Quantcast
Channel: Eurasia Review
Viewing all 73679 articles
Browse latest View live

Iran-Saudi Arabia And Option Of Direct Talks – OpEd

$
0
0

By Hossein Sadeghi*

There are many grounds for cooperation among countries in the Middle East region because three prominent factors, that is, common religion, common geopolitics and oil reserves, have provided fertile grounds for convergence among regional states. However, in parallel to these common grounds, they are also facing common threats such as terrorism and extremism. Experiences of the past have shown that countries located in this geographical region are capable of overcoming problems that face them by relying on the aforesaid common factors and moving in coordination. Through overlapping efforts and synergism among their various economic capacities, they would be even capable of weathering the current crisis related to global oil prices and take long strides toward further prosperity of the region and establishment of sustainable economic development. In this way, they will see the impact of their joint efforts in various fields, including its direct effect on the situation in international oil markets. In the past years, such coordination among regional countries, especially oil producers, has been able to play a decisive role in setting global oil prices through wise management of production and export of crude oil.

Unfortunately, some regional countries have been under the influence of such secondary factors as interventions by global powers, and absence of a cooperative political structure, which have made them take steps that have actually worsened the existing differences. Efforts made to exacerbate tension among regional states and undue attention to such divisive issues as different population fabric, as well as difference economic and political structures have been among other factors that have served to widen rifts among these countries. These problems in addition to disproportion between the power of regional players compared to transregional players in all political, economic and technological fields has practically prevented regional states from coming up with a well-defined strategy in order to regulate international oil markets. Other factors including adoption of unilateral oil policies, adopting divergent policies on economic issues and political developments of the region, as well as efforts made by some of these countries to strengthen ties with transregional powers, have further eroded the ability of regional states for the management of the existing conflicts and achieving a stable state of cooperation. These factors have collectively led to the escalation of differences among regional countries a consequence of which has been serious fluctuations in international oil markets, which have led to severe fall in price of this strategic commodity which is the main source of revenues for regional countries. Under these circumstances, two opposing views have been offered on the main reasons behind the current oil price slump. Some people believe that it is just a conspiracy in order to mount pressure on certain oil producing countries, and argue that oil price fall is not rooted in economic reasons. This viewpoint has increased distrust among regional countries and has worsened regional problems. This group also maintains that the new situation in global oil markets is the outcome of a clear conspiracy that has been hatched by certain regional countries in cooperation with a number of international powers. They continue by saying that this conspiracy aims to help international powers achieve their political and strategic goals by mounting pressure on their rivals, but its immediate effect is wastage of the Muslim world’s energy resources, and a drastic fall in the revenues of Muslim countries.

On the other hand, there is another group, which has played a crucial role in bringing about the current situation in international oil markets. This group refutes the arguments of the first group and believes that the current oil prices are totally the result of economic factors and have nothing to do with political issues. This group also believes that the decision to maintain oil production at the current level is aimed at fighting off new rivals, including those countries that are producing energy by using modern technologies. To back up their argument, they have pointed to the role played by independent countries that are not member states of the Organization of the Petroleum Exporting Countries (OPEC) in supplying extra oil to global markets. They have even mentioned production of shale oil in the United States and even a recent decision by the US President Barack Obama’s administration to allow production of heavy crude despite its high cost. They conclude that if OPEC fails to control the situation by maintaining its current policy, it would have to put up with tremendous pressures in the future as a result of the rise of new rivals, whose untoward effects on the economy of oil-rich countries of the region could be much more destructive than the current nosedive in oil prices.

At any rate, these two main viewpoints have now overshadowed the practical approaches of the two groups. The most tangible results of this situation has been increased tension and distrust among regional countries as well as inability to adopt a suitable strategy to manage and control global oil markets. As time goes by, this state of tension and chaos may gradually give way to overt hostility and, as such, the cost of any future move even to make a positive change will rise. In the meantime, the main losers of this situation are major oil producing countries of the region and this issue has been already reflected in huge deficits that they are facing in their annual budgets.

Regardless of these different viewpoints, the necessity for suitable management of the oil market and preventing further political and economic losses calls on oil producing countries, especially those in the region, to open avenues for direct talks and find ways to get out of the existing situation in the shortest possible time. These countries, therefore, should first of all show their indignation with the current situation. In the next step, they should put emphasis on those factors which have been largely ignored, but can serve to bring convergence back to the region. These factors include common religion (despite various religious readings), common geopolitics, as well as oil and other energy resources on which the very survival of these countries depends. By doing so, they can provide potential fields for convergence and prevent further escalation of the situation which may make it get totally out of control. Regional states can design a model for convergence in such areas as politics and economy and even foreign policy in order to not only protect their national sovereignty, but also mobilize their economic and political potentialities for the regulation of political and economic equations in this region. In this way, they would be able to also promote the role that their region plays in international developments. If they could do this, it would render ineffective security and economic strategies of transregional powers such as the United States, which aim to prevent regional convergence. They will be also able to move toward elimination of suspicions and doubts among regional countries and prevent them from being influenced by a historical mentality which is the output of conflicts among regional states.

Eliminating suspicions and tensions, making efforts to reach common positions, and adopting a common approach while avoiding further escalation of conflicts are among long strides that regional countries can take to get out of the current tense situation and move toward unity and convergence. In order to do this, Iran and Saudi Arabia, as two prominent and important countries in the Islamic world and the region, can and should play the most influential role among regional states. Therefore, these two influential regional powers should move beyond mere media initiatives because sufficing to media to convey messages to each other will do nothing to solve the crisis and may also make it more difficult for both countries to reach an understanding and common viewpoint on how to tackle the existing crisis. In this way, the two neighboring countries will continue to drift away from each other. The best alternative to media is direct negotiations because due to the aforesaid factors, understanding and close relations between these two countries will be of strategic importance in dispelling suspicions and misunderstandings and can even convince other regional states to follow suit.

*Hossein Sadeghi
Islamic Republic of Iran’s Ambassador to Saudi Arabia

Source: Iran Newspaper
http://iran-newspaper.com/
Translated By: Iran Review.Org

The post Iran-Saudi Arabia And Option Of Direct Talks – OpEd appeared first on Eurasia Review.


Overcoming The Status Quo: Will There Be Accountability For Israeli Leaders? – Analysis

$
0
0

Choosing not to surrender to the ever-deepening impasse created by Israeli proposals, the PLO has decided to put into effect the State of Palestine’s status as a subject of International Law by acceding to the Rome Statute. Given the apparent lack of will of Israel to address the conflict’s transformation, the search for an end to impunity and, possibly, of occupation should be welcomed, while the doors for dialogue must remain open.

By Moara Crivelente*

“Justice” has often been a vague concept, away from analyses of the Palestinian-Israeli conflict. While we have remained dedicated to formulating and reformulating “solutions” according to the turn of events – especially the advancement of the Israeli occupation’s apparatus on the Palestinian territories –, the popular claim for an end of impunity has grown not only within the territory, but also around the world. There are many critical inputs on the dead-end brought about by a perpetual “peace process” and the monopolization of negotiations by the United States; which are, for many Palestinians and their supporters, clearly allied to Israel.

Theories regarding the process of “confidence building”, the parties’ commitment to the conflict’s resolution – or transformation – and the approach to the asymmetry inherent to cases such as Israel-Palestine are abundant. If, on the one hand, we have local attempts to unite Palestinian and Israeli individuals in a vast offer of programs, projects and practices aimed at fostering relations of confidence for the sake of coexistence and, possibly, transformation, on the other, we have seen the strengthening of popular resistance alternatives that are determined to denounce and end occupation. It is not only about the world-renowned Boycott, Sanctions and Divestment (BDS) movement affecting Israel at an accelerated pace – Israeli former Minister of Defense Ehud Barak himself, among many others, has recently admitted this reality. It is also about the popular committees in villages such as Nabih Saleh, Bil’in and others, in the West Bank and in the Gaza Strip, respectively, that have been successfully breaking barracks through alternative media and social networks to expose the conditions under which the Palestinians live in the occupied territories. During Israeli Operation Protective Edge, for instance, this was how I received much information and had contact with Palestinians who could tell their own stories.

Since the beginning of 2013, when another innocuous period of negotiations was pushed – though it stagnated since its very onset – the escalation of rhetoric and such practices has contributed to the Palestinians attracting ever more solidarity from around the world. During the nine months agreed by Palestinian chief negotiator, Saeb Erekat, and Israeli Minister of Justice, Tzipi Livni, for a new round of talks, the Palestinian Liberation Organization (PLO) has counted, for instance, the announcement or building of new housing units within major Israeli settlements in the West Bank for 55,000 new settlers. This and other violations – since building and transferring population from the Occupying Power’s territory to the occupied territory is a violation of the Fourth Geneva Convention – were perpetrated during the very months in which commitment to dialogue was supposed to be demonstrated. Apparently the Israeli Government, filled with leaders of the settler movement, such as the Economy Minister, Naftali Bennett, (in the Jewish Home Party), could not rescind this electoral platform.

Much could also be said about the Israeli insistence on delegitimizing a primary actor such as the Hamas movement and political party, and the negative impact this insistence has on any chance of real dialogue. Hamas’ popularity may vary over time and according to the trend experienced by the Palestinians – such as the absence or presence of direct violence, such as the Israeli military operations against the Gaza Strip and the West Bank –, but it still enjoys popular support and it represents the claims of an expressive parcel of the population. Therefore, insisting on excluding the party from the negotiating table is unsustainable, and it can be assumed that Israeli leaders know that. Still, this de-legitimizing strategy also serves to mobilize support for military actions such as Operation Protective Edge (2014), Operation Pillar of Defense (2012) and Operation Cast Lead (2008-2009); apart from the ordinary incursions or strikes that do not reach the status of major operations and, therefore, are not mediatized. The propaganda and the de-humanization effort behind these enterprises were already evaluated in a previous article for TransConflict.

This is why the April reconciliation agreement between the Palestinian National Authority (PNA) and Hamas is an opportunity for Palestinians and Israelis – since the inclusion of such an important primary actor could turn things around – or a turn of events for those not interested in pushing negotiations further on the central and internationally-recognized Palestinian claims. For those we mean precisely the likes of Minister Bennett, who said, one year ago: “the goal is to torpedo any agreement and prevent deterioration to pre-1967 lines.” The Israeli withdrawal from the territories it occupied since 1967 is not in any agenda presented by the Israeli leaders, based on the allegation that the Israeli territories would not be “defendable”. This is why one of the most resonating proposals endorsed by the US at the time was to guarantee, as a “security concern”, the presence of Israeli troops in Palestinian territory as a condition for any agreement; even though the Palestinians could have agreed to have there an international force led by the UN. However, choosing not to surrender to the ever-deepening impasse created by the Israeli proposals and objection to every Palestinian historical claim, the PLO has decided to put into effect the State of Palestine’s status as a subject of International Law.

The alternative was met with harsh criticism and reactions by the Israeli authorities. Sanctions – such as freezing the transference of the Palestinians’ tax revenues collected by Israel, according to the 1994 agreement – and other threats showed how the strategy could actually work. In a recent interview over the phone, former Palestinian Foreign Minister, Nabil Shaath, said that the Palestinians would exhaust International Law as a mean to uphold their rights, since negotiations monopolized by the US have not given results in over two decades. Shaath was chief negotiator during the Oslo peace process, which brought great expectations for Palestinians and Israelis, but led to a broader and official presence of the Occupying Power in the Palestinian territories, precisely due to a lack of commitment to the evolution of conditions agreed to. After applying to a number of international covenants, treaties and organizations – UNESCO was an example of the US’ and Israel’s sanctions for accepting the State of Palestine as a member –, the latest fuzz was created after Palestine acceded to the Rome Statute, constitutive of the International Criminal Court. The sight of the Criminal Court on the horizon scares Israeli authorities who already know that the Palestinians’ case has solid grounds. They know that also because they are advised and represented, among others, by a military Advocate-General – a legal branch connected to the Army, which applies International Humanitarian Law to supposedly steer the military operations or respond to criticism and accusations. This goes hand-in-hand with the outraged figure mounted on and for the media, in the international fora – such as the UN General Assembly last year – or in their allies’ corridors.

A number of documents by the International Court of Justice – such as the 2004 Advisory Opinion regarding the consequences of the Israeli wall built in the West Bank – and the UN already recognize as serious violations a number of Israeli practices in the Palestinian occupied territories. Therefore, even the fallacious contest created by Israeli discourse over the Palestinian territories – which would not be “occupied”, but “disputed” – is evident as another desperate attempt to evade accountability, a term that the Israeli leaders could have never imagined to one day be part of their concerns. In December 2014, the failure of a much rehearsed and even negotiated draft by one vote less than necessary and the predictable US veto showed again that the end of occupation, one of its claims, is still a taboo. US Ambassador to the UN Samantha Power has only said that the Palestinian initiative was “counterproductive”, and that it did not care for Israel’s “security concerns”, which could only be explained with the speculation: did she actually read the draft (here) or was her statement only part of the usual show? Not to recur to the apparently naïve ponderation: what about the Palestinians’ security concerns, neglected for over six decades? Even France has supported a negotiated draft resolution.

Around the same day, the declaration derived from the Conference of the High Contracting Parties to the Fourth Geneva Convention condemned again Israeli practices as an Occupying Power in violation of the Convention. Furthermore, civil organizations such as Amnesty International and the Israeli B’Tselem, for instance, already have reports and evidence, which the Israeli authorities refute, showing that war crimes were indeed perpetrated in the Gaza Strip during Operation Protective Edge, when approximately 2,200 Palestinians – almost 600 children – were killed. The UN Human Rights Council is supposed to deliver results from its fact-finding mission in the coming months, while its final report could have less chances of meeting the drawer this time than another did in 2009. That year, the 500-page Goldstone Report on the Operation Cast Lead reached near-oblivion, after accusations of war crimes and “possible crimes against humanity” were met with an angry Israeli spectacle against the document, the UN and the Jewish South-African Judgem Richard Goldstone. A curiosity: in July 2014, the Israeli Foreign Minister, Avigdor Lieberman, said that the Human Rights Council, having decided for a new investigation, had turned into a “terrorists’ rights Council”. These are the displays of the Israeli leaders’ lack of will to address the conflict’s transformation, which leads us to welcome the search for an end to impunity and, possibly, of occupation, while the doors for dialogue must remain open. The search for justice and for an end to occupation does not eliminate the disposition for diplomacy, which remains the only way to transform the situation and to make it possible for the status quo to be finally overcome. Accountability, as naïve as it may sound, could in fact serve to turn Israel’s growing isolation into a demonstration that it has indeed something to lose while it does not commit to actually transform the situation and really talk to Palestinians. In such an asymmetric condition and power-relation, this exercise could serve not only the search for justice, but especially for getting serious about the Palestinians’ right to self-determination.

*Moara Crivelente is a political scientist and journalist specialized in International Relations and the Communication of Conflicts. ​Her main research interests are critical peace studies, peace communication, community-based conflict transformation and local resistances.

The post Overcoming The Status Quo: Will There Be Accountability For Israeli Leaders? – Analysis appeared first on Eurasia Review.

India-Myanmar Relations: Geography Still Matters – Analysis

$
0
0

By Obja Borah Hazarika*

Myanmar continues to be in the throes of heady change which began in 2010 when the erstwhile military junta, which ruled the country with an iron fist for nearly half a century, initiated political changes across the country.

The direction, pace and nature of the transition, which opened up several avenues for democracy to flourish in the junta-ruled country, is the fulcrum upon which the future of India’s only geographically contiguous Southeast Asian neighbour, and thus its bridge to the rest of the Association of Southeast Asian Nations (ASEAN), widely and most determinately depends. Thus, Myanmar and the nature of its political transition has become one of India’s most significant determinants for the achievement of its foreign policy aims, especially those with which the strategically decisive ASEAN nations are concerned.

The year 2014 was a fruitful one for Myanmar, the highlight being the 18-nation East Asia Summit (EAS) which was held in the country from Nov 11 -14, 2014, which was attended by several heads of states, including Prime Minister Narendra Modi who encapsulated the entire gamut of India-Myanmar relations when he stressed the significance of promoting cooperation on strategic, security, trade and cultural issues, and the importance of regional groupings in facilitating common interests.

The strategic component of India-Myanmar relations cannot be discussed without taking note of China, which is pursuing an overly zealous multi-pronged engagement agenda with Myanmar. For example, China’s cumulative foreign direct investment in Myanmar stood at $14 billion in June 2014. Some of the major projects initiated by China include the Myitsone dam, Tarpein hydroelectric project and Kyaukphyu-Kunming oil pipeline. Chinese trade with Myanmar was $6 billion in 2013, while Indian-Myanmar trade was only about $2 billion. Although, Indian investment was more than $270 million in 2013, yet it is abysmal in comparison to China’s investment.

Although unable to match up to China on the economic investment front, India can pitch itself as a better partner for Myanmar on its road to democracy given the relatively better institutions which are present in India from which Myanmar can take its cue. Proliferation of political parties, active civil society, vibrant opposition, timely elections, dynamic judiciary and free press are but some of the democratic institutions which hold India in good stead for a country like Myanmar, attempting to prove its transition as more than just ornamental to actively engage.

On the economic front, India-Myanmar bilateral trade has grown from $12.4 million in 1980-81 to $2.18 billion in 2013-14. Myanmar is also the beneficiary of a duty-free tariff preference scheme for least developed countries (LDCs). Agriculture sector dominates the bilateral trade between India and Myanmar. Myanmar supplies beans and pulses to India and timber and wood products. India exports pharmaceuticals products, steel and iron products, electrical machinery, mineral oil, rubber articles, plastics.

Myanmar has successfully hedged its energy diplomacy by awarding exploration rights to a multitude of nations to ensure maximum profits. The China National Petroleum Corporation (CNPC), South Korean Daewoo, the Sun Group (India) and Itera of Russia are among some of the nations which have got exploration rights until now.

One of the main reasons which have been identified for the anaemic nature of trade and energy relations between India and Myanmar is the lack of viable continental infrastructure linking India to Burma’s main trade corridor. Other problems include Myanmar’s inefficient banking system and its lack of economic stability. Informal trade, corruption, bribes and the absence of a credible legal system to protect commercial agreements are some other reasons hindering economic cooperation.

On the matter of security, Myanmar remains significant for India to secure its northeast region, as insurgents in that area have been able to form hideouts in Bhutan, Bangladesh and Myanmar, given the porous nature of the boundary from which they plan the heinous offences on the locals of the people in the northeast as a means to coerce the government to give in to their demands.

The latest in a series of such attacks was the killing of over 70 locals of the tea tribes in Assam by the National Democratic Front of Bodoland (NDFB)-Songbijit faction in December 2014. India has approached Bhutan and Myanmar, countries to which the NDFB (Songbijit) trail has been traced, to aid in the counter-insurgency programme. Both Bhutan and Myanmar have aided India in its previous attempts at flushing out such insurgents and dismantling their networks in this region.

Earlier this year, on May 8, 2014 India and Myanmar signed a Memorandum of Understanding (MoU) on Border Cooperation which is intended to provide a framework for security cooperation and intelligence exchange between Indian and Myanmar security agencies. It provides for the conduct of coordinated patrols, exchanging information and intelligence in the fight against insurgency, arms smuggling and drug, human and wildlife trafficking between India and Myanmar. However, given the continuance of mindless violence against the people of the northeast, further cooperation by the countries is the need of the hour.

The northeast of India shares historical, ethnic and cultural links with Myanmar, with whom India shares more than 1,600 km land border. The north-east of India will greatly benefit if connectivity with Myanmar is increased, and to this end several projects are ongoing, and the entire region can become a shared economic and cultural space which will greatly benefit the overall relationship between the two neighbours.

However, the connectivity projects can fall into misuse, if instead of fostering people-to-people contacts and rekindling kindred bonds they facilitate the anti-social elements who continue to unleash violence and thus far have been beyond any political or legal reproach. Drug peddlers, small arm dealers, smuggler’s, human traffickers are some of other nefarious elements which have the ability to misuse greater linkages between northeast India and Myanmar. Thus, the security of the state and the people of northeast India greatly depend on full-spectrum security coordination with Myanmar.

India-Myanmar relations are also defined by their active participation in regional groupings, which most significantly forms a fundamental aspect of realizing India’s goals in its Look East Policy. The two most visible regional groupings which characterize India-Myanmar relations are the Bangladesh-India-Myanmar-Sri Lanka-Thailand Economic Cooperation (BIMST-EC) formed in 1997 and the Mekong-Ganga Cooperation (MGC) initiated in 2000. In addition, China launched the Kunming Initiative (BCIM) (Bangladesh-China-India-Myanmar) in 1999.

Through these regional groupings, India and Myanmar are involved in several projects which are not only limited to fostering economic development but also include uplifting cooperation in tourism, culture, and emphasizing connectivity between India and Southeast Asia based on ethnic, cultural and historical similarities. The latest summit level meeting of such regional groupings was the 3rd BIMSTEC Summit held in March 2014 in Myanmar where then Indian prime minister Manmohan Singh stressed on increasing investment in building connectivity, economic and security cooperation, which was indicative of the panoramic array of areas on which engagement with Myanmar is crucial for India.

Apart from ensuring greater cooperation on economic, security and cultural fronts, India and Myanmar are also pursuing closer ties by leveraging the historical, cultural and ethnic commonalities which people on either sides of the border share. Currently, the Rohingya question, Kachin insurgency in Myanmar and the insurgents of various outfits of northeast India are issues which have taken a huge toll of the social fabric of either nation, and they make it mandatory for the countries to cooperate to quell and control these issues.

Communal clashes, secessionist tendencies, insurgent attacks, have become common characteristics of the region on the border of India-Myanmar, which is greatly endangering human life in the region. Given the situation, where tens of thousands are routinely displaced, hundreds killed, promoting human security on their borders should trump the loftier state-centric goals.

It is in the interest of India and Myanmar to seek the resolution of their respective internal problems, especially those on the borders because despite globalization, being immediate neighbours, instability on one side of the border will have ramifications on the other side – as geography still matters!

* Obja Borah Hazarika is an Assistant Professor, Department of Political Science, Dibrugarh University, Assam, and can be contacted at contributions@spsindia.in

The post India-Myanmar Relations: Geography Still Matters – Analysis appeared first on Eurasia Review.

Western Sanctions And Russia’s Oil And Gas Challenges – Analysis

$
0
0

Are Western sanctions and falling oil prices working in tandem to undermine the Russian economy? Michael Bradshaw thinks so. Not only are they accelerating the decline in Russia’s oil and gas production, they’re also making it easier for the West to keep the sanctions in place.

By Michael Bradshaw*

Russians do not actually celebrate Christmas until the7th of January, but no doubt most are wishing for a rapid rebound in the oil price and a significant recovery in the value of the ruble. Unfortunately, neither seems likely anytime soon. Similarly, Western governments—led by the US and EU—are unlikely to lift their sanctions against Russia without significant movement from the Kremlin (which also seems unlikely). The EU’s sanctions will be subject to review later in the year, starting in March, and no doubt some member states will be concerned about the negative impact that the current measures are having on their own economies. But the US sanctions are likely to stay in place for some time to come.

Much has already been written about the nature of the sanctions, their content and their intent (see a recent article by Peter Rutland). The sanctions are aimed at individuals, organizations and companies close to the ruling elite in Moscow. The EU’s sanctions fall into three main areas: financial sanctions against designated Russian banks, energy companies and defence companies; arms embargoes and restrictions on certain duel purpose technologies; and restrictions on exports of high tech goods and services in the energy sector. In early December the EU clarified the aspects of the energy sector subject to sanctions:

  • oil exploration and production in waters deeper than 150 metres;
  • oil exploration and production in the offshore area north of the Arctic circle; or
  • projects that have the potential to produce oil from resources located in shale formations by way of hydraulic fracturing (it does not apply to exploration and production through shale formations to locate or extract oil from non-shale reservoirs).

The purpose of this short comment is to consider the impact of the sanctions, together with wider trends in the global economy, on the challenges facing the Russian oil and gas industries. In doing so, it addresses three issues: first, the immediate and short-term consequences for Russian oil and gas exports; second, the impact on the planned development of LNG exports; and finally the implications for Russian oil and gas production and exports in the 2020s.

A multitude of challenges

Even before the imposition of sanctions and the recent dramatic fall in the oil price, it was widely recognised that the Russian oil and gas industries faced significant, but different, challenges. Since the mid-1990s, the dramatic recovery of Russian oil production has been based mainly on enhanced production from fields inherited from the Soviet industry. Western service companies and the TNK-BP joint venture played a key role in this resurgence. In recent years production has stabilised around the 10 million barrels a day level and some new fields—such as Vankor in East Siberia and the Sakhalin offshore projects—have provided new production to enable this (in fact Russian oil production reached a post-Soviet high of 526.75 million tons in 2014). However, due to the high tax burden and short-termism, the industry has not invested sufficiently in exploration and development activity, and it seems inevitable that production will start to fall towards the end of the decade. To counter this, it is hoped that the development of tight oil deposits in West Siberia will provide new production in the short-term in close proximity to existing infrastructure; while in the longer-term new fields in East Siberia and offshore—both in the Black Sea and Arctic—would provide a boost in the 2020s.

In the case of Russian gas, it is not a shortage of reserves but the inability to find customers willing to pay a premium price that presents the challenge. The domestic market is already liberalised, and Gazprom has been losing market share to Novatek and the oil companies with gas to sell. At the same time, it is well understood that Europe does not represent a growing market for Gazprom. Existing long-term contracts will ensure that sales remain above the 100 bcm level well into the 2020s, but the cancellation of the South Stream project highlights just how difficult things are in Europe. In response, diversification was to be achieved in two ways: first, by expanding LNG production and export; and, second, by accessing new markets for pipeline gas in Asia. The latter has been achieved through the 38 bcm agreement reached with China in May 2014, and Russia hopes that a second 30 bcm agreement will be made in the next year or so. However, the agreement struck in May commits Gazprom to a $55 billion investment programme with questionable financial returns for both the company and the Russian state, particularly since the gas price is oil-indexed. There is no doubt that China has used events in Ukraine to strike a good deal for itself in terms of accessing Russian energy reserves (Rosneft has sold 10 per cent of the Vankor field to the China National Petroleum Corporation (CNPC)).

Targets and unforeseen consequences

Western sanctions against the Russian oil and gas industry were designed—at a time when the oil price was around $ 100 a barrel—so as not to interrupt the flow of oil and gas onto global markets. Instead, the focus on the Arctic offshore and tight oil was deliberately aimed at stopping a series of agreements between the international oil companies and Rosneft and Gazpromneft to develop medium (by the end of the decade) and longer-term prospects (mid-2020s). This has denied Rosneft billions of dollars in production carries promised by ExxonMobil, Statoil, Total and ENI (BP still owns 19.75% of Rosneft). While it has been relatively straightforward to target high-profile projects such as the ExxonMobil-Rosneft venture in the Kara Sea, where the partners struck oil last summer, much of the equipment needed for tight oil exploration and development is also used to produce ‘hard-to-get’ conventional oil. The net result is that the Western service companies and their suppliers are in an ambiguous situation on the ground in Russia and are siding with caution and withdrawing. This leaves a gap that the domestic service industry cannot fill.

Whether intentional or not, it is the financial sanctions that are having the most significant immediate impact on the oil and gas sector. Rosneft in particular is heavily indebted, is having to rationalise its investment plans, and is calling on the state to help it meet its financial obligations. Gazprom is also having to pay greater attention to the bottom line, and is probably relieved that the $40 billion South Stream project has been cancelled, which allows it to focus on East Siberia and the Power of Siberia pipelines. While it had banked on receiving $25 billion from China towards the field development and pipeline construction costs, that now seems unlikely. Again, the Kremlin may end up being the bank of last resort. The private gas company Novatek is also betting on funding for its Yamal LNG project from China as CNPC is a shareholder in the project, but it too has secured a $2.6 billion loan from the National Welfare Fund. Rosneft, meanwhile, is seeking a $4 billion loan to finance four of its projects. Thus, the oil and gas sector is proving an unforeseen victim of Western financial sanctions. Indeed, sanctions may well have an immediate impact on the activities of Rosneft—which now produces more than half of Russia’s oil—and could accelerate the predicted decline in Russia oil production.

Russia’s LNG plans in tatters

A year ago the prospects for the development of Russian LNG were looking bright. The Russian Government had just allowed the limited liberalisation of LNG exports that enabled both Novatek and Rosneft to progress with their projects on the Yamal Peninsula and Sakhalin Island respectively. Gazprom was planning the Vladivostok LNG plant, was resurrecting its Baltic LNG project, and was close to committing to the construction of a third train at Russia’s only operating LNG facility on Sakhalin. Now, 12 months on, Novatek is struggling to finance the first train of its three-train project, and progress will inevitably be delayed. Gazprom has all but cancelled the Vladivostok project due to concerns that LNG liquefaction technology might be added to the sanctions list, but also because it recognizes that project finance and customers will be very hard to find. On Sakhalin Island, Rosneft and ExxonMobil continue to talk about the Far Eastern LNG plant, but they have not resolved their conflict with Gazprom over access to the Trans-Sakhalin pipeline and no investment decision on the LNG project has been announced. Likewise, no investment decision has been forthcoming in relation to expanding Sakhalin Energy’s LNG plant that Gazprom owns together with Shell, Mitsubishi and Mitsui. Again, problems securing financing and buyers will likely delay both Sakhalin projects. In general, Asian buyers are unlikely to commit to Russian LNG in the current geopolitical climate, and the LNG market is shifting as new production comes onstream in Australia and demand softens. The falling oil price is also leading the International Oil Companies (IOCs) to rationalise their investment expenditure. In such a climate, placing Russian projects on hold may be an easy decision to make. To make matters worse, the falling oil price impacts the price of LNG, which, when combined with the impact of financial sanctions and buyer concerns, has left Russia’s LNG plans in tatters.

A market solution for the West

In his first two terms as President, Vladimir Putin rode a wave a rising oil prices and sustained production increases. Russian oil exports played a key role in matching surging global oil demand, compensating for problems in places like Iraq and Iran. Then the 2008 financial crisis struck, but prices quickly rebounded and Russia was able to use its financial reserves to avoid economic collapse. Once again Russia reaped the dividend of high oil prices without promoting diversification or investing sufficiently in future oil production.

But those high prices were also promoting the tight and unconventional oil revolution in North America and the likes of Iraq and Iran were returning to the international oil market. As supply surged, demand failed to keep pace, Saudi Arabia and OPEC refused to constrain production (a policy encouraged by the US), and the resulting adjustment has seen the oil price fall from $110 in the middle of 2014 to less than $60 at year-end.

Much of the current fall in demand is cyclical, but some of it is structural. As oil demand continues to fall in the OECD, efficiency improves and oil faces competition in the transportation sector. This suggests that those, such as Russia’s energy executives, who think that demand will quickly rebound, at which point prices will recover, could be in for a long wait. This means that the market could easily absorb a prolonged period of sanctions against Russia and a subsequent fall in Russian oil exports. The current Russian budget assumed an average oil price of $100 in 2015. Now, the Russian Finance Ministry projects that an average price of $60 this year would see the economy shrink by 4 per cent and the country would run a budget deficit of 3 per cent. Indeed, this may be optimistic, and difficult times are clearly ahead. Whether that will change Russia’s position on Ukraine remains to be seen. What is clear is that current conditions make it easier for the West to keep its sanctions in place, while the markets do the rest.

* Michael Bradshaw is Professor of Global Energy at the Warwick Business School and author of Global Energy Dilemmas: Energy Security, Globalization and Climate Change, published by Polity Press.

The post Western Sanctions And Russia’s Oil And Gas Challenges – Analysis appeared first on Eurasia Review.

Sri Lanka: Smooth Power Transfer Proves Doomsdayers Wrong – Analysis

$
0
0

By N. Sathiya Moorthy*

All of Sri Lanka and all Sri Lankans can congratulate themselves for the smooth power transfer at the end of an eventful decade of President Mahinda Rajapaksa’s rule and the ushering in of his elected successor in President Maithripala Sirisena.

They have reassured themselves and the rest of the world, “the king is out, long live the king”, which is still the underlying principle of a constitutional, pluralistic democracy.

Sri Lanka's Maithripala Sirisena. Official photo via Facebook.

Sri Lanka’s Maithripala Sirisena. Official photo via Facebook.

Much of the apprehensions on the conduct of free and fair elections and a smooth power transfer should the incumbent lose the elections, and narrowly, had come from outsiders. External governments and the media from outside had exhibited their ignorance of the Sri Lankan scheme, its democratic viabilities and alternatives, had caused aspersions on the poll process and President Rajapaksa’s willingness to exit gracefully should the occasion arise.

The sad thing about Sri Lanka is that such doomsdayers did get a lot of encouragement and inputs from Sri Lankans – political party leaders, academics and civil society outfits — mostly based on speculation being palmed off as information.

Defending the ‘indefensible’

In doing so, they ended up questioning the integrity of the nation’s Election Commission, and in this case as during the last presidential polls of 2010, the nation’s professionally-run armed forces as well. Left to defend the ‘indefensible’ of a different kind, the outgoing government, particularly the Foreign Office, could not but escape going aggressive.

Sri Lanka's Mahinda Rajapaksa

Sri Lanka’s Mahinda Rajapaksa

It was thus that President Rajapaksa’s government reacted to UN Secretary-General Ban Ki-moon’s call to then external affairs minister G.L. Peiris, and a later day public statement, calling for free and fair elections. On the very eve of the poll, US Secretary of State John Kerry talked likewise to President Rajapaksa.

The government of the day dubbed the UN statement ‘misplaced’ – and the subsequent events proved it right. Secretary Kerry has since joined the new rulers of Sri Lanka in publicly congratulating President Rajapaksa in facilitating the smooth power transfer. So have some of the other world nations and Sri Lanka’s friends, starting with Japan.

The smooth transition was what has made Sri Lankan democracy what it is, despite the stray episode of the losing presidential candidate, Sarath Fonseka, purportedly claiming otherwise after the results were announced in 2010. The message for the international community, particularly at the time of the exit of President Rajapaksa – which at least some of them had desired – is clear.

They now need to take a fresh look at themselves and their ‘unimpeachable’ sources in Sri Lanka (and other Third World nations, too), from which Wikipedia-like internal communication are generated for not just the US, but all foreign governments to rely upon. It would be half the problem solved, as far as Sri Lanka’s post-poll relation with the international community is concerned.

Political reconciliation

The smooth power transfer has set the stage for political reconciliation, post-poll. It did not happen post-war, as was hoped for. President Sirisena and his newly-appointed Prime Minister, Ranil Wickremesinghe, have returned President Rajapaksa’s gesture – which anyway was the constitutional scheme – by promising him legal support.

Translated, it could mean that the new government would stand by him – and the nation’s victorious, yet much-maligned armed forces – in matters of the ongoing United Nations Human Rights Council (UNHRC) probe on ‘accountability issues’ flowing from allegations of ‘war crimes’ relating to the military decimation of the Liberation Tigers of Tamil Eelam (LTTE) terror group. With the UNHRC session due in March, the new government’s immediate steps would be watched with interest and/or concern, depending on which side one is looking at – and looking from.

Needless to point out, it would require a lot of political negotiations nearer home (particularly with the Tamils) and diplomatic skills at the international level before an ‘acceptable closure’ is effected to what could still threaten the Sri Lankan nation and its institution as a whole. It would require genuine gestures to the Tamil minorities – like the appointment of a ‘civilian’ as governor of the Northern Province, and replacement of the chief secretary with one chosen by Chief Minister C.V. Wigneswaran.

However, larger issues would have to go beyond the immediacy of the sweeping Tamil support for the ‘common opposition candidate’ — which made Sirisena’s victory possible — before preparing the ground for political negotiations. Like the Tamils, the Muslims too had voted Sirisena wholesale. Even without this, the new government, with post-poll ethnic and political reconciliation as its electoral message, needs to find ways to end the sudden alienation of the nation’s Muslims, who felt threatened and insecure after the unprovoked and unchecked attacks by the Sinhala-Buddhist ‘majoritarian’ Bodu Bala Sena (BBS).

Pope’s visit and message

Sri Lanka could not have asked for more, nor could have President Rajapaksa done more. Independent of his government’s perceived electoral motives involved in inviting the Pope, the Holy See’s visit to Sri Lanka on Jan 13-14, within the first week of the new government, has a message of its own in terms of ethnic and communal reconciliation in every which way.

The Pope will also be the first VVIP to visit Sri Lanka post-poll. As a head of state, the Pope will be received by President Sirisena and Prime Minister Wickremesinghe. The Pope’s Holy Mass at the sprawling Galle Face Green in Colombo on Jan 13, and more so at the renovated Maddu Church in the Tamil North, which the LTTE had used as a bunker through the decades of war and violence, the next day will be keenly watched for the message that they convey in terms of ethnic and communal reconciliation.

As coincidence would have it, the Pope’s visit to the Tamil North occurs on the day of the ‘Bogi’, the first day of the annual Tamil harvest festival of ‘Thai Pongal’.

‘Non-aligned agenda’

Addressing the nation from the Independence Day Square venue of his swearing-in only hours after the poll results were known, President Sirisena promised to “build bridges aimed at developing friendly relations with the world, based on a non-aligned agenda.” It reflects the traditional political stance of the Sri Lanka Freedom Party (SLFP) and his predecessor presidents, Chandrika Bandaranaike Kumaratunga, CBK, and Rajapaksa. CBK, needless to recall, too backed Sirisena in his poll campaign.

The world at large, and India as the immediate and concerned neighbour, would be watching keenly as to how and when the new government begins this reorientation to the middle path, from what is seen as an excessive and at times unacceptable tilt towards China, purportedly under the predecessor regime. It will require a balancing and reconciliation of a different kind, as Prime Minister Wickremesinghe and his United National Party (UNP) are often identified with the West, maybe more than required.

For now, however, the new leadership’s focus would be on the domestic front, in making the loose and divergent parties, whose sole interest was to see President Rajapaksa replaced, to work as a cohesive team in government, parliament and outside. It’s not going to be an easy task, as Rajapaksa and his predecessors had found out in their times.

On this score, President Sirisena begins his first 100 days with a commitment to ensure the exit of the Executive Presidency and restore the confidence of the people on governance issues, through appropriate legal and political reforms. It’s easier said than done, as entrenched influence in the nation’s polity, cutting across party lines, would not want to discipline themselves in matters of corruption and mal-governance as all of them come with a price tag of one kind or the other.

The Sirisena-Ranil leadership could not fail itself on this score as they could then be failing their respective parties in the parliamentary polls that is due in the first half of 2016. Given the ‘proportionate representation’ (PR) model of parliamentary polls that the new leadership has promised to replace with a ‘mixed model’ involving the ‘first-past-the-post’ scheme, as well, it’s not going to be an easy task.

Needless to say that in this and other matters of political reforms, the new leadership would be tempted to be guided by the political realities of their times – and also the all-accepted Sri Lankan tradition of personality-driven leadership. How far do they overcome such temptations would also be keenly watched — in the process accommodating the diverse ‘minority’ interests and aspirations without compromising larger national concerns, which are as real, if not more.

Civil service reforms

Nothing described the post-poll national reconciliation process better than veteran civil servant, Lalith Weeratunga, secretary to the outgoing president discharging his constitutional duties at the swearing in of President Sirisena and Prime Minister Wickremesinghe. In time, he may be replaced by a person of the new leadership’s choice, and rightly so. So may be so many ‘political appointees’ of the previous regime at all levels of public administration, nearer home and abroad.

Simultaneously, Central Bank Governor Ajith Nivard Cabraal has put in his papers. Senior-most Supreme Court Judge S. Sripavan officiated at the swearing-in of the new president after Chief Justice Mohan Peiris came under a cloud when parliament impeached predecessor Sirani Bandaranaike in a hasty and unprecedented move.

Having conferred on the Executive the power to make ‘political appointments’ ad infinitum, and done so while in office earlier, too, the new dispensation could find the promised return to the 17th Amendment appointments ‘Councils’ unworkable, as it was through the years when it was supposed to be in force. It might hence have to find a via media, which could keep the politicians and their chosen nominees out of the process – instead, conferring such powers/responsibilities on an enlarged Public Service Commission after improving its credibility.

‘National government’

Ahead of the elections, candidate Sirisena had said that his would be a ‘national government’ of and for reconciliation. Post-poll, media reports have indicated that the majority SLFP faction (which is also the official group recognised by the Election Commission), would cooperate with the new dispensation. How far and how would they travel in keeping up that commitment, if made, would remain to be seen, particularly in the matter of abolishing the Executive Presidency and the introduction of governance-related reforms.

In between, President Sirisena and fellow SLFP leader Chandrika Bandaranaike Kumaratunga should desist the temptation of ‘hijacking’ the official SLFP, which she in particular had charged president Rajapaksa with. If Rajapaksa won the previous election, it’s he who has lost it this time – yet with a 47.48 percent vote-share (almost all of which were votes for the man and his leadership) against President Sirisena’s 51.28 percent (not all of which were anti-Rajapaksa). Thereby hangs a tale, and that’s where to begin ‘national reconciliation’ and mainstreaming of every kind!

* N. Sathiya Moorthy is Director, Chennai Chapter of the Observer Research Foundation. Email: sathiyam54@gmail.com

The post Sri Lanka: Smooth Power Transfer Proves Doomsdayers Wrong – Analysis appeared first on Eurasia Review.

Enabling Or Evading? Germany In The Middle East – Analysis

$
0
0

By Kristina Kausch*

Something is shifting in German foreign policy. Berlin’s traditional reluctance to engage in military action abroad has marked it as a security free-rider as far as its European and transatlantic allies are concerned. Since reunification, Germany’s foreign policy has focused largely on securing commercial interests to support the country’s export-oriented economy, with the result that Germany has been coined a ‘geo-economic’ international actor.

More recently, however, a number of events have intensified debates on the maturity of German foreign policy. During the Eurozone crisis, Germans came to realise that their European Union (EU) partners actively wanted the country to assume a leadership role. The speech by President Joachim Gauck at the Munich Security Conference in January 2014 both expressed and framed a new narrative for German foreign policy. More recently, as the unravelling of the Middle Eastern status quo advances at great speed, it is time for a more purposeful role for the EU’s strongest member in dealing with developments in the Middle East and North
Africa (MENA).

The deep-seated rejection of military deployments abroad by the German electorate has made successive governments in Berlin reluctant to increase Germany’s role as an international security actor – beyond technical and humanitarian missions. Since the Bundeswehr’s first troop deployments abroad in Kosovo (1999) and Afghanistan (since 2001), the 2003 US-led intervention in Iraq pushed German public opinion firmly back towards anti-militarism. Chancellor Merkel has stressed that rather than being a front row military power, Germany should focus on ‘enabling’ friendly governments to contribute to the peaceful resolution of conflicts (a posture for which Der Spiegel in 2012 controversially coined the term ‘Merkel Doctrine’). Critics have qualified such position as a populist tactic to play to German export interests and avoid direct military action abroad.

Looking eastward rather than southward, Germany’s engagement and profile in the MENA region has been limited. In addition to its commercial interests and desire to contain migration, broader regional security concerns are the main driver of Germany’s partnerships and approach in the region.

Berlin’s Economic Stakes

The impact of developments in the Middle East on global commodity prices is a concern for Ger- many, which imports 97 percent of its oil and 86 percent of its gas. Unlike many other EU member states, however, Germany does not source much energy from the Middle East (see Figure 1), apart from some oil from Libya and Algeria, but practically no gas. Until the fall of the Gaddafi regime, Libya was Germany’s main oil supplier in the Arab world. The deteriorating security situation in Libya, however, will likely require Germany to seek other suppliers.

In light of periodical crises with Russia and, most recently, the 2014 crisis over Ukraine, the need to reduce Germany’s dependency on Russian gas imports has been exposed. Without alternative pipelines in place, however, options to substitute Russian gas with that from the Middle East are limited. Germany has no liquefied natural gas (LNG) import terminals to receive LNG from the Persian Gulf. To reduce dependency on Russia, Germany aims to buy more in the EU (e.g. Norway). Over the long run, Germany’s Energiewende (energy transition) policy aims to reduce fossil fuel use and cover half of its electricity consumption with renewables by 2030.

The volume of German trade with Arab states has more than doubled since 2002, reaching €50 billion in 2013. Berlin maintains the closest commercial ties with the countries of the Gulf Cooperation Council (GCC): in 2012, German exports to Saudi Arabia (mainly hydro-chemical products and petrochemicals) and Saudi exports to Germany increased over 71 percent and 28 percent, respectively. German foreign direct investment (FDI) in Arab countries, by contrast, remains limited. According to the United Nations Conference on Trade and Development (UNCTAD), German FDI stock in North Africa, after having tripled in a decade (from $1.07 billion in 2001 to $3.5 billion in 2011), dropped by half following the 2011 uprisings to $1.7 bil- lion in 2012. Over the same decade, German FDI stock in West Asia (largely equalling the Middle East and Turkey) increased eightfold (from $1.8 billion in 2011 to $14.6 billion in 2011). The most important destination for German FDI among Arab countries are the United Arab Emirates (UAE), Egypt, Libya and Saudi Arabia, although none of these gets close to Turkey, which alone holds more German FDI stock than all Arab countries taken together.

Germany’s politically most significant export to the MENA is weaponry and military equipment. The political relevance of German arms sales stems less from their (comparatively moderate) volumes than from the nature and timing of exports to unambiguously repressive regimes. Germany is the third-biggest arms seller world-wide, accounting for 7 percent of global exports, according to the Stockholm International Peace Research Institute (SIPRI). The Merkel government loosened restrictions on arms exports at the height of the economic crisis. Dwindling European defence budgets and fiercer competition in the arms market with Russian and Chinese competitors have led German commercial exports to non-allies (so-called Third States) to increase massively from €180 million in 2009 to €843 million in 2011, accounting for 62 percent of German arms exports in 2013. Periodical public outcries about German arms sales to authoritarian Gulf monarchies in recent years have intensified debates over the need for tighter regulation of German arms exports.

In 2009-13, SIPRI reports that 17 percent of German arms exports went to the Middle East. After decades of intensive bilateral security cooperation, Israel remains Germany’s top long-term arms client in the region (in 2009-13 it received 8 percent of total German arms exports). In recent years, however, export licenses have skyrocketed to Gulf monarchies UAE, Saudi Arabia and Qatar, as well as Algeria. In 2012, Germany cleared new arms sales worth €1.2 billion to Saudi Arabia alone (see Figure 2), ranking Ryiadh as Germany’s top global arms client that year. Sales of controversial small firearms increased by 50 percent in the period 2009- 13, and many of these went to Saudi Arabia and other MENA countries. Screen Shot 2015-01-16 at 9.20.57 AM

German-made tank pieces and crowd control equipment such as teargas were cleared for delivery to regimes known for domestic repression. In 2013, Germany cleared the sale of 62 Leopard tanks to Qatar, marking the first time the German government allowed the sale of tanks to an Arab state. German arms exports to the region reflect both a political rationale (strengthening the position of regional partners) and an economic one (the Gulf defence market being one of the most lucrative in the world). Demands to strengthen arms export restrictions along ethical criteria have met with strong opposition from the German arms industry, and impatience from potential Gulf clients.Screen Shot 2015-01-16 at 9.22.16 AMWith the exception of Germany’s military assistance to Israel (which is considered to be a contribution to Israeli self-defense), German direct arms delivery to strengthen one side of an ongoing conflict is a novelty. The August 2014 decision to deliver arms to Kurdish fighters to counter the Islamic State (IS) in Iraq was adopted by the government and cleared by the Bundestag against the will of the German public, 63 percent of whom opposed this move (according to an August 2014 Forsa poll).

Screen Shot 2015-01-16 at 9.23.07 AMIn the area of development cooperation, the MENA region ranks low among Germany’s geographic priorities. The region’s share of Germany’s total bilateral net Official Development Assistance (ODA) fell from 34 percent in 2007 to 9 percent in 2012. Over this period, the bulk of ODA to MENA countries went to Iraq, Egypt, and the West Bank and Gaza. In the past few years, Germany has reduced its aid levels to Iraq, and to a lesser degree to Morocco, while enhancing allocations to Tunisia, Jordan and Syria in the wake of the 2011 uprisings.

In spite of Germany’s moderate aid levels, the country ranks high as a bilateral aid donor in many MENA countries. For example, Germany is Iran’s largest bilateral aid donor, whose contribution – although small in absolute terms – exceeds the next biggest donors by threefold. Although Germany’s position as an aid donor bestows it some leverage in those countries that depend heavily on aid, Germany’s position as a commercial powerhouse and most influential country in the EU is likely to outweigh any aid- related influence. (see figure 3)

Security Concerns

Beyond its economic interests in the Middle East, Germany seeks to maintain stability, but has little aspiration – or assets – to pro-actively shape the larger course of the region. Several policy choices regarding the Middle East have significantly influenced the wider debate on German foreign policy. Germany’s abstention in the United Nations Security Council (UNSC) vote on the establishment of a no-fly zone over Libya in March 2011 marginalised Berlin from its allies, and was seen by many as a low point for German foreign policy since the end of the Cold War. This experience prompted Germany to adopt a somewhat more vocal stance on Syria.

Furthermore, as mentioned above, the recent decision to arm Kurds fighting IS was the first time that post-war Germany has delivered weapons to back a specific side in an ongoing armed struggle.
Germany’s abstention on Libya was perceived among GCC partners as a missed opportunity to deepen its political ties with the region, especially given Germany’s leadership role within the EU.

Some Gulf analysts have argued that the GCC countries see the EU and its member states as potential security providers for the Gulf. They would like to see Germany taking the lead in building EU security capacities to counteract the security threats in the Levant.
Berlin’s main security concerns in the MENA region include: Israeli security and prospects for a two-state-solution for Israel and Palestine; Iran’s nuclear proliferation and the implications of an Iranian-Saudi stand-off; and containing the spread of transnational jihadism and conflicts in and from an increasingly uncontrollable Levant.

Historic Responsibility

For the past five decades, Israel has been Germany’s closest bilateral ally in the region, and for Israel, Germany is its closest ally after the US. The two countries have shared a long-term security partnership since the 1960s. In 2008 Angela Merkel, who is very popular in Israel, was the first foreign head of government to be invited to address the Knesset. In her speech she underlined Germany’s ‘special historical responsibility for Israel’s security’ as being part of Germany’s raison d’être’. Decisions on German arms exports to the MENA region are routinely consulted with the Israeli government. Germany is Israel’s second biggest arms supplier, after the United States (US). Some arms purchases, such as submarines, have been subsidised by the German government by up to one-third of the price. Israel is the only country in the world whose arms purchases from Germany are directly subsidised by the German government.

Its special relationship with Israel notwithstanding, Berlin maintains good and stable relations with the Palestinian leadership in Ramallah. Germany is the fourth-biggest bilateral donor to the Palestine Liberation Organisation (PLO), but maintains no official relations with Hamas. Although Berlin welcomed the formation of a Palestinian unity government, it insists on the Quartet conditions prior to ending the isolation of Hamas. Although German diplomats admit a two-state-solution to be increasingly unlikely, Germany works with the PLO to build its capacities to that effect. Germany was the main force within the EU to push for US State Secretary John Kerry’s initiative to revive the peace process in 2013-14. It also supported the EU’s recently tougher line on Israeli settlements.

At the same time, however, Germany remains very reluctant to criticise Israel publicly. During the 2014 Gaza war, German statements did not address the high Palestinian death toll and Berlin abstained from a United Nations (UN) Human Rights Council vote on a statement condemning Israeli actions in Gaza. By abstaining from the November 2012 UN General Assembly vote that indirectly recognised Palestinian independence, Germany aimed to avoid alienating Israel while at the same time not discouraging Palestinian ambitions for statehood. Germany’s special relationship with Israel both enables and limits its options to influence the peace process.

Most Arab governments today accept that Berlin’s positions and actions on the Israeli-Palestinian dossier will never overstep certain boundaries (for example, nobody expects the German parliament to vote on Palestinian independence, as recently happened in a number of EU countries).

From a regional perspective, Germany’s arms sales to Saudi Arabia serve Israel’s interests. At a time when the Saudi-Iranian competition for regional dominance develops into the most marked feature of regional order, Israel looks favourably on deepening military ties between Germany and the GCC states. This underscores Israel’s tacit alliance with Ryiadh in its shared interest in countering Iranian influence.

Ending Iran’s Isolation

Among EU member states, Germany has had the best relations with post-1979 Iran. It is Iran’s second-biggest trade partner and most important aid donor. Among the Iranian public, Germany has a very positive image. Since the beginning of Merkel’s tenure in 2005, Berlin has aligned itself with US and Israeli tougher stances and calls for economic sanctions, while also strengthening Saudi Arabia’s position through arms sales. Germany is a member of the P5+1 nuclear talks with Iran. Within this grouping, Berlin has been taking a middle position between Washington and Paris pressing Iran, and Beijing and Moscow’s reluctance to corner Teheran. Foreign Minister Steinmeier has been pushing for a comprehensive deal to be concluded quickly, in an effort to re-integrate Iran into the international community and avert nuclear proliferation. The German government has been arguing that a deal with Iran would remove a major roadblock to solving other regional security challenges. Awaiting the end of the sanctions regime under a possible long-term nuclear deal, German businesses are primed to maximize their commercial advantage.

Syria, Iraq And Transnational Jihadism

Mindful of the criticism its hesitation over Libya engendered, on Syria the German government has been struggling to reconcile a policy of restraint with the need to remain in sync with its North Atlantic Treaty Organisation (NATO) allies. Berlin recognised the Syrian National Coalition as the legitimate representative of the Syrian people early on. In December 2011, Merkel pushed for a UNSC resolution against Assad and sided with the opposition. More broadly, however, German’s Syria policy has been hesitant. Merkel made it clear that Germany would not be part of a military intervention in Syria but would seek to agree a common position within the EU. Four years after the 2011 Arab uprisings, German diplomats admit that hopes for an imminent end to the Syrian civil war have evaporated. In the meantime, Germany carries on assisting the Syrian people with a half-hearted and low-key approach. With political options scarce and military action ruled out, German policy in Syria has been focusing on humanitarian aid and diplomatic efforts – which are, as one German diplomat told this author,‘a drop in the ocean’.

Germany has, however, dedicated a special effort to the refugee dossier, having given refuge to over 70,000 Syrians until October 2014, including many key opposition figures. The Syrian opposition has an office in Berlin. Upon taking office under the Grand Coalition, Steinmeier and Defence Minister von der Leyen also pushed through a Bundeswehr participation in destroying Syria’s stockpile of chemical weapons (which Merkel had suppressed in her previous governing coalition to appease the then coalition partner, the liberal FDP). In October 2014, Berlin hosted an international conference on the Syrian refugee crisis intended to help neighbouring countries cope and reduce the prospects of regional security spill-over. The German security services have also been working to monitor and contain the flow of foreign fighters between Germany, Iraq and Syria – an effort likely to gain further impetus following the recent Charlie Hebdo attacks in Paris.

In Iraq, Germany enjoys a generally positive image owing to its opposition to the 2003 invasion. Nevertheless, Germany’s role and ambition in Iraq is marginal. One diplomat admitted to this author that in Iraq Germany was ‘dropping aid over the mountains but (had) otherwise no clue what to do’. The above mentioned August 2014 decision to deliver arms to Kurdish Peshmerga was a highly controversial precedent. Taken against the background of the IS siege on Iraqi Yezidis, the move was justified by Merkel primarily on humanitarian grounds. Although the government had initially ruled out troop deployment, by December the cabinet had approved the sending of 100 German troops to train Kurdish fighters. The exact objectives and strategy underlying these decisions, however, remain unclear. As dynamics in the fight against IS increasingly point towards a long-term engagement of the coalition, Germany is likely to become more entangled in the dynamics of the conflict.

Conclusion

Germany’s influence in the Middle East is limited. Nevertheless, Berlin’s role in shaping positions within the EU, its close alliance with Israel, its good relations with Iran and its growing partnership with the GCC states mean that it is far from being a toothless geopolitical actor in the MENA. Germany’s reluctance to even consider deploying military power has marginalized it as a player in most of the Middle East’s major hotspots. Acting largely as a reluctant bystander, German deliberations on the MENA have tactily prioritised reactive firefighting on security matters and the conservation of the political status quo.

The combination of rhetorical moral ambition, primacy of commercial interests and military passivity positions Germany’s approach to the MENA as a prime example of the West’s prioritisation of superficial stability in the Middle East. In Palestine, Germany’s reluctance to put pressure on Israel has favoured the status quo in Gaza. In Syria, Germany has been as inconclusive as its international allies in advocating non- intervention without advancing better options. Germany’s role in the Iran negotiations has been positive and constant. If and when Iran comes back in from the cold, however, Germany is likely to prioritise commercial relations and Tehran’s collaboration on regional issues over domestic reforms. Germany’s priority is avoiding conflict, but with the EU’s neighbourhood in turmoil, both its focus on the stability of authoritarian regimes and its security free-riding appear increasingly unsustainable. Recent decisions by Berlin to adopt a more proactive stance in dealing with security crises in the MENA suggest that German foreign policy may be slowly starting to shift.

About the author:
Kristina Kausch is head of the Middle East and North Africa programme at FRIDE

Source:
This Policy Brief belongs to the project ‘Transitions and Geopolitics in the Arab World: links and implications for international actors’, led by FRIDE and HIVOS. We acknowledge the generous support of the Ministry of Foreign Affairs of Norway. For further information on this project, please contact: Kawa Hassan, Hivos (k.hassan@ hivos.nl) or Kristina Kausch, FRIDE (kkausch@ fride.org).

This article was published by FRIDE as Policy Brief No 191 – January 2015 (PDF).

The post Enabling Or Evading? Germany In The Middle East – Analysis appeared first on Eurasia Review.

Should India’s ONGC Buy Russia’s Rosneft? – Analysis

$
0
0

A fall in oil prices has pushed down the values of oil companies globally, giving India a rare chance to acquire assets cheap and hedge its economy against future increases in energy prices. There are plenty of plum assets to pick from—such as Rosneft, the state-owned Russian oil major.

By Amit Bhandari*

When oil prices started to hit new peaks in 2004-05, international big oil was one of the first to be blamed. The public perception was that for years oil majors such as ExxonMobil, BP, and Shell had found it more profitable to drill oil in Wall Street rather than in oil fields. Translated, it means that given low oil prices and their high cost structures, the oil majors found it more profitable to buy out smaller exploration firms which were drilling, rather than explore on their own. The $100+/barrel prices put an end to that era, as exploration became worthwhile.

Those happy days may be back again, and may present a once-in-a-generation opportunity for India. Lower oil prices have pushed down the values of oil companies by over 50%, giving India a chance to acquire assets cheap. This is a smart way to hedge our economy against future increases in energy prices.

There are plenty of plum assets to pick from. One such is Rosneft, the state-owned Russian oil major. Rosneft is one of the largest oil companies in the world, with oil and gas production of 5 million barrels per day.[1] That’s more oil than India consumes per day or will consume for several years to come. Rosneft has proven oil and gas reserves of 43.33 billion barrels.[2] Against this, India’s state-owned ONGC has a daily oil production of 1.13 million barrels a day, and total petroleum reserves of 7.1 billion barrels[3].

But there’s a difference—and an edge. The market capitalisation of ONGC is $46.8 billion. The market capitalization of Rosneft is $34.8 billion. This means that for a price less than the market value of ONGC, India (or anyone) can acquire a company producing 5 million barrels a day of oil and gas. It’s possible also because India is already saving over $60 billion annually now that the price of oil has fallen below $50 a barrel from over $100 a barrel last year.

Rosneft’s share value is low because western economic sanctions imposed in 2014 on Russia, following the Ukraine issue, have scared off investors; oil exploration in Russia attracts a higher tax regime; and there is always the risk of interference from the Russian government any time now or in the future.

This would have been an ultimate arbitrage trade, except that the counterparty in this case is the Russian government, and a private investor may not be able to play it. Obviously, this is a theoretical scenario—Rosneft is not on sale and neither has ONGC expressed a desire to buy it.

But it should. Rosneft trades on the London and Moscow bourses—about 10% of the company’s shares. So 5% of Rosneft can be bought for as little as $1.7 billion, giving ONGC and the Indian government a production and a buffer of 250,000 barrels a day—that’s more than the 170,000 barrels a day produced by ONGC Videsh after a decade in business.

Another attractive asset is UK-based Tullow Oil, an independent oil company which has made significant discoveries in Uganda and elsewhere in Africa. Tullow has oil reserves of 1.4 billion barrels,[4] and a market capitalisation of $4.8 billion. Effectively, these reserves are available for $3.6/barrel. Tullow’s stock price has fallen by 50% from August to now, in line with the drop in global petroleum prices.

Other firms have seen an even sharper fall in stock price and valuations. London-listed Enquest PLC, which produces 27,000 barrels a day of oil and has 2P (proven + probable) reserves of 194 million barrels,[5] has seen its market value fall by over 75% in the past six months, to just $317 million.

Several other similar-sized oil and gas companies are listed in stock markets across the world, such as London and New York, whose share prices have fallen sharply in the past six months. The oil majors like ExxonMobil and Shell have not seen such steep declines in valuations because they are integrated companies with other businesses, with oil exploration being just one income stream. For the smaller companies with income only from exploration, an oil price fall means an immediate hit to profits.

India’s public sector oil companies have had limited success so far in buying oil and gas assets overseas. Largely, they have been unambitious, but often they have been outbid by their Chinese counterparts. Most times it has worked against India; sometimes it has not. Like the $5 billion investment made by the Chinese at the top of the cycle for an 8.33% stake in the Kashagan oil field in Kazakhstan—which ONGC had bid for, but lost. Just as well, because the project has seen massive cost over-runs and production has been delayed for years.[6] But unsuccessful deals such as Kashagan are few. Mostly, China has benefitted from its investments.

It is time for Indian oil majors to step up to the acquisition game for energy security. India’s oil companies still have their war chest intact and can now pick up stakes in projects or in smaller oil companies trading in the global markets. New Delhi can direct ONGC to seek such opportunities aggressively, especially since ONGC also has the required exploration expertise. And it can raise the funds: the company has a net worth of over $20 billion and almost no debt, so it can raise more money if it wants to. Making a bid will be a bold first step, indicating that India is now in play.

An alternative is to set up a sovereign wealth fund, which can invest a part of India’s foreign exchange reserves in acquiring such stakes. However, without fund managers with expertise about the oil industry, this may be a less efficient option.

Low energy prices are a boon for India because we are, and will remain, a net energy importer. However, if energy prices start to inch up, as they inevitably do, the acquisitions made now will give India a hedge against higher oil prices in the future.

From the Indian perspective, this is a trade with only an upside.

* Amit Bhandari is Fellow, Energy & Environment Studies, Gateway House.This article was written for Gateway House: Indian Council on Global Relations.

References
[1] Rosneft, Rosneft at a Glance, <http://www.rosneft.com/about/Glance/>

[2] Rosneft, Annual Report 2013, 1 January 2014, <http://www.rosneft.com/attach/0/58/80/a_report_2013_eng.pdf> pp. 19

[3] ONGC, Investor Presentation, 1 November 2014, <http://ongcindia.ongc.co.in/wps/wcm/connect/73119297-8e8e-4233-987b-7082f47f8330/ONGC_Investor_Presentation_vff.pdf?MOD=AJPERES> pp. 4

[4] Tullow Oil, Our History and Performance, <http://www.tullowoil.com/index.asp?pageid=13>

[5] Enquest PLC, EnQuest 2014 Half Year Results, 13 August 2014, <http://www.enquest.com/~/media/Files/E/Enquest/documents/2014 Half year results/2014HalfYear0812Final.pdf>

[6] Forbes, Costly delays in bringing up Kashagan weighing on oil companies’ returns, 4 April 2014, <http://www.forbes.com/sites/greatspeculations/2014/04/01/costly-delays-in-bringing-up-kashagan-weighing-on-oil-companies-returns/>

The post Should India’s ONGC Buy Russia’s Rosneft? – Analysis appeared first on Eurasia Review.

Pakistan’s Punjabi Domination Giving Fillip To Saraikistan Movement – Analysis

$
0
0

By Jai Kumar Verma*

Pakistan has quite a few major ethnic groups including Punjabis, Pashtuns, Sindhis, Balochis, Muhajirs (Urdu speakers), Hindkowans, Saraikis and Chitralis. Besides these main groups there are numerous smaller ethnic groups too.

However, all of them except Punjabis feel that they are discriminated against and considered as second rate citizens even in their own homeland. Consequent upon the 1971 war a sizable portion of the country seceded and a new nation with the name of “People’s Republic of Bangladesh” emerged.

Several of these ethnic groups including Pashtuns, Balochis, Sindhis and Saraikis have launched separatist movements in the past due to deprivation and maltreatment, although their struggle was crushed but no honest effort was made to redress their genuine grievances.

The Saraikistan Movement, popularly known as Saraiki Movement (SM), is continuing from the day of creation of Pakistan. The proponents of the movement are agitating for a separate province as well as for an independent state.

This group demands that Saraikistan should include Rahim Yar Khan, Bahawalpur, Bahawalnagar, Multan, Lodhran, Vehari, Khanewal, Sargodha, Jhang, Muzzafargarh, Layyah, Bhakkar, Mianwali, Khushab, Rajanpur and Dera Ghazi Khan from Punjab province and Dera Ismail Khan from Khyber Pakhtunkhwa. Besides these districts, they also insist on inclusion of some area of northeast Balochistan. The area of Saraikistan is more or less similar to the region of old Bahawalpur Princely state.

Riaz Hashmi Saraiki brought the agitation to the limelight in 1960. The movement continued for a few years, but late General Zia-Ul-Haq crushed the agitation with brute force. Nonetheless, the agitation resurfaced in 1988 after the plane crash of Zia.

Approximately 30 million people speak Saraiki language. The supporters of Saraiki movement constituted several political parties, including Pakistan Saraiki Party, Pakistan Saraike Qaumi Ittehad, Saraikistan Qaumi Council, Saraiki Quomi Movement, Saraiki National Party, Saraiki Soba Movement etc. These parties and groups have following in limited areas and they propagate that there is a threat to Saraiki language and Saraiki identity is in danger.

The movement is basically against Punjabis as Saraiki leaders claim that Punjabis would finish Saraiki language and their identity would be eliminated, hence they must be united and fight for survival of a separate identity.

The leaders of the campaign also included economic issues, including lack of development, deprivation and exploitation of resources of the region. They are able to generate the emotional feelings. However, at this juncture the anti-Punjabi and pro-Saraiki sentiments are not as strong as they are in Sindhis, Balochis, Muhajirs and Pathans.

They also maintain that carving out a separate province from Punjab will not only be beneficial for the development of Saraiki region but will also help other nationalities like Sindhis, Pathans Muhajirs and Balochis to fear less from Punjabis. All the major and minor nationalities in Pakistan are exploited by Punjabis and they want to get rid of the dominance of Punjab.

The opponents of the agitation say that if Saraiki province is created there will be demands for carving out of more provinces in Balochistan and Sindh. Muhajirs who are the largest community in Karachi will also demand to secede from Sindh. Once more provinces are created then very soon there will again be agitation for independent nation in Sindh, Balochistan etc.

The opponents also allege that foreign powers help the protagonists of Saraiki movement with ulterior motives as the intelligence agencies of these countries want to destabilize Pakistan. Punjab is the strongest, peaceful and most populous province of the country and any separatist movement in Punjab province will be very harmful for the economy, peace and tranquillity of Pakistan.

In fact the government of Pakistan instead of blaming foreign countries for creating trouble in the country should plan for the economic development of Saraiki region and redressal of their legitimate grievances, including end of feudalism, reforms in the educational and health system, end of terrorism, generation of employment, to just name few.

Saraiki region is known for production of cotton but the textile industry is in other parts of Punjab. The area is mainly agricultural but there is acute shortage of water. Hence farmers do not get good returns from their agricultural land. The Pakistan government should establish textile factories in Saraiki region so that the raw material of the area can be utilized. It will generate employment and enhance prosperity of the residents.

The dominant Punjabis do not want to lose Saraiki region as it will reduce their supremacy in Pakistan and their prosperity in which exploitation of Saraikis is also one factor.

The despicable Inter Services Intelligence (ISI), which is exporting terrorism to other countries, should stop helping terrorist groups and the government should utilize these funds and resources in controlling terrorism within Pakistan and in upliftment and economic progress of the country and the poor masses.

* Jai Kumar Verma
is a Delhi-based strategic analyst. He can be contacted at contributions@spsindia.in

The post Pakistan’s Punjabi Domination Giving Fillip To Saraikistan Movement – Analysis appeared first on Eurasia Review.


Anti-Semitism And The Battle Against Jihad – OpEd

$
0
0

Talking of cartoons, shortly after the huge and impressive Charlie Hebdo rallies had taken place in Paris and across the Western world, a telling cartoon appeared in the Jerusalem Post. A boy sits across the table from his father.

“Why were cartoonists killed?” he asks.
“Over freedom of speech,” says his Dad.
“So, why were Jews killed too?”
“Over freedom of existence.”

And indeed, one has to ask what connection could there be between the murderous attack on the cartoonists of Charlie Hebdo and the customers in a kosher supermarket? The same question might have been asked following the Mumbai massacre of 2008, in which a series of twelve coordinated shooting and bombing attacks were carried out by Pakistani jihadists. Why was the Nariman House Jewish community centre included among the hotel, hospital and cinema targets?

The world is beginning to understand that within the warped Islamist ideology, bitter resentment at Western intervention into the affairs of Muslim states, fury at less than respectful references to the Prophet, and hatred of Jews, Judaism and Israel are all intermingled. In their philosophy, terrorist action directed against any is equally justifiable . So to Amedy Coulibaly, acting to support the terrorists who attacked and killed the cartoonists of Charlie Hebdo, a kosher supermarket seemed an entirely appropriate target to select. Just as, in the mindset of Pakistani terrorists engaged in what was essentially an Islamist war against India, murdering Jews was an essential component in the strategy.

From phone conversations between those in Pakistan directing the Mumbai operation and the terrorists – recorded by Indian authorities on November 27, 2008, and later published in The Hindu newspaper – it is clear that the lives of those taken hostage in the attack on the Jewish community centre were of no consequence.

Pakistan caller:  If you are still threatened, then don’t saddle yourself with the burden of the hostages. Immediately kill them.”

Mumbai terrorist at Nariman House: Yes, we shall do accordingly, God willing.

Pakistan caller:  Another thing: Israel has made a request through diplomatic channels to save the hostages. If the hostages are killed, it will spoil relations between India and Israel.”

Mumbai terrorist: “So be it, God willing.”

In the event six Jewish lives were added to the 158 victims mowed down during those four days of terror in November 2008.

Coulibaly, too, having murdered four of his hostages, spoke on the phone and gave a TV interview during the course of his siege of the kosher supermarket. Claiming he was sent by al-Qaeda in Yemen as a defender of the Prophet, and that his attack had been synchronized with that by the Kouachi brothers on the Charlie Hebdo offices, he offered no justification for attacking a Jewish supermarket. Clearly he assumed that none was called for.

On January 11, 2015, a letter appeared in the London Daily Telegraph.

“Sir – In all the comment about last week’s atrocities in Paris, there has been much said about the rights and wrongs of insulting Muslim beliefs… Extraordinarily, I have not heard or seen a single comment that questions the motive of a killer who enters a Jewish supermarket and kills random shoppers. It seems there is no need to explain. They were killed not because they said or did things that were blasphemous or provocative, but because they were probably Jews. Is the world so inured to this that the question “Why?” is not even deemed necessary?

But the reason is not difficult to discern. Islamists seek to destroy Western freedoms throughout the world and substitute their own version of a Muslim caliphate, and integral to their worldview is not only a total intolerance for Jews, but a positive injunction to kill them whenever possible. This hatred for Jews and Israel has been brought to Europe as part of the baggage of radical Islamist preachers. So far Western governments and organisations have failed to recognize – or at least to acknowledge – two basic truths about all jihadists, whatever their hue: first, that they are in earnest in their desire to pull down the institutions of democracy and obliterate the Western way of life; and secondly that a hatred of Jews, Judaism and Israel is locked into their ideology.

Joining the dots, it becomes abundantly clear that for decades Israel – an island of Western democracy in a turbulent Muslim ocean – has been in the vanguard of the anti-jihadist fight. The extremist Islamist entities of Hamas to the east, Hezbollah to the north, and Iran to the west – all vehemently anti-Semitic and dedicated to Israel’s destruction – have been joined by jihadist factions in Syria and Iraq, led by Islamic State (or “Daesh”, as Australia’s prime minister, Tony Abbott, proposes dubbing it, a term it is said to loathe).

Now, in the light of the assault on the French cartoonists and innocent supermarket shoppers, the Western world seems to have committed itself to a determined effort to combat Islamist terror. Many seem to have understood that this must also mean addressing the way Jew-hatred has become acceptable in European society. To repeat the mantra “Jews are the canary in civilization’s coalmine,” is almost jejune, yet the aphorism remains as valid as the day it was coined. If Jews cannot live freely without fear of attack in a democratic society, then everyone is at risk. The rising tide of anti-Semitism throughout Europe is a danger signal for Western democracy as a whole.

Perhaps some are beginning to appreciate the connection between anti-Semitism and the distorted form of Islam promulgated by jihadists of all hues. A hopeful development is the news that on January 22 the United Nations General Assembly is to hold its first-ever special meeting on “the global outbreak of anti-Semitism.” The session was arranged following a petition to the President of the General Assembly, Sam Kutesa, signed by 36 countries and mounted on the initiative of the Israeli mission to the UN. Appropriately enough, the signatories include all 28 members of the European Union – indicating that all acknowledge the recent worrying rise in anti-Semitic activity within the countries of Europe.

Jihadist terrorism is by no means exclusively anti-Semitic, but all anti-Semitic activity panders to the brutal, inhumane and unacceptable world-view philosophy peddled by jihadists. The time has come for all people of goodwill, whatever their religion or none, to take a determined stand against those who believe that killing innocent people is an acceptable way to achieve their objectives.

The post Anti-Semitism And The Battle Against Jihad – OpEd appeared first on Eurasia Review.

Sri Lanka’s Rajapaksa: Down But Not Out – OpEd

$
0
0

Incumbent Sri Lankan president Mahinda Rajapaksa lost to his opponent Maithripala Sirisena in the recent elections. The reasons have been attributed to nepotism and dwindling support from the Sinhala community. With considerable challenges awaiting the new government, it would be wise to not rule out a return of Mahinda

By M.D. Nalapat*

In the recent dramatic national elections in Sri Lanka, Mahinda Rajapakse secured about the same number of Sinhala votes as did his opponent Maithripala Sirisena, but trailed miserably in areas where the minority communities dominated the voter population. Had he really been guilty of what he was alleged to have perpetrated during the campaign, namely blocking Tamils and other minority groups from casting their ballots, he would most probably have carried the day.

What almost certainly cost him the edge among his Sinhala supporters was a perception that he was being too accommodative towards India, such as by releasing, in November, the Tamil Nadu fishermen who had been captured by the Sri Lankan navy in 2011. This columnist expected the release to take place after the polls, but clearly Rajapaksa wanted to do a good turn to Narendra Modi, and build goodwill with the new Prime Minister of India which could be useful after he won a third term in office.

Again, had he not gone in for the expedient of adding his unfinished second term to the six years he would have got subsequent to a victory, several of his supporters would not have either switched to Sirisena or refused to vote. While six years of Rajapaksa were acceptable, eight was out of the question for many, especially in a context where Mahinda Rajapaksa apparently believed that only in his family were there genes of the quality needed to give a good administration to Sri Lanka. Of the miscellaneous brothers, nephews, cousins, in-laws and others accommodated by the former head of state in key slots, the only individual deserving of such consideration was younger brother Gotebaya, a shrewd and hard-driving individual devoted to his sibling and able to carry his team along in a way that the other Rajapaksas failed to do.

Amazingly, Mahinda Rajapaksa was unable or unwilling to pick up the numerous indications showing that even his close supporters were restless at the way in which he had converted his clan into a sub-continental version of the Al Saud family, which controls practically all the significant levers of official power in the country which bears their name. Clearly, the intelligence agencies on which he relied, were aware that any talk of Clan Rajapaksa was a no-go area, and needed to be kept out of briefings to the President. This despite the fact that a swelling tide of negativism was attaching itself to the way in which the Rajapaksas were enriching themselves.

In particular, they had extensive business connections in China – although now that he has been defeated and is no longer influential within the councils of government, it will not be long before Beijing establishes equally close ties with the new setup in Colombo. After all, the Chinese have in abundance the most persuasive of instruments for the forging of friendships – capital. Rather than show off their military or mutter threats about action in the China seas, the Communist Party of China would have been better advised to let its immense reserves of cash speak.

In the case of India, potentially Chinese financial institutions have the wherewithal to fund companies in India with $100 billion in loans, both longer term and carrying lower interest rates than those loans secured from a domestic system hamstrung by the RBI’s obsession with keeping interest rates high. Of course, given the orientation of the RBI (it is said that senior officers there and in the Ministry of Finance begin each day by looking respectfully in the direction of New York), it is unlikely that Chinese financial institutions would be allowed to rescue key corporates in India from the financial overreach they have slipped into this past decade. Nor will there be any rush by Chinese entities to come into India except the way they are presently doing, using this country as a dumping ground for their manufactures – especially after the defence minister Manohar Parrikar publicly identified China as being as vile an enemy of India as Pakistan. By his tough talk, Parrikar would certainly have impressed Indian voters of a macho persuasion, but he has not helped his Prime Minister get more of the capital this country needs for double-digit growth.

Back to Rajapaksa – because the India-China play will matter in Sri Lanka’s future. He will certainly seek to retain leverage within Sri Lanka by continuing to exercise control over his party, but it is likely that most of the senior tiers in the UPFA (United People’s Freedom Alliance) will seek to rid themselves of an individual who has a binary view of every situation: only that which is subject to his full control is good, with the rest needing to be eliminated.

What is likely is that Rajapaksa and his loyalists will break away into a splinter faction, and from this vantage point, will work on a comeback. He is likely to play to his strengths, which incidentally are the same as President Sirisena’s, namely appeal to the patriotic instincts of the Sinhala majority. Although in the past he has sought to give the appearance of balancing the perceived interests of India with the far greater pull of China, from now on, Rajapaksa is likely to focus negatively on any concessions made by Colombo to New Delhi.

Hence any expectation in India of a substantial dividend from the NDF (New Democratic Front) victory is premature. Concessions made to the Tamil community will almost certainly result in an outcry from the Rajapaksa group, even though the former President may not himself join in it.

In the short run, rather than India it is the U.S. which will gain from the defeat of Mahinda Rajapaksa. This is a politician whose defeat the U.S. has sought ever since he treated with contempt their “request” to enter into yet another cease fire in 2009, which would have enabled the LTTE to survive to fight another day. Such uppity behaviour by a third world politician is unforgivable, and since that year, the U.S. and its allies have targeted Rajapaksa, especially on the issue of human rights. At the core of the U.S.’ annoyance is the fact that as a clan, the Rajapaksas are bound closer to China than to either the U.S. or India.

Given the hold that Mahinda Rajapaksa still has within the Sinhala population, it will be difficult to neutralize him to the extent needed for the Sirisena government to function in an untrammeled way. Will the new Sri Lankan head of state be able to institute corruption charges against Clan Rajapaksa,when so many of its own luminaries have shared in the pickings? Will the new president of Sri Lanka be able to satisfy the U.S.-EU demand for accountability within the military for deeds committed during the war with the LTTE, in a context where Gotebaya Rajapaksa enjoyed close ties to the personnel in uniform? And will Sirisena be able to attract the international investment needed for Sri Lanka to enjoy the 9% growth required to secure his political base? Will Sirisena be able to reverse Rajapaksa’s China-centric policy and create a greater space for India in Sri Lanka?

The challenge is daunting. And there to pick up the gauntlet will be Mahinda Rajapaksa, whose appeal can grow as memories of the seamier aspects of his tenure in office fade.

*M.D. Nalapat is Director of the School of Geopolitics at Manipal University, and a regular contributor to Gateway House. This feature was written  for Gateway House: Indian Council on Global Relations.

The post Sri Lanka’s Rajapaksa: Down But Not Out – OpEd appeared first on Eurasia Review.

Pope’s ‘Punch’ Quip And More – OpEd

$
0
0

When Pope Francis was on a plane coming back from Brazil in 2013, he said, “If someone is gay and he searches for the Lord and has good will, who am I to judge?” Over 900 news stories quickly appeared, the majority of which were dishonest: “Who am I to judge?” was all they quoted. Pundits were even worse: they said the pope was asking us to be non-judgmental about homosexuality.

By contrast, today’s newspapers give scant coverage to what the pope said yesterday about the Paris murders. The pope said, “In freedom of expression there are limits.” He condemned the Paris murders, but he also condemned the needless provocations. “You cannot provoke. You cannot insult the faith of others.” As an example, he said that if his friend, Dr. Alberto Gasparri, were “to use a curse word against my mother, he can expect a punch. It’s normal.”

The disparity in news coverage can be explained on ideological grounds: the media liked what the pope said on the plane to Rome two years ago but they did not like what he said yesterday aboard the plane to the Philippines. The reaction of pundits to his “punch” quip is not ideological: it offended many conservatives as well as liberals.

What explains the pundits’ reaction? Humorlessness. A video of the pope’s remarks shows him standing up, microphone in hand, with Dr. Gasparri standing to his right. The pope is clearly jesting—he feigns a punch at him as he makes his quip. Gasparri was cracking up, as were others. But to the humorless, he committed a grave sin. They need to get a life. Too many conservatives are just as stiff as liberals these days.

What the pope said, and how he said it, is not hard to understand. He was simply stating the obvious: when we intentionally and needlessly insult people, don’t be shocked when it triggers a strong response. That’s common sense, a property that is not at all common these days.

The post Pope’s ‘Punch’ Quip And More – OpEd appeared first on Eurasia Review.

Saturation Media Coverage Of Paris Terrorist Attacks Is Unhelpful – OpEd

$
0
0

Compare the worldwide saturation press coverage of the terrorist killings in Paris of 17 people, including 12 journalists at the French satirical magazine Charlie Hebdo, with the minimalist coverage of the even more heinous mass slaughter of innocents or by innocents in Nigeria. At roughly the same time as the Paris attacks, as many as 2,000 people were murdered in Nigeria when radical Islamists, in one of the largest terrorist attacks by a group in modern history (American’s catastrophic 9/11 attacks killed a little less than 3,000 people), razed 16 villages and killed mainly young children and older people, who were not fast enough to get away from spraying gunfire from automatic weapons and grenade launchers. In addition, in two separate attacks, child suicide bombers, who may not have even known they were carrying explosives, killed at least 19 people in markets in the same northeastern region of that country. Why the disparity of the media coverage?

First, to be charitable, one might excuse this imbalance of reporting by arguing that more international media outlets are located in Paris, one of the most important cities of Europe, than in the more remote areas of Nigeria. Second, the Nigerian attacks, which involved people arguably even more innocent than most of the people in the Paris incident (I am in no way condoning the unconscionable Paris attacks, but the satirists at Charile Hebdo had made fun of Mohammed and everyone else), was not perceived to be an attack on the media and freedom of expression, which is bound to raise hackles among the Fourth Estate. Third, less charitably, different expectations exist for “civilized” France vs the “uncivilized” developing world, in which violence and mayhem are expected to run rampant. The media itself fosters this expectation by reporting little else in Nigeria except terrorist violence.

Finally, unfortunately, Parisians are more sympathetic to Americans simply because they are more like most of us, not only in terms of race but in rough parity of economic and social condition. People empathize more with people like themselves, and the media gives their customers what they want—the searing, raw emotions of justifiable grief and defiance in those similar people in the face of heinously evil acts. And, of course, terrorist attacks against people in similar circumstances to our own generate much higher consumer interest—and viewership, listenership, or readership—because of greater fear generated that the same could happen to us.

However, despite that France, a former colonial power, and the United States, the world’s lone superpower, have similarly aggressive policies in the Islamic world—France has recently intervened in Mali, Libya, and now against the Islamic State in Syria and the United States, since 9/11, has attacked or invaded at least seven Muslim countries—France is not the United States. The Kouachi brothers, perpetrators of the attacks on Charlie Hebdo, apparently were originally radicalized by the U.S. invasion of Iraq in 2003 and Amedi Coulibaly, also involved in hostage taking in Paris, claimed to be affiliated with the Islamic State—so blowback from aggressive Western neo-colonial foreign policy in an Islamic world tired of decades of colonial intervention is usually at least one factor in anti-Western attacks by radical Islamists. Yet the United States has less a reason to behave aggressively in the Middle East than does France, which is just across the Mediterranean Sea from that country. France also would be better off staying out of its former colonial possessions, but the United States, half a world away, has even less reason to make more enemies by involving itself in local Middle Eastern disputes. Journalists have documented well the swelling of al Qaeda in the Arabian Peninsula (AQAP)—the group the Kouachi brothers claimed to be acting in behalf of—in the face U.S. attacks against the group in Yemen. Yet journalists, in the wake of the Paris attacks, fail to report that the United States may have made the AQAP problem worse. Furthermore, America has done a better job of integrating immigrant Muslims than many European countries, such as France and Germany, which have large, more segregated, and more restive Islamic populations than does the United States. Also, as the founders of the United States realized, America is farther away from the centers of world conflict than are most countries, including France. Both conventional armies and terrorists have a harder time operating over those great distances; in the case of terrorists, the difficulty is compounded by having fewer radicalized Islamists to give them shelter in the United States than exist in Europe. And despite the anomaly of the 9/11 attacks, terrorism has been traditionally been much lower in North America than other continents, including Europe.

The American founders realized that the uniquely favorable strategic position of the United States, which still holds more than two centuries after the founding, gave them the luxury of adopting a more restrained foreign policy. Modern American leaders have forgotten this strategic advantage and have instead embarked on a costly and counterproductive neo-imperial crusade to “drain the swamp” of terrorists; instead they have helped fuel a tsunami of Islamist radicalism. Their junior partner, France, is now experiencing the blowback from a similar policy.

Thus, sensational media hype surrounding the Paris attacks, which instills excessive fear in Americans that they will be the victim of a rare terrorist attack (a chance lower than getting struck by lightning), merely leads to the perpetuation of U.S. government policies that…well…generate more terrorism.

This article was published at and is reprinted with permission.

The post Saturation Media Coverage Of Paris Terrorist Attacks Is Unhelpful – OpEd appeared first on Eurasia Review.

Turkish Soccer: Illiberal President Erdogan’s Latest Victim – Analysis

$
0
0

Turkish president Recep Tayyip Erdogan’s illiberal policies have targeted the media, the judiciary, the police, militant soccer fans, and anti-government protesters. Now they threaten to claim yet another victim: the game of football itself.

In a major blow to troubled Turkish soccer, Yildiz Holding, a conservative conglomerate known for its confectionary and biscuit business and close ties to Mr. Erdogan that is one of Turkey’s largest sponsors of soccer, said in a letter to the Turkish Football Federation (TFF) that it would no longer fund the sport because of violence and tensions associated with it and government efforts to politically control the beautiful game.

The company’s reference to tensions was not simply a reference to stadium incidents but also to Mr. Erdogan’s interference in a match-fixing scandal, attempts to depoliticize stadia, and legal proceedings against members of Carsi, the militant support group of storied Istanbul club Besiktas JK.

Carsi, one of Turkey’s most popular fan groups stands accused of being a terrorist organization whose members sought to overthrow the government. The charges are based on Carsi’s key role in the mass-anti-government Gezi Park protests in 2013. The trial was postponed until April after the first day of hearings in December.

The charges are part of a government effort to purge dissent from the pitch. It started immediately after the Gezi park protests with the banning of chanting or display of banners with political slogans and a demand that spectators sign a pledge before entering a stadium that they would refrain from participating in activities during matches that could “trigger mass, political or ideological events.” Carsi’s response to the government efforts was to chant during matches, “everywhere is Taksim, everywhere is resistance.”

Match attendance has moreover dropped dramatically as a result of a fan boycott of Passolig, an electronic ticket system, that critics charge is designed to give the government access to fans’ personal data. A recent match in Istanbul’s 82,000-seat Ataturk Olympic Stadium between Besiktas and Eskeshehirspor Kulubu that would normally have been attended by some 20- 30,000 spectators drew only 3,000 fans. Ticket sales for matches of Galatasaray SK, another Istanbul giant, are down by two thirds with fans gathering in cafes and homes to watch games they would have attended in the past.

Yildiz Holding has over the last decade invested some $215 million in Turkish soccer with sponsorships of major clubs such as Besiktas JK, Bursapor FC, Fenerbahce SK, Galatasaray and Trabzonspor FC as well as the Turkish national team.

The company’s decision is not simply a setback for Turkish soccer but for Mr. Erdogan personally whose family has a long association with Yildiz and its owners, the Ulker family, who made their name as successful, religiously conservative entrepreneurs. Yildiz chairman Murat Ulker moreover was a classmate of Prime Minister Ahmet Davutoglu in Istanbul’s prestigious boys’ school, Istanbul Erkek Lisesi.

Members of the prime minister’s family owned in the past up to 50 percent of Emniyet Foods, the distributor of Yildiz’s Ulker brand, as well as a stake in Ihsan Foods, the distributor of the company’s dairy products and Yenidogan Foods Marketing, its soft drinks distributor. Writing in Middle East Quarterly, Michael Rubin reported that Turkey’s Kemalist military long refused to buy Yildiz products because of the Ulker family’s religiosity.

Yildiz chairman Murat Ulker said in his letter to the Turkish federation, according to Hurriyet newspaper that “I have to let you know that unfortunately, today it has become meaningless to support teams or games thanks to such a fall in interest and value… When we became a sponsor, what we had in mind was the development of Turkish football, raising new players and success in Europe and the world. However, at the end of the day, we could not find what we were looking for,”

Mr. Ulker asserted elsewhere that soccer’s brand value had deteriorated because stadia were empty and the current soccer environment no longer stroked with notions of fair play. “No one wants their information to be collected, even by the state; this is disturbing. Many fan groups have boycotted the practice, which has added to the low attendance numbers. It is impossible to not admire the spectators in the UK or Germany. I am very sad for the country. I went to a game in the UK. recently and the atmosphere was great. This is what we cannot find in Turkey. We should not block the joy from the fans,” Mr. Ulker said earlier this month in an interview with Haberturk.

The government has sought to drive a wedge between militant fans and other supporters by arguing that e-ticketing was a way to combat illegal ticket scalping, increase tax revenues and ensure that stadia are safe for families.

That portrayal was rejected by some 40 fan groups who charged in a statement last year that “the e-ticket system does not only demote the concept of supporters to a customer, but it also files all our private data. The system aims to prevent supporters from organizing and is designed to demolish stadium culture and supporter identity.”

To be fair, Turkish stadia have a long history of violence. A third of Carsi’s original founders have died a violent death since the group’s founding in the early 1980s. A truce arranged at a gathering of heavily armed rival supporters after a Besiktas fan was trampled to death in 1991 by his Galatasaray adversaries reduced but did not put an end to the violence. Two Leeds United fans in Istanbul for their team’s match against Galatasaray were stabbed to death in 2000 during a soccer riot on Taksim. Stray bullets fired into the air to celebrate the Turkish team’s victory killed a third person and wounded four others.

The high stakes battle over e-ticketing goes to the heart of a struggle for Turkey’s soul that erupted with the Gezi Park protests sparked by Mr. Erdogan’s effort to impose greater control on people’s lives and restrict personal and political freedom and unfettered access to information. Fans moreover are irked by the president’s manipulation of due process in what was the most serious match fixing scandal in the history of Turkish soccer, a run-up to his squashing of an investigation into the most serious corruption scandal in his career.

“While Turkey seems to be on a downward path in democracy, freedom of speech and fighting against corruption, the situation of the country’s football is no different… If other sponsors follow Ulker’s footsteps, accompanied by the continued boycott of the supporters, Turkish football might have a chance to die in peace, rather than struggling to survive in such dire conditions. Maybe then we can have a chance to reclaim the ‘beautiful game’ cleared of violence, politics and match fixing,” Hurriyet columnist Ozgur Korkmaz said in an editorial entitled “Dear sponsors, please let Turkish football die.”

The post Turkish Soccer: Illiberal President Erdogan’s Latest Victim – Analysis appeared first on Eurasia Review.

Netanyahu Waving In The First Row – OpEd

$
0
0

THE THREE Islamic terrorists could have been very proud of themselves, if they had lived to see it.

By committing two attacks (quite ordinary ones by Israeli standards) they spread panic throughout France, brought millions of people onto the streets, gathered more than 40 heads of states in Paris. They changed the landscape of the French capital and other French cities by mobilizing thousands of soldiers and police officers to guard Jewish and other potential targets. For several days they dominated the news throughout the world.

Three terrorists, probably acting alone. Three!!!

FOR OTHER potential Islamic terrorists throughout Europe and America, this must look like a huge achievement. It is an invitation for individuals and tiny groups to do the same again, everywhere.

Terrorism means striking fear. The three in Paris certainly succeeded in doing that. They terrorized the French population. And if three youngsters without any qualifications can do that, imagine what 30 could do, or 300!

Frankly, I did not like the huge demonstration. I have been in many demonstrations in my time, maybe more than 500, but always against the powers that be. I have never participated in a demonstration called by the government, even when the purpose was good. They remind me too much of the late Soviet Union, Fascist Italy and worse. Not for me, thank you.

But this particular demonstration was also counterproductive. Not only did it prove that terrorism is effective, not only did it invite copycat attacks, but it also hurt the real fight against the fanatics.

To conduct an effective fight, one has to put oneself first into the shoes of the fanatics and try to understand the dynamic that pushes young local-born Muslims to commit such acts. Who are they? What do they think? What are their feelings? In what circumstances did they grow up? What can be done to change them?

After decades of neglect, that is hard work. It takes time and effort, with results uncertain. Much easier for politicians to march in the street in front of the cameras.

AND WHO marched in the first row, beaming like a victor?

Our own and only Bibi.

How did he get there? The facts came out within record time. Seems he was not invited at all. On the contrary, President Francois Hollande sent explicit messages: please, please don’t come. It would turn the demo into a show of solidarity with the Jews, instead of a public outcry for the freedom of the press and other “republican values”. Netanyahu came nevertheless, with two extreme rightist ministers in tow.

Placed in the second row, he did what Israelis do: he shoved aside a black African president in front of him and placed himself in the front row.

Once there, he began waving to the people on the balconies along the way. He was beaming, like a Roman general in his triumphal parade. One can only guess the feelings of Hollande and the other heads of state – who tried to look appropriately solemn and mournful – at this display of Chutzpah.

Netanyahu went to Paris as part of his election campaign. As a veteran campaigner, he knew that three days in Paris, visiting synagogues and making proud Jewish speeches, were worth more than three weeks at home, slinging mud.

THE BLOOD of the four Jews murdered in the kosher supermarket was not yet dry, when Israeli leaders called upon the Jews in France to pack up and come to Israel. Israel, as everybody knows, is the safest place on earth.

This was an almost automatic Zionist gut reaction. Jews are in danger. Their only safe haven is Israel. Make haste and come. The next day Israeli papers reported joyfully that in 2015 more than 10,000 French Jews were about to come to live here, driven by growing anti-Semitism.

Apparently, there is a lot of anti-Semitism in France and other European countries, though probably far less than Islamophobia. But the fight between Jews and Arabs on French soil has little to do with anti-Semitism. It is a struggle imported from North Africa.

When the Algerian war of liberation broke out in 1954, the Jews there had to choose sides. Almost all decided to support the colonial power, France, against the Algerian people.

That had a historical background. In 1870, the French minister of justice, Adolphe Cremieux, who happened to be a Jew, conferred French citizenship on all Algerian Jews, separating them from their Muslim neighbors.

The Algerian Liberation Front (FLN) tried very hard to draw the local Jews to their side. I know because I was somewhat involved. Their underground organization in France asked me to set up an Israeli support group, in order to convince our Algerian co-religionists. I founded the “Israeli Committee For A Free Algeria” and published material which was used by the FLN in their effort to win over the Jews.

In vain. The local Jews, proud of their French citizenship, staunchly supported the colonists. In the end, the Jews were prominent in the OAS, the extreme French underground which conducted a bloody struggle against the freedom fighters. The result was that practically all the Jews fled Algeria together with the French when the day of reckoning arrived. They did not go to Israel. Almost all of them went to France. (Unlike the Moroccan and Tunisian Jews, many of whom came to Israel. Generally, the poorer and less educated chose Israel, while the French-educated elite went to France and Canada.)

What we see now is the continuation of this war between Algerian Muslims and Jews on French soil. All the four “French” Jews killed in the attack had North African names and were buried in Israel.

Not without trouble. The Israeli government put great pressure on the four families to bury their sons here. They wanted to bury them in France, near their homes. After a lot of haggling about the price of the graves, the families finally agreed.

It has been said that Israelis love immigration and don’t love the immigrants. That certainly applies to the new “French” immigrants. In recent years, “French” tourists have been coming here in large numbers. They were often disliked. Especially when they started to buy up apartments on the Tel Aviv sea front and left them empty, as a kind of insurance, while young local people could neither find nor afford apartments in the metropolitan area. Practically all these “French” tourists and immigrants are of North African origin.

WHEN ASKED what drives them to Israel, their unanimous answer is: anti-Semitism. That is not a new phenomenon. As a matter of fact, the vast majority of Israelis, they or their parents or grandparents, were driven here by anti-Semitism.

The two terms – anti-Semitism and Zionism – were born at almost the same time, towards the end of the 19th century. Theodor Herzl, the founder of the Zionist movement, conceived his idea when he was working in France as a foreign correspondence of a Viennese newspaper during the Dreyfus affair, when virulent anti-Semitism in France reached new heights. (Anti-Semitism is, of course, a misnomer. Arabs are Semites, too. But the term is generally used to mean only Jew-haters.)

Later, Herzl wooed outspoken anti-Semitic leaders in Russia and elsewhere, asking for their help and promising to take the Jews off their hands. So did his successors. In 1939, the Irgun underground planned an armed invasion of Palestine with the help of the profoundly anti-Semitic generals of the Polish army. One may wonder if the State of Israel would have come into being in 1948 if there had not been the Holocaust. Recently, a million and a half Russian Jews were driven to Israel by anti-Semitism.

ZIONISM WAS born at the end of the 19th century as a direct answer to the challenge of anti-Semitism. After the French revolution, the new national idea took hold of all European nations, big and small, and all of the national movements were more or less anti-Semitic.

The basic belief of Zionism is that Jews cannot live anywhere except in the Jewish State, because the victory of anti-Semitism is inevitable everywhere. Let the Jews of America rejoice in their freedom and prosperity – sooner or later that will come to an end. They are doomed like Jews everywhere outside Israel.

The new outrage in Paris only confirms this basic belief. There was very little real commiseration in Israel. Rather, a secret sense of triumph. The gut reaction of ordinary Israelis is: “We told you so!” and also: “Come quickly, before it is too late!”

I HAVE often tried to explain to my Arab friends: the anti-Semites are the greatest enemy of the Palestinian people. The anti-Semites have helped drive the Jews to Palestine, and now they are doing so again. And some of the new immigrants will certainly settle beyond the Green Line in the occupied Palestinian territories on stolen Arab land.

The fact that Israel benefits from the Paris attack has led some Arab media to believe that the whole affair is really a “false flag” operation. Ergo, in this case, the Arab perpetrators were really manipulated by the Israeli Mossad.

After a crime, the first question is “cui bono”, who benefits? Obviously, the only winner from this outrage is Israel. But to draw the conclusion that Israel is hiding behind the Jihadists is utter nonsense.

The simple fact is that all Islamic Jihadism on European soil hurts only the Muslims. Fanatics of all stripes generally help their worst enemies. The three Muslim men who committed the outrages in Paris certainly did Binyamin Netanyahu a great favor.

The post Netanyahu Waving In The First Row – OpEd appeared first on Eurasia Review.

New Zealand Requests INTERPOL Purple Notices To Identify Networks Behind Illegal Fishing

$
0
0

At the request of New Zealand, INTERPOL Purple Notices have been issued to seek information on the individuals and networks behind three vessels fishing illegally in the Southern Ocean.

The Purple Notices, which are used to seek or provide information on modi operandi, objects, devices and concealment methods used by criminals, have been circulated to all 190 INTERPOL member countries.

Between 6 and 13 January, a Royal New Zealand Naval Patrol spotted the vessels – the Yongding, the Kunlun and the Songhua – hauling gill nets laden with toothfish in an area regulated by the Convention on the Conservation of Antarctic Marine Living Resources (CCAMLR) where such fishing methods are prohibited.

The Illegal, Unregulated and Unreported (IUU) vessels, which were sighted travelling together in December 2014, have all changed their names, national registration and other identifying characteristics on multiple occasions to try and avoid detection.

One of the vessels, the Songhua, has been on the CCAMLR non-contracting party IUU vessel list following an investigation in 2008 when it was named the Paloma V, which was previously associated with the Vidal Armadores syndicate. Since then, the Songhua has used at least eight names under six flags and is currently purported to be owned by Eastern Holdings Ltd, believed to be a shell company based out of Belize.

Both the Yongding, which has operated under at least 11 different names and nine flags since 2001, and the Kunlun, which has been spotted using at least 10 different names and five flags since 2006, are allegedly owned by Stanley Management Inc., thought to be a shell company based out of Panama.

“New Zealand is committed to doing its part to protect the Southern Ocean and we will continue to work with international partners to take every possible action to deter illegal fishing and prosecute those responsible,” said New Zealand’s Foreign Minister Murray McCully, announcing the decision to request the INTERPOL Purple Notices.

The methods used by the owners of the Kunlun, Songhua and Yongding to try and avoid detection by law enforcement are among those highlighted as major modi operadi in the INTERPOL Study on Fisheries Crime in the West African Coastal region.

The report, which will be released shortly, underlines the abuse of registries and licensing regimes within the West African region and beyond, and the need for increased transparency and procedures to enable the swift verification of statehood for a vessel.

The post New Zealand Requests INTERPOL Purple Notices To Identify Networks Behind Illegal Fishing appeared first on Eurasia Review.


How Targeted Killing Has Become Tactic Of Choice For Both Governments And Terrorists – OpEd

$
0
0

After Israel assassinated Sheikh Ahmed Yassin, the founder and spiritual leader of Hamas in Gaza on March 22, 2004, John Negroponte, the U.S. Ambassador to the UN, said that the United States was “deeply troubled by this action by the Government of Israel.”

Britain’s Foreign Secretary Jack Straw (representing the U.S.’s closest ally in the war in Iraq) went further and said that Israel “is not entitled to go in for this kind of unlawful killing and we condemn it. It is unacceptable, it is unjustified and it is very unlikely to achieve its objectives.”

A decade later, so-called targeted killing is no longer a counter-terrorism tactic favored mostly just by the Israelis — it has become a tactic of choice both for the U.S. government and for groups and individuals linked to Al Qaeda.

When Barack Obama took office in 2009, he entered the White House with the promise of ending the wars in Iraq and Afghanistan and closing down Guantánamo Bay, but with no hope of being able to credibly claim victory in the war on terrorism, he opted to replace boots on the ground with drone warfare.

He seemed enamored with the technique’s precision, its futuristic glamor and the fact that it would have an even less impact on the lives of ordinary Americans — lives already far removed from the effects of foreign wars. A drone war was a war that America could conduct with very few Americans needing to leave home or even pay much attention.

War was going to shift from shock-and-awe to background noise with drone strikes occurring like lightening strikes in a storm too distant for any American to hear the thunder.

The use of targeted killing apparently no longer deeply troubled the U.S. government. But the tactic that was supposed to finish off Al Qaeda seems to have had the opposite effect.

The U.S. might at this point retain close to exclusive control over deadly drone warfare but it has neverthless created an easy to imitate model of targeted violence where the claimed legitimacy of the violence is not defined by its instruments or the authority of its perpetrators but simply by the idea that the targets are not innocent.

Following the Charlie Hebdo killings, the unity of “Je suis Charlie” in France is meant to show the terrorists that they cannot win, but in as much as Cherif and Said Kouachi and Amedy Coulibaly hoped to be of influence, I doubt very much that they cared about broad public opinion. Their target audience, narrow yet widely dispersed, readily accepts the idea that a war defending Islam can legitimately strike “blasphemers,” security forces, Jewish, and political targets.

Terrorism is redefining itself, shifting away from the use of indiscriminate violence in preference for precision targeting.

Analysts in the media have generally ascribed this shift to a matter of expedience — it’s easier to buy guns than construct bombs. But true as that might be, I suspect the shift has more to do with an ideological shift which springs from the desire to widen the recruiting base of future killers.

Killing innocent people is very hard to justify in the name of any cause. Moreover, to hold ordinary citizens accountable for the actions of their governments isn’t a particularly persuasive argument when universally people feel like they have little influence over the affairs of state.

Just hours before the Kouachi brothers were killed, a Frenchman identified in the media simply as Didier was greeted by one of them at the entrance to the print shop in Dammartin-en-Goele where they had taken refuge. As he left, the gunman said, “Go, we don’t kill civilians.”

This seems to now be central to Al Qaeda’s message: we are not indiscriminate killers.

When President Obama ordered the killing of Anwar al-Awlaki, no doubt he believed his decision was legally defensible and morally justifiable, but in the eyes of Awlaki’s supporters this action must have reinforced the notion that anyone can claim the right to kill when they are convinced that their victims deserve to die.

U.S. Attorney General Eric Holder last week reiterated what have become frequent warnings about the rising threat from “lone wolf” terrorists — those whose actions are impossible to anticipate.

But the lone wolves are not out committing random acts of violence:

A new ISIS video released last week warned: “We will expand across all of Europe, to France, Belgium, Germany, Switzerland and also the USA… I say to my brothers, if you see a police officer — kill him. Kill them all.”

(The same video also encouraged killing “all infidels that you see in the streets” — an indication that ISIS still has a predilection for old-school, indiscriminate, mass violence.)

Over the last year, as government and security officials in Europe and North America have made increasingly frequent warnings about the dangers posed by Western fighters returning to their home countries from Syria, bringing the war with them, I have been among those who thought the threat was being exaggerated.

The flow of fighters appeared to be going overwhelmingly in the opposite direction and if a few returned home, it seemed much more likely that their decision would be precipitated by disenchantment with jihad rather than the desire to take their fight to the West.

The evidence now suggests, however, that the official warnings were not the kind of fear-mongering that commonly and cynically gets ascribed to nothing more than the promotion of an ever-expanding national security state.

When 80,000 security personnel get deployed to hunt down two men, it’s easy to argue that this kind of response amounts to a massive over-reaction. To a degree, that seems true, yet police and other domestic security forces do actually find themselves in a situation for which there are neither parallels in conventional law enforcement or even earlier forms of terrorism.

Even so, as Hans-Georg Maassen, the head of Germany’s domestic intelligence service, said on German public television this week, “we must be calm and master the situation with a sense of proportion. Panic and hysteria don’t help.”

The post How Targeted Killing Has Become Tactic Of Choice For Both Governments And Terrorists – OpEd appeared first on Eurasia Review.

US May Send 1,000 Troops To Train Syrian Opposition

$
0
0

By Terri Moon Cronk

The number of U.S. troops expected to train Syrian opposition forces “could approach” 1,000, Pentagon spokesman Navy Rear Adm. John Kirby told reporters in a Friday press briefing.

While the final number is still being worked out, training could begin as early as spring, Kirby said.

The deploying troops would include trainers as well as support personnel, and forces would range from special operations to conventional, Kirby said.

No orders have been cut yet but are expected in about four to six weeks and perhaps as early as next week, he added.

Training will take place at a variety of sites in the region with “significant contributions” from other nations, Kirby said. And while training is expected to take several months, Syrian forces could be ready by the end of the year to enter the fight in Syria against the Islamic State of Iraq and the Levant extremist group, Kirby said, adding, “It will take a lot of work.”

Training Syrian forces will have three goals, Kirby said: to get Syrian troops ready to defend their own citizens and communities, to eventually go on the defensive against ISIL inside Syria, and to help them work with political opposition leaders toward a political solution in Syria.

“Part of this training is to help them develop leadership on their own,” he said.

Vetting Program

The Syrian opposition forces to be trained will be carefully chosen, Kirby noted.

”There will be a significant vetting program in place, multi-layered, and one that is implemented over the course of the training to make sure we’re dealing with individuals and units that are trustworthy,” he said.

Kirby emphasized the U.S. military “is very good” and experienced at vetting opposition forces and training them. Information and intelligence from the area and from partner nations in the region will play into the vetting process, he added.

The post US May Send 1,000 Troops To Train Syrian Opposition appeared first on Eurasia Review.

Discriminatory Politics Of Global Non-Proliferation Regime In South Asia – Analysis

$
0
0

By Hafsa Khalid*

Traditionally, the Non-Proliferation Regime has stood on two essential components; first only those nuclear states (NWS) are considered legitimate that declared the weapons before 1967 while the rest non-nuclear states (NNWS) hold the right to exercise nuclear technology for peaceful purposes. Second, the NWS bears an obligation to decrease and eventually to abolish their nuclear stores. As Pakistan, India and Israel made their nuclear bombs after 1967, they remained isolated from the mainstream nuclear regime.

Until 2005, India was perhaps the most vocal opponent of the inherent discriminatory nature of the regime where only five major powers were given the right to possess nuclear weapons. However, the credibility of the global nuclear non-proliferation regime received a major blow after the Indo-US nuclear deal in 2005 since Indian accommodation meant subverting the regime’s fundamental trade-offs. After a little arguing, the US successfully persuaded both IAEA and NSG to alter their norms and criteria to adjust India into the regime. Consequently, India-specific waivers and safeguards were introduced and the member countries of the non-proliferation regime were encouraged to carry out nuclear trade with India. Presently, America is also struggling hard to persuade NSG members to grant India’s entry into the cartel and it is being reported that almost four of five declared NWS have shown a soft corner for New Delhi.

After India first tested its nuclear bomb in 1974, the international nuclear community feared the proliferation of sensitive nuclear technology to other non-nuclear weapons states. For this reason the nuclear club joined hands to further tighten the norms and guidelines of the Non Proliferation Regime, and the Nuclear Supplies Group (NSG) emerged and strict actions were taken against the suspected nuclear proliferators. Despite of the stringent international economic and technological sanctions, Pakistan and India went nuclear in 1998 and faced stern criticism especially from the American policy makers. India, Pakistan and Israel, being non-signatories to NPT, were kept isolated and deprived from any kind of nuclear trade from the member states of the Non-Proliferation Regime while North Korea, later, joined the unprivileged group.

Until the end of President Clinton’s government in 2001, the core objective of US nuclear policy revolved around attaining a “nuclear restraint regime” in the South Asian region. However, the world witnessed a major shift in American foreign policy after the Bush administration decided to engage India in peaceful nuclear trade by offering an agreement on nuclear cooperation in 2005, thereby, starting a new debate in the Non-Proliferation system and questioning the relevancy and legitimacy of the entire regime.

In early 2006, President Bush paid a visit to India where both sides worked out a plan for separating the Indian civilian nuclear facilities from the military ones. Furthermore, they agreed to restrict the advancement of reprocessing and enrichment technologies and also to support FMCT. Subsequently, the “Henry Hyde Act” was signed by President Bush on December 18, 2006 which helped in constructing a legal capacity for resuming nuclear cooperation with India. After the series of agreements another technical agreement, known as the 123 Agreement, was endorsed by both states. The agreement clearly identified the terms and conditions of nuclear cooperation where India was required to obtain approval from IAEA and NSG. Consequently, the 123 Agreement was unanimously passed in the US Senate and House of Representatives and was finally enforced in December 2008.

Pakistan, with few others, hoisted serious reservations against the Indian-specific agreement since the reprocessing and enrichment facilities, research reactors like Dhruva and CIRUS, certain heavy water facilities and different military nuclear plants were totally left out in the separation design. However, the IAEA’s top management welcomed the deal and described it as an “umbrella agreement” where rather than discussing separate agreements for different plants India itself volunteered to put additional reactors under IAEA’s inspection. India can also put its enrichment facilities under inspection if it desires to do so, but it is not mandatory.

Islamabad has been concerned over the time that has been granted to India for detaching its military and civilian plants from each other. Pakistan fears that since the deal became active in 2008 and various countries have offered nuclear cooperation with New Delhi, India might continue enhancing its aggressive nuclear program by “voluntary” offering only those civilian plants to IAEA safeguards that it deems useless or obsolete.

Also, India has been permitted to endorse preemptive measures to warrant continuous fuel supply if any cooperating party fails to fulfill its pledges. Again, the clause is unidentified, vague and gives India a chance to interpret it in any direction, depending on its interests. It seems that by all means India is the key beneficiary of the deal while Pakistan remains on the disadvantageous side.

Similarly, the India-specific arrangement would not help advance the very purpose of the non-proliferation regime as the safeguards acknowledge Indian nuclear design and offer India complete authority to continue its nuclear agenda “unhindered” and “uninterrupted”.

Also the measures that must be taken for physical protection and the accountability and checks on all items under the recommendations established in INFCIRC/225/Rev.4 have mainly been left out on India. This makes Pakistan suspicious regarding the possible nuclear pilfering, fuel trafficking and an increased likelihood of material diversion to defensive purposes. Furthermore, there is also no such clause of unilateral withdrawal in the India-specific safeguards since the termination of the agreement depends on mutual decision of the two parties; IAEA cannot make the withdrawal decision on its own.

The discriminatory behavior of non-proliferation regime and India’s adjustment can also be analyzed by examining the strategic and commercial interests of global powers. It has been argued that commercial aspect led by ideological and materialistic factors made the powerful states to construct a “tipping-point” supporting India’s accommodation and deteriorating the regime’s established norms and criteria. The leading states were successful in persuading the weaker ones and the later were left helpless and followed the bandwagon.

The world sees India as an economic hub, a rising power and an indispensable alternate to China’s growing potential. Therefore, to reap the maximum advantage of Indian potential to curb China’s progress, it was deemed necessary to bring India into the mainstream non-proliferation regime. Scholars and leading political commentators attribute India’s acceptance as mainly a result of the Chinese factor. Being an Asian power, India is perceived as a significant player in a rising multi-polar world.

The biggest expected benefit that the leading economies can get out of the Indo-US deal could be the NSG waiver that was particularly planned to unlock nuclear commerce with India. The powerful states, possessing advanced nuclear markets, had a strong incentive to endorse the Indian exemption since India is a growing market for international investors especially in the nuclear sphere. The West sees blooming trade opportunities worth over $30 billion as India aspires to construct around 20 more nuclear plants. France, that had been a strong proponent of India-specific arrangements, has already struck an agreement with India that permits it to export nuclear technology while one of its nuclear industries, Areva, signed a $7 billion contract with the Indian buyers. A formal nuclear trade also started between London and New Delhi in 2010, where two British companies, Rolls Royce and Serco, have reportedly been involved in the development of India’s largest nuclear plant.

In fact, India’s persuasive argumentation and material benefits along with the powerful countries’ sympathetic attitude towards India contributed in the emergence of India-specific exemption in the global non-proliferation system. The international powers reinforced India’s argumentation of entering the regime and undermined those who opposed it. The same attitude was reflected in discussions with the IAEA and NSG and no room was given to the weaker states to be heard.

About the Author
* The author holds an M. Phil degree in Peace and Conflict Studies and is an Islamabad based researcher.

The post Discriminatory Politics Of Global Non-Proliferation Regime In South Asia – Analysis appeared first on Eurasia Review.

Georgia FM: ‘EU’s Unity, Firmness Crucial In Face Of Russia’s Pressure’

$
0
0

(Civil.Ge) — EU’s unity and firmness, including through maintaining sections against Russia, is “the best strategy” in the face of Moscow’s “increasing pressure and aggression” in EU’s Eastern Partnership region, Georgian Foreign Minister, Tamar Beruchashvili, said.

Addressing audience at the Tbilisi-based Ilia State University in presence of EU commissioner in charge of neighbourhood and enlargement negotiations, Johannes Hahn, on January 16, Beruchashvili called on the EU to “be uncompromising when it comes to main values and security issues.”

“Situation in Eastern Partnership region, which is a result of Russia’s increasing pressure and aggression, is alarming. Crisis in Ukraine, provoked by Russia, poses serious threat to peace and stability in Europe. Georgia supports Ukraine’s sovereignty and territorial integrity in its internationally recognized borders and we condemn all the actions directed against these fundamental principles,” Beruchashvili said.

“This process was not launched today; this is a continuation of the August, 2008 war. It is obvious that Russia’s illegal, destructive actions are directed against our countries’ European course and poses direct threat to the idea of united, free, peaceful Europe,” she said.

“European Union’s unity, firmness and principle [approach] is of crucial importance today as never before. This is the best strategy in response to Russia’s aggression, including through maintaining sanctions, until Russia meets its commitments undertaken through international agreements, including in respect of Georgia as well,” Beruchashvili said.

“Our expectation is that the EU will be uncompromising when it comes to main values and security issues,” the Georgian Foreign Minister said. “Besides sanctions, the EU should in parallel get involved more actively in the region to promote security of our countries and defend our European choice.”

She also reiterated that “despite of this difficult situation, Georgia’s European path remains unchanged.”

This course, she said, “enjoys broad public consensus and Georgia in this regard is unique among the Eastern Partnership states.”

The post Georgia FM: ‘EU’s Unity, Firmness Crucial In Face Of Russia’s Pressure’ appeared first on Eurasia Review.

PA Foreign Ministry, Hamas Welcome ICC War Crimes Probe

$
0
0

The PA Ministry of Foreign Affairs on Saturday said it welcomed the decision to open an initial probe on Israeli war crimes at the International Criminal Court.

The ministry said in a statement that the ICC decision was a positive and important step towards achieving justice and guaranteeing respect of international law.

Palestine will fully cooperate with the ICC and facilitate its mission until justice is achieved, the statement said.

“The State of Palestine has signed the Rome Statue to guarantee an end to war crimes and crimes against humanity, which Israel, the occupying authority, has committed and is still committing against our people,” it added.

The Hamas movement also applauded the decision, saying it was ready to present thousands of documents to the ICC that prove Israeli war crimes have taken place.

Hamas spokesman Fawzi Barhoum said in a statement that the war crimes probe was an important, long-awaited step.

“This step will be a spark of hope that Palestinians will be able to see the Israeli leadership prosecuted and held accountable for their crimes,” Barhoum said.

On Friday, ICC prosecutor Fatou Bensouda opened an initial probe to see if war crimes have been committed against Palestinians, including during Israel’s military assault on Gaza last summer.

The post PA Foreign Ministry, Hamas Welcome ICC War Crimes Probe appeared first on Eurasia Review.

Viewing all 73679 articles
Browse latest View live




Latest Images