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Modi’s China Visit: Beijing Remains Unyielding – Analysis

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By Namrata Hasija*

The Indian Prime Minister, Narendra Modi, recently concluded his three-nation tour of China, Mongolia and South Korea. Of the three, the most anticipated was the visit to China, after which both sides have claimed to have achieved ground breaking results. From the Indian point of view there were some important issues that were on the table for discussion, such as the border issue, trade imbalance, water sharing and Chinese investment in India.

The imperative question is what did Prime Minister Modi bring back for India?

A record 45 agreements were signed during the visit, including 24 inter-governmental agreements in outer space, cyberspace, earthquake preparedness, maritime science, smart cities, consular establishment, finance, education, exchanges between political parties, states and provinces, think tanks and so on. In the field of economics, 21 business agreements were signed, worth $22 billion.

Many are applauding the 24 inter-governmental MoUs signed along with deals worth $22 billion between the two countries. The other highlight was Modi’s address to students at the universities in Tsinghua and Fudan. Prime Minister Modi announced electronic visas to Chinese tourists which was applauded by the Chinese.

On closer scrutiny, neither the agreements nor the 41-page Joint Statement yields any fruitful results for India. China just took “note” of India’s aspirations of joining the Nuclear Suppliers Group and its hopes of playing a bigger role in the United Nations Security Council. China did not out rightly voice support for a permanent UNSC seat that India has been pushing for. No plans were announced to rectify the lopsided trade deficit, which currently is in China’s favour. The funding from Chinese banks, such as the Industrial and Commercial Bank of Chin (ICBC) and China Development Bank, for Airtel, Adani Power Company and Jindal Steel and Power accounted for the major part of the agreements, meaning that the deals were signed to finance Indian firms to buy Chinese products.

China has already been pushing to become the major supplier of power and telecommunications equipment to India. Point 17 in the joint statement said: “The leaders noted with appreciation the positive momentum in investment projects as Chinese companies respond to the invitation to ‘Make in India’ and Indian companies expand their presence in China.” However, much depends on whether China would want to manufacture in India as by far it buys raw materials from India and supplies value added goods to India. Thus, the ‘Make in India’ initiative will remain in the back seat with India being a destination for Chinese goods and the trade deficit will remain as it is because nothing in the declaration aims to fulfil prerequisites for the same.

The MoUs that were signed included ones regarding the establishment of consulate generals, and partnering Doordarshan and China Central Television — both would bring in only a minuscule capital inflow into India. There has been no agreement on comprehensive data sharing relating to common rivers, with China denying India’s request to supply information regarding the water flow other than that of the monsoon period.

No forward movement was seen on the border issue which is the main bone of contention between the two. This being said, due credit must be given to the prime minister for being candid and indicating that it is necessary for China to reconsider its approach to realize the full potential of the relationship. Modi said, “I have proposed resuming the process of clarifying the Line of Actual Control. We can do this without prejudice to our positions,” he added for good measure. The joint statement did outline a programme for the annual meetings between their militaries, expand exchanges between the border commanders and start using a military hotline to defuse flare-ups on the border. However, no plan was sketched on how to resolve the problem of the LAC unilaterally declared by China in 1962. Occasional controlling of the flare-ups is not enough as both countries need to resolve the issue.

Chinese officials and media have time and again claimed Arunachal Pradesh as part of China and even advised Prime Minister Modi not to visit the disputed area. However, nothing materialised even after discussion on all these issues by the prime minister. China has given no statements regarding all these sensitive issues even after Modi brought up the subject a couple of times during his discussions with the Chinese leadership.

China has stuck to its old game plan of showcasing a grand welcome, trying to show that its rise is indeed peaceful. However, if Modi’s visit is analysed closely, it is clear that China has neither yielded on any major points, and nor has it agreed to any requests by India. Certainly, many agreements were signed but no major steps were taken to resolve major problem areas even after repeated and open statements by Modi.

China’s stand could be guessed through an article in the Global Times published before Modi’s visit which stated that Modi has been “playing tricks” on the border and security issues to get leverage from China. It reiterated that India must take steps to improve bilateral relations by not encouraging the Dalai Lama, and not making Tibet an issue.

Modi’s visit, therefore, cannot be termed unproductive through any fault of his. Rather, it is the failure of the Chinese to either compromise or yield on important issues, or else, simply brush them under the carpet by pretending they do not exist.

*Namrata Hasija is a Research Associate with Centre for China Analysis and Strategy. She can be contacted at hasija.namrata@gmail.com

The post Modi’s China Visit: Beijing Remains Unyielding – Analysis appeared first on Eurasia Review.


Will Mamata Scuttle The Teesta Treaty Again? – Analysis

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By Amulya Ganguli*

There used to be a sexist Sanskrit saying cautioning against including a woman on an important trip. Former prime minister Manmohan Singh may have learnt the widsom of this ancient adage when West Bengal Chief Minister Mamata Banerjee abruptly opted out of his team during a visit to Bangladesh in late 2011 to sign an agreement on the Teesta river waters.

Now, she is expected to accompany Prime Minister Narendra Modi on a similar trip. Although she has apparently agreed not to raise any objections when the Land Boundary Agreement is signed by the two countries on the enclaves which have been left in each other’s territory because of a messy partition 68 years ago, it is still not certain that she will accept the terms and conditions of the Teesta treaty.

The reason for the doubts is her longstanding belief that the terms deny what she claims is West Bengal’s legitimate share of the river waters. According to her, this portion is about 75-80 per cent, which is necessary for the farmers in the state’s northern districts near the foothills of the Himalayas.

Since this estimate is way above what the proposed treaty stipulates – West Bengal is to receive 50 per cent during the rainy season and 60 per cent in the October-to-April period – the chances of the chief minister accepting the agreement are not very high. Another percentage-wise division gives India 52 per cent and Bangladesh 48 per cent. A third estimate is 39 per cent for India, 36 for Bangladesh and 25 unallocated so that the water can flow into the Bay of Bengal.

Some kind of an understanding between Kolkata and Dhaka was expected during Mamata Banerjee’s visit to Bangladesh in February when Bangladesh Prime Minister Sheikh Hasina expressed her “full faith” in the West Bengal chief minister. But, apart from the fact that they both could converse in their mother tongue, (Bengali) it is unlikely that there was a narrowing down of the wide gap between the quantum of the water which each wants.

As a country which is downstream from all Indian rivers, Bangladesh has rarely been satisfied with New Delhi’s attitude on the subject. One of the first contentious disputes was over the construction of the Farakka barrage in the 1960s, which was meant to divert water from the river Ganga into the Hooghly in order to facilitate shipping in Kolkata port, which was being choked by accumulated silt. Extra water was needed, therefore, to flush out the silt.

Since the Ganga flows into Bangladesh, where it is known as the Padma, Dhaka’s fear was that the diversion upstream would lead to the drying up of the Padma and its tributaries. India’s argument that Bangladesh’s “problem” was excess of water and not its paucity did not convince Dhaka.

Bangladesh’s present apprehensions about the Teesta waters may have been enhanced by the proposed construction of a dam on the Brahmaputra in China (where it is known as Tsang-po) since the river enters Bangladesh (where it is known as Jamuna) and merges with the Padma.

A combination of the effects of the Chinese dam and the Indian restrictions on the Teesta waters can be a cause of considerable worry in Bangladesh. The basis of this concern is the drying up of the Teesta in its lower stretches because of the construction of the Gazaldoba barrage in West Bengal and several small, “run-of-the-river” dams (which do not affect its main flow) in Sikkim, where the 200-mile long river originates, for irrigation purposes.

There is little doubt that India will be keen to lessen these concerns with a settlement of virtually the only remaining problem between the two countries – now that the issue of the enclaves has been resolved – since it will then be possible to move ahead with other initiatives.

These include the transport of goods between India’s northeastern region and the rest of the country through Bangladesh and facilitating the latter’s road links with Nepal and Bhutan.

The opening of bus services between Kolkata and Agartala via Dhaka, and from Dhaka to Guwahati and Shillong, will provide a considerable boost to both domestic and foreign tourism.

But, everything depends on whether Mamata Banerjee will go along with the proposed pact on Teesta. The centre has tried to sweeten the deal by offering the West Bengal government a Rs.3,000 crore economic package, although both sides will deny any connection between the two.

But, Mamata Banerjee will undoubtedly consider it politically damaging if the opposition parties in the state, notably the Communist Party of India-Marxist (CPI-M), cynically use the “crores for cusecs” charge to berate the chief minister.

*Amulya Ganguli is a writer on current affairs. He can be reached at amulyaganguli@gmail.com

The post Will Mamata Scuttle The Teesta Treaty Again? – Analysis appeared first on Eurasia Review.

US Conventional Prompt Strike Potential Implications For The Asia Pacific – Analysis

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By Benjamin Schreer*

The U.S. military continues to explore long-range conventional prompt strike capabilities to strike “time-sensitive” targets across the globe on very short notice. Known as Conventional Prompt Global Strike (CPGS), the programme has not yet translated into operational weapon systems because of technological and political challenges. Yet, it makes sense to start thinking about the possible introduction of conventional prompt strike systems, including intermediate range, into the Asia Pacific theatre.

Advocates for the development of a new category of long- range conventional strike systems for prompt delivery argue that these weapons will be essential in a changing strategic and operational environment facing U.S. forces. Four future missions have been discussed: (i) preventing the launch of a limited nuclear arsenal by an emerging nuclear weapons state; (ii) destroying or disabling “anti- satellite” (ASAT) weapons; (iii) countering “anti-access/ area-denial capabilities” (A2/AD) capabilities; and (iv) killing high-value terrorists and disrupting terrorist operations. Once operational, those weapons would enable the U.S. military to strike targets without relying on increasingly vulnerable forward operating bases. They would also be suitable for strikes against targets deep inside enemy territory in case that territory was out of reach of forward deployed U.S. forces. Targeting enemy air defences and command and control systems (C2), CPGS systems could be used to attack hostile “A2/ AD’” architectures. Moreover, long-range conventional strike weapons could strike targets across the globe in hours or even minutes—helping to counter enemy tactics of concealing targets or making them mobile— thereby reducing reaction time. Lastly, they could be used to destroy hardened and deeply buried targets to prevent a hostile launch of hidden weapons.1

Consequently, the Obama administration has declared the development of CPGS weapons an important capability to support U.S. regional deterrence and reassurance goals.2 Once operational, they would therefore also have potential implications in the Asia Pacific region. Some U.S. analysts argue that these weapons would only be used as a deterrent against the Democratic Republic of North Korea’s (DPRK) emerging nuclear arsenal.3 However, it is reasonable to assume that U.S. military planners also see a role in possible contingencies involving the People’s Republic of China (PRC: hereafter called China). As China invests heavily in the ability to strike U.S. troops based in Japan, South Korea and elsewhere in the region, long-range conventional strike systems would certainly complicate Chinese war-planning. The People’s Liberation Army’s (PLA’s) evolving ASAT and A2/AD capabilities are a major concern for the U.S. military.4 Therefore, CPGS systems could play an important part in the emerging U.S. military doctrine to strike deep targets within enemy territory to overcome the A2/AD threat to its forces.5 They could thus be used to threaten critical, non-strategic targets within mainland China. Moreover, a 2009 report by the Pentagon’s Defense Science Board discussed a CPGS scenario where a “near-peer competitor”, that is, China, had used its ASAT capability to target a U.S. satellite.6

Undoubtedly, long-range conventional strike systems would provide U.S. political and military leaders with additional military options. Yet, this paper finds that their introduction into the Asia Pacific region would not be unproblematic. It is far from clear that they would be needed in a DPRK scenario. Moreover, the rationale for potential operations against targets in China is questionable. At a minimum, long-range, prompt conventional strike systems would pose challenges for U.S.-Sino relations and stability. That said, the region will need to prepare for a future where two or more states possess a new category of offensive, conventional systems.

Current Status: From Global To Prompt Regional Strike?

The development of long-range conventional strike systems became official U.S. defence policy in 2001.7 That year, the Nuclear Posture Review announced the development of a “New Triad”, consisting of offensive nuclear and conventional strike systems.8 The 2001 Quadrennial Defense Review Report (QDR) also called for new investments in non-nuclear long-range arrack capabilities to enhance global power projection.9 In 2003, “Prompt Global Strike” (including nuclear and conventional systems) was assigned as a mission to U.S. Strategic Command. The 2006 QDR elaborated on the need for a global conventional strike capacity against “time-sensitive targets.” It announced the intention to modify nuclear “Trident” D5 Submarine Launched Ballistic Missiles (SLBMs) into a long-range conventional ballistic missile capability,10 which became known as the Conventional Trident Modification (CTM) programme.

Yet, the option to modify existing ballistic missile technologies like SLBMs or intercontinental ballistic missiles (ICMBs) as delivery vehicle for conventional warheads faced the problem of nuclear ambiguity. That is, Russia or China could interpret the launch of a conventional SLMB or ICMS as a nuclear attack because of the missile trajectory. Out of these concerns, the U.S. Congress refused funding for the CTM programme and disapproved the option to modify “Minutemen II” and “MX/Peacekeeper” ICMBs for delivery of conventional warheads.

Instead, it supported the pursuit of technologically more challenging and more expensive options. The first was based on boost-glide vehicles travelling at hypersonic speed of Mach 5 (the equivalent of around 6,200 kmph at sea level and 5,300 kmph at high altitude) or above. The U.S. Air Force and the Defense Advanced Research Projects Agency (DARPA) initiated an ambitious project to develop a land-based, boost-glide weapon with a range of 17,000 km, known as the Hypersonic Technology Vehicle 2 (HTV-2). Congress also insisted on funding a U.S. Army project to develop the shorter range (up to 6,000 km) Advanced Hypersonic Weapon (AHW). The Bush administration also planned a Conventional Strike Missile based on HTV-2 technology. Yet, none of these technologies reached the stages of testing.

During its first term, the Obama administration reiterated its interest in CPGS. For example, the 2010 QDR stated that “enhanced long-range strike capabilities are one means of countering growing threats to forward deployed forces and bases and ensuring U.S. power projection capabilities.” It also announced that the Pentagon planned to “experiment with conventional prompt global strike prototypes.”11 The 2010 NPR suggested that CPGS capabilities “may be particularly valuable for the defeat of time- urgent regional threats.”12

The Pentagon also started testing hypersonic strike systems. In 2010 and 2011, it tested HTV-2 gliders which both flew for about nine minutes before their premature flight termination.13 Besides, in 2011, an AHW successfully travelled over 3,800 km to its planned location at hypersonic speed. As a result, the administration prioritised funding for AHWs; HTV-2 programmes took a backseat. This step reflected a more realistic, less ambitious approach to conventional strikes delivered by hypersonic systems. U.S. defence officials dropped the emphasis on “global” strike and now refer to the programme as “conventional prompt strike”. This indicates that, for the time being at least, a focus on regional, intermediate-range strike capabilities is considered more promising.14

Overall, U.S. conventional prompt strike weapons remain very much in their experimental stage and technological challenges to powered hypersonic glider technology remain, as demonstrated by the failed test of an AHW demonstrator in August 2014.15 Nevertheless, the development of these weapons will continue to be a priority for the U.S. military and enjoys broad support in Congress. Indeed, after China tested a new hypersonic glide vehicle (HGW) for the second time in January 2014, U.S. Congressmen were already worried about a potential loss of America’s advantage in the hypersonic space which is likely to harden their support for Pentagon initiatives.16

It should also be noted that it is not impossible for technological challenges related to hypersonic weapons to be overcome.17 In fact, progress in new materials and high-performance computing could provide solutions for hypersonic flights. For instance, in 2013, the U.S.’ X-51 WaveRider supersonic combustion ramjet (Scramjet) conducted its first fully successful flight test after three failed attempts, reaching Mach 5.1 for around six minutes.18 The Pentagon also recently announced its desire to work on the design for a Sea-Launched Intermediate- Range Ballistic Missile (SLIRBM) with a range of around 2,400 km for its Virginia-class nuclear attack submarines. It is thus not unlikely that prompt conventional strike systems could be introduced into the Asia Pacific theatre over the next decade or so— particularly since China, India and Russia are also working on similar projects.

Potential Missions

Before discussing the potential missions for U.S. prompt conventional strike in the Asia Pacific region, it is important to say a few words about the potential application of such systems against potential terrorist targets given that counter-terrorism (CT) operations have been used as a rationale for CPGS. Moreover, terrorist groups are a significant problem in parts of Asia, particularly in Southeast Asia. Yet, the utility of these weapons for CT missions in the Asia Pacific region will probably be extremely limited. Analysts point out that in general the rationale for using CPGS in CT missions is not as compelling as it first appears.19 Experience in CT operations in Africa and the Middle East suggest that the criteria for “promptness” is often overstated. Moreover, operations against high- value terrorist targets on short notice can be equally effective conducted by other capabilities. These include manned aircraft, unmanned drones (which can also perform intelligence, surveillance and reconnaissance related to the mission), and raids by Special Forces. Also, in those missions there is likely to be no air defence threat which would require CPGS systems.

In state-on-state conflicts, U.S. conventional prompt strike missions against the DPRK and/or China could be conducted using different delivery platforms:20

First, hypersonic missiles could be delivered by long- range bombers. They could be used to strike time- critical targets in the DPRK given the nation’s limited strategic depth and weak air defences. Operations against China would also be possible but be much more challenging because of the PLA’s evolving air defence architecture and the country’s expansive strategic depth. For instance, China’s ASAT facility in Xinjiang province is over 2,500 km from the nearest coastline.

Second, U.S. forces could deliver SLIRBMs from submarines or surface combatants. Again, they would offer a military option in a DPRK scenario. They could also be used against Chinese targets, provided the launch platforms evade the PLA’s defences which will further improve over the coming decades and provided the weapons would have the reach to engage the desired targets within China.

Thirdly, U.S. forces could launch land-based AHWs from bases in Guam, Hawaii or Diego Garcia. Given that it would be very difficult to defend against such systems, they could have the range and high probability to reach almost any target of interest in the Asia Pacific theatre, including in the DPRK and China.

Is It A Good Idea?

Simply because U.S. forces could employ conventional prompt strike weapons in the Asia Pacific theatre does not automatically mean it would be the best option. One way to assess their utility as a military means is to ask whether these weapons would be “effective” and “efficient” in a DPRK or a China scenario. Military effectiveness relates to the degree to which the use of such weapons are likely to achieve political objectives at acceptable political costs and are therefore deemed appropriate by political leaders—in this case a democratically elected U.S. government.21 A key rationale for CPGS is that there is a possibility to address an imminent attack by either DPRK or China through a pre-emptive U.S. strike with prompt long-range conventional weapons. How realistic is it that a U.S.

President would authorise a pre-emptive strike on either country? Alternatively, would it likely be an effective response to a hostile act?

In addition, it makes sense to ask whether employment of such weapons is likely to achieve those political objectives at lower costs than alternative military capabilities. Another critical assumption is that the U.S. actually has the adequate C4ISR (command, control, communications, computers, intelligence, surveillance and reconnaissance) architecture to track and target, for instance, a mobile PLA ASAT weapon. Finally, one needs to consider the broader implications which could result from the introduction of these weapons for strategic stability between the U.S. and its prospective foes, the DPRK and China, and for the broader Asia Pacific region.

North Korea

It is core U.S. interest to prevent a DPRK nuclear attack on its homeland. While there is significant uncertainty about the status of Pyongyang’s nuclear weapons programme, it is rather unlikely that the country will develop a highly sophisticated, dispersed architecture, including road-mobile missiles which are difficult to track and target and which would allow for launch at very short notice. Instead, a North Korean nuclear ICMB capability is likely to be limited and restricted to fixed launch sites. Therefore, should the regime get ready to launch a nuclear missile against the U.S. homeland, related preparations would hardly go undetected by U.S. and allied surveillance assets. Also, it is reasonable to assume that a North Korean decision to launch a rather suicidal attack would be the culmination of a severe crisis where military hostilities would have already begun, or in the face of an impending regime collapse.

In such circumstances, the deterrent value of prompt conventional strike systems is likely to be very limited since the DPRK regime will have reached a level of desperation and determination that would probably make it “undeterrable”.

Furthermore, in both scenarios, U.S. forces in South Korea and Japan would already be placed on high-alert. Submarines and long-range bombers would also be forward deployed. Still, should a U.S. President consider pre- emptive strike against the DPRK’s nuclear capability, prompt conventional strike weapons would provide an additional military option. And given the DPRK’s weak air defences, such strikes would most likely achieve the military objective to destroy launch site(s) and related military infrastructure.

That said, forward deployed U.S. forces would most likely to be in a position to achieve the same operational effect with existing capabilities. For instance, cruise missiles launched from submarines, surface ships and aircrafts are likely to do the job just as well—unless DPRK forces manage to develop an extensive and sophisticated A2/AD architecture which would greatly complicate U.S. operations to launch existing sea-, air- and land-based conventional missiles. This is a rather unlikely prospect. It is therefore not obvious whether prompt long-range conventional strike capabilities would be required in a North Korean scenario given the U.S.’ overwhelming conventional and nuclear superiority.

China

Stability in U.S.-Sino relations is fundamental for both nations and the Asia Pacific region as a whole. Yet, both sides are interested in developing a new category of conventional weapons. In fact, whereas the U.S. (so far) has not modified ballistic missiles for prompt conventional strike, China has fielded a hypersonic medium-range DF-21D anti- ship ballistic missile, reportedly travelling at Mach 10. As mentioned, both sides are also working on hypersonic weapons based on glider and scramjet technologies. However, it is not entirely clear if the current rationale for U.S. operations against China using prompt conventional strike is compelling.

China is a rising major power and an established nuclear weapons state which has made gradual progress towards acquiring a more secure nuclear second-strike capability vis-à-vis the United States.22 The PLA has also rapidly developed its conventional capabilities (partly) to deny U.S. forces freedom of manoeuvre in China’s maritime and aerial approaches. As a result, a debate has emerged among U.S. and international scholars about readjusting U.S. military strategy, including the controversial option of striking targets deep inside mainland China with conventional weapons such as CPGS systems.23
Those who argue for conventional deep strikes in mainland China contend that such threats could contribute to deterrence stability. Unlike nuclear weapons, prompt conventional strike systems would be more versatile and usable. For instance, they could be used in a crisis to target and destroy PLA mobile launchers. Since these weapons would be very difficult to defend against, China’s political and military leadership could be deterred from launching its own weapons; the weapons might thus strengthen U.S.-Sino crisis stability.

However, even if one believes that the threat of conventional strikes against the mainland are an important element of U.S. deterrent posture vis-à- vis China, the argument for prompt conventional strikes with hypersonic or SLMRBMs faces serious problems. First, a pre-emptive conventional U.S. strike against China is highly unlikely for political reasons. U.S. strategic history suggests that policy- makers have time and again ruled out the first strike option against a major nuclear power.24 This is unlikely to change. Equally though, it is difficult to see the motive for a surprise Chinese attack against the United States which would require pre-emptive strikes against “time-critical” targets.

But even if Washington decides to use CPGS against targets in mainland China, it is doubtful whether U.S. forces would have adequate C4ISR systems to track and target “time-sensitive” targets such as the PLA’s mobile rocket launchers. Similar questions should be raised about U.S. ability for “battle damage assessment” in relation to such strikes. It is currently also unclear if the CPGS-delivered weapons payload would be able to destroy hardened and/or deeply buried targets in China.25 Moreover, there is the issue whether the U.S. could field an adequate number of CPGS systems to achieve the desired effect (economies of scale).

Finally, the potential and actual use of prompt conventional strike systems might also have the unintended consequence of undermining U.S.-Sino crisis stability. It is quite likely that U.S. conventional prompt regional or global strike systems would be regarded by China as a new category of offensive weapons favouring the attacker.26 Faced with a potentially debilitating U.S. conventional first-strike against its critical military infrastructure, China’s leaders might be tempted to strike first during a crisis regardless of actual U.S. intentions. Besides, after an initial U.S. strike with CPGS systems against conventional targets on the mainland, it could be difficult to reassure China’s political and military leadership that these strikes were not part of a broader campaign to disarm its conventional and nuclear infrastructure. The 2010 NPR tried to reassure China (and Russia) that long-range conventional weapons would not target their nuclear capabilities;27 but it is unclear to what degree this has been successful.

Conclusion: A Weapon In Search Of A Mission?

Critics have called CPGS a “missile in search of a mission”.28 This judgment certainly applies to the Asia Pacific region. As this paper shows, the current rationales for using such weapons in possible U.S. operations against either the DPRK or China are far from compelling. Even more, the introduction of such systems could have a negative impact on U.S.-Sino crisis stability. Indeed, both sides are likely to perceive the introduction of prompt conventional strike weapons as destabilising. The U.S. debate on the PLA’s “DF21D” is a case in point. The nuclear capable missile is considered by some as a “game changer” given its (potential) ability to strike U.S. aircraft carriers. Although that might not be as clear- cut as often assumed, the perception is one of China altering the military balance.29

The U.S., China and other regional nations therefore need to start a discussion on how to prepare for an age where two or more actors operate intermediate and/or long-range prompt conventional strike weapons. It is difficult to see how Asia Pacific powers could agree on measures of mutual restraint (such as arms control) when it comes to the development and acquisition of these weapons. Consequently, they need to consider how to manage crisis stability under conditions of prompt conventional strike systems which might well lead to a real or perceived shift in the offensive- defensive balance.

How does effective “signaling” work in these circumstances? At which point do prompt conventional strikes become a “strategic” threat to one side so as to trigger an unwanted escalation, including the use of nuclear weapons?30

More specifically, the United States and China should intensify their discussions on how the introduction of hypersonic strike systems is likely to affect strategic stability between the two great powers in Asia, and what to do about it. Both sides, for instance, could agree to exercise mutual restraint when it comes to using long-range hypersonic weapons, similar to what U.S. experts have suggested for the nuclear, space and cyberspace domains.31 Yet, China’s investment in the DF-21D casts doubt on such an outcome. Finally, for the U.S. there is the issue of whether prompt conventional strikes against mainland China could deliver a desired and acceptable political outcome. Instead of focusing U.S. warfighting concepts on offensive conventional strikes on Chinese territory, it might be more effective to create “lethal maritime ‘kill boxes’ for Chinese warships and, if desired, Chinese commerce.”32 While in such an approach, hypersonic weapons could still play a role—for instance in attacking airfields on the Chinese coast—they would not be used in a pre-emptive role against targets deep in mainland China.

In any event, the arrival of prompt hypersonic conventional strike systems will pose significant challenges for Asia Pacific strategic stability.

About the author:
*Dr Benjamin Schreer
is a Senior Fellow for Defence Strategy at the Australian Strategic Policy Institute (ASPI) in Canberra, Australia. In December 2014 he was also a Visiting Fellow with the Military Transformations Programme within the Institute of Defence and Strategic Studies at the S. Rajaratnam School of International Studies (RSIS), Nanyang Technological University (NTU), Singapore. Dr Schreer holds a PhD in Political Science from the Christian-Albrechts-University of Kiel, Germany.

Source:
This article was published by RSIS as Policy Brief June 2015 (PDF)

Notes:
1. The arguments for CPGS are summarised in James M. Acton, Silver Bullet? Asking the Right Questions About Conventional Prompt Global Strike (Washington, DC: Carnegie Endowment for International Peace, 2013).
2. U.S. Department of Defense, Nuclear Posture Review Report (Washington, DC: US Department of Defense, April 2010), p. x, accessible at: http://www.defense.gov/npr/docs/2010%20Nuclear%20Posture%20Review%20Report.pdf
.3 David Alexander and Andrea Shalal, ‘Experimental U.S. hypersonic weapon destroyed seconds after launch’, Reuters, 25 August 2014, accessible at: http://www.reuters.com/article/2014/08/25/us-usa-military-hypersonic-idUSKBN0GP1ED20140825
4. U.S. Department of Defense, Military and Security Developments Involving the People’s Republic of China 2014, Annual Report to Congress (Washington, DC: Office of the Secretary of Defense, 2014), pp. 30–32, accessible at: http://www.defense.gov/pubs/2014_DoD_China_Report.pdf
5. The 2012 Joint Operational Access Concept (JOAC) emphasised that in order to deal with A2/AD challenges US forces might need
to strike targets deep within enemy territory, including ‘critical hostile elements, such as logistics and command and control nodes, long-range firing units, and strategic and operational reserves.’ U.S. Department of Defense, Joint Operational Access Concept (JOAC), Version 1.0, 17 January 2012, p. 24, accessible at: http://www.defense.gov/pubs/pdfs/JOAC_Jan%202012_Signed.pdf.
6. US Department of Defense, Time Critical Strike from Strategic Standoff, Report of the Defense Science Board Task Force (Washington, DC: 2009), p. 2, accessible at: http://www.acq.osd.mil/dsb/reports/ADA498403.pdf
7. Unless otherwise noted this section is based on Acton, Silver Bullet, pp. 39–48.
8. Donald H. Rumsfeld, ‘Nuclear Posture Review Report: Foreword’, 2002, accessible at http://www.defense.gov/news/jan2002/ d20020109npr.pdf
9. U.S. Department of Defense, Quadrennial Defense Review Report (Washington, DC: US Department of Defense, 30 September 2001), pp. 43–44, accessible at: http://www.defense.gov/pubs/qdr2001.pdf
10. U.S. Department of Defense, Quadrennial Defense Review Report (Washington, DC: US Department of Defense, 6 February 2006), p. 50, accessible at http://www.defense.gov/qdr/report/Report20060203.pdf
11. U.S. Department of Defense, Quadrennial Defense Review Report (Washington, DC: US Department of Defense, February 2010), pp. 32–33; accessible at: http://www.defense.gov/qdr/images/QDR_as_of_12Feb10_1000.pdf
12. U.S. Department of Defense, Nuclear Posture Review Report (Washington, DC: US Department of Defense, April 2010), p. 34, accessible at: http://www.defense.gov/npr/docs/2010%20Nuclear%20Posture%20Review%20Report.pdf
13. Tariq Malik, ‘Death of DARPA’s Superfast Hypersonic Glider Explained’, Space.com, 23 April 2012, accessible at: http://www.space. com/15388-darpa-hypersonic-glider-demise-explained.html
14. Amy E. Woolf, Conventional Prompt Global Strike and Long-Range Ballistic Missiles: Background and Issues for Congress (Washington, DC: US Congressional Research Service, 26 August 2014), accessible at: http://fas.org/sgp/crs/nuke/R41464.pdf
15. David Alexander and Andrea Shalal, ‘Experimental U.S. hypersonic weapon destroyed seconds after launch’, Reuters, 25 August 2014, accessible at: http://www.reuters.com/article/2014/08/25/us-usa-military-hypersonic-idUSKBN0GP1ED20140825
16. Mike Hoffman, ‘Congress Reacts to Chinese Hypersonic Missile Test’, Defense Tech, 14 January 2014, accessible at: http:// defensetech.org/2014/01/14/congress-reacts-to-chinese-hypersonic-missile-test/
16 ‘Speed is the new stealth’, The Economist, 1 June 2013, accessible at: http://www.economist.com/news/technology- quarterly/21578522-hypersonic-weapons-building-vehicles-fly-five-times-speed-sound
17. Mike Wall, ‘Air Force’s X-51A hypersonic scramjet makes record-breaking final flight’, Space.com, 3 May 2013, accessible at: http:// www.space.com/20967-air-force-x-51a-hypersonic-scramjet.html
19. Acton, Silver Bullet?, pp. 88–89.
20. Ibid.
21. On the relationship between military effectiveness and societal-political structures see Stephen Peter Rosen, ‘Military Effectiveness: Why Society Matters’, International Security 19 (4), Spring 1995, pp. 5–31.
22. See Benjamin Schreer, ‘China’s development of a more secure nuclear second-strike capability: Implications for Chinese behavior and U.S. extended deterrence’, Asia Policy 19, January 2015, pp. 14–20.
23. See Aaron L. Friedberg, Beyond Air-Sea Battle: The Debate over US Military Strategy in Asia, Adelphi Series, no 444 (London, International Institute for Strategic Studies, 2014).
24.RichardK.Betts,AmericanForce:Dangers,Delusions,andDilemmasinNationalSecurity(NewYork:ColumbiaUniversityPress,2012),chapter6.
25. Acton, Silver Bullet, pp. 81–90.
26. Onoffensive-defensivetheoryseeSeanM.Lynn-Jones,‘Offense-Defensetheoryanditscritics’,SecurityStudies4(4),Summer1995,pp.660–691.
27. US Department of Defense, Nuclear Posture Review Report, April 2010, p. 34.
28. Acton, Silver Bullet, p. 9.
29. Ronald O’Rourke, China Naval Modernization: Implications for U.S. Navy Capabilities – Background and Issues for Congress, Congressional Research Service, 23 December 2014, pp. 6–7.
30. Benjamin Schreer, ‘The strategic implications of China’s hypersonic missile test’, The Strategist, 28 January 2014, accessible at: http:// www.aspistrategist.org.au/the-strategic-implications-of-chinas-hypersonic-missile-test/
31. David C. Gompert and Phillip C. Saunders, The Paradox of Power: Sino-American Strategic Restraint in an Age of Vulnerability, (Washington, DC: National Defense University, 2011).
32 David A. Shlapak, ‘Towards a More Modest American Strategy’, Survival 57 (2), April – May 2015, p. 72.

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EIA: Despite Decline In Oil Prices, Natural Gas Demand Outlook Revised Down

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Lower prices will feed a pick-up in global natural gas demand over the next five years following a marked slowdown in 2013 and 2014, the International Energy Agency (IEA) said in its 2015 Medium-Term Gas Market Report on Thursday. Nevertheless, the growth in demand will fall short of previous forecasts.

The annual report, which gives a detailed analysis and five-year projections of natural gas demand, supply and trade developments, sees global demand rising by 2 percent per year by the end of the forecast period, compared with 2.3 percent projected in last year’s outlook. A significant reason for the downward revision is weaker gas demand in Asia, where persistently high gas prices until very recently caused consumers to switch to other options.

“One of the key – and largely unexpected – developments of 2014 was weak Asian demand,” said IEA Executive Director Maria van der Hoeven. “Indeed, the belief that Asia will take whatever quantity of gas at whatever price is no longer a given. The experience of the past two years has opened the gas industry’s eyes to a harsh reality: in a world of very cheap coal and falling costs for renewables, it was difficult for gas to compete.”

Asian gas prices are indexed, or linked, to those for oil. For several years, as oil prices hovered over $100/barrel, that meant Asian consumers were paying a hefty premium for their gas compared to buyers in other parts of the world. The rout in oil prices that began in mid-2014 has spilled over to natural gas markets in Asia and allowed the Asian premium to narrow substantially. But demand for gas in Asia may not recover as quickly as the drop in prices.

In the short term, gas demand will benefit from plunging prices, but the report adds that the long-term outlook for gas has become more uncertain – especially in Asia. A few Asian countries have decided to move ahead with plans to expand coal-fired power generation instead of gas-fired generation. “For the fuel to make sustained inroads in the energy mix, confidence in its long-term competitiveness must increase,” the report says.

On the supply-side, the report notes that lower oil prices will have a major impact on gas upstream and infrastructure investment. Companies are cutting capital expenditures and refocusing on core assets with fast returns, which will unavoidably lead to slower production growth over the medium term. Due to their capital-intensive nature and long lead times, LNG projects are soft targets for investment reductions and several of them are likely to be delayed or even cancelled. If current low prices persist, LNG markets could start tightening substantially by 2020, with demand gradually absorbing the large supply upswing expected over the next three years.

In the short term, gas markets will need to cope with a flood of new LNG supplies. The report projects global LNG export capacity to increase by more than 40% by 2020, with 90% of the additions coming from Australia and the United States. Lower oil prices pose little risk to the timing of projects already under construction. The Australian projects are at an advanced stage of development, while project’s operators in the United States have limited price exposure once deals have been signed. New projects, however, will struggle to get off the ground at current prices.

As LNG supplies surge over the next five years, Europe is set to offer an important outlet. The report projects that the region’s LNG imports will roughly double between 2014 and 2020. Despite the foreseen increase in LNG intakes, the report does not anticipate a meaningful reduction in European imports from Russia, which will remain locked in a 150-160 bcm range. In OECD-Europe, domestic gas production is projected to continue to fall and to stand 25% below its 2010 level by 2020. Compounding the declining trend in production is a moderate recovery in demand. As a result, European gas import requirements are set to increase by almost one-third between 2014 and 2020.

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Managing Next Ebola Crisis: New Report Provides Framework For More Effective Response

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Reviewing more than 200 response activities implemented during the recent Ebola outbreak, the World Economic Forum has released a new report analysing the range of contributions and calling for action to build more effective public-private networks and partnerships in advance of the next public health emergency.

The findings of this rapid multistakeholder review suggest that there is merit in and support for a more detailed design process, to frame what a new platform of public-private cooperation should look like in order to help countries and regions at risk from future health epidemics.

“Leveraging public-private partnerships more effectively to ensure private-sector capabilities and resources are used efficiently is key for the preparedness, response and recovery efforts of future epidemics,” said Arnaud Bernaert, Senior Director and Head of Global Health and Healthcare Industries, World Economic Forum. “As the international institution for public-private cooperation, the World Economic Forum is leveraging its capabilities to assess lessons learned from the Ebola crisis, and to convene private industry leaders to develop more effective partnerships with their public counterparts.”

The report focuses on response activities reported by the Ebola Private Sector Mobilization Group and the UN Office of the Coordination of Humanitarian Affairs. The analysis disaggregates the private-sector Ebola response engagement into three categories – in-country operators, expert capability companies and the greater private sector – and, drawing on the strengths and offerings each group brought to bear, outlines recommendations for more effective future models of collaboration.

When coordination existed between public and private sectors at a country level, it paved the way for private companies to deploy resources such as thermal systems and cameras at international airports in the region, and leverage in-country distribution networks to deliver medicine and medical supplies. Analysis of these activities in the report shows that folding the private sector even further into public-sector response efforts and discussions could have allowed these contributions to scale higher.

Establishing global, expertise-based groups was also identified as essential to fighting similar outbreaks in the future. During the Ebola outbreak, public-private collaboration brought forth innovative response activities, such as using existing technology to analyse SMS and call data from mobile phones in order to map hotspots of reported cases. However, the report found that at times these tools were developed independently of public responders, not taking into account core needs on the ground. Harnessing innovation across expertise-based companies is essential in driving the greatest impact.

“This report is a critical first step in understanding how we can be more effective in the next epidemic response,” said Paul Polman, Chief Executive Officer of Unilever and member of the initiative’s advisory group. “The second phase will be equally critical as we aim to implement the actions it recommends. Private companies have expertise that can help response efforts in a public health emergency. So it’s important they are involved in preparedness planning – to do their bit, draw on their capabilities wherever possible and help build a resilient infrastructure to tackle future outbreaks.”

The report, Managing the Risk and Impact of Future Epidemics: Options for Public-Private Cooperation, was developed in collaboration with The Boston Consulting Group and builds on the Forum’s initiative, Health Systems Leapfrogging in Emerging Economies, which identifies ways in which resource-constrained countries can build resilient and sustainable health systems through innovation. This week at the World Economic Forum on Africa, industry, civil society and government leaders will meet to discuss the report’s findings and identify a path forward for preparatory action.

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Sri Lanka: Pope Francis Names New Bishop Of Trincomalee

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Pope Francis has accepted the resignation presented by Bishop Joseph Kingsley Swamipillai, from the pastoral care of the Diocese of Trincomalee in Sri Lanka, in accordance with canon 401 § 1 of the Code of Canon Law and has appointed Rev. Noel Emmanuel Christian, presently Episcopal Vicar and General Treasurer of the same diocese as the new Bishop of Trincomalee.

Rev. Dr. Christian Noel Emmanuel was born December 25, 1960, in Trincomalee. After secondary school, he entered St. Joseph’s Minor Seminary.

In the years 1978 – 1981 he studied philosophy at the National Seminary of Kandy. From 1981 to 1982 he did a year of regency with pastoral work.

In 1983 he entered the St. Paul’s Major Seminary, Triruchirappally, in India, where, in 1986, he finished his theological studies. He was ordained deacon 12 March, 1985 and was incardinated in the then undivided Diocese of Trincomalee-Batticaloa. He received priestly ordination on May 21, 1986, in the Cathedral of Trincomalee.

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Saudi Arabia Cancels Czech Trade Talks Over Anti-Islam Remarks

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By Ghazanfar Ali Khan

A major Saudi-Czech business meeting has been canceled by Saudi Arabia because of anti-Islam statements made by a Czech official targeting Islamic countries, Abdul Rahman Al-Zamil, president of the Council of Saudi Chambers (CSC), confirmed on Wednesday.

Al-Zamil, who also heads the Riyadh Chamber of Commerce and Industry (RCCI), said: “I have seen the reports and I can confirm the cancellation of the Saudi-Czech business meeting … but I can’t give specific details with regard to our position now.”

Other CSC officials downplayed the report, which was first carried by Al-Watan daily.

The report coincides with the publication of a comprehensive interview with Czech President Milos Zeman in a section of the Saudi press Wednesday. Zeman, in the interview, spoke in a candid and conciliatory tone while recalling the historically close Czech-Arab relations.

Czech Ambassador Jiri Slavik said he was hopeful of the cordial relations ahead. “I have sent a note to the Saudi Foreign Ministry requesting a meeting … I expect to meet Saudi officials soon, and discuss the deadlock,” he added.

Bilateral relations soured after Zeman gave some anti-Muslim statements following the attacks on the Jewish Museum in Brussels several years ago. In response, Saudi Arabia launched a diplomatic offensive against the Czech Republic. Since then, Czech-Saudi ties have been strained.

Prague fears the rift might spill over into the economic sphere if there are no efforts toward reconciliation.

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US Defence Secretary’s Visit To India June 2015 – Analysis

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By Dr Subhash Kapila*

US Defence Secretary Ashton Carter commenced his three day visit to India on June 02 2015, significantly, with a visit to Indian Navy’s Headquarters Eastern Naval Command at Vishakhapatnam which has operational responsibilities with South East Asia and the South China Sea.

The US Defence Secretary’s visit to the Headquarters of India’s most important Naval Command Headquarters in the present geopolitical context would enable him to grasp in his briefings the potential of the Indian Navy besides visits to some naval ships.

Coming to India directly after his Keynote Address at the Shangri La Dialogue in Singapore where the United States emphasis was to caution and advise China not to rake up tensions in the South China Sea, the US Defence Secretary’s visit to Indian Navy’s Headquarters Eastern Naval Command assumes significance.

Intended or not, the above context is likely to be analysed by China as some sort of political and strategic signalling by India. Even if it was not so intended by India then it is high time that India initiates such political signalling to China keeping in mind that China is not only brazen but unapologetic about its India-discomfiting strategic moves in Pakistan.

India and the United States enjoy a wide range of strategic convergences on the security and stability of the Indian Ocean and the Indian Ocean Region in which China is intrusively moving-in to disturb the existing status-quo and naval balance.

The above strategic reality should be a good enough reason for the United States and India to cooperate in a joint effort to keep the ‘Indian Ocean as Indian’, something which I have emphasised in my Papers on the subject and also on TV debates.

For obvious reasons the US Defence Secretary’s visit to India cannot be billed as such though undoubtedly it would be the main topic with his discussions in New Delhi with the Indian Defence Minister, National Security Adviser besides a call on Prime Minister Modi.

The US Defence Secretary’s visit to India for three days is being projected as to finalise and sign the 10 Year Defence Framework Agreement for US-India defence cooperation especially in terms of pathfinder joint defence production projects to begin with and then an enlargement of the same cooperation.

Notable in these discussions would be the US offer to assist with India its defence technology in construction of Aircraft Carriers which India sorely needs to cope with China’s rush into the Indian Ocean. The United States has expressed readiness in assisting India in the capacity-building of the Indian Navy so as both countries can contribute to the security and stability of the Indian Ocean.

The United States Navy and the Indian Navy have been conducting joint naval exercises for the past couple of years both in Indian waters and in Pacific Ocean waters. This is resented by China and it is critical of these initiatives as intended to checkmate China.

Discussions are also likely to take place to improve US –India intelligence sharing cooperation. India also needs US technology assistance in production of aircraft engines for its combat fighter aircraft as its own indigenous production effort in this field has failed to take off.

Significantly and imperceptibly, India seems to be reducing the country’s defence hardware dependence on Russian military hardware. This for a good reason in that Russia has become a de-facto strategic ally of India’s main adversary, China, and also signalling moves to closer ties with Pakistan.

Concluding, one hopes that the United States succeeds in breaking new ground with India in joint defence R&D and defence production especially for the Indian Navy with China signalling last month its military ambition of force projection in far-off waters, read Indian Ocean littoral. Concomitant to such path-breaking would be the imperative for the United States to dispense with its obsession to a “China Hedging Strategy”.

*Dr Subhash Kapila is a graduate of the Royal British Army Staff College, Camberley and combines a rich experience of Indian Army, Cabinet Secretariat, and diplomatic assignments in Bhutan, Japan, South Korea and USA. Currently, Consultant International Relations & Strategic Affairs with South Asia Analysis Group. He can be reached at drsubhashkapila.007@gmail.com

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Georgia: PM Strongly Against Marijuana Decriminalization

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(Civil.Ge) — Georgia’s PM Irakli Garibashvili expressed his “sharply negative” stance towards calls for marijuana decriminalization and said that such move would have “deplorable consequences.”

“I personally have a sharply negative attitude and I know there is no unanimous position within the team [Georgian Dream ruling coalition] about it,” he said at a session of government on June 4.

“It would mean complete revision of our drug policy and consequences need thorough consideration,” the PM said.

PM’s comments come after a rally in support of decriminalization of marijuana was held outside the government’s office in Tbilisi on June 2. Such rallies are held in the capital and some other cities of the country annually on June 2, since 2013.

Under the Georgian law possession of a small amount of marijuana for personal use, without intent to sell, is an administrative offense, punishable with GEL 500 fine.

Repeated offense carries criminal punishment with up to one year imprisonment.

Former UNM MP Goga Khachidze has initiated a bill, which, if approved, will decriminalize possession and use of marijuana, but will leave it as an administrative offense, punishable with GEL 100 fine.

“I know young people are speaking emotionally about it, but this is an issue of principle, and we are obliged to realize its deplorable consequences. I am personally completely, categorically against of it,” PM Garibashvili said.

“Instead of thinking about decriminalization of marijuana, we should think about how to create happy and strong future for our future generation and about their healthy lifestyle; then they will demand its legalization and we will get deplorable consequences for our future generations,” he said.

“It is regrettable that the public does not speak about development of mountainous [regions], demographic issues, which should be the most painful issues for us; instead they speak about smoking marijuana freely in the streets. Let them, who want legalization of marijuana so much, call on their own children to do so,” the PM said.

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Pope Francis And Bruce Jenner – OpEd

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Pope Francis has not commented on Bruce Jenner’s transformation, but we are not without clues as to what he might be thinking. The pope, like his two predecessors, has spoken directly and quite strongly about the intellectual hollowness of gender theory and gender ideology. These popular strains in post-modernist thought discount, if not deny, the role played by nature in shaping human behavior. Here’s a sample of what Pope Francis has said on this subject:

  • “I ask myself, if the so-called gender theory is not, at the same time, an expression of frustration and resignation, which seeks to cancel out sexual difference because it no longer knows how to confront it. Yes, we risk taking a step backwards.” (4-15-15)
  • “The crisis of the family is a social reality. Then there are ideological colonizations of the family, modes and proposals from Europe and also from overseas. The error of the human mind that is gender theory creates a lot of confusion.” (3-23-15)
  • On board a flight from Manila to Rome, after he labeled “gender theory” a form of “ideological colonization,” he said: “Why do I say ideological colonization? Because they take, they really take, they take the need of a people to seize an opportunity to enter and grow strong—with the children. But it is not new, this. The same was done by the dictatorships of the last century. They entered with their own doctrine—think of Balilla [Mussolini’s fascist youth organization], think of the Hitler Youth.” (1-19-15)
  • “Let us be on guard against colonization by new ideologies. There are forms of ideological colonization which are out to destroy the family.” (1-16-15)
  • “Gender ideology is demonic!” (1-30-14)

Pope Francis would never demonize Bruce Jenner—s/he possesses the same human dignity afforded all of God’s people. But by branding as demonic the very ideology that justifies his transformation, the pope makes it clear what he thinks of it.

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Making Economy Work For The Many, Not The Few: #8 Raise The Estate Tax On The Very Rich – OpEd

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At a time of historic economic inequality, it should be a no-brainer to raise a tax on inherited wealth for the very rich. Yet there’s a move among some members of Congress to abolish it altogether.

If you’re as horrified at the prospect of abolishing the estate tax as I am, I hope you’ll watch and share the accompanying video.

Today the estate tax reaches only the richest two-tenths of one percent, and applies only to dollars in excess of $10.86 million for married couples or $5.43 million for individuals.

That means if a couple leaves to their heirs $10,860,001, they now pay the estate tax on $1. The current estate tax rate is 40%, so that would be 40 cents.

Yet according to these members of Congress, that’s still too much.

Abolishing the estate tax would give each of the wealthiest two-tenths of 1 percent of American households an average tax cut of $3 million, and the 318 largest estates would get an average tax cut of $20 million.

It would also reduce tax revenues by $269 billion over ten years. The result would be either larger federal deficits or higher taxes on the rest of us to fill the gap.

This is nuts. The richest 1 percent of Americans now have 42 percent of the nation’s entire wealth, while the bottom 90 percent has just 23 percent.

That’s the greatest concentration of wealth at the top than at any time since the Gilded Age of the 1890s.

Instead of eliminating the tax on inherited wealth, we should increase it – back to the level it was in the late 1990s. The economy did wonderfully well in the late 1990s, by the way.

Adjusted for inflation, the estate tax restored to its level in 1998 would begin to touch estates valued at $1,748,000 per couple.

That would yield approximately $448 billion over the next ten years – way more than enough to finance ten years of universal preschool and two free years of community college for all eligible students.

Our democracy’s Founding Fathers did not want a privileged aristocracy. Yet that’s the direction we’re going in. The tax on inherited wealth is one of the major bulwarks against it. That tax should be increased and strengthened.

It’s time to rein in America’s surging inequality. It’s time to raise the estate tax.

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Who Is On The Left? – OpEd

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What is a leftist? This question is always an important one but it looms especially large as another presidential election approaches in 2016. The confusion about this issue is caused by opportunism, wishful thinking, and by the need to feel comfortable within America’s narrative of dubious distinction.

In political discussions we often hear about disputes among those who claim to be on the left. Some may favor intervention in Syria or Ukraine or somewhere else targeted by the United States. Should leftists support Bernie Sanders instead of Hillary Clinton? Should leftists vote for Democrats who “disappoint” them?

Worthwhile debate can be separated from nonsensical chit-chat with a few hard questions. Does a policy in dispute promote neo-liberal schemes, increase mass incarceration, make war, steal other nations’ resources, enrich the already wealthy, impoverish the already poor or make one race dominant over others? If the answer is ever yes, then the issue in question is one that leftists can’t support and the people who promote these things can’t be supported either.

Why then do millions of people who think of themselves as progressives or left wing end up giving money, time and votes to people and organizations who continually flunk the litmus test? Some fear the status of “spoiler” even as the Democrats do less and less for their constituents. Some are opportunists who want to get a piece of the action. Others engage in fantasy and live in hope that the scoundrels will suddenly become ethical.

There is another very dangerous dynamic at work. Many people don’t want to find themselves outside of the popular narratives about America. They want to be included in the myth of a good and great country. They pin their hopes on someone they find acceptable standing atop a heap that is inherently corrupt.

Most people who call themselves progressives or who protested the war in Iraq didn’t really want fundamental change. They don’t have the stomach to challenge the assumptions upon which American aggressions are based. That is why they so quickly forgot their supposedly antiwar sentiments and clung so fiercely to Barack Obama. They want to wrap themselves in the flag or in being on a winning team but that means being a part of America’s horrendous tale of conquest, race based terrorism and numerous other oppressions.

The siren song of American superiority is strong. How often did antiwar activists or other progressives claim that a particular atrocity or outrageous act was “un-American.” Of course enslavement and genocide were very American so the claim always rang hollow, but the urge to want to be the good, patriotic American is still there and very, very strong.

Exceptionalism is a concept that is rarely questioned. Manifest Destiny and the violence that comes with it are still considered not just acceptable but noble and benevolent. That explains why Obama’s wars are accepted by the same people who protested against Bush.

It can be difficult to remain in opposition to the American state. It requires an ability to oppose not just war, or economic policy, but a desire for inclusion in a rotten system. The yearning for freedom expressed in the liberation movements was often little more than a yearning to be accepted or to have a seat at the table.

The black misleadership class is a perfect example of this phenomenon. They may have protested fifty years ago but they are now happy and comfortable getting big pay checks, recognition and occasional access to powerful people. The concerns of people behind bars in the American gulag or even poor struggling workers rarely cross their minds. That lack of concern is caused by political expediency for some and rank cynicism by others.

How many people who start out opposing the system really want to get rid of it and how many just want to be a part of it? There is always someone advising the resister to be “reasonable,” “pragmatic” or “realistic” and cling to the Democrats no matter what they do.

Leftists should want freedom from racism, freedom from predatory capitalism and freedom from imperialism. They should want that for themselves and for people all over the world. Anyone who gives the United States government a pass for intervening anywhere in the world is no leftist. It doesn’t matter if the intended target is a “dictator” or “tyrant” or “cruel to his own people.” These are weasel words used to promote violence and to hide inconvenient truths about America’s role in creating its own tyrannies.

The opportunists and even some sincere people will advise supporting the Democratic Party in the November 2016 election. The Republicans’ barely concealed racism and blatant misogyny will be held up as boogie men to frighten anyone who begins to think independently. Yet the Democrats can’t even provide the low hanging fruit of their past.

In 2009 and 2010 the Democrats controlled the White House and both Houses of Congress. If they were interested in raising the minimum wage they had a golden opportunity to do so. That type of treachery must be kept in mind when the “I’m disappointed in the Democrats but still support them” arguments are made.

Self-determination should be the question upper most in every mind. Who will stand independently when mealy mouthed liberals advise standing pat with failure? Who will speak up for Americans who want to free themselves from police violence, gentrification, job loss and surveillance? Who will speak up for people around the world who are subjected to drone strikes, occupations and interventions?

The people who are complicit or even just silent will have exposed themselves. When they counsel accommodation and still claim to be on the left they must be called out as liars. There should be little confusion about what it means to be a leftist.

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The Evolution Of The Oil Weapon – Analysis

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By John Manfreda

In the age of derivatives, swaps, and electronic money transfers, a new form of warfare has emerged: financial warfare.

Recently, the US has passed sanctions on countries such as Syria, Venezuela, and North Korea , but the majority of energy related sanctions passed have been targeted at Iran and Russia.

An estimated 68 percent of Russia’s government revenue is derived from oil and gas exports, while 80 percent of Iran’s revenue comes from oil exports. That presents a very large target for the use of financial weapons.

To understand why financial warfare is now so commonplace, one must understand how it came into existence and what has been achieved taking such an approach.

The oil weapon first came into existence in 1956, when Egypt nationalized the Suez Canal. What resulted from this was a declaration of war by France, England, and Israel. As a way to counter this invasion, Saudi Arabia decided to ban exports to England and France. This embargo turned out to have minimal economic impact, as the US increased shipments to Europe, and international oil companies redirected shipments to England and France.

The next embargo imposed was in 1967, when Arab states imposed an embargo on the US, Britain, and West Germany. This embargo was enacted after a rumor surfaced that Britain and the US were providing air cover for Israeli planes, after Israel bombed Egyptian military airports in the 1967 war. This embargo failed, due to the fact that Arab oil revenues declined. This embargo also wasn’t enforced properly, as Western countries were still receiving oil from Arab countries.

But the most famous incident came in 1973. This was when OPEC issued a new embargo on countries that provided military aid to Israel, in the Yom Kippur war. This proved to have a greater economic impact on Europe and the US, because Saudi Arabia displaced Texas as the world’s swing producer.

The 1973 embargo led to an increase in domestic fuel prices, shortages of gasoline, and the rationing of gasoline fuel. This embargo changed the dynamics of US foreign policy.

After the 1973 embargo, Richard Nixon sent his secretary of state Henry Kissinger to Saudi Arabia with a proposed deal, to ensure that an embargo such as this would never happen to the United States again.

After some revisions, in 1976, the House of Saud and Henry Kissinger finally reached an agreement. The agreement did the following things, according to Marin Katusa’s 2014 book, “The Colder War.” The Saudi’s agreed to:

1. Give the US as much oil as it desired, for general consumption and national security measures. Thus increasing or decreasing oil production to the benefit of the US

2. To only sell oil for US dollars, and to reinvest profits in US treasury securities.

In return, the US guaranteed:

1. The protection of the Saudi Kingdom from rival Arab countries

2. The protection of Saudi oil fields

3. Protection from an Israel invasion.

The Saudi’s agreed to this because, even though they had vast amounts of oil, they didn’t possess an army which could protect them from its surrounding enemies; which included Iran, Iraq, and Israel.

This deal not only secured a steady supply of oil to the US, but allowed the US to expand its global footprint.

How the US and the Saudis colluded to topple the USSR

In 1982, a secret declaration for economic war with The Soviet Union was signed. This declaration included:

  • No new contracts to buy Soviet natural gas
  • Accelerate development of an alternate supply to Soviet gas for parts of Europe
  • A plan to substantially raise interest rates on credit to the USSR
  • The requirement of higher down payments and shorter maturities on Russian bonds.

This declaration made the USSR’s debt load much more burdensome, but what delivered the final blow to the USSR was the doubling of oil production from Saudi Arabia in 1986. This pushed oil prices down to roughly 10 dollars per barrel, thus vastly decreasing the USSR’s government revenue. This declaration combined with low oil prices, according to James Norman, author of the 2008 book, “The Oil Card,” is what led to the collapse of the USSR.

Today, the international financial system is much more sophisticated. Still, using financial sanctions with the intention of creating a de facto embargo on oil is a widespread practice today – just look at the cases of Iran and Russia.

Source: http://oilprice.com/Energy/Crude-Oil/The-Evolution-Of-The-Oil-Weapon.html

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The Good, Bad And Uncertain About Recognizing ‘Palestine’– OpEd

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No matter what Palestinian Authority President Mahmoud Abbas does, his popularity is declining. In some ways, Abbas’ threshold for popularity was really never impressive to begin with, a trend that is unlikely to change in the near future.

But now that a power struggle in his Fatah party is looming, and his two-decade investment in the ‘peace process’ scheme has proven to be fruitless, Abbas is doing what he should have done a long time ago: internationalize the Palestinian struggle, and break away from the confines of American influence and double-standard ‘diplomacy’.

Considering Abbas’ grim legacy among Palestinians, his leading role in engineering the peace process, crackdown on dissent, failure to achieve unity among his people, undemocratic rule, and much more, it is doubtful that his internationalization efforts are done with the greater good in mind. But should that matter if the outcome is greater recognition of a Palestinian state?

The Vatican’s Move

On May 13, the Vatican officially recognized the state of Palestine. In reality, the Vatican had already welcomed the United Nations General Assembly vote in 2012 to recognize a Palestinian state. Moreover, it had treated Palestine as a state ever since.

But what makes May 13 particularly important is that the subtle recognition was put into practice in the form of a treaty, which is in itself not too important. True, the updated recognition is still symbolic in a sense, but also significant, for it is further validates the Palestinian leadership’s new approach aimed at breaking away from the US-sponsored peace process into a more internationalized approach to the conflict.

The Vatican can be seen as a moral authority to many of the 1.2 billion people that consider themselves Roman Catholics. Its recognition of Palestine is consistent with the political attitude of countries that are considered the strongest supporters of Palestinian rights around the world, the majority of whom are located in Latin America and Africa.

There is more than one way to read this latest development within the context of the larger Palestinian strategic shift to break away from the disproportionate dependence on American political hegemony over the Palestinian discourse. But it is not all positive, and the road for the ‘state of Palestine,’ which is yet to exist outside the realm of symbolism, is paved with dangers.

Reasons for Optimism

 1. Recognitions allow Palestinians to break away from United States hegemony over the political discourse of the ‘Palestinian-Israeli conflict’.

For nearly twenty-five years, the Palestinian leadership – first the PLO and then the PA – fell under the spell of American influence starting at the US-led multilateral negotiations between Israel and Arab countries in Madrid in 1991. The singing of the Oslo Agreement in 1993 and the establishment of the PA the following year gave the US an overriding political influence over Palestinian political discourse. While the PA accumulated considerable wealth and a degree of political validation as a result of that exchange, Palestinians as a whole lost a great deal.

2. International recognitions downgrade the ‘peace process’, which has been futile at best, but also destructive as far as Palestinian national aspirations are concerned.

Since the US-sponsored ‘peace process’ was launched in 1993, Palestinians gained little and lost so much more. That loss can be highlighted mostly in the following: massive expansion in Israel’s illegal Jewish settlements in the occupied territories, doubling the number of the illegal settlers as well; the failure of the so-called peace process to deliver any of its declared goals, largely Palestinian political sovereignty and an independent state; and the fragmentation of the Palestinian national cause among competing factions.

The last nail in the ‘peace process’ coffin was put in place when US Secretary of State, John Kerry, failed to meet his deadline of April 2014 that aimed at achieving a ‘framework agreement’ between the PA and the rightwing government of Benjamin Netanyahu.

The collapse in the process was largely an outcome of a deep-seated ailment where the talks, no matter how ‘positive’ and ‘encouraging’ they were, were never truly designed to give Palestinians what they aspired to achieve: a state of their own. Netanyahu and his government (the recent one being arguably the ‘most hawkish’ in Israel’s history) made their intentions repeatedly clear.

Finding alternatives to the futile ‘peace process’, through taking the conflict back to international institutions and individual governments is surely a much wiser strategy than making the same mistake time and again.

3. Instead of being coerced to engage in frivolous talks in exchange for funds, recognitions of Palestine allow Palestinians to regain the initiative.

In 2012, Abbas reached out to the UN General Assembly seeking recognition of Palestine. Once he achieved the new status, he continued to push for his internationalization of the Palestinian cause project, although at times, hesitantly.

What is more important than Abbas’ maneuvers is that with the exception of the United States, Israel, Canada and a few tiny islands, many countries including US western allies seemed receptive to the Palestinian initiative. Some went as far as confirming that commitment through parliamentary votes in favor of a Palestinian state. The Vatican’s decision to sign a treaty with the ‘state of Palestine’ is but a step further in the same direction. But all in all, the movement towards recognizing the state of Palestine has grown in momentum to the extent that its sidestepping the US entirely, and discounting its role as the self-imposed ‘honest broker’ in a peace process that was born dead.

Thus, it is a good day when the US’s disparate political and military influence retreats in favor of a more pluralistic and democratic world. But it is not all good news for the Palestinians because these recognitions come at a cost.

Reasons for Doubt

1. These recognitions are conditioned on the so-called two state solution idea, itself an impracticable starting point for resolving the conflict.

A two-state solution that can introduce the most basic threshold for justice is not possible considering the impossibility of the geography of the Israeli occupation, the huge buildup of illegal settlements dotting the West Bank and Jerusalem, the right of return for Palestinian refugees to their homes, and issues pertaining to water rights, etc. That ‘solution’ is a relic of a past historical period when Henry Kissinger launched his shuttle diplomacy in the 1970’s. It has no place in today’s world when the lives of Palestinians and Israelis are overlapping in too many ways for a clean break to be realized.

2. Recognitions are validating the very Palestinian president who is serving with an expired mandate that is presiding over an unelected government.

In fact, it was Abbas also known as Abu Mazen, who mostly cooked up the whole Oslo deal, starting secretly in Norway, while by-passing any attempt at Palestinian consensus regarding the inherently skewed process. Since then, he more or less stood at the helm, benefiting from the political disaster that has engineered. Should Abbas, now 80, be given yet another chance to shift the Palestinian strategy to a whole different direction? Should these efforts be validated? Or isn’t it time for a rethink involving a younger generation of Palestinian leaders capable of steering the Palestinian national project into a whole new realm of politics?

3. Recognitions are merely symbolic.

Recognizing a country that is not fully formed and is under military occupation will hardly change the reality on the ground in any shape or form. The Israeli military occupation, the expanding settlements, and suffocating checkpoints remain to be the daily reality that Palestinians must contend with. Even if Abbas’ strategy succeeds, there is no evidence that in the end it will carry any actual weight, in terms of deterring Israel or lessening the suffering of the Palestinians.

Conclusion

One could argue that the recognition of Palestine is much bigger than Abbas as an individual or a legacy. These recognitions demonstrate that there has been a seismic shift in international consensus regarding Palestine, where many countries in the southern and northern hemispheres seem to ultimately agree that it is time to liberate the fate of Palestine from American hegemony. In the long run, and considering the growing rebalancing of global powers, for Palestinians, this is a good start.

However, the question remains: Will there be a capable and savvy Palestinian leadership that knows how to take advantage of this global shift and utilize it to the fullest extent for the benefit of the Palestinian people?

The post The Good, Bad And Uncertain About Recognizing ‘Palestine’ – OpEd appeared first on Eurasia Review.

An Action Agenda For Our People And Our Planet – OpEd

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2015 marks the seventieth anniversary of the United Nations. It is also the year when countries will come together to adopt the next generation of goals for our people and their only home – planet Earth. 2015 will also see the hosting of a Financing for Development Conference in Addis Ababa and the Climate Conference in Paris. It will be a historic inflexion point for the global approach to development.

This new agenda will stage the transition from the Millennium Development Goals—the MDGs—to the next generation of Sustainable Development Goals, with a new time horizon of the year 2030. The new sustainable development goals will build on the MDGs which covered poverty, gender equality, health, education and environmental sustainability, but in a way which is deeper, more integrated and policy relevant. They also include nine more goals to cover the broader scope of the sustainable development agenda which include more economic issues, such as growth, employment, infrastructure and inequality; environmental concerns that include water, energy, terrestrial and marine ecosystems; and most importantly a goal with targets promising more peaceful, better governed and inclusive societies.

The earlier MDGs succeeded in focusing political will and international development resources on a number of priority objectives which include, in addition to sharply reducing poverty and hunger, achieving universal primary school enrolment with gender parity, checking the HIV/AIDS pandemic, promoting gender equality and substantially reducing preventable deaths from malaria, diarrheal diseases and complications of childbirth.

For the past two years, an unprecedented engagement has helped define what should succeed the MDGs in 2016. The Member States of the United Nations have elaborated on a new goal and target framework that builds on the work of the MDGs, but one which calls for a fundamental rethink in all economies and societies.

In shaping this future agenda, Governments have been joined by the voices of millions around the world including women, children, youth, persons with disabilities, indigenous peoples, business and industry, workers and trade unions, farmers, local authorities, the scientific and technological community and civil society. There could be no better process to give meaning to the involvement of ‘we the people’–as set out in the UN Charter–in determining their own destiny.

Halving extreme poverty in the past fifteen years has been an extraordinary accomplishment by any standard. Yet, there are still many millions of poor and vulnerable people left behind in the world and development must include them. Hence, the ambition of the sustainable development goals is to end extreme poverty and hunger, while leaving no-one behind.

The new goals will take us into the second quarter of the 21st century. During the next 15 years, more countries will graduate from being least developed countries, and middle-income and upper-income countries will continue to grow and to provide productive and decent employment to their populations.

As more and more of the world’s population joins the global middle class, demands on the environment and our natural resource base will also continue to grow. Already we are consuming each year one and a half times the Earth’s annual capacity to regenerate itself. We are drawing down precious natural capital just to live the way we are. Climate change already poses a serious threat that, if left unchecked, risks undermining the livelihoods of the poorest and worsening food insecurity in some of the most populated regions of the globe.

If all the Earth’s inhabitants are to be able to enjoy a decent standard of living, the wealthy will need to shift to much more sustainable patterns of consumption, and producers everywhere will need to shift to more sustainable patterns of production. Thus, the future agenda and goals are universal, calling for action on the part of everyone everywhere, beginning in the developed world, to shrink their environmental footprints, to create a ‘safe operating space’ for all countries to prosper. The planetary limits cannot be transgressed and our climate system, our oceans, land and atmosphere must be preserved, regenerated and made safe. We hope that a significant and meaningful outcome in Paris in December will strengthen global efforts in mitigating and adapting to climate change.

Many worry about the price tag of the transition to the bold new goals. But this agenda is not about aid and concessional flows to developing countries alone. It is more about the fundamental transformations in all societies and economies.

Resources have to be raised and spent primarily in countries themselves. All the important economic actors–governments, the business sector, banking and insurance, financial institutions and intermediaries, the trading system–have to be part of the accelerated impetus for sustainability. The financing for development conference in Addis Ababa in July 2015 will be an important landmark on the way to financing the implementation of the new sustainable development goals.

Let us make sure that we do not let our people and our planet down. History has given us this chance; let us not fritter it away.

* Mr. Nikhil Seth is Director in the United Nations Division for Sustainable Development, DESA, New York.

The post An Action Agenda For Our People And Our Planet – OpEd appeared first on Eurasia Review.


Ethiopia: Making Sense Of 100 Percent Election Victory – OpEd

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By Messay Kebede*

According to the National Election Board of Ethiopia, the result of last week’s national election is that the EPRDF (Ethiopian People’s Revolutionary Democratic Front) has achieved a complete victory by grabbing all the parliamentary seats. The same board and the Ethiopian government qualified the result as a triumph of democracy, which leads one to assume that in today’s Ethiopia the progress of democracy is measured by the size of exclusion of opposition parties from parliamentary participation. In 1995, the process resulted in 75 seats to various opposition parties; then it evolved to one representative in 2010; until it has reached the present stage of advanced democracy with zero representative from the opposition. Bravo to the EPRDF! Be it noted that this novel interpretation of democracy seems to be endorsed by the American government through the authoritative voice of Wendy Sherman, the Under Secretary for Political Affairs (go to http://www.diretube.com/ethiopia/under-secretary-of-state-wendy-sherman-talking-about-ethiopia-video_851c48f3b.html) The only step remaining to achieve the apex of democracy is the banning of opposition parties, obvious as it is that they have become obsolete.

On a serious note, last week’s election appears very enigmatic to many observers. For one thing, in view of the creeping discontent in the country, which is even expressed outwardly here and there, in view also of the paranoia of the regime showing an unprecedented level of mobilization of its repressive forces to intimidate voters and stifle dissenting voices, a complete parliamentary victory strikes by its utter impossibility. There is only one possible conclusion: not only the election was not free and fair, but it was also subjected to fraudulent practices, such as stealing or eliminating votes supporting the opposition.

The question that comes to mind is the following: if neither the people and opposition parties give an iota of credibility to the official result, nor for that matter the officials and the cadres of the ruling party themselves––since they used all repressive and fraudulent means to eliminate the opposition––in a word, if nobody lends any credibility to the official outcome, why is the ruling party going through such a costly, time-consuming, and utterly useless exercise? What is the expected gain?

Can we say that the election serves the purpose of renewing legitimacy? But how can a government renew legitimacy by claiming an unbelievable victory? Who falls for a score of 100 percent? What about the international community? Perhaps, but again provided that you come up with something believable, and 100 percent is not believable. Accordingly, such a score defeats its purpose, if it is legitimacy.

This is what is most perplexing: a lesser score (say, for example, of 80 percent) would have gained some credibility without, however, endangering the hegemony of the ruling party. Indeed, why not leave some seats to the opposition? So long as the ruling party retains an overwhelming majority, the opposition does not present any risk. What is more, the presence of the opposition, however negligible, would give some sense to the voting process in the parliament.

There is more: in turning the election into a process of elimination of the opposition by all means necessary, the government and the ruling party are loudly telling the Ethiopian people that any hope of change through peaceful means is just an illusion. This is none other than forcing the people to seek other means, namely, violent forms of struggle, such as uprisings and armed struggle. It is hard to understand why a government would push its own people to violent methods.

If, instead of renewing legitimacy, a score of 100 percent only succeeds in cornering people to violent means, why on earth would a government adopt such a detrimental policy? We only saw negative sides. Where is the gain? The huge enigma here is that, unlike most dictatorial states, the regime in Ethiopia has recognized multiple opposition parties, even if it has restricted their activities to what it deems tolerable. While the general rule for dictatorial regimes is to ban opposition parties altogether, the Ethiopian regime recognizes them except that it does not want them in parliament. Since in both cases the result is the same, the behavior of the Ethiopian regime may become intelligible if we get hold of the reason why even dictatorial regimes that ban opposition parties organize elections.

Where no opposition parties exist, the purpose of election cannot be the achievement of victory. As there is no contest, the claim of victory would be simply surreal. By contrast, single-party regimes are concerned with the number of people who come out to vote, the issue being to get out the maximum number of voters by all means necessary. Clearly, the objective is not to gain the majority of votes; rather, it is to demonstrate force. Elections are meant to show the extent of the control of the government and the ruling party over the people. The less the people like the regime, the higher is its need to show the maximum electoral score, thereby displaying its invincibility. The message is then clear enough: even if you do not like the regime, there is nothing you can do about it. As such, it is a celebration of defiance, a parade, a showoff of political force.

It seems to me that the dominant party in the governmental coalition, the TPLF (Tigrayan People’s Liberation Front), has perfected the meaning of election under dictatorial rule: unlike one-party dictatorships, it recognizes opposition parties, allows them some freedom of maneuver, only to deprive them of even one seat in the parliament as a manifestation of its absolute hegemony. This is none other than an extreme form of political bullying, as in the case when a child donates his toy to another child and takes it back after some time as a way of showing his dominance by aggravating the frustration of the other child.

The ultimate goal of this political bullying is, of course, the inculcation of submission through the sense of hopelessness. While in democratic countries, elections establish the legitimacy of states through the exercise of popular sovereignty, in dictatorial regimes, like that of the TPLF, they are periodical rituals displaying the submission of the people. To the extent that these elections raise and then dash hopes for change, they renew the sense of hopelessness of the people, and so deepen their resignation.

* Messay Kebede is professor of philosophy at the University of Dayton, Ohio (USA). He previously taught philosophy at Addis Ababa University (Ethiopia). He is the author of five books: Meaning and Development (1994), Survival and Modernization—Ethiopia’s Enigmatic Present (1999), Africa’s Quest for a Philosophy of Decolonization (2004), Radicalism and Cultural Dislocation in Ethiopia, 1960-1974 (2008), and Ideology and Elite Conflicts: Autopsy of the Ethiopian Revolution (2011). He has also published numerous articles in professional and nonprofessional journals.

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Pakistan: Executions Surpass Decade High

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Expressing grave concern over the record number of executions this year, the Human Rights Commission of Pakistan (HRCP) on Wednesday called for the government to impose a moratorium on capital punishment and abolish the death penalty.

In a press statement, Zohra Yusuf, chairwoman of HRCP, said the number of executed death row prisoners in Pakistan this year had reached 135, the highest for any year in a decade.

The government must halt executions and abolish capital punishment, she said.

Yusuf said the resumption of executions as well as the pace with which they are being carried out are matters of concern.

Pakistan executed 134 persons in 2007, but in just five months in 2015, that number has already been exceeded.

Pakistan lifted a six-year moratorium on capital punishment in December last year in the wake of a deadly Taliban attack on a military-run school in Peshawar. At least 150 people, 132 of them children, were executed by terrorists.

The deadliest assault in the country’s history triggered a public outcry and international condemnations, prompting Pakistan to announce a national plan to counter terrorism. One of the 20 points was the resumption of executions.

After executing more than a dozen convicted terrorists, Pakistan resumed executions for all death penalty offenses.

“Dozens of death row prisoners have been executed. In December 2014, seven prisoners were hanged. In January, 13 executions took place, while four convicts were hanged in February. The number shot up to 42 prisoners in March, 36 in April and 37 in May. At this pace Pakistan would be among the states most keen to execute people,” said the HRCP statement.

Death warrant issued for Shafqat Hussin

An anti-terrorism court on Tuesday issued a death warrant for Shafqat Hussain for the third time, and ordered his execution on June 9.

Shafqat was arrested and sentenced to death in 2004 for the kidnapping and involuntary murder of a seven-year-old boy, who lived in a Karachi apartment building where Shafqat worked as a security guard.

Justice Project Pakistan, a non-profit law firm, which takes up cases of death row prisoners, insisted that Shafqat was a juvenile at the time of his sentence. The case drew strong reaction from international groups including the United Nations, Amnesty International and Human Rights Watch.

Last month, an executive inquiry to determine whether Shafqat was a juvenile at the time of his sentencing concluded that he was 23 years old when the punishment was handed down.

The finding of the inquiry committee was challenged by Shafqat’s counsel in Islamabad High Court. After the hearing, the court rejected Shafqat’s plea for the judicial commission to determine his age.

JPP Director and Shafqat’s counsel Saral Belal said that no attempt has been made by the Pakistani government to investigate Shafqat’s credible allegations that he was tortured into a false confession to the crime for which he received a death sentence.

“The Pakistan government’s behavior in this case has been nothing short of scandalous. They have covered up evidence which may show that Shafqat was a child when he was sentenced to death; they have produced hopelessly contradictory versions of events; and they have threatened to treat those seeking to uphold the rule of law in the country as criminals,” she said.

“Sentencing children to death violates both Pakistani and international law — you would therefore expect the government to take steps to ensure it never happens. Instead, we have seen a phoney inquiry carried out by a hopelessly corrupt agency, which the authorities themselves admit was more a PR exercise than an attempt to get to the truth. If the Pakistani government is serious about its commitment to justice, it would do well to look to its own failings,” she added.

The law firm has filed a mercy petition to the president on Shafqat’s behalf.

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Terror Go Round – Analysis

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By Aryaman Bhatnagar*

General John Campbell, commander of the Resolute Support Mission in Afghanistan, recently expressed concern about the increase in the Islamic State’s (IS) influence in the region, adding to the general speculation about the group’s presence in the country. An official IS chapter in “Khorasan” — the name it gives to this region — was also announced in January 2015.

Despite such reports, there is no clarity on the extent of the IS’s presence in the region, or the threat it poses. Afghanistan President Ashraf Ghani is one among the many who have labelled the group a serious security threat.

However, there are also many who are sceptical of this perceived threat and consider the Taliban and the Pakistan military establishment to be more urgent concerns. The fact that no new group has emerged in the region — unlike in the 1990s, when Osama bin Laden and al-Qaeda had shifted their base to Afghanistan — has added to the confusion. The senior leadership of the IS remains rooted in the Middle East for now. There has not been a sudden influx of foreign fighters from there. Those in Afghanistan who claim allegiance to the IS are essentially the same set of actors who have been challenging the government in Kabul since 2001. For instance, the late Abdul Rauf Khadim, who was chosen as the deputy governor of the IS’s Khorasan chapter, was a former Afghan Taliban commander. The defections to the IS are best understood as a realignment of loyalties of the local militants.

This, however, should not mean that the IS threat be taken lightly. Recent developments in the region concerning the IS present an immediate challenge for Afghanistan and also have long-term implications for the world in general.

Using al-Qaeda’s expansion post-2001 as the reference point, certain parallels can be drawn to the current situation with the IS. Following the 9/11 attacks, al-Qaeda underwent a transformation. From a hierarchical organisation spearheading global jihad, it emerged as a flat organisation, content with providing ideological inspiration and commands to its local affiliates — one of which was the IS. Its regional allies used to carry out the actual terrorist activities in different parts of the world. In this manner, the core of al-Qaeda, despite being based in one place, was able to develop links with other groups and spread its influence to newer areas.

At that time, al-Qaeda’s reinvention was born of necessity. Given the mixed success of military operations against the IS in the Middle East, it may be too early to suggest that it might also be compelled to adopt a similar survival strategy. However, as it develops links with different groups beyond Iraq and Syria — in other parts of the Middle East, Afghanistan, Pakistan and certain regions of Africa — a platform may already be developing for the IS to spread its influence in future.

Besides this long-term threat, the growing defection of Taliban commanders to the IS is likely to pose a more immediate challenge for the reconciliation process in Afghanistan. The Taliban is not a monolithic organisation. A number of militants are unhappy with the direction the movement is taking, particularly with respect to the peace talks and prolonged absence of Mullah Omar from the scene. In the past, individuals who had fallen out of favour either retired or tried to pursue their objectives on their own, with limited success.

Other groups in the region, such as al-Qaeda and the Haqqani Network, despite their differences, continue to accept Mullah Omar as their supreme leader. However, the IS has shown no signs of following this precedent, with Abu Bakr al-Baghdadi calling Mullah Omar an illiterate warlord with no spiritual or political credibility. The IS provides an alternative for disgruntled and disenfranchised militants to rally around. Khadim, for instance, defected to the IS after reportedly falling out of favour with the senior Taliban leadership.

A number of other low- and mid-level Taliban fighters have also joined the IS. There are concerns that the younger, and more radical, Taliban militants may be more susceptible to defecting as the financial incentives and opportunities to continue challenging the state offered by the IS may outweigh the alienness of its brand of Islam.

Any progress in peace talks could consequently push the more extreme elements within the Taliban towards the IS. Conversely, the Taliban itself could adopt a more hardline approach to win back defectors, as indicated by its extremely brutal and violent spring offensive. Neither of these two scenarios bodes well for Kabul, or the region.

*The writer is associate fellow, Observer Research Foundation, New Delhi

Courtesy: (The Indian Express) 4 June, 2015

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Interruption Of Gulf Stream May Lead To Large Cooling In Europe

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A new record of past climate change shows that a warm climate in northern Europe can be hit by a sudden cooling associated with an interruption of the North Atlantic Ocean circulation and the Gulf Stream. This is shown in a new study published in Quaternary Science Reviews, investigating the development of northern European climate about 120 thousand years ago.

The investigated time interval, called the Eemian, occurred before the last Ice Age and was characterized by warmer-than-present temperatures in large parts of the globe. The Eemian climate evolution can therefore serve as an analogue for a future warmer climate.

The study of fossil remains, such as plants and insects, preserved in geological deposits in northern Finland revealed an abrupt climatic cooling event that happened in an otherwise warmer climate. During this event the temperatures dropped 2–4°C and remained low for a period of 500–1000 years. Comparison with seafloor sediment records from the Norwegian Sea and the North Atlantic indicates that the rapid cooling was associated with a sudden slowdown in North Atlantic deep water formation and a reduction in the northward extension of the Gulf Stream that transports heat to northern Europe.

The new evidence shows that the last time when temperatures were significantly warmer than today, climate instability occurred.

“This may have been caused by melt water coming from the Greenland Ice Sheet, disrupting the North Atlantic Ocean circulation. While the exact mechanism behind the sudden cooling still remains uncertain, the study illustrates the potential for major climatic instability in and around the North Atlantic regionunder future global warming”, says Karin Helmens at the Department of Physical Geography, Stockholm University.

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Sri Lanka: Guinness Record Initiative In Tea Plucking

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Sri Lanka Tourism, Sri Lanka Tea Board and Sri Lankan Airlines initiated a Sri Lanka Guinness Record on the sidelines of the Asia Pacific Onboard Travel (APOT) partners’ congress 2015.

APOT selected Sri Lanka as its venue for the once in two year conference.”With the partnership of the Pure Ceylon Tea, Sri Lanka Tourism and SriLankan Airlines we hope to set a record breaking fear with the tea industry to conduct a successful attempt of 1000 people gathering in one location to pick the most amount of tea within a specified period of time”, Sri Lanka Tourism Chairman Rohantha Athukorale said.

Sri Lanka will enter into the Guinness Book of Records on the completion of this event which will be held on August 30, 2015. The event is named as “Tea Plucking Guinness Book of Records Attempt” which will be held in Nuwara Eliya.

“The initiative is not just a one off idea but will be taken around the world and then culminate at the WTM in London, so that the buzz supports the strong above line media campaign that we will launch in our focused markets while supporting the below the live activity- like the travel trade exhibitions we take part in the trade push we do,” he said.

“We must now build on the joint promotions we do with our two institutions so that together we can increase of the quality of our travelers into Sri Lanka”, SriLankan CEO Rakitha Jayawardene said.

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