about 25 percent of all migrants are undocumented. In Europe, the proportion is much lower, with only between seven and 12 percent of the “foreign population” consisting of undocumented migrants in 2008. As mentioned in the previous point, people fleeing persecution and conflict in countries such as Somalia, Syria and Afghanistan are often forced to cross borders without documents, and may even travel with and use the same smugglers as economic migrants, but once they have applied for asylum, they are subject to refugee legislation rather than immigration laws.

The article Migration Myths Debunked appeared first on Eurasia Review.

Saudi Arabia Mobilizes Forces As Mortars From Iraq Land At Border

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By MD Al-Sulami

The Saudi Arabian government has mobilized its security forces after six mortar bombs landed near a remote Saudi border post close to neighboring Iraq and Kuwait on Wednesday. Nobody was hurt in the bombardment.

The mortar rounds hit a desert area on the far northwestern fringes of the Kingdom’s oil-producing region and several hundred kilometers from the major fields operated by the world’s largest oil exporter.

There was no word on who was behind the barrage, which occurred two days after twin suicide bombings killed 25 people near Iran’s Embassy in Beirut. Saudi Arabia has condemned the Beirut bombings.

Maj. Gen. Mansour Al-Turki, Interior Ministry spokesman, said Iraq, Kuwait and Saudi Arabia were investigating the mortar fire. Baghdad said it was not involved.

“There were no rockets or anything fired toward the Saudi border by security forces,” said Jabar Al-Saadi, head of the Basra provincial council’s security committee.

Al-Turki said Saudi forces had not been put on higher alert after the unexplained bombardment.

“This is an area very close to the Iraqi and Kuwaiti borders. So sometimes this could come from military training or many other reasons. We have to wait for the investigation to show where it happened,” he said.

The mortars, that created small craters in the desert, fell in Auja, a Saudi township near the Iraqi border, 100 km north of Hafr Al-Baten in the Eastern Province.

Saudi military forces and equipment could be seen near the site while F-15 fighter jets and helicopters flew over.

“Thank God, nobody was injured in the attack,” said Gen. Mohammed Al-Ghamdi, spokesman of the Saudi Border Guard. He said he had contacted his counterparts in neighboring countries to locate the source of the firing to prevent any recurrence.

High-level security sources blamed the mortar attack on Shiite militias inside Iraq.

An Iranian-backed Iraqi Shiite militia had on Thursday warned the Kingdom to stop “meddling” in Iraqi affairs.

“The goal was to send a warning message to Saudis to tell them that their border stations and patrols are within our range of fire,” Wathiq Al-Batat, commander of Iraq’s Al-Mukhtar Army militia, told Reuters in Baghdad.

There was no independent confirmation that the militia was behind the mortar fire. Iran has not commented on the situation.

The Al-Mukhtar Army is a relatively new Shiite militia, which has said it is supported and funded by Iran. Batat is a former leader of the more well known Kataib Hezbollah militia.

“This is just the beginning and there will be more attacks if they (the Saudis) do not stop,” Batat said.
Mustafa Alani, an Iraqi security analyst with the Geneva and Jeddah-based Gulf Research Center, said Al-Mukhtar was among several Iraqi groups linked to Iranian intelligence.

“The timing is linked to the attack on the embassy (in Beirut),” he said, adding that the group might also have been trying to sabotage a call this month by Iraqi Prime Minister Nuri Al-Maliki for better ties with Saudi Arabia.

Meanwhile, Kuwait’s Al-Anba newspaper said one mortar had fallen inside Kuwait about 800 meters from the border. The Kuwaiti Interior Ministry then sent a team to inspect the area, the paper said, adding that nobody was hurt in the incident.

The article Saudi Arabia Mobilizes Forces As Mortars From Iraq Land At Border appeared first on Eurasia Review.

Still Haunted By The Ghost Of JFK – OpEd

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By Mahir Ali

It has lately been all but impossible to peruse more or less any American news website without encountering some sort of reference to the assassination of John Fitzgerald Kennedy.

This phenomenon is related, of course, to the 50th anniversary of his demise being observed today.

But revisiting that traumatic event is hardly a recent trend. And part of the reason why Americans haven’t been able to get over it is that the murder is still shrouded in mystery. The passage of years has barely diminished the attraction of conspiracy theories.

An opinion poll earlier this year suggested that barely a quarter of Americans buy the theory that Lee Harvey Oswald acted alone in pointing a relatively obsolete rifle at his presidential quarry and pulling off three shots, two of which ostensibly found their mark, at a moving target from a tricky angle.

Disbelieving the official narrative is hardly a novelty. As soon as a day after the event, the concept of cui bono (who benefits?) was already implicitly being cited in suspicions that Vice President Lyndon Baines Johnson was behind the hit — not least because Texas was his home ground.

Intriguingly, among the plethora of recent published material is an account by a man who became a post-presidential aide to Richard M. Nixon, who says that LBJ’s successor — who happened to be the losing candidate in the closely fought electoral battle of 1960 — evidently was convinced of Johnson’s involvement. Notwithstanding his own moral lapses, Nixon was apparently prone to saying he was at least superior to Johnson because he didn’t murder anyone to reach the White House.

Which is certainly interesting, if true. And, in turn, the same could be said about almost every theory surrounding the assassination, from allegations of CIA, FBI or mafia involvement, through the widely disputed findings of the Warren Commission, to the idea that Oswald had Soviet or Cuban assistance.

In the case of the Soviet/Cuban context, it is obviously notable that Oswald was an ex-marine who had defected to the USSR, but was allowed to return to the US with a Russian wife, and was a known propagandist for the Castroist cause. On the other hand, the KGB reportedly found him too unstable to be of any use and the Cubans refused him a visa to Havana.

Besides, Soviet leader Nikita Khrushchev had managed to establish a rapport with Kennedy. And a Western journalist who happened to be interviewing Fidel Castro at the time the first report of the assassination came through noted that he was visibly perturbed by the development and kept saying “this is very bad news.”

It is not inconceivable, of course, that Castro was playacting, or that the KGB had gone behind Khrushchev’s back — he was, after all, forced out the following year, at least in part because he had evidently backed down during the Cuban missile crisis.

In fact, the peaceful resolution of that crisis was arguably Khrushchev’s finest hour, as it was Kennedy’s. The two leaders, as legend has it, were eyeball to eyeball. It wasn’t just the Soviet apparatchik who blinked, though. Khrushchev agreed to pull nuclear missiles out of Cuba, but only in return for Kennedy’s assurance that the US would not invade the island and, furthermore, would withdraw its nuclear warheads from Turkey — although the latter part of the deal was not immediately to be made public.

In the preceding weeks, Kennedy had stood up to American generals who were bent upon inaugurating World War III. Khrushchev quite possibly did the same vis-à-vis Soviet hardliners.
It has nonetheless long been alleged that a primary reason behind the Warren Commission cover-up was that the unvarnished truth would inevitably have entailed a superpower confrontation. On the other hand, it has also been claimed that circumstantial evidence pointing to the Soviets and/or Cuba was in fact part of the CIA/FBI/mafia conspiracy. The fact that the official narrative is discounted even by the US secretary of state, John Kerry, tends to reinforce the impression that there will always be theories but perhaps never a universally accepted conclusion. Who killed Kennedy is not the only bone of contention, though. Even the question of who exactly was JFK remains disputed territory.

Was the first US president to be born in the 20th century a deep-rooted conservative, an inveterate Cold Warrior who stumbled on to a missile crisis solution more by accident than design? Or was he a visionary who saw the logic in balanced relations with Moscow and Havana, and who was convinced that no good would ultimately flow from the American involvement in Vietnam — even though it had grown dramatically during his presidency — to the extent that he was determined to end it by 1965?

Filmmaker Oliver Stone and academic Peter Kuznick tend to the latter view in broadly fascinating documentary The Untold History of the United States. It’s equally possible, though, on the basis of the available evidence, to see the hopes invested in the Kennedy presidency as a precursor of sorts to the Barack Obama phenomenon.

In a similar vein, Kennedy is credited with putting in place the architecture for the civil rights legislation that, at least in theory, transformed the American sociopolitical landscape within two years of his assassination. He can also be seen, though, as a go-slow advocate who resented the momentum generated by the movement led by Dr. Martin Luther King Jr.

The Camelot myth has been substantially dented in recent decades, and the fascination with Kennedy may taper off once most of the baby boomers to whom he meant so much have shuffled off the mortal coil. But I wouldn’t bet on it just yet.

The article Still Haunted By The Ghost Of JFK – OpEd appeared first on Eurasia Review.

Indian Politics Devoid Of Democratic Norms – OpEd

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By Nilofar Suhrawardy

Unarguably, Mahatma Gandhi remembered as the “Father of the Nation” took many democratic steps to reach out to the Indian masses and identified himself with them. One of those steps was his decision to don dhoti, a traditional men’s garment worn in India. In India today several Indian politicians can be seen wearing dhoti in different styles. The style of their wearing dhoti identifies them with the region they hail from. Though their dhoti adds a regional stamp to their political identity, it is difficult to link it with today’s democratic spirit. The explanation is simple.

The dhoti can no longer be described as a common Indian citizen’s dress. The majority of men in cities as well as villages are seen in shirts and trousers. Even the ladies across the country now prefer wearing salwar-kameez and are seen in sarees, largely on special occasions.

Certainly, Indian politicians have the right to opt for anything they feel comfortable in. But it would be erroneous to view this decision as a part of their democratic appeal to reach out to the Indian voters. Rather, the style of each reflects his/her political image he or she is trying to promote. This stands out in different ways that the dhoti is worn by P. Chidambarm, A.K. Antony, Mulayam Singh and other leaders. Similarly, the different ways in which sarees are worn by Sonia Gandhi, Jayalalitha and Mamata Bannerjee cannot be ignored. The style of their wearing sarees has definitely added to their political identities. The dressing styles reflect their own political identity and not that of common Indian citizens.

The use of a dress as a political tool in today’s India is very much off the democratic path, which Gandhi used it for. And this is just a symbolic indicator of the importance accorded to common Indians in the country’s politics. Despite various leaders claiming to be people’s voice, leader of the common Indians and other such rhetoric, the divide between their identity and that of Indians at grassroots cannot be sidelined. Indeed, it is an irony that on one hand, the strides in communication technology has made it possible for Indian leaders to reach out almost continuously to Indian citizens. This is what majority of Indian leaders and parties are engaged in at present. Through recorded messages voiced through radios, mobiles and other such means they are continuously reaching out to Indians.

They are conveying their messages and making their own voices heard. The same importance is not accorded to listening to the voices of India’s masses.

Howsoever white, clean and/or starched the leaders’ dress may appear to be, the same cannot be said about political standards maintained and promoted by most. The stings and scams that have caught several politicians on the wrong foot is just a minor indicator of their own political record being hardly as white as their dress.

In reality, there is a major communication gap between most Indian leaders and people at grass-roots. The importance given by Gandhi to bridging this gap has ceased to carry much relevance for most Indian politicians. There is a major difference between rhetoric indulged in by politicians and their practicing the same.

During their electoral campaign, politicians have started giving considerable importance to dress of people seen at their political functions. For instance, the unwritten rule being practiced by most is that Muslim men must wear their attire with their skull caps and the women must put on the long, black cloak called the burqa. The primary purpose of this drive is to display the “support” of Muslims for these leaders. Here, the democratic gap between display of these Muslims’ presence and their being viewed as representatives of Indian Muslims cannot be missed.

The last point can be expanded to reflect on democratic relevance of crowd witnessed at political functions. Undeniably, displaying large gatherings at their rallies and other such programs is an important part of electoral campaigns. But to what extent can crowds actually add to democratic credibility of such leaders.

It may be recalled, sometime back, Anna Hazare dominated Indian politics and media. He apparently derived his “democratic” strength from the presence of huge gatherings of common Indians at his functions. In certain areas, Hazare began to be hailed as the second Gandhi. Now, Hazare does not seem to enjoy the same political support. His ride atop the political waves was apparently a temporary phase.

If Hazare’s political strength was really based on democratic support of common Indians, most probably his name would also have been used today to attract crowds. But he is no longer in the political picture. And this reaffirms the point made earlier about their being a major communication gap between Indian leaders and people at the grassroots. The political image displayed by most leaders through their dress, rhetoric, crowd at their functions and other means does not establish their democratic credibility among common Indians.

It is easy for practically any politician in the fray to claim himself to be leader of the people. He may also ride atop political and media waves for a while primarily on basis of what he claims. But if his claims do not win him support of people, he is likely to fail democratically. In today’s Indian politics, there is a major gap between politicians projecting themselves as people’s leader and their actually being recognized as such by the majority.

nilofarsuhrawardy@hotmail.com

The article Indian Politics Devoid Of Democratic Norms – OpEd appeared first on Eurasia Review.

National Agricultural Policy Triggers Social Discomfort In Colombia – Analysis

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By Jennifer Barajas

Agriculture is among the top priorities on the global development agenda due to the persistence of international challenges, extreme poverty (45.5 percent worldwide), inequitable land concentration, and an almost unsupportable increase in food demand. [1] In fact, governments and worldwide development agencies are beginning to recognize that agriculture must be a totally reliable engine for growth and social inclusion if developing countries are able to come up with more equitable strategies for using their land and other available natural resources for growth and modernization. The World Development report of 2008 states that agriculture must be placed at the center of the development agenda in order to enhance global economic growth and social equity, especially in those countries whose incomes depend mostly on agricultural commodities. In addition, the United Nations predicts that more than half of the land that may become absorbed into a worldwide agricultural production could be drawn from seven African and South American countries, including Colombia. [2]

Certainly, the future of the negotiations between the Colombian government and the insurgent Fuerzas Armadas Revolucionarias de Colombia (Revolutionary Armed Forces of Colombia; FARC) movement will have an important effect on the future of Colombia’s agricultural sector, as peace is necessary for development to occur in a zone of conflict. Recent reports about a groundbreaking deal in Cuba (where the talks are taking place), which would allow the FARC to become a political party in Colombia, has injected new life and hope into the talks, which had stalled over this very issue. Whether a full and lasting agreement can be reached before Colombia’s presidential elections remains unclear. Nevertheless a successful deal could usher in a new era of Colombian agricultural growth.

Because of its privileged geographical position and its abundant natural resource endowment, Colombia’s agricultural sector has been the subject of fierce debate between the government and the country’s farmers, which recurrently has turned violent in recent months. From August 19 to August 30, Colombian farmers expressed their dissatisfaction with the current status of the agricultural sector by means of violent protests in more than twenty cities. Although farmers mainly placed the blame for the downturn in the performance of the sector on the negative impact of the 2012 Colombia-U.S. free trade agreement (FTA), known as the Trade Promotion Agreement, the explanations for the lack of growth may actually be far broader. The slowdown may also be the result of the absence of defensible land strategies, which would have included more protection for the exporters, investment in infrastructure, and institutional strengthening.

Colombia has 22.1 million hectares of land available for further agricultural mobilization and more than 11 million people that have identified rural activities as their principal source of livelihood. [3] Colombia is ranked at 25 out of 223 countries in terms of furnishing available land for agriculture, creating substantial options in terms of a meaningful expansion of agricultural activity. However, underemployment, which was 31 percent in 2012, and the current low utilization of land, which is close to 24.1 percent, are producing a less dynamic agricultural sector. [4]

Colombia’s reality is that its society does not fully utilize its natural resources, a state of affairs which, if achieved, could contribute to equitable social development in the country. Therefore, in 2010, Colombia’s President Juan Manuel Santos (2010 – present) proposed a set of measures called “las locomotoras de crecimiento” (growth drivers). These factors were an attempt to involve the national government in strengthening Colombia’s agricultural sector. The Santos administration, in order to fulfill the nation’s requirements, would have to reach various objectives regarding investment in infrastructure, implementation of trade policies that would stimulate the domestic market, and provide for the allocation of useful public goods and services. By doing so, the government would potentially be able to reduce the current 28 percent level of poverty; more competitive land and maritime infrastructure would tend to develop a more rational system of distribution. Engaged, farmers would have more employment options. [5] Considering that the next presidential elections are scheduled for 2014, the Santos administration is nearing its end, but the agricultural sector is still not being fully utilized, as was intended. This outcome has triggered a good deal of social friction, and has brought to light the structural problems, such as the discontinuity of state policy, high costs of fertilizers, the near universal corruption, and an increase of imports, which cannot be corrected by the currently implemented measures.

Agrarian Protests Destabilized the National Landscape and Roiled Social Tranquility

The side effects of the new Colombia-U.S. FTA have triggered the disruption of national operations through a series of protests which began with the coffee production sector, and then spread to all productive sectors associated with agriculture. Although the epicenter of violent protests took place in the Boyacá region, located in the eastern part of Colombia, social unrest spread to 17 of the country’s 32 districts. As many as 5,000 farmers blocked roads between the countryside and the major cities in protest, resulting in at least four deaths. [6] Additionally, there was a profound effect in the flow of commercial activity and in social order, and an attempt at a negotiation involving the government and the country’s main agricultural watchdog organization in charge of supporting farmers, the Mesa Nacional Agropecuaria y Popular (National Popular Agricultural Board; MIA).

Even though the commercial bilateral agreement between Colombia and the United States was well received by the government and the business sector, in its first year it has not accomplished a noticeable improvement in Colombia’s trade balance. The collective manifestation of protests started at the end of August. After the FTA went into effect, Colombian imports of commodities from the United States increased by 13.5 percent from May 2012 to March 2013. Many of these products already are produced in Colombia. The agro-industrial sector, which witnessed a 120.4 percent increase, and the agricultural sector, with a 32.8 percent increase, were the major sectors in which foreign purchases had seen a significant growth. In fact, the 23.7 percent rise in imports of soy and the 16.5 percent rise of rice imports, combined with the fact that the Colombian corn market must open completely to American companies under the terms of Bogota’s arrangement with its neighbor (although, to a significant degree, Colombia has the ability to supply its domestic demand), are issues that confirm that the FTA’s stipulations must be redefined. [7]

However, the asymmetries deepened by the FTA are not just the consequence of poorly negotiated points between both governments. In other words, the weakness in the agricultural sector goes beyond the bilateral agreement between Colombia and the United States. The insufficiency of a number of sub-sectors of Colombia’s agricultural sector brings to light the structural difficulties regarding costs, infrastructure, lack of internal organization, and the failure of Colombia’s land restitution policy.

According to a survey performed by the Sociedad de Agricultores de Colombia (Agricultural Society of Colombia; SAC), 42 percent of producers state that the agricultural profits are decreasing due to high costs of available inputs, fertilizers, and transportation. The high cost of capital has led to a sharp increase in prices of agricultural products. [8] Unfortunately, the domestic infrastructure does not adequately address what has been found to be necessary for an economy dependent on agriculture. The 2012 National Competitiveness report acknowledged that the lack of proper roads makes transportation within Colombia far more expensive and time-consuming when compared with other countries. Hence, transporting 28 tons of products from Bogotá to Cartagena could be $2,000 USD more expensive than transporting it to Shanghai, in China. [9]

In addition, it is essential to take into consideration that Colombia’s 0.87 Gini coefficient in rural areas is one of the highest in the world. [10] This means that land distribution in Colombia is near to perfect inequality, which the coefficient says is 1. Therefore, one of the major goals of President Juan Manuel Santos’ administration is the successful implementation of Ley 1448 de 2011 de Víctimas y Restitución de Tierra (Law 1448 of 2011 of Victims and Restitution of Land). This law seeks to reduce social disparity amongst the people who have been affected by violence in rural zones through the return of land currently controlled by armed groups.

However, it has been two years since the law was put into effect, and it has not provided the quick respite that the rural sector often requires. For instance, of the more than 1 million hectares that need to be returned to their owners, only 13,000 have been transferred back in farmers’ hands. In addition, according to Human Rights Watch (HRW) this law only further enhanced the formation of regional armed movements that oppose the redistribution of lands. More than 80 land restitution leaders were threatened by the Urabeños—followers of the conservative hand—who organized a brigade composed of 1,000 mercenaries in order to carry out murders against farmers claiming land titles. [11]

This violence was the main reason why the government started negotiations with the major armed group in Colombia, the FARC, to bring the decades-long internal conflict to an end. Since October 2012, both actors proposed an agenda in which agrarian development and stimulation of agricultural production and land distribution were, in theory, top priorities. Nevertheless, political requirements that would ensure the FARC a greater degree of participation in national affairs, coupled with the desire of the president to show quick results in order to raise his already impaired popularity, have slowed down the round-table negotiations on a number of occasions. Indeed, by November 6, negotiators reached a draft that includes just two of the six items under discussion and none of them have to do with agrarian points. [12]

What is even more worrying for the future of these negotiations is the recent FARC involvement in a plot to murder Colombian former President Álvaro Uribe Vélez, who is totally against pacific talks between the government and this guerrilla group. Soon after the plot was uncovered, Uribe sarcastically commented, “These are the little saints that are going to turn into a political party.” [13]

In general, it seems that the protests that have occurred in the last few months are now being voiced in expressions of the indignation of small rural producers who feel that it is time for the state to end the marginalization of rural areas. Even though most of the recent Colombian presidents have included in their platforms programs that promote agricultural development, their measures have clearly never been strong enough. For example, Álvaro Uribe Vélez, the Colombian president from 2002 to 2010, implemented Agro Ingreso Seguro (Secure Agricultural Income; AIS), a strategy to protect the incomes of producers who have been negatively affected by the globalization of the economy. [14] However, the outcomes of his program remain a mystery since the act has significantly benefited wealthy families and entrepreneurs who live in Colombian Caribbean (which is a wealthy beach neighbourhood). They received 2.125 million pesos at the same time that peasants received 5 million pesos. Hence, instead of encouraging development in the sector, this strategy corresponded with an increase in poverty rates in rural areas, which is now at 22.8 percent. [15]

In addition, due to economic liberalization and foreign investment flows, Colombia has begun specializing in the production of mining and services. As a result, Colombia now needs to import most of its agricultural goods, which could be easily produced in the country. Therefore, it seems that cheap imports will increase in Colombia in the next few years. Consequently, it is essential that the Colombian government recognize that Colombian farmers are at a distinct disadvantage in respect to U.S. farmers who are subsidized by their government. The Colombian government needs to provide safeguards and stronger tariffs to its products to protect their farmers and the focus of its agricultural industry.

One possible solution is to reformulate the core of the problem, which represents the current Colombian agricultural model. The policy framework should take into account that agriculture needs to be sustainable and competitive. In this sense, there must be an efficient resource allocation and the productive transformation of small farmers’ businesses’ expansion through further investment. This could lead to a more competitive production process. In addition, even though the new global context is characterized by the emergence of new markets and free trade agreements, the Colombian government needs to realize the importance of also prioritizing its local market. Arguably, it is not just that Colombian farmers are now forced to use genetically modified seeds at the behalf of transnational companies but because the U.S. government requires this to approve the Free Trade Agreement. The big issue is that under the FTA’s code, each country is not allowed to give a preferential status to foreign or local products. Thus, there is an evident incompatibility between the FTA and its code, which has led to a violation of a principle in the Colombian constitution. Under article 64, it is an obligation of the state to promote progressive access to land and services for education, health, housing, and credit in order to improve the income and living standards of farmers.

Overall, the recent agrarian protests are justified, since there has always been a mismatch between goals and reality, because the government has not come up with any logical solutions. Indeed, the administration has announced a decrease of 38 percent in the rural budget, although agriculture in Colombia is shown to be one of the five main pillars of the Santos administration’s platform. The scarcity of attention now being given to rural producers is a strong factor that can help explain Juan Manuel Santos’s approval rating, which currently stands as a worrisome 21 percent. Therefore, if he seeks to be re-elected in 2014, Santos almost certainly will not have the support of coffee growers and farmers, which are the groups that lead the national drive to export.

Jennifer Barajas, Research Associate at the Council on Hemispheric Affairs

References

[1] Instituto Nacional de Estadística y Geografía. Estadísticas a propósito del día internacional para la erradicación de la pobreza. October 17, 2013. pp. 1 http://www.inegi.org.mx/inegi/contenidos/espanol/prensa/Contenidos/estadisticas/2013/pobreza0.pdf

[2] Sharma, Yojana. “Global Development agenda must prioritise agriculture, food policy” April 24, 2012. http://www.scidev.net/global/food-security/news/global-development-agenda-must-prioritise-agriculture-food-policy-.html

[3] Perfetti, Juan José. Políticas para el Desarrollo de la agricultura en Colombia. Fedesarrollo, Sociedad de Agricultores de Colombia (SAC), Incoder, Finagro, Banco Agrario. April 2013. pp. 30http://www.fedesarrollo.org.co/wp-content/uploads/2013/07/Libro-SAC_Web.pdf

[4] Ibid.

[5] Salinas, Yamile. La locomotora del Agro. Consensos y diferencias. Punto de Encuentro, page 2.

[6] Redacción BBC Mundo.” El conflicto del campo irrumpe en Bogotá”. August 29, 2013. http://www.bbc.co.uk/mundo/ultimas_noticias/2013/08/130829_ultnot_disturbios_bogota.shtml

[7] Círculo de inversionistas. “Qué consecuencias trae el TLC CON Estados Unidos y su alcance en la economía nacional”. http://www.circulodeinversionistas.com/especiales/tlc/item/31-que-consecuencias-trae-para-la-economia-nacional-el-tlc-con-eeuu

[8] Redacción Revista Semana. “¿Por qué el descontento agrario llegó a este punto?” August edition.

[9] Ibid.

[10] The World Bank. Gini index. http://data.worldbank.org/indicator/SI.POV.GINI

[11] Redacción el País. “Los Urabeños, la banda que amenaza la restitución de tierras en Colombia”. September 19th, 2013. http://www.elpais.com.co/elpais/judicial/noticias/urabenos-amenazan-restitucion-tierras-colombia-segun-human-rights-watch-0

[12] “Colombia and the FARC: Not out of the Woods Yet” The Economist. November 16th, 2013. http://www.economist.com/news/americas/21589861-just-agreement-reached-news-assassination-plot-highlights-risks-peace

[13] Ibid.

[14] Campuzano, David. “Agro Ingreso Seguro, Historia de un fraude al campo Colombiano”. Especiales El Espectador. 2011

[15] Betancourt, Maria Soledad. “La crisis agraria y las causas del paro. Mucho más profundas que los TLC” September 4, 2013. http://reliefweb.int/report/colombia/la-crisis-agraria-y-las-causas-del-paro-mucho-m%C3%A1s-profundas-que-los-tlc

The article National Agricultural Policy Triggers Social Discomfort In Colombia – Analysis appeared first on Eurasia Review.


Hindus Welcome Leonardo DiCaprio’s $3 Million Donation To Save Nepal Tigers

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Hindus have welcomed Oscar nominated Hollywood actor-producer Leonardo DiCaprio’s (The Aviator) bold initiative of donating $3 million for saving tigers in Nepal.

According to reports, this grant by Leonardo DiCaprio Foundation (LDF) will help World Wildlife Fund (WWF) double Nepal’s wild tiger population by 2022 (next Chinese Year of the Tiger), create tiger corridors, protect core areas for tiger breeding, prevent poaching, monitoring and helping communities. DiCaprio, who says that “time is running out for the world’s remaining 3,200 tigers”, joined forces with WWF in 2010 to launch Save Tigers Now.

Hindu statesman Rajan Zed, in a statement in Nevada (USA) today, commended LDF’s reported focus on “empowering local communities”, which were mostly Hindu. The densely populated Terai Arc Landscape of Nepal, where the grant will be used, was said to be home to about seven million people, and we hoped that LDF and WWF would give due consideration to their livelihoods also as they depended on the available natural resources. LDF and WWF should work more closely with local communities to find solutions and ensure real success, Zed added.

Zed, who is President of Universal Society of Hinduism, praised WWF for indication to use the grant money from LDF to create “income-generating activities through tourism, handicrafts and organic vegetable production” to help local communities and “support insurance funds to help families cope with the loss of livestock to predators”.

LDF’s aim of “fostering a harmonious relationship between humanity and the natural world” highly matched with Hinduism ideals, Rajan Zed pointed out.

Zed noted that Hinduism was very serious about fellowship between environment and humanity. Its stress on unselfishness while using God’s gifts, concept of ahimsa, all living beings possessing soul, etc., pointed to respect for all segments of the universe, which was a divine creation. Nature was sacred and people were integrally linked to it, Zed stated.

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Hint Iran Deal Closer? Top Diplomats Rush To Geneva To Join Nuclear Talks

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Following a day of exhausting bilateral meetings between Iranian and Russian FMs and the EU’s chief diplomat, top ministers from other P5+1 powers have announced plans to add extra political weight and join the talks ahead of a much-anticipated deal.

Russian Foreign Minister Sergey Lavrov was the first to arrive in Geneva on Friday evening. Lavrov has already held bilateral meetings with Iranian Foreign Minister Mohammad Javad Zarif and EU High Representative for Foreign Affairs and Security Policy Catherine Ashton. Details of the meetings were not disclosed.

“Last night we were a long way from foreign ministers coming. Today it has got closer,” Zarif said, according to the ISNA news agency.

Meanwhile Iranian Deputy Foreign Minister Abbas Araghchi posted on Twitter that “little progress,” was made after a fourth meeting with Catherine Ashton, calling the negotiations “serious.” Another team member of the Iranian delegation, Majid Takht Ravanchi, was quoted by the Washington Post as saying that negotiations were “moving on a positive track.”

But the EU’s delegation seemed a bit less optimistic, “You cannot suddenly get an agreement overnight… So I do not think that anyone should panic,” Ashton’s spokesman, Michael Mann, said in an interview with Iran’s Press TV. “We are prepared to do hard work to bridge those differences. It will take as long as it takes.”

The talks between Zarif and Ashton continued well late into Friday night ending around midnight.

Following the Russian FM’s diplomatic efforts in Geneva, late on Friday the US State Department announced that Secretary of State John Kerry was expected to join the talks on Saturday.

“Secretary Kerry will travel to Geneva later today with the goal of continuing to help narrow the differences and move closer to an agreement,” State Department spokeswoman Jen Psaki said.

Kerry is heading to Geneva in case progress is made and in case agreement can be reached, Psaki added.

Soon after Kerry’s travel plans had been confirmed, UK Foreign Secretary William Hague and French Foreign Minister Laurent Fabius also announced they would travel to Geneva to attend talks on Saturday.

“Laurent Fabius will travel to Geneva tonight for the Iranian nuclear talks,” a French diplomatic source told Reuters. Meanwhile, Hague tweeted that he will “join other E3+3 Foreign Ministers at Geneva Iran talks.”

According to the Chinese Foreign Ministry, early on Saturday minister Wang Yi left Beijing for Geneva to attend talks on Iran’s nuclear program.

This would be the third ministerial level P5+1 gathering with Iran since the breakthrough in diplomacy following the election of Iran’s new president, Hassan Rouhani.

Demands by the P5+1 group for Iran to halt further enrichment activities were among the main sticking points in revived negotiations. The group also wants Iran to transfer part of its stockpile of 20 percent enriched uranium to a third country under IAEA custody. In return, the P5 +1 are offering a phased relief from sanctions on precious metals and petrochemicals that have been crippling Iran’s economy for decades.

The article Hint Iran Deal Closer? Top Diplomats Rush To Geneva To Join Nuclear Talks appeared first on Eurasia Review.

Israel And The US: Time For Divorce? – OpEd

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By Dmitry Babich

Recently, Israel’s Foreign Minister Avigdor Lieberman came out with a statement that came as a shock for many people, because it strikingly runs counter to what might have been expected from Israel judging from its traditional behavior on the world scene. Speaking at a forum in the Israeli city of Sderot, Mr. Lieberman said that Israel should cease viewing the US as its main partner in international politics and seek for new partners.

Since the time of the Cold War, Israel has been perceived both in the Soviet Union and in the Arab world as the closest ally of the US in the Middle East. And now, suddenly, Israel’s Foreign Minister says that Israel’s ties with the US have weakened.

“At present, too many countries may present a challenge to the US – North Korea, Afghanistan, Pakistan, Iran, Iraq, Syria, Egypt and China,” Avigdor Lieberman said. “Besides, the US is now facing too many problems in its own economy. This, in my opinion, raises the question of whether the US is still a reliable partner for Israel. I believe that Israel should look for other partners, but they should be chosen among countries that don’t depend on money from the Arab world.”

Mr. Lieberman’s words may sound very patriotic for an Israeli, but the irony is that at present, when the world has long become one whole, it is practically impossible to find a country that has never “touched” any money from the Arab world. As the proverb goes, “money does not smell”. But on the other hand, being afraid of everyone who has ever had to do with money from the Arab world have been too suspicious for Israelis. Having to do with money from the Arab world does not necessarily mean being anti-Israeli. If all the money from the Arab world would have worked against Israel, Israel would have ceased to exist a long time ago. Even such countries as Saudi Arabia and other monarchies of the Persian Gulf are not so anti-Israeli as they may look at first sight, because their “anti-Israelism” is quite often more rhetoric than real policy.

Journalist Nabila Ramdani, who specializes in Middle Eastern affairs, says that caring too much about Israel’s safety has often made the West support tyrannical regimes in the Middle East. Israel is surrounded mainly by countries that are not very friendly towards it, and being afraid that these countries may attack Israel, the West has often tried to keep the situation in the Middle East stable by supporting these autocratic regimes, caring little about abuse of human rights in these countries, Ms. Ramdani says.

The irony of the situation is that trying to stabilize the situation in such countries as Saudi Arabia and Qatar for the sake of Israel’s safety, the West found itself involved in wars that did not in any way contribute to the safety of Israel. For example, Saudi Arabia’s rulers, being radical Sunnis, hated the autocratic but secular regime of Iraq’s President Saddam Hussein. Playing up to Saudi Arabia, the West accused Hussein of any thinkable and unthinkable sins that might exist, started a bloody war against his regime and finally overthrew it. As a result, terrorists linked with al-Qaeda, who hate Israel much more than the late Saddam did, came to power in Iraq. Now, the West is trying to overthrow Bashar Assad’s regime in Syria and the Shiite regime in Iran without stopping to think that if these regimes fall, al-Qaeda will very likely come much closer to Israel’s borders.

Analysts have long been saying that by supporting al-Qaeda-linked terrorists in Syria, the US is playing a very dangerous game that may once turn against the US itself. Now, it should also be added that with such ill-considered policy, the US is risking to lose its closest ally in the Middle East – Israel.

Professor Yoav Peled from the Tel Aviv University says that although Avigdor Lieberman’s suggestion that Israel should look for more cooperation with other countries may sound right, in practice, there is no other country in the world, the interests of which correspond so much with Israel’s interests, than the USA.

However, although a total breach of relations with the US would most likely be a mistake for Israel, Mr. Lieberman is certainly right that the current policy of the US in the Middle East may, against the will of the US itself, create serious problems for Israel. Because of this policy of the US, the Arab world is now accusing Israel of Iraq’s sad destiny, of setting explosions in Lebanon and of many similar things, although in reality Israel has nothing to do with them.

There is one country that might have been a good partner for Israel – Russia. Unlike the US, Russia is not trying to democratize Middle Eastern countries with fire and sword. But the US has long been holding an anti-Russian policy in the Middle East, which makes the prospect of good relations between Russia and Israel less close than one might wish.

Professor Yoav Peled recollects how the US has supported migrations of Jews from the former Soviet Union to Israel.

In 1991, the US demanded that Israel should stop building houses for Jews on territories that are disputable between Israel and Palestinians – otherwise, the US would stop to allocate money to Israel which it spent on helping newcomers from the former Soviet Union to adapt. Israel preferred to continue receiving this money – and agreed to the US’s conditions.

After that, Yitzhak Rabin became Israel’s Prime Minister. Rabin went down in history as a peace dealer, but later, he was killed by an Israeli extremist who disliked Rabin’s tolerance towards Arabs.

It is not probably Foreign Minister Avigdor Lieberman’s fault that he seems to be at loss about whom Israel should be friends with and with whom shouldn’t. The situation is really too complicated, and the interests of Israel, the US, Russia and Saudi Arabia in the Middle East are too intercepted and at the same time in such a conflict that it makes an uneasy task for even a very experienced politician to come to a right decision about how to rake all this mess up. Probably the right thing here would have been not to impose one’s ways and ideals upon other countries but let everyone have its own way. But so far, letting other countries decide for themselves what is good and what is bad for them is not in the traditions of the American policy.

The article Israel And The US: Time For Divorce? – OpEd appeared first on Eurasia Review.

Stevia: Paraguay’s Native Plant With Growing International Attention – OpEd

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Introduction

Paraguay, a nation located in the heart of South America, barely makes it in the news for a myriad of exciting agricultural products that are exclusively grown and harvested in its fertile soil. The last time I read an article on US media, about Paraguay was in September, 2011, when a self-declared small Paraguay People’s army (Ejercito del Pueblo Paraguayo, E.P.P.) had attacked a police post in the city of Horqueta, and consequently killed two police officers on duty.[1]

As a landlocked country sandwiched between Argentina and Brazil, Paraguay is currently emerging as an exemplary organic food producer in the region as well as in a worldwide level. In 2011, Paraguay was the largest exporter of organic sugar to the United States, with a quantity of approximately 35 thousand tons made available exclusively to U.S. Consumers and food processing customers and enterprises. In November 2010, Paraguay exported five hundred tons of organic sugar to the European Union member country of Belgium.[2] The country’s local economy heavily depends on the production of organic sugar, stevia farming, soy bean production and sesame seed cultivation. The later makes Paraguay the first country in the World for sesame production and exports. The Seeds of Sesame are abundant with B vitamins, various minerals such as iron, magnesium, potassium, copper and selenium.[3]

Another area of significant importance is the untapped mining sector which could attract foreign investments that would be interested in further exploring and processing ilmenite and titanium ore, if mineral ores are combined with the country’s agricultural economics, this would shift and diversify the focus of Paraguay’s economy, therefore turn the nation into a regional leader in mining, considering that Asuncion is not doing that well on the current agricultural trade with its MERCOSUR partners. Mining Sector would give more leverage to Paraguay’s economy as well as raising the standard of living.

Stevia rebaudiana

According to a well known journalist from Asuncion, Pedro Gómez Silgueira, Paraguay is internationally known to be a country that provides “food for the world.” [4] This unique statement is even more accurate today than before, considering that rural Paraguay is known to be the land where Stevia was first discovered in 1899 by a Swiss botanist, Moisés de Santiago Bertoni.

Stevia is a member of the chrysanthemum family. Native of Eastern Paraguay in the Amanbay mountain range and the adjacent Parana State of Brasil. The daily use Stevia by the Guarani Indigenous population of Paraguay raised the level of interest on Bertoni’s first visit to the country, as a result he concluded his study with various publications, that were very helpful in shedding more light towards the native South American communities in the turn of the XX century. The Guaraní term for Stevia is “ Ka’a-he’ẽ” meaning sweet plant, that was and still is used to sweeten the “ Yerba Mate” tea (Ilex paraguayensis), a native green tea as well as in other food processing chains.

In the last decades, Stevia has become a popular commodity in the developed world thanks to its high nutritional benefits; abundant in low calorie sweeteners and hundreds of phito-nutrients, minerals, vitamins, proteins and natural fibers. The natural sweet compounds in the stevia leaves are called diterpene glycosides or steviol glycosides. Once dissolved and extracted these natural elements are incredibly sweet, 150 to 300 times sweeter than sugar; Stevia tastes sweeter than honey yet it is as fattening as water and safe to use by patients with diabetes. Stevia is a non-toxic and beneficial for obese individuals, dental cavities, hypo and hyperglycemia, hypertension and today’s healthiest choice versus cane sugar, aspartames, saccharin, and other synthetic sweeteners.

Since 2009, Coca Cola in partnership with Cargill has used Stevia sweetener for its low calorie soft drinks which were first introduced in the East Coast and Midwest. On the same time Pepsi has also taken some steps towards re-branding its products and come out with drinks that used Splenda or other artificial sweeteners that are substantially incomparable to the health and dietary qualities that Stevia has to offer.

Stevia can be used in the following ways: as a sweetener, herbal tea for medicinal effects. Entire Stevia leaves are 20 to 30 times sweeter than cane sugar. Stevia causes a passionate effect on human taste buds without raising the level of blood sugar. In addition it has zero calories on a daily value diet. The product is available in three forms such as: in a fresh leaf state, a dark green liquid concentrate and a fluffy white concentrate powder.

Steviol glycosides are heat and pH stable, they do not ferment or darken upon cooking, therefore very useful in an array of foods and beverages. Even though Stévia is known during the past three years to Western Societies, Far Eastern countries such as Japan and Korea have used these ultra refined extracts as a natural sugar substitute for over twenty years, in carbonated drinks, fruit juices, health and sport drinks, yogurts, desserts and jellies, snacks, candies, chocolates, pastries, noodles, rice wines, soy sauces, pickled vegetables, cookies and biscuits. Some manufacturers include: Asada, Asahi, Dong A, Kirin, Pokkari, Meiji, Nichirei, Lotte, Samyang, Nissin, Nattori and others. Today, China grows 85% of the world’s Stévia leaf. [5]

Stévia is widely consumed in many countries of the world including, the major countries in the far east, Australia, European Union Member countries and North America. Its consumption is constantly growing in the United States, a country where over 25 million of children and adults or over 8 percent of the population is affected by diabetes, including children and youngsters.

 

[1] http://www.abc.com.py/nota/policias-asesinados-por-el-epp-son-sepultados/

http://www.economist.com/node/16116959

[2] http://www.abc.com.py/nota/se-exportara-500-toneladas-de-azucar-organica-a-la-ue/

[3] http://www.livestrong.com/article/399402-the-benefits-uses-of-sesame-seeds/#ixzz1sJXuEXgQ

[4] http://www.abc.com.py/blogs/vivir-en-asuncion-61/alimentos-para-el-mundo-1927.html

[5] http://www.5dias.com.py/22747-stevia-is-acknowledged-as-paraguays-indigenous-plant

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Ukraine PM Says His Country Not Seeking Entry To Customs Union

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Ukraine’s prime minister said late Friday that his country’s snap decision not to pursue closer economic ties with Europe did not mean it would instead seek entry into the Moscow-led Customs Union trade bloc.

Ukraine’s government stunned European officials this week by announcing that it was suspending preparations for EU association agreements that had been due to be concluded in a matter of days in favor of reviving the relationship with Russia.

The move has been widely read as a victorious outcome for the Kremlin and its efforts to keep its former Soviet neighbor within its economic orbit.

Claims that Moscow had strong-armed Kiev into backing away from the EU deal appeared to gain additional credence after an aide to Lithuania’s head of state said Friday that Ukrainian President Viktor Yanukovych had complained of Russia using trade embargoes as a form of pressure.

But Ukrainian Prime Minister Azarov dismissed those claims, saying the aide had liberally interpreted Yanukovych’s conversation with his Lithuanian counterpart.

“I don’t think that our president talked about [Russian blackmail]. I am 100 percent of that,” Azarov told Ukrainian television station Inter on Friday evening.

Azarov downplayed suggestions that mending long-strained links with Russia was a precursor to Ukraine entering the Customs Union, a fledgling economic bloc that currently also comprises Belarus and Kazakhstan.

“Since we decline to sign [the EU association agreement], it follows that we want to join the Customs Union. Who says?” Azarov said.

Russia has been openly lobbying for other economically struggling former Soviet nations, such as Armenia and Kyrgyzstan, to join the Customs Union, which some view as an exercise by Moscow at reasserting regional influence.

But Ukraine has in recent years played it cool over such initiatives, viewing them as an attempt to undermine its sovereignty.

In the near term, however, Ukraine must content with the realities of dependence on Russia. Azarov ruefully remarked earlier this week that his country had already registered significant losses because of shrinking trade with Russia and other members of the Moscow-led post-Soviet alliance, the Commonwealth of Independent States.

“Trade turnover grew significantly in 2012, but in 2013 we have lost nearly one-quarter of our trade turnover with CIS markets,” Azarov said. “Those economic losses are significant for us, and Ukraine has been facing serious [financial] hardships lately.”

Even though Russian President Vladimir Putin as recently as Friday insisted that no pressure was being applied to Ukraine, Kremlin officials have openly threatened Ukraine in the past that an EU trade deal would preface trade embargoes.

Earlier this year, Russia cited hygiene concerns when it slapped an import ban on the products of a major Ukrainian major candy maker that provides work for thousands of people.

In October, Russia’s state-run energy giant Gazprom complained that Ukraine had not settled an $882 million unpaid natural gas bill for August and warned that it could in future begin demanding advance payment for the fuel.

That prompted Ukraine to announce it would stop buying Russian gas until the end of the year, which raised the specter of a possible halt of deliveries to Western Europe, only for Kiev to back down a few days later.

The issue of Russian-Ukrainian relations is further complicated by the internal politics of Ukraine, where the largely ethnic Russian population in the east favors retaining stronger links with Moscow. Those regions form Yanukovych’s political base.

Jailed opposition leader Yulia Tymoshenko, meanwhile, has frequently played on her nationalist appeal and passionately stated her ambition to see Ukraine heading westward.

Tymoshenko, who had two stints as prime minister under a previous president between 2005 and 2010, has become a central figure in the ongoing political and diplomatic drama.

In 2011, she was sentenced to seven years in jail on charges of abusing her office as prime minister for a contentious natural gas deal with Russia. She maintains the case against her is politically motivated.

Since May 2012, she has been receiving treatment for severe back problems that medical experts say will require her to seek hospitalization abroad.

Yanukovych has long resisted growing calls for her release, including those from the EU, which had said that satisfactory settlement of the Tymoshenko issue was an unavoidable precondition for the trade deal that Kiev seemed eager to conclude.

Yanukovych appeared to relent recently by suggesting that parliament could consider legislation allowing convicts to go abroad for treatment unavailable in Ukraine.

The draft legislation was duly drawn up, only for progress to be held up by bickering in Ukraine’s notoriously fractious parliament, where Yanukovych’s Party of Regions and its allies hold the majority.

The law appeared to definitively hit the buffers on Thursday, only hours before the Cabinet announced its withdrawal from the EU association agreement.

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US Urges Cooperation In The Arctic

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(RFE/RL) — U.S. Defense Secretary Chuck Hagel has called on nations to cooperate to avoid conflict as they develop the rapidly thawing Arctic region.

In a speech on Friday in Halifax, Canada, Hagel also repeated that the United States will “exercise sovereignty” in order to maintain freedom of navigation in the region.

He added that Washington will seek deeper military ties with other Arctic states, including Russia and Canada.

Last year, Arctic ice shrank to its lowest levels since observation from satellite began in the 1970s, and experts believe that by 2050, summer ice will vanish in the Arctic altogether due to global climate change.

As the ice melts, competition is increasing to develop energy resources and control transportation lanes.

In September Russian President Vladimir Putin said Russia will reestablish a Soviet-era base to patrol the Northern Sea route.

The article US Urges Cooperation In The Arctic appeared first on Eurasia Review.

Saudi Arabia To Deport 32,000 Illegal Ethiopians By November End

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Saudi Airlines intends to charter 70 flights to deport around 32,000 Ethiopians until the end of November.

Around 40 flights have already left Riyadh and Jeddah to the Ethiopian capital Addis Ababa since Nov. 12, said Abdullah Al-Ajhar, assistant general director of public relations in Saudia.

“The next stage will be implemented as of today and will last until the end of November. This phase will oversee the transportation of 32,000 Ethiopians back home.”

He said Saudia has been assigned with providing reservations for violators and renting additional carriers if the need arises.

Saudia is prepared to secure additional flights to transport violators to their country. He said there is no shortage of flights so far.

Col. Badr bin Saud Al-Saud, public relations director for the Makkah Province police, said the Shumaisy center is not directly involved in receiving or deporting violators.

He said the center only receives persons arrested for violating residency rules. Al-Saud said that expats with no identification papers are asked about their nationalities and that representatives from their consulates are called to meet and identify them. He said there is a special ward for each nationality.

After fingerprinting the violators and capturing digital images, more photos are taken and given to the consulates, which issue special travel documents for the persons in question.

Violators are then deported at the expense of the Kingdom. Violators, however, will not be deported if the consulates do not issue travel documents. Consulates have cooperated with authorities so far, he said.

The center has headquarters that receive representatives from foreign consulates. These representatives are working around the clock to issue travel documents for their nationals. A representative from the Ministry of Foreign Affairs coordinates between these representatives and security authorities.

The article Saudi Arabia To Deport 32,000 Illegal Ethiopians By November End appeared first on Eurasia Review.


At Warsaw’s COP19 Climate Summit, South Africa Has No Bragging Rights – OpEd

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By Patrick Bond

In the wake of the typhoon which did such incalculable damage to the Philippines, meaningful demands must be made upon richer countries to urgently cut emissions. This will require the Brazil-Russia-India-China-South Africa bloc to show they can reverse course, while meeting the vast social and energy needs of their increasingly angry low-income constituencies.

Intense social protests underway in all the BRICS countries reflect, in part, corporate-state connivance: extracting resources and polluting cities at a record rate, while providing inadequate or unaffordable services – from public transport in Brazil to electricity here in SA – to the masses.

If instead of rejoining the big emerging powers and Washington, as happened so disastrously at the 2009 Copenhagen COP15, couldn’t the SA delegation to Warsaw unite more closely with the hardest-hit African countries to express justified climate grievances?

Regardless, Pretoria would be taken more seriously if seen to be honouring its official pledge: cutting emissions to a “trajectory that peaks at 34 percent below a ‘Business as Usual’ trajectory in 2020.”

But that highly unlikely promise, made just before Copenhagen, was contingent on the North paying Pretoria (unspecified) climate funds and transferring low-carbon technology without the usual debilitating royalty requirements, according to Environment Minister Edna Molewa.

So far the strategy has not paid off in any way.

Will Molewa stand tall in coal-stained Poland the next two weeks, negotiating as hard as needed to save the estimated 182 million Africans expected to die prematurely during this century, thanks to climate change?

  • How can she, given that Eskom’s overpriced, way-behind-schedule Medupi and Kusile are the two largest coal-fired power plants in the world now under construction, with unresolved allegations about African National Congress conflicts-of-interest (i.e. the ruling party’s shareholding in Hitachi, which is very very slowly constructing the plants’ boilers). World Bank president Jim Yong Kim recently committed not to make available financing for such monstrosities in future on grounds of climate damage, after even the US objected to the $3.75 billion Eskom borrowed from the Bank in 2010 to build the $21 billion power plants.
  • How can she, given the coal-export mania that is behind the government’s largest Strategic Infrastructure Project: expanding the world’s largest coal terminal at Richard’s Bay to benefit a projected 40 new coal mines – in spite of the extreme eco-health dangers these pose to local communities and nature in Limpopo, Mpumalanga and KwaZulu-Natal provinces.
  • How can she, given that a year ago the Mail&Guardian revealed her ‘intervention’ against subordinates who wanted to fine ANC leader Cyril Ramaphosa for rampant coal-mining pollution, an intervention that “could raise the ire of other mining companies that were closed down or given hefty fines for operating without water licences.” She also approved a license for Coal of Africa’s massive Vele mining project near the Mapungubwe national heritage site.
  • How can she, given that the largest single recent Transnet investment is not pro-people public transport, but the pipeline expansion doubling oil flow from South Durban to Johannesburg a project still under construction which redirects the traditional route from white suburban to black peri-urban residential areas, and whose cost came in at nearly triple the original estimates.
  • How can she, given that Pretoria’s other multi-billion rand carbon-intensive investments in recent years include SA airways plane purchases – and subsequent multi-billion rand annual bailouts – along with sports stadia widely acknowledged to be ‘White Elephants’ by even Danny Jordaan, local host of the Fifa World Cup in 2010.
  • How can she, given how slowly renewable energy is being rolled out – with some high visibility townships getting a few solar geysers but the country’s incredible sunshine, wind and tidal potential going to waste – and how quickly, in contrast, Shell and other fracking firms got her permission to wreck the Karoo’s ecosystems through shale gas drilling just as climate-hazardous as coal.
  • How can she, what with the National Development Plan (NDP) promoting the R250 billion petro-chemical expansion in South Durban, a mega-project hotly contested by local community and environmental movements, whose aim is to raise container throughput from 2.5 million to 20 million units annually by 2040, thanks to a fully-privatised port on the old airport site.

That dubious expansion, like so many other counterproductive NDP infrastructure investments, will kill not only local manufacturing firms through a new wave of suffocating imports. It will also displace thousands of residents in Clairwood and Merebank (where blacks moved after apartheid-era displacements), and hurt many more people who are the victims of Durban’s notorious truck accidents.

There were 7000 truck crashes here in Durban last year. But Transnet’s idle rail infrastructure at the port is rusting and there are no immediate moves to shift containers from truck to train by setting up a dry port in Cato Ridge over the mountain (a move opposed by trucking firms). The two Field’s Hill crashes caused by out-of-control trucks that massacred two dozen black kombi commuters in September passed without official commentary against container road freight.

The latest threat to pollution-saturated KZN is ‘Carbon Capture and Storage’, which aims to compress carbon dioxide from the petro-chemical and energy complex into potentially unstable underground storage sites. The state, Eskom and Sasol are gambling hundreds of millions of rands on the technique, even though its boosters are in rapid retreat from Norway to the US. Critics have successfully argued that it violates the Precautionary Principle, imposes excessive costs, increases energy to produce power by 25 percent, is an unproven technology, is at least a decade away from implementation, and prolongs the extraction of coal.

What can be said in Pretoria’s favour? The Treasury’s Carbon Tax Policy Paper, issued for comment six months ago, is probably South Africa’s most substantive climate policy because it makes preliminary commitments to ‘price’ the costs of pollution, even though these will be exceedingly mild taxes given the adverse balance of political forces.

So here again, a major rethink is needed. Climate justice not only requires dramatic reductions in fossil fuel use, but equity. A huge historic injustice has taken place, and continues: most of our country’s socio-environmental, energy and economic policies and activities worked against the interests of poor and working-class people, women, blacks and others in vulnerable constituencies.

South Africa’s carbon taxation has contributed to injustice, because, in the pricing of transport and energy, neither greenhouse gas emissions nor cost-benefit redistribution work in favour of the historically- (and presently-) oppressed.

To illustrate with one notorious example, Eskom still gives vast annual subsidies to the world’s biggest mining house, BHP Billiton (so its Richards Bay aluminium smelters can zap imported bauxite and then export the profits to Australia), while raising poor people’s electricity prices more than 150 percent the last five years so as to finance Medupi.

In this context, Treasury’s market-centric ideology is inappropriate to tackle climate change. This is, after all, the agency in Pretoria most committed to ‘getting the prices right’, so as to use ‘market mechanisms’ to solve problems caused by market failure, including climate change.

Fortunately, this ideology is not expressed in its most extreme form, for Treasury does not currently endorse ‘carbon trading’, which privatises the ‘right to pollute’ the air and sells it to the highest bidder. The COP19 is a dangerous place because of Poland’s commitment to carbon trading notwithstanding the European Union’s awful pilot experience. To its credit, the SA Treasury correctly observes that there is excessive concentration amongst the main polluting corporations so it won’t work here (but see http://storyofstuff.org/movies/story-of-cap-and-trade/ for an 8 minute video about many other problems).

Still, Treasury should re-evaluate its faith in market signals like carbon taxation, not only because of so many ‘disequilibrating’ processes – especially financial crashes – that dominate the SA and world economy. Just as importantly, such pricing only generates change ‘at the margin’, i.e. on additional units bought, sold or consumed.

Hence Treasury is minimising its public policy impact at a time we urgently need major system-rebooting shifts to achieve low-carbon goals. The Treasury should embrace planning and regulation, even where that generates policies and investments that run counter to the state’s ordinary pro-business priorities.

Given the political power balance in favour of neoliberal policy, there is no basis to expect Treasury to change its thinking. A ‘Just Transition’ is needed for our economic, energy, transport, agriculture, production, consumption and disposal systems, such as the Million Climate Jobs Campaign promotes here. This transition would require large-scale public subsidies, on the scale of the R850 billion promised by Treasury to promote the corporate-dominated high-carbon economy.

But imagine if there were climate justice, one day in the future. In addition to retracting its pollution subsidies, the Treasury would make a major commitment to clean, efficient, community-controlled energy; to zero-waste disposal strategies; to a climate-friendly food system that reduces distance and supports organic producers (especially small-scale black farmers); to a public transport system not characterised by privatised roads and elite fast-trains as at present (the Gautrain received the overwhelming amount of new rail investment and continues to require [url=http:www.engineeringnews.co.za/article/gautrain-2013-06-18]R830 million/year in subsidies[/url]); and to the R&D we desperately need to move forward.

To change course, those leading our economy and society must aspire to a new level of civilisation, not the hedonistic consumption-oriented strategy borrowed from the US and the minerals-export orientation inherited from apartheid.

The critique above is not especially radical given the scale of the challenge. In the New York Review of Books this month, Paul Krugman reviews Yale economist William Nordhaus’ new book The Climate Casino: “the message I took from this book was that direct action to regulate emissions from electricity generation would be a surprisingly good substitute for carbon pricing… the Environmental Protection Agency has asserted its right and duty to regulate power plant emissions, and has already introduced rules that will probably prevent the construction of any new coal-fired plants.”

We should try that here! Instead, commerce minister Rob Davies recently announced a third new coal-fired mega generator for Eskom.

But if SA does try to price carbon, Treasury’s proposed tax needs radical changes, starting with raising its level, and then more aggressively redistributing the revenues to the poorest in society.

How high should the tax be? In 2012, SA Treasury officials anticipated that “a tax of R75/t CO2e, increasing to around R200/t CO2e would be both feasible and appropriate to achieve the desired behaviourial changes and emissions reduction targets.”

But the current proposal scales this back dramatically: “When the tax-free threshold and additional relief are taken into account, the effective tax rate will range between R12 and R48 per ton of CO2e (and zero for Agriculture and Waste).” And even more beneficial to corporations, “one of the ways to recycle the expected carbon tax revenue is by reducing other taxes. One such tax that could be reduced is the existing electricity levy on electricity produced from non-renewable sources (e.g. coal) and nuclear energy.”

The impact of the very low rate and the large loopholes envisaged will be to neuter the tax incidence when it comes to large corporate polluters, making it impossible to cut emissions to the target.

The low ambitions are exacerbated by Pretoria’s pricing of state services, which work against poor people and the planet, in favour of multinational corporate profit. The essential question we need to ask about carbon taxation, who shoulders the burden, requires both more analytical sophistication and a much more creative policy orientation, such as a Basic Income Grant mechanism to fairly redistribute revenues.

And the current inadequate Free Basic Electricity policy – sometimes provided poor people at just 50 kWh/household/month – requires both a major increase, and fusion with a much more progressive block tariff drawing on both national-local and local-local cross subsidization. (That would require ditching the prepayment card system, for prepayment technology does not permit the scale of tariff pricing change required.)

Similar considerations should be applied to other sectors – including transport, agriculture and industrial production – where it is likely that Treasury’s carbon tax will simply be passed on to poor people.

Currently South Africa’s per-person protest rate – often termed ‘service delivery’ but more generally aimed at neoliberal public policies including the pricing of electricity, water and sanitation, housing, etc – is at the world’s highest level, according to available police statistics. And South Africa overtook Brazil over the last decade as the world’s most unequal major society.

These factors suggest that Treasury officials sensitive to social unrest would change many of these policies as a matter of urgency, before a 2011-style North African/Arab uprising occurs in South Africa. No climate justice, no peace.

Furthermore, great care must be taken that corporate pressure is rebuffed, because Treasury has a reputation for bending to big business. The ability of ‘crony capitalist’ relationships to distort Pretoria’s ambitions is now legendary. The Energy Intensive Users Group’s influence over the recent Integrated Resource Plan for electricity was one especially revealing example.

Because Molewa’s environment ministry has so little power and she seems to be malevolently influenced by the mining barons atop her party, it is the Treasury that needs most scrutiny now. For while claiming to downgrade civil servants’ and politicians’ perks last month, finance minister Pravin Gordhan has neglected the state’s more wasteful and destructive ‘corporate welfare’ policies.

He probably won’t address these politicies until a serious left electoral challenge arises, and so taken together, Pretoria’s climate-destroying policies mean that Treasury’s carbon taxation efforts won’t convince anyone.

Since climate change is the most important crisis ever, and since South African industry is amongst the world’s worst polluters, it is incumbent upon our citizenry to force politicians, officials and big business to urgently reverse course.

However, judging by both our and the world elite’s business-as-usual attitude, Warsaw will be another failure, like the Durban COP17 was two years ago. And this in turn will generate new civil society protests against rulers out of touch with reality, in so many potentially cataclysmic ways.

Patrick Bond directs the University of KwaZulu-Natal Centre for Civil Society and authored ‘Politics of Climate Justice’ (UKZN Press, 2012).

* THE VIEWS OF THE ABOVE ARTICLE ARE THOSE OF THE AUTHOR/S AND DO NOT NECESSARILY REFLECT THE VIEWS OF THE PAMBAZUKA NEWS EDITORIAL TEAM

The article At Warsaw’s COP19 Climate Summit, South Africa Has No Bragging Rights – OpEd appeared first on Eurasia Review.

More Congo Propaganda: M23 And The Unseen High-Tech Genocide – OpEd

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By Keith Harmon Snow

The western propaganda system is again trotting out the refrain that ‘rebels in Congo have been defeated.’ The latest so-called ‘rebels’ — the M23 forces — are actually Rwandan government troops, not rebels. (True Congolese ‘rebels’ — such as the Mai Mai [also spelled Mayi-Mayi] — are always denigrated by the international corporate media system.)

Reports now appearing in the western mass media are that the ‘M23 rebels’ have ‘surrendered in Uganda’, or ‘turned themselves in’ in Rwanda. This is nonsense, since these are Rwandan Defense Forces, most of them formerly National Congress for the Defense of the People (CNDP) ‘rebels’, formerly Congolese Rally for Democracy ‘rebels’, formerly of the Rwandan Patriotic Army/Movement (RPA/RPF), formerly Ugandan People’s Defense Forces (UPDF), formerly National Resistance Army/Movement (NRA/M) troops. (This is especially true of commanders, e.g.: James Kabarebe, Laurent Nkundabatware, and many others). The varying incarnations of ‘rebels’ in eastern Congo have all and always been backed by President Yoweri Museveni (Uganda) and President Paul Kagame (Rwanda), in turn backed by the USA, UK and Israel. M23 is the same: another predominantly Tutsi army serving the Tutsi/Hema elites — not the people of Uganda or the people of Rwanda/Burundi and the bain of innocent men, women and children wherever they go.

Meanwhile, in Kinshasa, Hippolyte Kanambe (alias Joseph Kabila) is showing his consistent treasonous betrayal of the people of Congo by calling for the M23 rebels to be included in the political process. How and why would the president of Congo be inviting ‘defeated’ guerillas who have committed war crimes, crimes against humanity and genocide in Congo (1996-2013), Rwanda (1990-1995) and Uganda (1980-1985) to participate in the political process? Kanambe is another tutsi elite (his uncle is James Kabarebe) and his goal as Trojan Horse (see, e.g, Yaa-Lengi Ngemi, ‘Kagame’s Trojan Horse in the Congo,’ New York Times, November 29, 2012) is to further integrate/infiltrate Rwandan guerillas and politicians into the Congo. Media reports have exaggerated the fighting between Congolese troops (FARDC) and their U.N. partner army the Rapid Intervention Forces, against the M23: most M23 were warned in advance of an impending assault and they fled to Rwanda and Uganda.

Meanwhile, multinational corporations operating in eastern Congo under the media radar, but soaked in Congolese blood, include Banro Gold, Casa Mining, Randgold, Mwana Africa, Loncor, Anglo-Gold Ashanti, Kilo Gold, and Moku Gold. These are U.S., Canadian, Australian, and European mining corporations and they benefit from having the Rwandan Tutsi in Kinshasa (Kanambe). They all have deep ties to the criminal extortion, money-laundering, racketeering and theft behind the plunder and depopulation in the Great Lakes countries, ties to Kagame and Museveni and their agents.

Meanwhile, the United Nations Forces (MONUC, MONUSCO) and the Rapid Intervention Forces (note the heavy presence of South African troops AND South African mining companies in eastern Congo!) serve the corporate agenda. Remember that almost half of the MONUC annual 1 billion budget went to Lockheed Martin subsidiary Pacific Architects and Engineers — a private military (read: mercenary) company also involved in the US/Canada/UK/Israeli invasions of Zaire (1996-1997) and Congo (1998-onward).

Meanwhile, TIME Magazine (Nov. 11, 2013) ran a little propaganda clip by a white journalist Jessica Hatcher titled, ‘Saving Congo’s Gorillas’. In typical western media fashion, the furry primates are portrayed as the supreme victims of war in the Great Lakes region. The point is to manipulate public opinion to support further western/corporate intervention in Congo, but not for the people, rather ostensibly for the non-human primates, but really for other western corporate exploiters, including Dian Fossy Gorilla Fund, Jane Goodall Institute, Conservation International, CARE, Save the Children, UNICEF, etc. Oh, and don’t forget Ben Affleck and Eve Ensler’s million-dollars money-making schemes in Congo (requiring complete Ugandan and Rwandan government-war-criminal support).

The page-and-a-half TIME story offers an interesting trail for anyone interested in understanding the nature of power and the political economy of the mass media. For example, if you haven’t heard, former Massachusetts Senator John Kerry is now Barrack Obama’s new Secretary of State (replacing Hillary Clinton). The gorilla story doesn’t mention Kerry at all, though it might have, since Kerry traveled to Rwanda and has extensive ties to Kagame. Kerry also unveiled new diplomatic cooperation (PEPFAR) with South Africa (note those S. African mining companies and S. African troops in Congo!), Rwanda and Namibia (run by another criminal enterprise backed by Washington)(and, also, especially, by the world diamond cartels)(and PEPFAR is one of these corporate AIDS front efforts which are merely a few hops from covert operations). But, again, the short gorilla story does not mention Kerry. It does however mention a formerly mostly-unheard-of gorilla reserve, Senkwekwe Orphan Mountain Gorilla Center, described by Time as ‘a refugee camp for primate victims of war.’

Never mind the hundreds of thousands of human refugees in the region….or the ongoing genocide against Congolese peoples… And remember that the so-called ‘humanitarian’ charity (so-called ‘not-for-profit’) CARE INTERNATIONAL is ‘partnered’ with BANRO GOLD Corp in the blood-drenched hills of South Kivu, DRC. This is the new humanitarian fascism.

So, let’s follow the trail TIME inadvertently lays for us. Senkwekwe Orphan Mountain Gorilla Center , it turns out, gets some funding from the capitalist Buffet enterprises — in particular, the Howard G. Buffet Foundation. The gorilla story in TIME doesn’t tell you this.

TIME doesn’t tell us that Warren Buffet, Howard G. Buffet and their companies, Berkshire Hathaway, have been deeply tied to the plunder and depopulation in the Great Lakes countries, and in Sudan. The Howard G. Buffet Foundation claims to have donated over $US 1 million to the World Food Program. Any enterprising honest journalist who wanted to look into this would find a haven of tax breaks, rotten grains, and corporate profiteering all at the expense of US taxpayers, all under the guise of the World Food Program, and involving protectionist agribusiness. Corporations like ConAgra and Archers Daniels Midland — both tied to the Buffets — that reap huge benefits by dumping shitty ‘food’ on the World Food Program with the help of U.S. politicians. Buffet also claims to have provided ‘capacity-building and operations support for Virunga’s National Park rangers’ and ‘Humanitarian support for counter-LRA efforts’. Unpack these claims and you will find the ugliest realities of predatory capitalism. ‘Humanitarian support for counter LRA-efforts’ ??? What “counter LRA-efforts (Lord’s Resistance Army) could possibly involve anything “humanitarian? War is Peace.

Let’s dig a little deeper back in Time, though, and VOILA! see what we find (found). Warren Buffet is also on the Board of Directors of the H.J. Heinz Corporation. In fact, Berkshire Hathaway acquired H.J. Heinz in June 2013.

What does H. J. Heinz have to do with Congo?

Why did John Kerry travel there?

What are the real Buffet interests in the region?

I will only offer a small tidbit of insight: John Kerry’s wife is Teresa Heinz, of the H.J. Heinz fortune.

Bottom line: THERE IS NOTHING ABOUT ANY OF THE RECENT REPORTAGE IN ANY MAJOR WESTERN VENUE THAT TELLS ANYTHING CLOSE TO THE WHOLE TRUTH ABOUT THE ONGOING GENOCIDE AND DEPOPULATION IN AFRICA.

If you are consuming the western mass media (Time Magazine, New York Times, New Yorker, etc.) you are contributing to your own mental illness, and to the war against the people of Africa.

Keith Harmon Snow is a photographer, journalist and researcher who resides in Western Massachusetts, and has worked in and reported from many African and Asian countries. Find more of his work at http://allthingspass.com/, at http://www.keithharmonsnow.com/ and his current site, http://www.consciousbeingalliance.com/

* THE VIEWS OF THE ABOVE ARTICLE ARE THOSE OF THE AUTHOR/S AND DO NOT NECESSARILY REFLECT THE VIEWS OF THE PAMBAZUKA NEWS EDITORIAL TEAM

The article More Congo Propaganda: M23 And The Unseen High-Tech Genocide – OpEd appeared first on Eurasia Review.

Surviving Climate Change: Towards A Climate Revolution – OpEd

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By Michael Klare, originally published in TomDispatch.

A week after the most powerful “super typhoon” ever recorded pummeled the Philippines, killing thousands in a single province, and three weeks after the northern Chinese city of Harbin suffered a devastating “airpocalypse,” suffocating the city with coal-plant pollution, government leaders beware! Although individual events like these cannot be attributed with absolute certainty to increased fossil fuel use and climate change, they are the type of disasters that, scientists tell us, will become a pervasive part of life on a planet being transformed by the massive consumption of carbon-based fuels. If, as is now the case, governments across the planet back an extension of the carbon age and ever increasing reliance on “unconventional” fossil fuels like tar sands and shale gas, we should all expect trouble. In fact, we should expect mass upheavals leading to a green energy revolution.

None of us can predict the future, but when it comes to a mass rebellion against the perpetrators of global destruction, we can see a glimmer of the coming upheaval in events of the present moment. Take a look and you will see that the assorted environmental protests that have long bedeviled politicians are gaining in strength and support. With an awareness of climate change growing and as intensifying floodsfiresdroughts, and storms become an inescapable feature of daily life across the planet, more people are joining environmental groups and engaging in increasingly bold protest actions. Sooner or later, government leaders are likely to face multiple eruptions of mass public anger and may, in the end, be forced to make radical adjustments in energy policy or risk being swept aside.

In fact, it is possible to imagine such a green energy revolution erupting in one part of the world and spreading like wildfire to others. Because climate change is going to inflict increasingly severe harm on human populations, the impulse to rebel is only likely to gain in strength across the planet. While circumstances may vary, the ultimate goal of these uprisings will be to terminate the reign of fossil fuels while emphasizing investment in and reliance upon renewable forms of energy. And a success in any one location is bound to invite imitation in others.

A wave of serial eruptions of this sort would not be without precedent. In the early years of twentieth-first century, for example, one government after another in disparate parts of the former Soviet Union was swept away in what were called the “color revolutions”—populist upheavals against old-style authoritarian regimes. These included the “Rose Revolution” in Georgia (2003), the “Orange Revolution” in Ukraine (2004), and the “Pink” or “Tulip Revolution” in Kyrgyzstan (2005). In 2011, a similar wave of protests erupted in North Africa, culminating in what we call the Arab Spring.

Like these earlier upheavals, a “green revolution” is unlikely to arise from a highly structured political campaign with clearly identified leaders. In all likelihood, it will erupt spontaneously, after a cascade of climate-change induced disasters provokes an outpouring of public fury. Once ignited, however, it will undoubtedly ratchet up the pressure for governments to seek broad-ranging, systemic transformations of their energy and climate policies. In this sense, any such upheaval—whatever form it takes—will prove “revolutionary” by seeking policy shifts of such magnitude as to challenge the survival of incumbent governments or force them to enact measures with transformative implications.

Foreshadowings of such a process can already be found around the globe. Take the mass environmental protests that erupted in Turkey this June. Though sparked by a far smaller concern than planetary devastation via climate change, for a time they actually posed a significant threat to Prime Minister Recep Tayyip Erdogan and his governing party. Although his forces eventually succeeded in crushing the protests—leaving four dead, 8,000 injured, and 11 blinded by tear-gas canisters—his reputation as a moderate Islamist was badly damaged by the episode.

Like so many surprising upheavals on this planet, the Turkish uprising had the most modest of beginnings: on May 27th, a handful of environmental activists blocked bulldozers sent by the government to level Gezi Park, a tiny oasis of greenery in the heart of Istanbul, and prepare the way for the construction of an upscale mall. The government responded to this small-scale, non-violent action by sending in riot police and clearing the area, a move that enraged many Turks and prompted tens of thousands of them to occupy nearby Taksim Square. This move, in turn, led to an even more brutal police crackdown and then to huge demonstrations in Istanbul and around the country. In the end, mass protests erupted in 70 cities, the largest display of anti-government sentiment since Erdogan’s Justice and Development Party came to power in 2002.

This was, in the most literal sense possible, a “green” revolution, ignited by the government’s assault on the last piece of greenery in central Istanbul. But once the police intervened in full strength, it became a wide-ranging rebuke to Erdogan’s authoritarian impulses and his drive to remake the city as a neo-Ottoman showplace—replete with fancy malls and high-priced condominiums—while eliminating poor neighborhoods and freewheeling public spaces like Taksim Square. “It’s all about superiority, and ruling over the people like sultans,” declared one protestor. It’s not just about the trees in Gezi Park, said another: “We are here to stand up against those who are trying to make a profit from our land.”

The Ningbo Rebellion

The same trajectory of events—a small-scale environmental protest evolving into a full-scale challenge to governmental authority—can be seen in other mass protests of recent years.

Take a Chinese example: in October 2012, students and middle class people joined with poor farmers to protest the construction of an $8.8 billion petrochemical facility in Ningbo, a city of 3.4 million people south of Shanghai. In a country where environmental pollution has reached nearly unprecedented levels, these protests were touched off by fears that the plant, to be built by the state-owned energy company Sinopec with local government support, would produce paraxylene, a toxic substance used in plastics, paints, and cleaning solvents.

Here, too, the initial spark that led to the protests was small-scale. On October 22nd, some 200 farmers obstructed a road near the district government’s office in an attempt to block the plant’s construction. After the police were called in to clear the blockade, students from nearby Ningbo University joined the protests. Using social media, the protestors quickly enlisted support from middle-class residents of the city who converged in their thousands on downtown Ningbo. When riot police moved in to break up the crowds, the protestors fought back, attacking police cars and throwing bricks and water bottles. While the police eventually gained the upper hand after several days of pitched battles, the Chinese government concluded that mass action of this sort, occurring in the heart of a major city and featuring an alliance of students, farmers, and young professionals, was too great a threat. After five days of fighting, the government gave in, announcing the cancellation of the petrochemical project.

The Ningbo demonstrations were hardly the first such upheavals to erupt in China. They did, however, highlight a growing governmental vulnerability to mass environmental protest. For decades, the reigning Chinese Communist Party has justified its monopolistic hold on power by citing its success in generating rapid economic growth. But that growth means the use of ever more fossil fuels and petrochemicals, which, in turn, means increased carbon emissions and disastrous atmospheric pollution, including one “airpocalypse” after another.

Until recently, most Chinese seemed to accept such conditions as the inevitable consequences of growth, but it seems that tolerance of environmental degradation is rapidly diminishing. As a result, the party finds itself in a terrible bind: it can slow development as a step toward cleaning up the environment, incurring a risk of growing economic discontent, or it can continue its growth-at-all-costs policy, and find itself embroiled in a firestorm of Ningbo-style environmental protests.

This dilemma—the environment versus the economy—has proven to be at the heart of similar mass eruptions elsewhere on the planet.

After Fukushima

Two of the largest protests of this sort were sparked by the reactor meltdowns at the Fukushima Daiichi nuclear power plants on March 11, 2011, after a massive tsunami struck northern Japan. In both of these actions—the first in Germany, the second in Japan—the future of nuclear power and the survival of governments were placed in doubt.

The biggest protests occurred in Germany. On March 26th, 15 days after the Fukushima explosions, an estimated 250,000 people participated in anti-nuclear demonstrations across the country—100,000 in Berlin, and up to 40,000 each in Hamburg, Munich, and Cologne. “Today’s demonstrations are just the prelude to a new, strong, anti-nuclear movement,” declared Jochen Stay, a protest leader. “We’re not going to let up until the plants are finally mothballed.”

At issue was the fate of Germany’s remaining nuclear power plants. Although touted as an attractive alternative to fossil fuels, nuclear power is seen by most Germans as a dangerous and unwelcome energy option. Several months prior to Fukushima, German Chancellor Angela Merkel insisted that Germany would keep its 17 operating reactors until 2040, allowing a smooth transition from the country’s historic reliance on coal to renewable energy for generating electricity. Immediately after Fukushima, she ordered a temporary shutdown of Germany’s seven oldest reactors for safety inspections but refused to close the others, provoking an outpouring of protest.

Witnessing the scale of the demonstrations, and after suffering an electoral defeat in the key state of Baden-Württemberg, Merkel evidently came to the conclusion that clinging to her position would be the equivalent of political suicide. On May 30th, she announced that the seven reactors undergoing inspections would be closed permanently and the remaining 10 would be phased out by 2022, almost 20 years earlier than in her original plan.

By all accounts, the decision to phase out nuclear power almost two decades early will have significant repercussions for the German economy. Shutting down the reactors and replacing them with wind and solar energy will cost an estimated $735 billion and take several decades, producing soaring electricity bills and periodic energy shortages. However, such is the strength of anti-nuclear sentiment in Germany that Merkel felt she had no choice but to close the reactors anyway.

The anti-nuclear protests in Japan occurred considerably later, but were no less momentous. On July 16, 2012, 16 months after the Fukushima disaster, an estimated 170,000 people assembled in Tokyo to protest a government plan to restart the country’s nuclear reactors, idled after the disaster. This was not only Japan’s largest antinuclear demonstration in many years, but the largest of any sort to occur in recent memory.

For the government, the July 16th action was particularly significant. Prior to Fukushima, most Japanese had embraced the country’s growing reliance on nuclear power, putting their trust in the government to ensure its safety. After Fukushima and the disastrous attempts of the reactors’ owner, the Tokyo Electric Power Company (TEPCO), to deal with the situation, public support for nuclear power plummeted. As it became increasingly evident that the government had mishandled the crisis, people lost faith in its ability to exercise effective control over the nuclear industry. Repeated promises that nuclear reactors could be made safe lost all credibility when it became known that government officials had long collaborated with TEPCO executives in covering up safety concerns at Fukushima and, once the meltdowns occurred, in concealing information about the true scale of the disaster and its medical implications.

The July 16th protest and others like it should be seen as a public vote against the government’s energy policy and oversight capabilities. “Japanese have not spoken out against the national government,” said one protestor, a 29-year-old homemaker who brought her one-year-old son. “Now, we have to speak out, or the government will endanger us all.”

Skepticism about the government, rare for twenty-first-century Japan, has proved a major obstacle to its desire to restart the country’s 50 idled reactors. While most Japanese oppose nuclear power, Prime Minister Shinzo Abe remains determined to get the rectors running again in order to reduce Japan’s heavy reliance on imported energy and promote economic growth. “I think it is impossible to promise zero [nuclear power plants] at this stage,” he declared this October. “From the government’s standpoint, [nuclear plants] are extremely important for a stable energy supply and economic activities.”

Despite such sentiments, Abe is finding it extremely difficult to garner support for his plans, and it is doubtful that significant numbers of those reactors will be coming online anytime soon.

The Explosions Ahead

What these episodes tell us is that people around the world are becoming ever more concerned about energy policy as it affects their lives and are prepared—often on short notice—to engage in mass protests. At the same time, governments globally, with rare exceptions, are deeply wedded to existing energy policies. These almost invariably turn them into targets, no matter what the original spark for mass opposition. As the results of climate change become ever more disruptive, government officials will find themselves repeatedly choosing between long-held energy plans and the possibility of losing their grip on power.

Because few governments are as yet prepared to launch the sorts of efforts that might even begin to effectively address the peril of climate change, they will increasingly be seen as obstacles to essential action and so as entities that need to be removed. In short, climate rebellion—spontaneous protests that may at any moment evolve into unquenchable mass movements—is on the horizon. Faced with such rebellions, recalcitrant governments will respond with some combination of accommodation to popular demands and harsh repression.

Many governments will be at risk from such developments, but the Chinese leadership appears to be especially vulnerable. The ruling party has staked its future viability on an endless carbon-fueled growth agenda that is steadily destroying the country’s environment. It has already faced half-a-dozen environmental upheavals like the one in Ningbo, and has responded to them by agreeing to protestors’ demands or by employing brute force. The question is: How long can this go on?

Environmental conditions are bound to worsen, especially as China continues to rely on coal for home heating and electrical power, and yet there is no indication that the ruling Communist Party is prepared to take the radical steps required to significantly reduce domestic coal consumption. This translates into the possibility of mass protests erupting at any time and on a potentially unprecedented scale. And these, in turn, could bring the Party’s very survival into question—a scenario guaranteed to produce immense anxiety among the country’s top leaders.

And what about the United States? At this point, it would be ludicrous to say that, as a result of popular disturbances, the nation’s political leadership is at any risk of being swept away or even forced to take serious steps to scale back reliance on fossil fuels. There are, however, certainly signs of a growing nationwide campaign against aspects of fossil fuel reliance, including vigorous protests against hydraulic fracturing (“fracking”) and the Keystone XL tar sands pipeline.

For environmental activist and writer Bill McKibben, all this adds up to an incipient mass movement against the continued consumption of fossil fuels. “In the last few years,” he has written, this movement “has blocked the construction of dozens of coal-fired power plants, fought the oil industry to a draw on the Keystone pipeline, convinced a wide swath of American institutions to divest themselves of their fossil fuel stocks, and challenged practices like mountaintop-removal coal mining and fracking for natural gas.” It may not have achieved the success of the drive for gay marriage, he observed, but it “continues to grow quickly, and it’s starting to claim some victories.”

If it’s still too early to gauge the future of this anti-carbon movement, it does seem, at least, to be gaining momentum. In the 2013 elections, for example, three cities in energy-rich Colorado—Boulder, Fort Collins, and Lafayette—voted to ban or place moratoriums on fracking within their boundaries, while protests against Keystone XL and similar projects are on the rise.

Nobody can say that a green energy revolution is a sure thing, but who can deny that energy-oriented environmental protests in the U.S. and elsewhere have the potential to expand into something far greater? Like China, the United States will experience genuine damage from climate change and its unwavering commitment to fossil fuels in the years ahead. Americans are not, for the most part, passive people. Expect them, like the Chinese, to respond to these perils with increased ire and a determination to alter government policy.

So don’t be surprised if that green energy revolution erupts in your neighborhood as part of humanity’s response to the greatest danger we’ve ever faced. If governments won’t take the lead on an imperiled planet, someone will.

Michael T. Klare is a professor of peace and conflict studies at Hampshire College and the author, most recently, of The Race for What’s Left. A documentary movie version of his book Blood and Oil is available from the Media Education Foundation.

The article Surviving Climate Change: Towards A Climate Revolution – OpEd appeared first on Eurasia Review.

More Is Not Enough: Arms Buildups, Innovation And Stability In The Asia-Pacific – Analysis

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By Felix K. Chang

The arms buildup across the Asia-Pacific is remarkable. Understandably, some fear that the accumulation of military hardware reflects possible arms races and that these arms races will increase the likelihood of political miscalculation and lead to armed conflict. But while all arms races include arms buildups, not all arms buildups are arms races. What is now occurring in the Asia-Pacific fails to meet the classic criteria for an arms race. It does not represent “a progressive, competitive peacetime increase in armaments between two states or coalition of states resulting from conflicting purposes or mutual fears.”[1] It is not a case where states have become trapped in a competitive spiral of ever greater arms procurement.

Nonetheless, the region is rearming. That is because of changes in the geopolitical environment that have been brought on by China’s rapid military modernization, its more assertive behavior, and the region’s festering doubts about long-term American commitment. But rather than being a “competitive” increase in armaments, the arms buildup across the Asia-Pacific bears more resemblance to an arms catch-up, in which regional countries have come to realize that their military forces are inadequate to ensure their safety in the new environment. But since no one country or set of countries, at the moment, is attempting to match the pace of China’s military modernization or cause China to fear for its safety, there has been no real competition.

Moreover, not all arms buildups are the same. Geography (or the lack thereof) can help differentiate. In some parts of the world where countries struggle over land, calculations of military power must take into account not only combat systems, but also the conditions under which they would operate—terrain, fortifications, and even operational concepts (like envelopment), none of which have a direct corollary in the air or at sea.[2] In today’s Asia-Pacific, countries largely vie for control over maritime spaces. Since the specks of land that exist within these spaces have little intrinsic military value, they are strategically less important than the skies above and the seas around them. That means that, in the Asia-Pacific, combat systems are more likely to dominate military power calculations. Since the effectiveness and survivability of such arms on the modern battlefield increasingly relies on a high level of technical sophistication, there is little doubt that technology will play an outsized role in determining the ultimate balance of power in the Asia-Pacific.

ARMS RACES AND INNOVATION

Even so, the study of arms races can inform how the Asia-Pacific’s arms buildup could contribute to greater stability, rather than less of it, in the regional balance of power. That is because there are different kinds of arms races. One sort focuses on increasing the quantity of arms. In that case, a country would seek to increase the numerical strength of its existing combat systems to improve its military power. For instance, Japan could simply acquire more of its current-generation fighter aircraft. The other sort concentrates on increasing the quality of arms. In that case, a country would seek to replace its existing combat systems with more capable ones to improve its military power. Returning to Japan, one can see this in Tokyo’s decision to replace its existing fleet of F-4 fighters with next-generation F-35 Joint Strike Fighters.

Of course, both quantitative and qualitative features are present in most arms buildups. But one is often still favored over the other. That can have meaningful consequences for the outcome of an arms race. In a quantitative race, the country that can develop a numerical superiority in its military forces is likely to maintain it in the long run, since its rival would have to redouble its efforts just to catch up. Indeed, the country that wins a quantitative race is frequently the one with greater determination and resources. Hence, it is believed that quantitative races naturally lead to an inequality in the balance of power. Given that, such an arms race is more likely to produce a situation in which the country holding a military advantage chooses to use it against its rival to achieve its goals.

On the other hand, a qualitative arms race tends toward equality in the balance of power. Rather than a single long race, it looks like a series of shorter ones. If a country that is at a numerical disadvantage in a particular combat system introduces a new and vastly more effective one, it could quickly neutralize the numerical advantage of its rival. Thus, each new and innovative combat system can narrow the military power gap between two rival countries. That was certainly a motivation behind America’s ceaseless investment in technology for its military throughout the Cold War—so that it could confront the Soviet Union’s numerically superior conventional forces on more equal terms. As the theory goes, the larger the innovative leap, the faster a lagging country can approach parity with its rival. Inasmuch as an inequality in the balance of power may increase the likelihood of aggression and conflict, a greater equality in that balance may well decrease their prospects.

Of course, some may argue that the attainment of technological superiority could have the same effect as the achievement of numerical superiority. In that view, a country with a technological superiority might be tempted to use it before its rival can match its achievement. But that has rarely occurred. Certainly new combat systems developed during wartime have been immediately put to use. For example, during World War II Germany made its Me 262 jet fighter and Vergeltungswaffen (retribution weapons)—the V-1 buzz bomb and the V-2 ballistic missile—fully operational soon after they were developed.[3] The United States did the same for the atomic bomb. But in the years immediately after World War II, the United States held a clear qualitative superiority over the Soviet Union in atomic arms, but did not use them. In the decades that followed, the two countries sought qualitative superiority in many technologies, but again neither side employed them against the other. Rather, it was when a country possessed an unchallenged qualitative superiority relative to its rival did it resort to military force. The Soviet Union used it against Afghanistan (1979-1989) and the United States in several cases, from North Korea (1950-1953) to Iraq (1991 and 2003).

Thus, military innovation, at least, offers the possibility of a less destabilizing arms race than one purely based on numerical superiority. One could say the same of arms buildups. Countries that embark on arms buildups that focus on innovation may be able to reach military parity with their rivals faster and thus achieve greater equality in the balance of military power (and ultimately regional stability). Of course, using the current generation of military technology in innovative ways may also produce similar benefits. But to maximize those benefits, countries must eventually adopt new military technologies.

LESSONS OF HISTORY

The classic example of qualitative arms races occurred in the competition for naval supremacy between the 1840s and 1910s. During that time a series of innovations occurred that revolutionized naval warfare. Among the most significant were: steam propulsion and screw propellers (replacing the sail); iron and steel-hulled ships (replacing wooden ones); and progressively more powerful breach-loading guns (replacing muzzle-loading cannons). While the British Royal Navy maintained its dominant position throughout this time, it did so in spite of serious challengers.

The first was the French Navy. In response to Anglo-French tensions over Spain and Syria, French Emperor Napoleon III sought a stronger navy and, specifically, one equipped with steam-powered warships. Steam offered naval commanders far better control over an engagement than wind ever could. When France launched the steam-powered Napoléon in 1850, it immediately outclassed every warship in the Royal Navy. But Britain quickly responded with its steam-powered Agamemnon-class ship of the line two years later. By 1858, France still lagged Britain in sail-powered ships of the line 10 to 35, but already reached parity in steam-powered ships of the line 29 to 29. A few years on, greater British determination and resources enabled the Royal Navy to regain its supremacy. But by then France introduced the ironclad. With cannons still dominating maritime arsenals, iron offered far better protection from cannon fire than timber. By the start of the American Civil War (and the famous Monitor vs. Merrimack engagement), the French Navy had 15 ironclads built or under construction. The Royal Navy had only seven. But after a crash shipbuilding program in the early 1860s, Britain restored the Royal Navy’s preeminence.

Nevertheless, by the late 1880s, new countries with as much determination and resources as Britain had emerged, most notably Germany.[4] At the same time, powerful breach-loading guns firing high-velocity shells, which could penetrate iron and steel, had begun to replace muzzle-loading cannons and their traditional shot. Until then, British naval policy had been to never introduce any technology that would outdate its existing warships, but to undertake a rapid shipbuilding program if another country were to do so. But with Germany’s fast rise, Britain decided to introduce the first “all big gun ship,” the Dreadnought-class battleship, in 1906. However, doing so reduced the value of the Royal Navy’s existing fleet and gave Germany a chance to catch up. Thus, two years later, despite the Royal Navy’s great advantage over its German rival in pre-Dreadnought battleships, 63 to 26, its lead in Dreadnought battleships under construction was slim, only 12 to 9. Still, Britain’s early start and continuous investment allowed it to build on its advantage through the start of World War I. At each turn, one can see how innovation helped a country with inferior military power quickly catch up to its rival. Only Britain’s embrace of innovation allowed it to stay ahead.

More recently, a similar story has played out in the Pacific. After two U.S. aircraft carrier battlegroups were sent to challenge China’s attempt to intimidate Taiwan with ballistic missile tests off its coast in 1995 and 1996, China has sought ways to even the balance of power between it and the United States. Before the end of the decade, it beefed up its anti-air campaign strategy to counter the threat from American aircraft carriers. But rather than reflexively build its own aircraft carriers, it sought to capitalize on a gap in American fleet defenses. While the U.S. Navy had focused on improving its defenses against sea-skimming cruise missiles since the 1970s, it had not fully developed its defenses against ballistic missiles from above. Fortunately for China, its ballistic missile program was one of its few weapons programs that escaped the turbulence of the Cultural Revolution.[5] By the early 2000s, China’s ballistic missile technology had advanced to the point at which Chinese military leaders could seriously contemplate using ballistic missiles armed with maneuverable conventional warheads to hit (or at least damage) a large ship, like an aircraft carrier, at sea. In 2004 China’s military revised its doctrine to include the possible use of anti-ship ballistic missile salvos against aircraft carriers off its coast. At the time, American observers dwelled on the “asymmetric” nature of the threat. But more fundamentally, it was a threat born from innovation. China began to deploy DF-21D anti-ship ballistic missiles sometime in 2012. Though China still lacks the oceanic surveillance system that it needs to properly detect, track, and target an aircraft carrier, the presence of such missiles has narrowed the gap in military power between China and the United States.[6]

However, the United States has not stood still. It also innovated. Advances in its ballistic missile defense program allowed the United States to set up a X-band radar in northern Japan in 2006 to track ballistic missile launches in the Pacific. A second is now under discussion for southern Japan. These radars could also support the targeting of SM-3 surface-to-air missile interceptors aboard U.S. warships at sea. And that is not the end. In 2014 the U.S. Navy will deploy its first-generation laser weapon system to counter small craft in the Persian Gulf. It is not hard to imagine that in the coming decades, higher-powered laser weapon systems could be used to deflect or defeat anti-ship cruise missiles or even ballistic missile warheads.[7]

That is not to say that all military innovations are revolutionary or even transformative. However, in conjunction with proper military organization and doctrinal employment, military innovations can help quickly correct inequalities in the balance of power without triggering a more destabilizing quantitative arms buildup.

THE ASIA-PACIFIC ARMS BUILDUP

Fortunately in the Asia-Pacific, technology is already a recognized necessity, given the region’s geography. Hence, considerations regarding military innovation already take center stage in weapons procurement. They have contributed to the rapid adoption of air-independent propulsion in the region’s most recently acquired diesel-electric submarines. Air-independent propulsion technology enables submarines to stay underwater for far longer than they do now, reducing the likelihood that they will be detected. Four of the six most advanced navies in the region, including those of China, Japan, South Korea, and Singapore, have all acquired air-independent propulsion submarines.[8]

Even so, many of the less advanced armed forces in the region have chosen to upgrade their armed forces to only the current generation of combat systems. A good example is Vietnam, which dramatically increased its military expenditures over the last half decade. It turned to its former Russian patrons to supply SA-20 air defense systems, Su-30MK2 fighters, and Kilo-class submarines—all of which many other countries, including China, already possess.[9] But Vietnam also reportedly ordered two batteries of P-800 missiles, part of the Russian K-300P Bastion-P coastal defense system.[10] Each road-mobile battery can rapidly deploy to a site and salvo its missiles against an adversary from an unexpected direction. Given that much of the maritime spaces that Vietnam disputes with China are within the range of these missiles, Vietnam has essentially taken advantage of a contemporary technology and employed them in an innovative way to create a potential local military superiority. Doing so reduces the military power gap between the two countries in those disputed spaces.

Of course, there are constraints on a qualitative arms buildup in the Asia-Pacific. First and foremost is money. Few can match the pace (or volume) of China’s military spending on new technology.[11] More generally, modern air and naval armaments are simply expensive and getting more so.[12] Even unmanned aerial vehicles, once heralded as cost-effective airborne platforms, has followed the capability and cost trajectories of their manned predecessors. Plus, since many Asia-Pacific countries rely on foreign defense companies for their armaments, any devaluation of their national currencies can make already-costly purchases even costlier. The same could be said about the impact of shortcomings in their arms procurement processes. A second constraint is access to military technology, due to either arms export restrictions or political circumstances. Countries typically impose restrictions on arms exports, because of their concern over technology proliferation, mistrust of those that seek the military hardware, or pursuit of policy goals that require such controls. In one recent case, the United States cited the potential for technology leaks as the reason it barred the export of F-22 fighters to Australia, Israel, and Japan.[13] In another case, political circumstances have played the central role. Taiwan has long sought to acquire advanced combat systems (like submarines) but has been unable to do so, because of sustained Chinese pressure on arms exporting countries to isolate it from international arms sales.

These constraints on a qualitative arms buildup in the Asia-Pacific give rise to two destabilizing concerns. Either the inequality in the balance of power grows so great that China believes that it is free to behave aggressively in disputes with its neighbors; or a country that is unable to qualitatively improve its military power relative to China might seek to expand its existing military forces and use them (in conjunction with whatever political levers it has) to try to compel China into a settlement before its transitory advantage is lost. Both scenarios would increase the potential for armed conflict in the region.

CONCLUSION

Today, perceptions in the Asia-Pacific about its geopolitical environment are changing. Countries that once viewed China as a benign power and enjoyed a free ride from America’s military presence in the region, either directly or indirectly, are now rebuilding their military strength. Those countries with Cold War-era security arrangements with the United States have sought reassurances of American commitments to them. But however firm those commitments may be, it seems that they have become somewhat more dependent on the administration in Washington. Hence, many countries have come to believe that they must adequately rearm to provide an additional hedge against China’s rise, should it turn out to be less benign than originally hoped. Together with China’s rapid military modernization, the region-wide military buildup has raised fears that armed conflict has become more likely.

But in studying the nature of arms races, we can see that arms buildups need not end in conflict.[14] Rather if the countries of the Asia-Pacific focus on military innovation as the foundation for their arms buildups, they could improve their military power more quickly and in doing so create greater equality in the balance of power. That, in turn, would lower the probability of miscalculation and conflict. Indeed, the geography of the Asia-Pacific naturally leads countries to concentrate on technology in their arms procurement decisions. Regrettably, budgetary constraints, currency devaluations, and internal bureaucratic and political challenges have bedeviled many of these efforts. While acquiring more of the same sorts of military hardware that one’s rival already has in abundance may imbue a country with slightly more confidence, it is unlikely to do much to close the gap in military power in the long run. There is no getting away from the need for military innovation.

About the author:
Felix K. Chang is an FPRI Senior Fellow, as well as the co-founder of Avenir Bold, a venture consultancy. He was previously a consultant in Booz Allen Hamilton’s Strategy and Organization practice; among his clients were the U.S. Department of Energy, U.S. Department of Homeland Security, U.S. Department of the Treasury, and other agencies. Earlier, he served as a senior planner and an intelligence officer in the U.S. Department of Defense and a business advisor at Mobil Oil Corporation, where he dealt with strategic planning for upstream and midstream investments throughout Asia and Africa. His publications include articles in American Interest, National Interest, Orbis, and Parameters.

Source:
This article was published by FPRI and may be accessed here.

Notes:

[1] Samuel P. Huntington, “Arms Races: Prerequisites and Results,” Public Policy 8:1 (1958), pp. 41-42.

[2] Wayne P. Hughes, Fleet Tactics and Coastal Combat, 2nd ed. (Annapolis, MD: Naval Institute Press, 2000), pp. 172-173.

[3] Germany’s innovations marked attempts to escape the limitations of speed in the former case and air defense penetration and weather in the latter case. Williamson Murray and Allan R. Millet, A War to Be Won: Fighting the Second World War (Cambridge, MA: Harvard University Press, 2000), pp. 599-600.

[4] The other new major naval power was the United States, which also saw itself in an arms race against Germany by 1903. George W. Baer, One Hundred Years of Sea Power: The U.S. Navy, 1890-1990 (Stanford: Stanford University Press, 1994), p. 37.

[5] John Wilson Lewis and Xue Litai, China’s Strategic Seapower: The Politics of Force Modernization in the Nuclear Age (Stanford: Stanford University Press, 1994), pp. 129-205.

[6] Jonathan F. Solomon, “Maritime Deception and Concealment: Concepts for Defeating Wide-Area Oceanic Surveillance-Reconnaissance-Strike Networks,” Naval War College Review 66:4 (Autumn 2013), pp. 87-116; Julian E. Barnes, Nathan Hodge, and Jeremy Page, “China Targets U.S. Might By Bulking Up Its Military,” Wall Street Journal, Jan. 5, 2012; Duncan Lennox, “Analysis: China’s ASBM project: keep calm and carry on,” Jane’s Defence Weekly, Feb. 16, 2011.

[7] Spencer Ackerman, “Watch the Navy’s New Ship-Mounted Laser Cannon Kill a Drone,” Wired, Apr. 8, 2013; Adam Entous and Julian E. Barnes, “U.S. Plans New Asia Missile Defenses,” Wall Street Journal, Aug. 23, 2012, p. A1; Missile Defense Agency, Ballistic Missile Defense Review Report (Washington: U.S. Department of Defense, Feb. 2010).

[8] These include China’s Type 041 (Yuan-class), Japan’s Sōryū-class, South Korea’s KSS-2 class, and Singapore’s Archer-class submarines. Since Australia ruled out nuclear propulsion for its next class of 12 submarines, they are likely to be equipped with air-independent propulsion technology. India is assessing whether it can install air-independent propulsion into its new Scorpene-class submarines, starting with the third boat of its six-boat building program. Department of Defence, Defence White Paper 2013 (Canberra: Commonwealth of Australia, 2013), p. 82.

[9] Felix K. Chang, “A Salutation to Arms: Asia’s Military Buildup, Its Reasons, and Its Implications,” FPRI E-Note, Sep. 2013, p. 3.

[10] Jon Grevatt, “Vietnam negotiates for Russian coastal defence systems,” Jane’s Defence Weekly, Aug. 15, 2011.

[11] Felix K. Chang, p. 2.

[12] That can be quantified in American naval shipbuilding costs. Over the last thirty years, naval shipbuilding costs have risen about 1.4 percentage points above the normal rate of inflation. Congressional Budget Office, An Analysis of the Navy’s Fiscal Year 2013 Shipbuilding Plan (Washington: Congressional Budget Office, Jul. 2012), p. 14.

[13] Jim Wolf, “Senate panel seeks end to F-22 export ban,” Reuters, Sep. 10, 2009; Jason Miks, “F-22 Export Ban, Collective Security Test U.S.-Japan Defense Ties,” World Politics Review, Jan. 30, 2009, http://www.worldpoliticsreview.com/articles/3227/f-22-export-ban-collect… Sharon Weinberger, “F-22 Not For Sale, Says Export Chief,” Wired, Apr. 30, 2007.

[14] The quality of information and control also plays a role in conflict avoidance. Strategic misrepresentation, imperfect intelligence, problems of interpretation, and problems in control can all lead to a lack of cooperation and possibly conflict, rather than better balance. George W. Downs, David M. Rocke, and Randolph M. Siverson, “Arms Races and Cooperation” in Cooperation Under Anarchy, ed. Kenneth A. Oye (Princeton: Princeton University Press, 1986), pp. 133-143.

The article More Is Not Enough: Arms Buildups, Innovation And Stability In The Asia-Pacific – Analysis appeared first on Eurasia Review.

Harvard Students Fail To Name Capital Of Canada – Video

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Harvard students are asked who is the capital of Canada?

This sort of question is typically answered by someone who has gone through the third grade in Europe (excluding UK), but students at Harvard (supposedly greatest school in the US), have exceptionally tough time coming up with the correct answer.

Finally, one Harvard student gets it correct, only to find out, the student is Canadian.

The article Harvard Students Fail To Name Capital Of Canada – Video appeared first on Eurasia Review.

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