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  • Expanding Contracting: The Private Sector’s Role in Drone Surveillance and Targeting

  • Sustainable Security in the Trump Era

    Summary

    Despite considerable disarray continuing into its third month, the new US administration is showing more consistent, if not coherent, signs of how it will try to implement Donald Trump’s campaign proposals. In large part, these may be assessed as antithetical to a more sustainable security agenda, given that they promote military confrontation, undermine attempts to address climate change, and are, at best, incoherent in their response to economic inequality. Little of this translation to reality is likely to endear Trump to voters or his party. Greater policy turbulence, at home and abroad, should be expected ahead of mid-term elections next year.

    Introduction

    The Trump administration has been in power for 75 days; following the election campaign and the post-election transition it is now possible to get a reasonably clear picture of how its policies relating to security are taking shape. There has been much speculation that the United States will take a very different path to that of the Obama era, not least in relation to security and climate change, and since the United States is the world’s most powerful state it is appropriate to make an initial assessment of the changes as they may affect the sustainable security thinking with which ORG has been concerned for the last decade. Is the Trump era likely to make a major difference to the global security outlook or is it more likely that realities of international relations will limit the capacity for the change Trump seeks?

    Sustainable Security

    The ORG approach to security may be summarised:

    Security challenges such as terrorism, crime and weapons proliferation cannot be successfully contained or controlled without understanding and addressing their root causes. ORG’s Sustainable Security concept takes a comprehensive, long-term approach that encompasses climate change, resource scarcity, militarisation, poverty, inequality and marginalisation.

    As the thinking has developed it has tended to group the challenges into three main areas, economic relations, climate change, and militarisation, and these are convenient headings with which to make an initial assessment of the Trump era.

    The issue of economic relations is seen as having as its greatest challenge the failure of the neoliberal approach to deliver economic justice, equity and emancipation, and the consequent growing divide between a relatively small minority of rather more than a billion people and the majority of the world’s population, with a clear rise in frustration and resentment among that majority at relative marginalisation and lack of life prospects.

    In the environmental context, while a number of resource limitations and regional environmental impacts are important, the emphasis in the ORG analysis has to be on the most significant trend – climate change and especially its impact on human well-being especially as a result of severe effects on food production.

    Finally, militarisation is seen partly in terms of a particularly entrenched and powerfully influential economic sector but most significantly as a culture in which the early use of military force is essential in maintaining the status quo, however unequal, unjust or unstable that order is.

    In all cases, the ORG view is that these approaches are thoroughly inappropriate if we wish to avoid an unstable and violent world, and much more emphasis must be placed on the underlying causes of the problems and how they may be addressed. The failure of the current 15-year war on terror is the most grievous example, having led to hundreds of thousands of deaths, millions of displaced people, at least three failed or failing states and a continuing perception of the threat of political violence in western countries. The question, simply, is how does the new Trump era affect the possibility of taking the wider view?

    Economic Issues

    Image credit: PressSec/Wikimedia.

    The early indications are that the Trump administration is a potentially unstable mix of those best described as economic nationalists and others, especially in the wider Republican Party, who are convinced neoliberals. The latter may be dubious about any trend towards protectionism and believe that in a free market which already favours the wealthy such protectionism may turn out to be counter-productive. In this view, transnational corporate organisation is a fact of life and no country, not even the United States, can go its own way for long.

    The economic nationalists, who are dominant within Trump’s inner policy circle, are very strongly convinced that the United States has sufficient power to dominate the markets that matter most. Furthermore, the whole Trump election platform was predicated on strong opposition to the perceived elite, an establishment that “ran” Washington. His appeal to those left behind, especially in the post-industrial American Mid-West, was probably the most important element in his successful election and it is an approach that will not readily be abandoned. At the same time, he was committed to policies that would reduce taxes while scaling down the Obamacare reforms – initially both popular with his supporters.

    In the short-term Trump’s policies may be popular but it may be as little as a year before those left behind find that their predicament simply does not ease. Indeed, it is already becoming clear that health provision reforms will lead to many millions of Americans facing higher costs, including many of those who voted for Trump. More generally, economic nationalism may turn out to provide little gain for the country as the power of China and other major economies becomes more apparent. “America first” is simply not sustainable in a globalised world.

    Even so, what has to be faced is that the Trump era will not see any fundamental challenge to the neoliberal system, precisely in a period when that system is proving unfit for purpose. What may perhaps be more relevant is how long the Trump approach in its present form persists. The degree of disorganisation currently apparent in so many areas within the White House is hardly encouraging in terms of stability, and it may well be that as the 2018 mid-sessional elections to the House and Senate draw nearer, Trump’s singularly soft Republican majority support in both Houses of Congress will lead to sudden changes of policy. These may not directly address core issues of inequality but could take much of the remaining lustre off the Trump approach.

    Climate Change

    This month has seen the very clear enactment of a number of policies that confirm that the Trump approach on climate change is one of denial coupled with the strong promotion of domestically-sourced fossil fuel resources. This is a highly negative approach for two reasons – there will be an increase in carbon emissions from the United States and a lack of leadership within the international community for addressing the considerable dangers stemming from climate change. This would seem disastrous for any hope of effectively preventing climate change but there are other very interesting factors at work.

    Firstly, the reality of the dangers of uncontrollable climate change is far more recognised across the world than a decade ago. Many more states are accelerating their moves towards renewable energy sources, with the biggest emitter, China, making remarkable strides. Indeed, China may well see its way to playing a global leadership role. Secondly, the rapid developments in renewable energy technologies are making renewable sources far more economic, with many further developments coming closer to fruition. The effect of this is that renewable energy utilisation is now competing much more closely with fossil carbon sources and, as a consequence, there is a rapid increase in investment in renewables. More than half of all investment in electricity generation is now in renewables and in the United States and elsewhere there is far greater potential for employment in renewables than in fossil carbon sources.

    Major problems remain including historic underinvestment in energy storage technologies and the need to cut carbon emissions by even more than most states currently accept, but the point here is that this is one area where there is every sign that Trump’s policies are obsolete and likely to ensure that the United States is left high and dry. Even in the face of that, though, the ideological certitude of the climate change deniers close to Trump means that the administration is unlikely to change. In short, the advent of the Trump era may limit the prospects for countering climate disruption but at least this will be another area where the Trump approach may be singularly counterproductive to any aim to make the United States the world leader.

    Security

    As with climate change, the first two-and-a-half months of the Trump administration have shown the translation of rhetoric into policy: control of migration, increased military spending and the more frequent use of force. Here, though, it is necessary to recall that the eight years of the Obama administration may have seen the withdrawal of US troops from substantial parts of the Middle East and Afghanistan but also saw the quiet transition to remote warfare with much greater use of air power, armed drones and Special Forces, not least in Libya and Iraq. The early signs are that Trump is expanding such operations rather than radically changing the posture and this includes even greater use of air power in the war against Islamic State (IS), as well as the deployment of even more Special Forces in Iraq, Syria and Yemen.

    These kinds of changes are being reflected in the manner in which the Pentagon is being given a much freer hand to conduct operations, but there are already consequences. A major raid in Yemen in late January failed to achieve its objective while also killing many civilians, and the much-expanded use of air strikes in Mosul in the past month has led to such an increase in civilian casualties that they are even being reported in the mainstream western media. Even so, such consequences are unlikely to carry any weight with Trump unless there are serious disasters involving US military personnel.

    The risk of this has been limited until now but one factor that has received little attention is that Trump’s Pentagon is advocating, and indeed already initiating, a substantial increase in the number of “boots on the ground”. In Iraq this is no longer just Special Forces but regular troop deployments which include, for example, units from the 82nd Airborne Division. Trump has also just agreed to give US forces in East Africa much more open powers to operate assaults on suspected al-Qaida-linked groups in southern Somalia, and there are also repeated calls for the Pentagon to expand its deployments in Afghanistan.

    As with economic issues, such actions may be popular with Trump supporters in the short term, examples of forceful action in the task of “Making America Great Again”, but based on the failures of the last fifteen years, the longer-term impact may be very different. What it does mean, though, is that as the United States seriously expands in overseas military operations then its close allies such as Britain will have to face up to whether they are willing to maintain their commitments.

    Conclusion

    These are, indeed, different times and with all three aspects of the sustainable security challenge the election of Trump is likely to exacerbate ingrained problems. At the same time, his policies may become increasingly irrelevant concerning climate change and his economic popularity with his supporters may also erode quickly. This may well increase the temptation to use foreign military action to distract voters from domestic discontents. However, even in the military dimension there are unlikely to be any quick wins and Trump’s direction of travel means that his allies could quickly come under domestic political pressure if they were to stay closely aligned with the United States. In any case, the need to rethink our attitudes to security remains critical and it is best to see the advent of the Trump era as a period when even more opportunity for creative, critical and independent rethinking of security will be essential.

    Paul Rogers is Global Security Consultant to Oxford Research Group and Professor of Peace Studies at the University of Bradford. His ‘Monthly Global Security Briefings’ are available from our website. His new book Irregular War: ISIS and the New Threats from the Margins will be published by I B Tauris in June 2016. These briefings are circulated free of charge for non-profit use, but please consider making a donation to ORG, if you are able to do so.

  • The Mindanao Peace Process and Roles of Civil Society

    The peace process in Mindanao between the Philippine government and the Moro Islamic Liberation Front was an important step towards ending four decades of conflict in the south of the Philippines. But this initiative now faces many challenges.

    On March 27th 2014 the Philippine government and the Moro Islamic Liberation Front (MILF) signed the Comprehensive Agreement on the Bangsamoro. This ended an armed conflict that began in 1969, which saw at least 120,000 deaths and hundreds of thousands displaced.

    Civil society groups on Mindanao have played key roles in supporting a comprehensive and sustainable peace process. However, civilian groups and communities face challenges in the context of new outbreaks of Islamic State-inspired violence, and the recent (re-)imposition of martial law.

    The peace process in the southern Philippines carries great geopolitical importance, as an example of a Muslim armed group engaging in structured dialogue to address and resolve key political grievances. It is important that the Mindanao peace process succeeds, as it carries great significance beyond the Philippines.

    The Moro struggle

    The population of the Philippines is approximately 100 million, with twenty-two million people living on Mindanao, the largest island in the country. Of these, approximately 10% are Muslims, divided into thirteen ethnolinguistic subgroups, known collectively as the Moro; another 5% are upland ethnic minorities, generally referred to as indigenous people. To denote continuity with precolonial ethnic-religious identity, since the late 1960s Mindanao Muslim nationalists have used the epithet ‘Moro’ to describe themselves and ‘Bangsamoro’ for their homeland.

    Armed groups representing the predominantly Muslim Moros have been struggling for greater autonomy from the Philippines government since the late 1960s. Although narratives of the Spanish and American colonial periods often overplay the extent of conflict between Islamic and Christian communities, Moro groups nevertheless share a strong sense of historic injustice. For many conflict-affected Moro communities, the state is perceived as politically and economically intrusive and predatory, embodying a religious and cultural majority bent on forced assimilation of Muslim minorities. Moro grievances focus in particular on Manila-sponsored ‘internal colonization’, including transmigration of large numbers of Christian Filipinos to the southern Philippines, settled on land originally belonging to Muslim and other indigenous communities.

    A troubled peace process

    Image credit: Wikimedia.

    The 1976 Tripoli Agreement between the government and Moro National Liberation Front (MNLF) seemed a breakthrough at the time, but was not properly implemented – although a subsequent 1996 agreement granted some autonomy to Muslim areas (in addition to decentralisation under the 1987 Constitution). However, the Autonomous Region for Muslim Mindanao was a largely hollow entity, undermined by poor governance. These setbacks discredited the MNLF, leading to a new round of insurgency by the 12-15,000 strong MILF, which adopted a more overtly Islamic identity.

    The following two decades in western Mindanao and the Sulu archipelago were characterized by low-intensity armed conflict, with occasional steep upsurges in fighting associated with human rights abuses and consequent episodes of forced migration. During this period, the MILF consolidated control over key elements of the Moro resistance, reinforcing its Islamic credentials, but always open to structured political engagement with the government.

    A 2008 pact with the Gloria Macapagal-Arroyo administration focused on Moro rights to their ‘ancestral domain’, or traditional lands. This could have been an important breakthrough addressing key grievances, but the agreement was struck down as unconstitutional by the Philippine Supreme Court, in part at the instigation of powerful politician-oligarchs on Mindanao. Following the breakdown of the 2008 peace agreement, the Armed Forces of the Philippines launched a major offensive against the MILF displacing hundreds of thousands of civilians.

    During this protracted period of progress towards peace, followed by relapses into violence, relations between civil society and Moro armed groups underwent important changes. Civil society actors have in the past complained about their lack of input in the peace process. One striking difference between the situation since 2012 is the extent to which the MILF has undertaken concerted and systematic efforts to engage with civil society actors, including through a series of community consultations. Nevertheless, questions remain regarding whether it will be possible for community-based organizations to work at the grassroots level without undue political interference or co-optation.

    How will civil society activities, some of which are framed within liberal-democratic norms and values, fit the Islamic agenda of some MILF leaders and supporters? Past experience of ineffective government-implemented development projects, and their appropriation by clientelist networks, has led grassroots activists to be sensitive about corruption and the politicization of aid, and the risks of being co-opted by powerful interests. Moro community activists are often wary of outsider (particularly secular) aid agencies, and sceptical about the international community being able to understand and respond effectively to local needs in the peace process – although some external actors have worked diligently to win local trust.

    Despite such challenges, the MILF has maintained its ceasefire – in part thanks to effective ceasefire monitoring on the ground. Mindanao civil society groups have played key roles in ceasefire monitoring, including networks such as the Bantay Ceasefire local volunteers, and through civilian participation with the International Monitoring Team (IMT). The IMT coordinates closely with the MILF and Armed Forces of the Philippines, on several occasions successfully preventing local incidents flaring up into large-scale clashes.

    For the MILF, internationalisation of the peace process has resulted in significantly enhanced legitimacy and political credibility, on the national and regional stages. Domestically, one of the MIF’s major challenges is to demonstrate its ability to represent not only Islamic Moro communities, but also the indigenous peoples of Mindanao. The MILF (and, to a degree, the MNLF) have included indigenous leaders in political discussions, and the sharia law envisaged for the Bangsamoro under the BBL would not apply to non-Muslims. Nevertheless, some indigenous people fear marginalization in the future Bangsamoro. There are important roles here also for civil society actors, to represent the often excluded voices of indigenous people, and continue building trust and confidence between ethno-linguistic and religious communities.

    Conclusion

    A key lesson from the southern Philippines for other peace process is the need to consult extensively with civil society actors, to ensure sustainable buy-in from local stakeholders. This is particularly important given the risks of widespread lawlessness in the post-conflict period, as government and non-state armed groups relax their authority on the ground.

    Ashley South is an independent researcher and consultant, specializing in peace and conflict, humanitarian and political issues in Southeast Asia (primarily Myanmar/Burma, and Mindanao). He has a PhD from the Australian National University, and is a Research Fellow at Chiang Mai University, Center for Ethnic Studies and Development. For a full list of Dr South’s publications, https://www.ashleysouth.co.uk

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  • Challenging UK Arms Sales to Saudi Arabia in the Courts

    In June,  a judicial review into the legality of UK arms sales to Saudi Arabia was announced. This will be the first time that UK arms export policy has been put under the spotlight and scrutinised in this way. Campaign Against Arms Trade discuss this historic decision.

    On 30th June there was a heavy silence in the moments before High Court Judge Justice Gilbart announced that he was granting a judicial review into the legality of UK arms sales to Saudi Arabia. A quiet relief fell over those of us in the public gallery. Decorum ensured that the response was muted, but the decision was historic. This will be the first time that UK arms export policy has been put under the spotlight and scrutinised in this way. It is an unprecedented step that is likely to focus on not just the extent of UK arms sales to Saudi, but also the scale of collusion and government support that goes with it.

    Our claim calls on the government to suspend all extant licences and stop issuing further arms export licences to Saudi Arabia for use in Yemen while the court holds a full review into whether the weapons sales are compatible with UK and EU legislation. The UK’s arms export policy will thus now undergo a full three-day investigation in front of two judges, which must take place before February 1st 2017.

    Fuelling the flames in Yemen

    London, UK. 11th July, 2016. Human rights campaigners protest against arms sales to Saudi Arabia outside the Defence and Security Organisation (DSO), the Government department responsible for arms export promotions.

    London, UK. 11th July, 2016. Human rights campaigners protest against arms sales to Saudi Arabia outside the Defence and Security Organisation building. Image by CAAT via Flickr.

    UK arms exports have been central to the ongoing Saudi-led bombardment of Yemen. As we write this, UK-licensed Eurofighter jets may well be over Yemeni airspace, guided by UK-trained military personnel and dropping UK-made bombs from the skies. It would be hard to overstate the humanitarian crisis that has been unleashed, with the UN having ranked the humanitarian situation in the war-torn country as a “Level 3” emergency – the highest possible emergency ranking. The bombing campaign has lasted over 15 months following a Saudi Arabian-led intervention into Yemen’s civil war. Saudi forces are acting alongside Yemen’s government against forces led by the former president, Ali Abdullah Saleh, and the Houthis, a northern Shia militia. There is no question that atrocities have been committed on all sides, although the UN has accused Saudi forces of killing twice as many civilians as all other forces.

    More than 2.5 million people have been displaced, and vital infrastructure, including schools, hospitals and cultural heritages sites have been destroyed. Of those who remain in Yemen, millions have been left without access to clean water or electricity, and 80% of the population has been left in need of aid. Even the Home Office has acknowledged the scale of the destruction, concluding that to allow people to return to Yemen could be a breach of their human rights.

    The need for legal accountability

    The destruction hasn’t only been immoral, it has also been illegal. A UN panel of experts, the European Parliament and many of the most respected humanitarian NGOs in the world, including Human Rights Watch and Amnesty International, have accused Saudi forces of serious breaches of international humanitarian law (IHL).

    The UN report “documented 119 sorties relating to violations of international humanitarian law” and reported “starvation being used as a war tactic.” More recently, Human Rights Watch has linked UK arms to specific attacks on businesses and civilian targets. The reports have been thorough and in-depth and their evidence has been compelling, but they have fallen on deaf ears in Whitehall.

    Arms exports control regulations are very clear: a licence should not be granted in the circumstances where there is a “clear risk” that it “might” be used to violate IHL. In spite of this, the UK has licensed over £3.3 billion worth of arms sales to Saudi Arabia since the bombing began, including fighter jets, bombs and missiles.

    There can be little, if any, control over how and when these arms will be used. A recent report from Amnesty International found that cluster bombs sold decades ago by the UK are being used in Yemen, a terrible reminder that the shelf life of arms is very often longer than the two year licence under which they are sold.

    Moreover, even if such control was possible, there is no reason to believe it would be applied. This is because if arms were found to be used in a way that violated the terms of their sale agreement this would result in licences being cancelled—which could affect the profitability of exports.

    Burying the truth

    In the last hours of the last day of the most recent session of parliament, the government performed a major U-turn by publishing written corrections that reveal, contrary to earlier claims, that there has been no oversight of how arms are being used. At best it represented staggering incompetence on the part of government ministers— at worst it was a cynically timed admission of how they had previously distorted the truth.

    Either way, it underpins the point that the Saudi government hasn’t just bought arms and military support, it has also bought silence, compliance and a seal of political approval. That’s why, only nine months ago, we saw the despicable, but ultimately unsurprising, revelations that UK diplomats had lobbied and campaigned behind the scenes for Saudi Arabia to Chair the UN Human Rights Council.

    So who benefits from the current situation? Certainly not the Yemeni people living under bombs, or the Saudi people being persecuted and oppressed. One obvious beneficiary is the arms companies. BAE Systems, for example, enjoys the full support of the UK government in its arms sales to Saudi. Earlier this year, BAE Chairman Roger Carr told Channel 4 News that he sees Saudi Arabia as “a very important customer with which we have a very strong relationship.” This point is alluded to in the last BAE annual report. The ‘principal risks’ section of the report identifies the commercial risk that state buyers may consider cutting their military budgets, before suggesting this will be mitigated in part because “in Saudi Arabia regional tensions continue to dictate that defence remains a high priority.”

    BAE and the UK’s special relationship

    For decades now, UK governments of all political colours have worked hand in glove with the arms companies and Saudi authorities, continuing to sell arms and provide political support while turning a blind eye to the grotesque human rights abuses that are being carried out every single day.

    Regardless of who has been in charge, the Saudi Royal Family’s influence and interests have been core to Whitehall’s approach to arms sales and the Middle East. Over recent years we have seen Tony Blair intervening to stop a corruption investigation into arms exports to Saudi, David Cameron flying out to Riyadh to meet with Royalty, and the outlandish and humiliating spectacle of Prince Charles sword dancing to secure sales for BAE Systems.

    The government’s inability to uphold its responsibility in regards to human rights and domestic law is evidence of just how far it is willing to go to maintain this toxic relationship. Despite the legal action, there has been no change to the government’s policy. Only two weeks after the judicial review was ordered, Saudi military representatives were in the UK for the Farnborough Airshow where they were shopping for weapons.

    Stop arming Saudi Arabia

    At a time when the UK should be using its close relationship with Saudi to apply pressure and push for meaningful peace negotiations and vital reform, it is instead carrying on with business as usual. The government’s refusal to act responsibly underlines the enormous power of the arms trade lobby and the pernicious nature of the UK-Saudi relationship, a relationship that fuels instability and repression and corrupts our political system.

    Whatever the outcome of the review, the campaign will go on. As long as terrible crimes are being committed with UK weapons and with our government’s support, we will continue. The UK’s shameful relationship with Saudi Arabia and the terrible examples above show just how far (and how low) the machinery of government will go to protect the Saudi Royal Family’s interests.

    The UK-Saudi alliance has boosted the Saudi regime while lining the pockets of arms company executives, but it has had devastating consequences for the people of Saudi Arabia and Yemen. For the sake of those people, the UK government must finally stop arming and empowering the brutal Saudi monarchy.


    Andrew Smith and Vyara Gylsen are writing on behalf of Campaign Against Arms Trade (CAAT). Andrew Smith is Head of Media for Campaign Against Arms Trade. Vyara Gylsen is an anti arms-trade campaigner that volunteers and works with Campaign Against Arms Trade. You can follow CAAT on Twitter at
    @CAATuk.

  • VIDEO – Militarisation of the Sahel: An interview with Richard Reeve

    Sustainable Security programme Director Richard Reeve discusses our latest report ‘From New Frontier to New Normal: Counter-terrorism operations in the Sahel-Sahara’. The report, commissioned by the Remote Control project, finds that 2014 is a critical year for militarisation of the Sahel-Sahara and the entrenchment of foreign powers there.

  • Limited Nuclear Wars – Myth and Reality

    Summary

    The dramatic recent escalation of rhetoric and military posturing on the Korean peninsula has reawakened suggestions that the United States could use relatively low-yield nuclear weapons in a limited or tactical operation to neutralise North Korea. Indeed, both the idea of nuclear ‘first strike’ and their ‘flexible’ usage on and off the ‘battlefield’ are deeply rooted in historic and current NATO and UK doctrine on nuclear weapons. Given the extraordinarily militarised nature of the inter-Korean border and, increasingly, that between NATO and Russia, the potentially cataclysmic nature of any nuclear exchange must be urgently recalled and avoided at all costs.

    Introduction

    One of the most common misunderstandings about nuclear weapons in general and Britain’s nuclear weapons in particular is that nuclear strategy is solely about deterring an opponent from attacking you by threatening that opponent with all-out destruction in response. Given the growing risk of a nuclear confrontation over North Korea it is appropriate to point out that this has never been the case. Ever since the start of the nuclear age nuclear weapons have been seen as useable weapons and appropriate in certain circumstances for fighting limited nuclear wars.

    As a member of NATO Britain retains the option of using nuclear weapons first and has the means to do so. This briefing is intended to serve as a reminder of this. It will do so by concentrating specifically on British policy, both within NATO and out-of-area, but this applies just as much to the other seven full nuclear powers and, no doubt, to North Korea as well. It applies very much to the United States in particular and its current president, Donal J Trump, who has made it clear that the United States will not allow North Korea to develop the ability to target the continental United States with nuclear weapons.

    Early history

    When Hiroshima and Nagasaki were destroyed in August 1945 these weapons were seen in air force circles as direct descendants of the mass bombing of cities with conventional weapons using a thousand bombers or more. The raids on Hamburg and Dresden and especially the firestorm raid on Tokyo each killed tens of thousands of people so the perception after Hiroshima and Nagasaki was that the primary difference between conventional and nuclear weapons was one of cities being destroyed by one atom bomb from a single plane rather than five thousand tons of high explosive bombs from many planes. Indeed the US Army Air Corps and the nuclear weapon industry had already set in motion the industrial structures to destroy two Japanese cities every month until surrender.

    By 1948 the United States had an arsenal of fifty atom bombs and was already starting to develop the far more powerful thermonuclear weapon or H-bomb. Britain came on the scene rather later. While it first tested a nuclear weapon in 1952, it was not until the late 1950s and early 1960s that it could start deploying its Valiant, Vulcan and Victor strategic bombers in large numbers. These, too, were seen in the context of the British involvement in the area bombing of German cities, but Britain was also an early adherent of the idea of fighting limited nuclear wars, an issue that was seen as particularly relevant in the Middle East and Eastern and South Eastern Asia.

    Thus there were nuclear-capable Canberra bombers and nuclear weapons deployed to RAF Akrotiri in Cyprus from 1961 to 1969 to support the Central Treaty Organisation (CENTO), the South West Asian equivalent of NATO. These were replaced by Vulcans until 1975. From the mid-1960s there were regular detachments of V-bombers to RAF Tengah in Singapore and the Royal Navy had nuclear-capable Scimitar and Buccaneer strike aircraft on aircraft carriers such as Eagle, Ark Royal, Centaur and Victorious over a 16-year period from 1962 to 1978.

    From the early days of the deployment of nuclear weapons  by states such as the Soviet Union, the United States and Britain there is ample evidence that both military and political leaders accepted the possibility of limited nuclear war. It was expressed in Britain, for example, by the then Minister of Defence, Harold Macmillan, speaking in the House of Commons in 1955:

    “…the power of interdiction upon invading columns by nuclear weapons gives a new aspect altogether to strategy, both in the Middle East and the Far East. It affords a breathing space, an interval, a short but perhaps vital opportunity for the assembly, during the battle for air supremacy, of larger conventional forces than can normally be stationed in those areas.” (Hansard, volume 568, column 2182, 2 March 1955).

    NATO and nuclear first use

    As one of the founder members of NATO, and the second to develop nuclear weapons, Britain was involved in NATO nuclear planning from the very early years of the mid-1950s. In those early years and until the late 1960s, NATO nuclear policy was codified in document MC14/2 known as the “tripwire” policy which planned a massive nuclear response to the initiation of war by the Soviet bloc.

    While the United States maintained massively greater nuclear forces, and a wide variety of weapon types, Britain also had a significant arsenal which eventually developed to include an array of strategic and tactical systems. These included the Polaris submarine-launched ballistic missiles, free-fall bombs of variable power and anti-submarine nuclear depth bombs as well as nuclear-capable 155mm and 203mm artillery and Lance short-range nuclear missiles, the last three utilising US nuclear warheads under a dual control system. Thus, for several decades, all three branches of the British Armed Forces focused their operational planning around use of forward-deployed tactical nuclear weapons.

    By the latter part of the 1960s the Soviet Union had developed its own array of tactical systems and NATO responded by modifying “tripwire” and developing “flexible response”. This was encoded in MC14/3 of 16 January 1968 and envisaged the limited use of mostly low-yield warheads early in a conflict against Warsaw Pact troops and their immediate logistic support in the belief that they might be “stopped in their tracks”. If that failed, a more general nuclear response might ensue.

    Britain was very much part of this move, its nuclear forces were normally committed to NATO and UK personnel played significant roles within the NATO Nuclear Planning Group. This move away from deterrence through massive assured destruction was rarely publicised by the British government, one exception being an exposition of the policy offered to the House of Commons Select Committee on Foreign Affairs two decades after the transition to flexible response:

    “The fundamental objective of maintaining the capability for selective sub-strategic use of theatre nuclear weapons is political – to demonstrate in advance that NATO has the capability and will to use nuclear weapons in a deliberate, politically-controlled way with the objective of inducing the aggressor to terminate the aggression and withdraw. The role of TNF [Theatre Nuclear Forces] is not to compensate for any imbalance in conventional forces. The achievement of conventional parity could have very positive consequences for the Alliance’s strategy of deterrence. But it would not, of itself, obviate the need for theatre nuclear forces.”    (Third Report of the House of Commons Select Committee on Foreign Affairs 1987-88, p.35, para. 6.)

    What was very little understood at the time in the public domain was that NATO’s flexible response approach was not just the preparedness to use nuclear weapons first in response to a conventional military attack from the Soviet bloc but to do so at an early stage in such a conflict. This was made clear by SACEUR (the Supreme Allied Commander, Europe), General Bernard Rogers, in an interview published in early 1986:

    “Before you lose the cohesiveness of the alliance – that is, before you are subject to (conventional Soviet military) penetration on a fairly broad scale – you will request, not you may, but you will request the use of nuclear weapons”. (International Defence Review, February 1986)

    NATO’s flexible response policy remains broadly in place to the present day and nuclear planning allows for many different targeting options. This also applies to the United States where such options are constantly updated to allow for changing political situations. In an interesting reflection on relative economic and political strength, Russia also sees nuclear weapons as intrinsically of greater relevance given the low capabilities of its conventional military forces compared with those of the Warsaw Pact at the height of the Cold War.

    Britain’s out-of-area operations and nuclear weapons

    Since the end of the Second World War the United Kingdom has been one of the most active countries to be involved in overseas wars. The majority of these were wars of the late colonial period, but many others have been more broadly based, from Korea through to former Yugoslavia as well as the more recent and intensive post-9/11 conflicts across the Middle East and North Africa. Throughout all this period the UK has maintained its wide-ranging tactical and strategic nuclear options, even though the size of the arsenals is smaller than thirty years ago.

    Two of the most controversial conflicts, the Falklands/Malvinas War of 1982 and the first Gulf War of 1991 have both had a nuclear connection. After Argentina occupied the Falkland Islands in early 1982 the UK government under Margaret Thatcher despatched a substantial naval task force and six days after it left Britain The Observer reported that

    “It is almost certainly carrying tactical nuclear naval weapons – atomic depth charges carried by Sea King helicopters and free-fall bombs carried by Harrier jump jets – as part of NATO equipment.” (11 April 1982)

    Later reports indicated that many of the weapons from the smaller warships were transferred en route to an auxiliary supply ship, the RFA Resource which proceeded to the South Atlantic with the rest of the fleet but was deployed away from the most intense areas of action during the subsequent war. It is not clear whether this also applied to the nuclear weapons that may have been deployed on the two aircraft carriers, HMS Invincible and Hermes and there were also multiple if unconfirmed reports that the Thatcher government was prepared to deploy a Polaris missile submarine to the mid-Atlantic to bring it within range of Argentina. (Paul Rogers, “Sub-Strategic Trident: A Slow Burning Fuse”, London Defence Papers 34, Brasseys, 1996)

    Nine years after that war the UK government committed substantial forces to a US-led multinational military coalition to evict the Iraqi forces that had invaded and occupied Kuwait in August 1990. At the time there was considerable concern that Iraq had a useable arsenal of chemical weapons and a clear indication of UK willingness to use nuclear weapons in response came in an interview with a senior army office attached to the 7th Armoured Brigade which was leaving for the Gulf. He confirmed that an Iraqi chemical attack on UK forces would be met with a tactical nuclear response. (Observer, 30 September 1990).

    Deliberate ambiguity

    During the 1990s, after the end of the Cold War, the UK government, under the leadership of the Conservative Prime Minister John Major, scaled down Britain’s nuclear arsenals in a series of unilateral moves, ceasing to deploy dual-control US nuclear artillery and missiles and withdrawing the WE.177 tactical nuclear bombs and depth bombs between 1992 and 1998. US-owned B61 tactical nuclear bombs continued to be deployed at RAF Lakenheath for another decade and still are based in Belgium, Germany, Italy, Netherlands and Turkey under enduring nuclear sharing arrangements with those host countries.

    In order to preserve a British “sub-strategic” capability, a low-yield variant of the standard high-yield Trident thermonuclear warhead has since been deployed, although terms such as “tactical Trident” or “Sub-Strategic Trident” are no longer used in government publications. Neither is there any specific reference in official publications to the UK maintaining a policy of potential first-use of nuclear weapons.

    Instead a generic description of the UK nuclear posture appears in successive defence white papers, the 2015 statement being an example:

    Only the Prime Minister can authorise the launch of nuclear weapons, which ensures

    that political control is maintained at all times. We would use our nuclear weapons only in extreme circumstances of self-defence, including the defence of our NATO Allies. While our resolve and capability to do so if necessary is beyond doubt, we will remain deliberately ambiguous about precisely when, how and at what scale we would contemplate their use, in order not to simplify the calculations of any potential aggressor. (National Security Strategy and Strategic Defence and Security Review 2015, para 4.68, page 34, November 2015)

    It should be borne in mind that, while British ambiguity on nuclear first use is echoed by its NATO allies in Washington and Paris, as well as its assumed adversary in Moscow, there is nothing intrinsic about such a posture. China has consistently maintained a policy of no first use and normally stores its warheads separately from its delivery systems to prevent any accidental or malicious usage. India and Pakistan are also formally committed to no first use.

    Conclusion

    This brief summary of elements of the UK nuclear posture is intended as a reminder that such a posture is far more complex than simply providing a last-ditch deterrence against nuclear attack. Moreover, this applies very much for the United States which has a far wider array of nuclear weapon types and has been at the forefront of NATO nuclear planning, including the first use posture.

    Should a conflict arise between the United States and North Korea it is by no means certain that Britain would be involved, given public attitudes within the UK, although a joint RAF/US Air Force/Korean Air Force exercise was held in South Korea late last year for the first time in several decades. Even so, at a time of heightened tensions over North Korea’s nuclear ambitions the concern should be that a crisis could escalate to the use of nuclear weapons, especially with an unpredictable incumbent in the White House.

    Given Britain’s propensity for considering the idea of out-of-area nuclear first use and limited nuclear war, one would hope that there is also a full understanding of the considerable dangers of such a posture. If so, what should follow is a determination to do everything possible to advise President Trump against even considering this option in the case of North Korea.


    Image credit: Neil Hinchley. 


    About the Author

    Paul Rogers is Global Security Consultant to Oxford Research Group and Professor of Peace Studies at the University of Bradford. His ‘Monthly Global Security Briefings’ are available from our website. His new book Irregular War: ISIS and the New Threats from the Margins will be published by I B Tauris in June 2016. These briefings are circulated free of charge for non-profit use, but please consider making a donation to ORG, if you are able to do so.


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    Other than the conflict in Kashmir, Maoist violence is India’s longest-standing internal national security threat. The Maoists are predominantly active in the eastern parts of India, with strongholds in forest areas and places with substantial tribal populations who have seen little improvement in their living conditions since Indian independence 70 years ago. Over time, more than 160 districts have been affected by Maoist violence, and decades of military force by the Indian government have been largely unsuccessful. Conflict intensity escalated in the mid-2000s, but since then Maoist-related deaths have seen an unprecedented decline to reach the lowest level of violence in The number of districts severely affected by Maoist violence fell from 51 districts in 2007 to 12 districts in 2013, and the total number of Maoist-affected districts declined from 165 to 120 districts in the same time period.

    Areas with Naxalite activity in 2007. Image credit: Wikimedia.

     

    Areas with Naxalite activity in 2013. Image credit: Wikimedia.

     

    The Naxalite-Maoist insurgency in India

    The conflict started with a peasant revolt in the village of Naxalbari in the state of West Bengal in 1967, which led to a rising insurgency called the Naxalite movement. Naxalites use guerilla tactics in their fight against the government, and aim to overthrow the Indian state to create a liberated zone in central India. They wanted to improve the living conditions of the local population through redistribution of land and the revenue from mining activities.

    The intensity of the Maoist conflict rose dramatically in the mid-2000s, when previously competing Naxalite groups came together to create the Communist Party of India (Maoist). Large parts of east India were heavily affected by that violence, and the Indian government lost de facto territorial control over a number of districts. Civilians were often caught in between the Maoists and government security forces, since both sides had to rely on the local population for information and assistance in remote forest areas.

    In 2006, the Indian Prime Minister Manmohan Singh referred to the Maoist insurgency as the “single biggest internal security challenge ever faced by our country.” Maoist-related deaths rose rapidly, peaking with a large attack in 2009-10 that killed 76 policemen in Dantewada district. In recent years, fatalities have fallen to some of the lowest levels in decades, and the Maoists have been pushed out of many traditional areas of their control. According to government statistics, Naxalite deaths have risen by 65% and surrenders by 185% between 2014 and 2016. Maoist activities are now almost exclusively limited to 35 districts, although the insurgents retain a presence in 68 districts across 10 states.

    What factors explain this sharp rise and fall in violence?

    The Indian central and state governments responded to the increased violence after the creation of the Communist Party of India (Maoist) with a variety of measures. Personnel and spending on security forces were increased, and central and state paramilitary forces started operations against the Maoists that came to be referred to as Operation Green Hunt by the media. At the same time, expenditures on development programs were increased as well, with the hope of improving the living conditions of the local population and thereby the traditionally strained relationship between civilians and the government in Maoist-affected areas.

    One of the first development programs in Maoist-affected areas in this time period was MGNREGS (Mahatma Gandhi National Rural Employment Guarantee Scheme), rolled out across India between 2006 and 2008. MGNREGS guarantees 100 days of employment per year for each household at the minimum wage in public-works programs. The work projects focus on drought-proofing, irrigation and infrastructure improvements in Indian villages.

    The only eligibility criterion is that a household lives in a rural area and is prepared to work full-time in manual jobs at the minimum wage. This allows households to self-select into the program when they need it and covers about 70 percent of the population, making it the world’s largest public-works program. The annual expenditures under the scheme amount to about one percent of India’s GDP. In addition to its size, the program is unprecedented in India and worldwide because the program provides a legal guarantee for employment, which is enforceable in courts. It was rolled out in three separate phases, and the first implementation phase of the program was targeted to 200 of India’s poorest districts, many of which are in Maoist-affected areas, such as Dantewada and Bastar districts in Chattisgarh, and Anantapur district in Andhra Pradesh.

    What role did MGNREGS play in tackling Maoist violence?

    Image credit: Adam Jones/Wikimedia.

    Comparing districts that received MGNREGS to very similar districts that did not receive the program until later, in our research we find police attacks on Maoists intensified after MGNREGS came into effect. This is consistent with an improvement in the relationship of civilians with the government as a result of the program. Since civilians may have important information about the location of the Maoists, who rely on them for shelter and information on police movements, MGNREGS seems to have helped win civilians over and encourage them to share that information with the security forces. The Indian Home Ministry also attributes the increased success of catching Maoists to better intelligence gathering.

    In concurrence with the increase in police-initiated attacks, we find that the Maoists started retaliating against civilians. The rebels traditionally concentrated on attacking government forces rather than civilians, which makes this shift an important change in behavior. In leaflets and other documents, Maoists claim that the killed civilians were police informants and threaten to attack other civilians cooperating with the police.

    MGNREGS therefore appears to have contributed to the effectiveness of government forces by winning the “hearts and minds” of the local population. While this improved effectiveness lead to a short-run increase in violence as government forces become more pro-active, violence declined over time as security forces won more battles against the insurgents.

    This matches the recent substantial decline in Maoist-related violence. Up until around 2010 when MGNREGS was a relatively new program, Maoist fatalities increased substantially, and many top leaders surrendered. Since then, India has seen an impressive decline in Maoist-related deaths and areas under Maoist control. Anti-poverty programs like MGNREGS can therefore support more traditional counter-insurgency strategies if they manage to improve the local population’s relationship with the government. Since civilians take on large risks when choosing to share information on insurgents with government forces, this strategy will only be successful if civilians believe that the benefits from the program are large and long-lasting enough to be worth potential retaliation by the insurgents.

    MGNREGS was set up to be a more permanent program than other initiatives because of the legal guarantee and was enacted partly due to pressure from NGOs and social activists, who also played an important role in monitoring implementation quality. This buy-in from government and NGOs makes the program very different from similar programs elsewhere, and is likely to have contributed to its success.  Lower actual benefits than promised by the government remain a challenge in many developing countries, including India, however. If governments do not ensure a high level of implementation quality, transitory programs and broken promises will sow distrust with citizens, making future investments less effective.

    Authors’ Note: This text is based on our article “Guns and Butter? Fighting Violence with the Promise of Development”, published in the Journal of Development Economics in January 2017.

    Gaurav Khanna is an assistant professor of Economics at the School of Global Policy and Strategy, University of California – San Diego. His research focusses on conflict and the markets for education and labor in developing countries. 

    Laura Zimmermann is an assistant professor in Economics and International Affairs at the University of Georgia. Her research focuses on the labor-market and political economy impacts of government programs in developing countries, and she has worked widely on effects of MGNREGS in India.