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  • Belize: challenges and contradictions in gang policy

    Belize: challenges and contradictions in gang policy

    Like its neighbours in the northern triangle (El Salvador, Honduras and Guatemala), Belize has a high murder rate that is closely connected to the strong presence of gangs. But the character of gang activity in Belize is quite different from its Central American neighbours. Belize has pioneered some innovative solutions to the problem it is facing. But it will need to overcome the challenges of internal resistance and an acute lack of resources in order to address the political, economic and social issues that marginalise Belize’s large youth population.

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  • The Cyprus Problem: Why Solve a “Comfortable” Conflict?

    Several diplomatic efforts have been made both domestically and internationally to enhance peaceful unity since the start of the Cyprus Problem. Despite the shortcomings of past efforts, it is still desirable not only to resolve the issue, but also to do so in a timely manner.

    The Cyprus Problem

    Cyprus, the third largest island in the Mediterranean Sea, is home to 1.1 million and has a tempestuous history involving many actors ranging from different empires and nations of the past to regional and global actors of today, including the UN, EU and NATO. As George Christou highlights, the history of Cyprus “has been characterised by tension and conflict due to the diametrically opposed interests of Greece and the Greek-Cypriots on the one hand, and Turkey and the Turkish-Cypriots on the other”. If we add the colonial heritage, proximity to the Suez Canal and interests of Great Britain, remnants of Cold War paranoia that the island was to become a Russian satellite or a ‘Cuba in the Mediterranean’, the British Sovereign Base Areas that host one of the biggest intelligence infrastructures in the region and the close links between the Greek and Russian Orthodox churches to the equation, the protracted conflict on the island starts looking multi-layered, multi-factored and multi-faceted.

    The United Nations Buffer Zone, also known as the Green Line, a demilitarised zone patrolled by the United Nations Peacekeeping Force in Nicosia,  Cyprus. Image credit: Marco Fieber/Flickr.

    Historically, the Cyprus conflict is usually boiled down to competing ethno-nationalisms between Turkish-Cypriot and Greek-Cypriot communities; it is usually read in tandem with the ‘motherland’ nationalism in Turkey and Greece, is entrenched in the 1960s constitution along consociational lines and traced back to the decolonisation period in the 1950s. At one time or another, both communities in Cyprus have linked their destinies to those of their ethnic kin, to that of the large-group outside the island. Due to the pursuit of mutually exclusive destinies, Cyprus suffered from inter-communal violence from late 1950s until its decolonisation and independence in 1960. However, the newly founded Republic of Cyprus was only ephemeral, and inter-communal conflict erupted once again only after 3 years in 1963. Since 1964, the island hosts one of the longest-standing peacekeeping missions – The United Nations Peacekeeping Force in Cyprus (UNFICYP). The next 50 years witnessed a long and frustrating process of inter-communal talks and several UN settlement plans, turning the island into a ‘graveyard of diplomats’. As a result, the communities, who were psychologically divided under the new federation, would soon become physically and demographically divided. As such, following the Turkish intervention in response to the Greek coup on the island in 1974, Cyprus has effectively been divided in two, with Greek-Cypriots living in the southern part under the legally recognised Republic of Cyprus (RoC) and Turkish-Cypriots living in the northern part under the unrecognised, self-declared, administration called the ‘Turkish Republic of Northern Cyprus’ (TRNC).

    Despite the cease-fire and the protracted conflict, Cyprus is a safe place. This safety may be a common characteristic of small communities where social control is prevalent because of close familial and social relationships, but Cypriots are generally and unarguably non-violent people, demonstrated by low crime rates. In spite of the daily frustrations of the conflict, and its economic, social and political cost to Cypriots, it is hard to deny that the situation is ‘comfortable’ and ‘normalised’. Not only does Cyprus remain a popular holiday destination for many Europeans, but it officially became an EU member state with all its ‘anomalies’ in 2004. At times, Cyprus markets itself as the home for the last divided capital of Europe—at other times, as the furthest Eastern corner of Europe that offers pristine and exotic beaches—or as the multi-cultural holiday resort that is simultaneously European, Middle-Eastern and Mediterranean.

    The Cyprus Problem operates on local, regional and international levels. The local entails the relationship between the two ‘ethnically’ categorised communities. Owing to Turkey and Greece’s involvement since its early stages, the conflict has also had a distinct regional dimension for many years. This regional dimension is also the product of islands geography as a bridge between 3 continents and due to the history and demographics of the region. At the international level, the problem has preoccupied the UN since 1964 and involved NATO, the United States and since 2004, the EU became more directly embroiled when Cyprus acceded the Union without a peace settlement.

    Solving the Problem

    Numerous diplomatic efforts have been made both domestically and internationally to enhance different forms of peaceful unity since the conception of the Cyprus Problem. Over the decades, myriad negotiations and peace-talks have also begun and have been later halted, fast-tracked, and revisited. Nevertheless, it is still imperative to find a comprehensive solution to the Cyprus Problem.

    Such a solution, which would also advance the wider cause of peacebuilding and reconciliation, is crucial for several main reasons:

    • The prolongation of the conflict presents a myriad of human rights violations for the communities of Cyprus. While the RoC enjoys full EU membership, Turkish-Cypriots—who are also EU citizens—live in the northern part of Cyprus where the RoC does not exercise effective control and where the Acquis Communautaire is suspended. The Acquis Communautaireis the accumulated body of European Union (EU) law and obligations from 1958 to the present day. It comprises all the EU’s treaties and laws (directives, regulations and decisions), declarations and resolutions, international agreements and the judgments of the Court of Justice. The unrecognised status of the northern administration also amounts to a violation of the human rights of those Greek-Cypriots who became internally displaced people during 1974 and had lost access to their properties. As such, Cyprus is an explicit case of legality and politics persistently challenging each other, a situation which creates inherent contradictions for the EU project.
    • The accession of the RoC to the EU without the inclusion of the Turkish-Cypriots also presents a significant challenge for EU governance across a diverse range of issues, including the EU objective of achieving stability in the eastern Mediterranean. The EU accession also creates a state of exception that galvanises Cyprus’ ‘special status’ that is in reality not that special. As Harry Anastasiou eloquently puts it, Cyprus was “… the first EU member country that was ethnically divided; that was represented at EU level exclusively by members of one of the rival ethnic communities; that was partially occupied by the military forces of an EU candidate state; that had the institutional means to apply the Acquis Communautaire in one part of its territory but not in another; that had a cease-fire line and a buffer zone manned by UN peacekeepers; and that had one portion of its citizens deprived of the right to their property and residence and another portion of its citizens deprived of the right of access to and participation in the EU economy and EU political institutions. Moreover, Cyprus was the only EU member where its major ethnic communities recognise the EU law while simultaneously rejecting each other’s law; where its major ethnic communities accept the legitimacy of the EU while rejecting each other’s legitimacy within their own shared island”.
    • The ramifications of the conflict on the NATO–EU relationship and European energy policy is disconcerting due to newly discovered natural gas resources in Cyprus, competing claims over these resources and the fact that Turkey’s geographical location makes it an important corridor- particularly for gas and oil for the EU. When we look at regional alliances and hydrocarbon interests, we can see a highly intricate web of relationships. These include the hyper-securitisation, where threats are constructed and legitimised through security speech acts, of Turkey in the RoC, the latter’s close links with Russia and Greece, Turkey’s significance for NATO, and the fact that Russia and Cyprus are not part of the alliance. Such dynamics clearly add further tension to Turkey-EU, EU-Russia and Russia-Turkey relations, and create further instability in the region. Thus, solving the Cyprus problem can ease tensions in the region and positively influence the regional dynamics particularly those about regional energy policies.
    • Even though the intentions of Turkey’s Justice and Development Party (AKP) regarding full EU membership are highly questionable, non-resolution of the Cyprus Problem presents an obstacle for Turkey’s EU accession as well as being a persistent and bitter thorn in Turkey–EU relations. Solving the Cyprus Problem may also help normalise Turkey’s relationship with its neighbours. Considering the deteriorating diplomatic relationships between Turkey and the ‘West’, deep polarisation among different groups in Turkey, crumbling economy and intra-state violence, conflict and terrorism, Cyprus can help relieve much pressure off Turkey and restore its diplomatic stance.
    • Considering Cyprus’ geographical proximity to Syria and Iraq and to the Middle East and North Africa, it could be argued that the instability in the region (including Turkey)—and the subsequent ‘refugee’ crisis—are factors that add to the urgency of finding a comprehensive solution to the protracted conflict. The Cyprus Problem is a non-violent, ‘normalised’, and ‘comfortable’ conflict (see Adamides and Constantinou 2011), thus the regional dynamics can help cultivate a sense of urgency for reaching a comprehensive solution, which may contribute to eventual increased stability in the region, as it would not only ‘reconcile’ Greek-Cypriots and Turkish-Cypriots but ease much pressure off Turkey, Greece and the EU as well.

    What’s more, it is not only pertinent to solve the Cyprus Problem, but to do so in a timely manner too. In 2004, Cypriots came close to finding a solution to their intractable problem. A comprehensive settlement plan (a.k.a The Annan Plan) on a bi-zonal bi-communal federal state with single citizenship was accepted by the Turkish-Cypriot community but rejected by the Greek-Cypriot community in a simultaneous referenda in April 2004. Following the disappointment of the peace referenda, Cypriots became disengaged from the peace process, which was further exacerbated by the global economic crisis. Following the financial crises that hit the RoC in 2012, the economic concerns of communities have gradually pushed the Cyprus Problem behind other concerns and priorities, specifically unemployment, inflation and increasing crime rates.

    The peace negotiations resumed in 2008 but failed again in 2011. After independent left-wing Turkish Cypriot presidential candidate Mustafa Akıncı assumed office in the northern part of Cyprus in April 2015, hopes were revitalised. Known for his pro-solution and Turkey-defying stance and surprisingly clean political slate, many accounts argue that the centre-right Nicos Anastasiades, who has been the President of Republic of Cyprus since 2013 from the only party that supported the Annan Plan, and Akıncı duo has created a very favourable environment and that the stars are perfectly aligned this time, bringing the island closer than ever to reaching a comprehensive settlement. This gave birth to increasing public engagement in the peace process, which contributed to the ‘favourable’ environment by supporting and legitimising the mandate of the negotiation teams and creating a more convincing and prosperous ‘vision’ for the future of Cyprus without ‘the Problem’.

    Unfortunately however, this trend was showing signs of reversal. Following the Geneva summit disappointment, lack of convergence on the security dossier of the negotiations is reproducing sense of insecurity and triggering historic traumas, which underpins highly polarised internal narratives based on zero-sum discourse. Especially after the parliamentary Enosis commemoration vote in the RoC and Turkey’s four freedoms demand in Cyprus, the ‘peace fatigue’ is starting to set in once again. Frustration over lack of progress and impetus showing itself in low hope: While 53% of Greek Cypriots and 48% of Turkish Cypriots wish for the peace process to succeed, 43% and 50% respectively express no hope that the peace process will produce results. As the new security architecture proposal of SeeD Security Dialogue Initiative provides a four-step road map to break the current deadlock:

    Step 1: Shift the focus away from hard security and guarantees that only emphasize on last resort, deterrence and worse case scenarios to soft security and preventative measures that emphasize on sustainability and viability, by broadening the concept to include human security, economic, social and ontological security. The underlying objective should be to achieve an endogenously resilient Federal Cyprus that relies on its own institutions to guarantee the security of its citizens.

    Step 2: Acknowledge that a transitional period will be required before Federal Cyprus can be endogenously resilient and secure, where special arrangements and external support will be necessary to build the capacity of Cypriot institutions and provide a sense of security to all citizens and communities. Focus on benchmarks and performance indicators that can ensure a smooth implementation period.

    Step 3: Negotiate and agree those aspects of transitional arrangements that are less controversial (e.g. timelines for implementation of the settlement, what support will be provided by an international mission) in order to prevent deadlock, increase points of convergence and reinforce hope and public engagement in the process before negotiating those aspects of transitional arrangements that are more controversial (e.g. ‘last resort’ provisions, role of historic guarantors).

    Step 4: Enshrine all agreements and steps in a Treaty of Implementation, which will outline a robust bridge from the current status quo, to the ultimate vision of an endogenously resilient Federal Cyprus.

    What is needed to revitalise the peace process in Cyprus is innovation and reflection both on the process and on the content. Specifically relating to the security dossier, we need a different approach that broadens the concept of security beyond the realpolitik regional bargaining and beyond the narrow understanding that talking about the security of a federal Cyprus is talking about military arrangements and guarantees. It is crucial to capitalise on these proposals and regional dynamics and add a success story to the world’s peacemaking and peacebuilding record.

    İlke Dağlı, a Senior Researcher for the international think-tank SeeD (The Center for Sustainable Peace and Democratic Development), completed her PhD in Politics and International Studies at the University of Warwick, focusing on “Securitisation of Identities in Conflict Environments and its Implications on Ontological Security”.  She has a degree in European and International Politics and completed her MSC in Bristol on Security and Development. Since 2006 she has been working closely with CSOs and SMEs in Cyprus as a project coordinator, project developer, consultant and facilitator. She co-authored and coordinated many local projects such as The Civil Society Dialogue Project, Cyprus Community Media Centre initiative, Access Info Cyprus Project and Play for Peace Project and is closely involved with the ENGAGE Do Your Part for Peace project.

  • Floating liabilities? Maritime armouries, risks and solutions

    RC_long_logo_small_4webThis article is part of the Remote Control Warfare series, a collaboration with Remote Control, a project of the Network for Social Change hosted by Oxford Research Group.

    The use of security forces to protect merchant vessels from piracy has led to a rise in ‘floating armouries’: vessels that are used for weapons storage, often moored in international waters. This growing trend raises a number of concerns over security, oversight and transparency. 

    From 2005 onwards, cargo ships traversing the seas off the coast of Somalia into the Gulf of Aden have become targets of maritime piracy.  One of the responses has been to station armed guards on the ships, or on support vessels travelling with the ships to protect them. On commercial ships these guards have generally been provided by Private Maritime Security Companies (PMSCs) with weapons owned by the PMSCs themselves or leased from governments or other PMSCs in the region.

    PMSCs need to have storage for the weapons when not in use. One option is to store them in land-based armouries, the other is to store them in ‘floating armouries’. A new report by the Omega Research Foundation commissioned by the Remote Control project examines the issue of floating armouries and offers recommendations for how they could be regulated.

    What are floating armouries and why are they used?

    Floating armouries are ships that store weapons, ammunition and other equipment such as night vision goggles and body armour for use by PMSCs engaged in vessel protection. They also provide other logistics support including accommodation, food and medical supplies storage. They are typically commercially owned vessels, and are often anchored in international waters. These vessels are not purpose built, but ships that have been converted and retrofitted.

    Due to the tightening of state regulation over the use of land based armouries, restrictions on weapons in some territorial waters, as well as the fees levied at PMSCs to move weapons through ports, PMSCs have increasingly turned towards floating armouries.

    What are the issues?

    Whilst PMSCs have dramatically reduced piracy off the coast of Somalia, the Omega Research Foundation’s report sheds light on an underexplored issue: the lack of regulation, oversight and security of floating armouries. It is not known how many floating armouries there are in operation – due to the lack of information on these vessels it is hard to verify their numbers. In 2012 a UN report detailed 18 floating armouries; other reports put the number at between 12 and 20 (See an industry newsletter and a Guardian article quoting the EU Naval Force). In September 2014 the UK Government published a list of floating armouries that UK PMSCs were licensed to use, stipulating 31 armouries. As this number only represents floating armouries licensed for use by UK companies, there may well be other armouries in operation.

    In 2012 the UN Monitoring Group on Somalia and Eritrea highlighted concerns over the safety and security of floating armouries, citing the lack of national and international regulations. The Group stated:

    This new and highly profitable business for PMSCs is uncontrolled and almost entirely unregulated, posing additional legal and security challenges for all parties involved.

    Two years on there is still no international regulation and only limited national regulation. As the floating armouries are often moored in international waters, they operate in a ‘legal grey area’ with, in some cases, the only regulation coming from the states that register the vessels (the flag states). There are at least 3 states (Djibouti, Mongolia, and St Kitts and Grenadine) that give explicit approval for vessels to operate as floating armouries. Other states do have some regulation regarding the carrying of weapons on board ships but it mainly relates to PMSCs rather than floating armouries specifically.

    Some of the vessels operating as floating armouries are flagged to countries that are on the Paris MoU or Tokyo MoU ‘black lists’. These black lists are derived from the Port State Control authority’s inspection of ships for compliance with international conventions and international law. Port State Control publishes an annual list evaluating the performance of flag states and assigning each a white, grey or black classification. The Omega Research Foundation has raised concerns that some floating armouries are flagged to states where there are serious concerns over the regulation of ships that fly under their flags.

    There are also concerns over the construction and physical security standards of the floating armouries. None of the vessels currently used as floating armouries have been purpose built for that function. Existing vessels have been adapted, which means they may not have acceptable storage facilities for arms and ammunition. As a minimum, floating armouries should have an armoury contained within the structure of the ship and should have a secure entrance. Arms and ammunition should be stored separately, and should be kept in a weatherproof, ventilated and shelved environment.

    What are the solutions?

    Whilst states can introduce legislation to regulate floating armouries operating within their jurisdiction, the most effective regulation needs to be at an international level. The International Maritime Organisation (IMO) as well as international trade bodies, such as the Security Association for the Maritime Industry (SAMI), should review current regulation and implement the necessary changes.

    As a first step there should be an international in-depth study into the number of floating armouries currently in operation and the establishment of a central registry that contains information on the vessels used as floating armouries and the companies that operate them. The IMO or another international body should also review any existing national regulations and examples of best practice. Subsequent work should focus on establishing an international regulatory framework for floating armouries and an effective monitoring and compliance mechanism.

    The Omega Research Foundation (@Omega_RF) is an independent UK-based research organisation dedicated to providing rigorous, objective, evidence-based research on the manufacture, trade in, and use of, military, security and police (MSP) technologies. Their report, ‘Floating Armouries: Implications and Risks’ is available here.

    The Remote Control project is a project of the Network for Social Change hosted by Oxford Research Group that looks at the current developments in military technology and the re-thinking of military approaches to future threats.

    Featured image: Offshore tug, the same kind of vessel used for floating armouries. Source: Flickr | Luc Van Braekel

  • Spetsnaz: An Interview With Mark Galeotti

    Humanitarian Consequences of Nuclear Weapons: Five Reasons for the P5 to participate in Vienna

    The ‘humanitarian dimension’ initiative highlighting the consequences of nuclear weapons has evolved and consolidated itself in the non-proliferation regime since 2010. The five nuclear weapons states (NWS or P5) under the NPT – China, France, Russia, UK and US – boycotted the first two international conferences on the humanitarian consequences of nuclear weapons. A third conference will be held in Vienna on 8-9 December 2014. This article gives five reasons why the P5 should consider participating.

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    Building the Case for Nuclear Disarmament: The 2014 NPT PrepCom

    The humanitarian impact of nuclear weapons, highlighted by a wide-ranging, cross-grouping, multi-aim initiative which continues to consolidate itself in the non-proliferation regime, has come to the fore in the 3rd Prepatory Committe for the 2015 NPT Review Conference. Frustrated with the lack of progress towards NPT Article VI commitments to complete nuclear disarmament, the initiative has invigorated attention to the urgency of nuclear disarmament and a need for a change in the status quo. NPT member states and civil society continue to engage actively in publicizing the humanitarian consequences of nuclear weapons as an impetus to progress towards nuclear disarmament.

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    The ‘High Politics’ of Sustainable Security

    If events like those in Ukraine have taught us anything it is that, despite the predictions of many, the potential for conflict between the major powers is still one of the defining characteristics of world politics. Crisis diplomacy and inter-state rivalry is back on the global agenda. But if policymakers, analysts and civil society actors are to try and come up with ways of reversing the trend towards an increasingly competitive, militarised and crisis-driven inter-state order, then thinking carefully through the implications of a sustainable security approach to great power politics would appear to be a most useful starting point.

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  • The European Union as a Peace Mediator

  • Walking the Blue Line: Lebanon’s Security Sector Reform

  • Sustainable Finance and Energy Security

     Finance and EnergyThe link between volatility in financial markets and volatility in energy prices is poorly understood. Nevertheless, it is possible to understand certain aspects of the relationship between the two. First, we know that as cheap and easy access to conventional fossil fuel supplies diminishes due to rapidly rising demand in the majority world, the process of extracting resources from remaining reserves (or ‘provinces’) is prone to what the Industry Taskforce on Peak Oil and Energy Security has called ‘peaky behaviour’. The so-called peaky behaviour of lesser-known provinces is erratic and naturally less predictable than the usual behaviour of known provinces. This matters a lot in the case of oil extraction, as price stability in oil markets is predicated on understanding and making informed guesses about the rate at which oil can be brought to market.

    As access to predictable supply declines and new sources are sought offshore in the deep seas, among Arctic ice or onshore in untapped kerogen rock, the ability of retailers and speculators to understand the oil market is hindered by an added layer of uncertainty. Experimenting with new methods of extracting oil lacks a historical track record, which normally provides a more stable framework for making sound decisions about supply and demand management – decisions which oil companies, traders and regulators are usually adept at making. Industry professionals must now cope with attempts to acquire a more nuanced understanding of the impact which erratic rates of extraction can have on oil markets. They must also cope indirectly with volatility in consumer demand for oil-based products.

    Financing an oil shock?

    Volatility in financial markets, due to unsustainable lending practices and the rise in use of exotic trading instruments, affects consumer demand for everyday products, particularly in oil-importing nations such as the United States and Britain. Because oil is the lifeblood of the modern industrial economy on which all businesses in the supply chain depend, when oil prices increase, so too do the prices of mainstay consumer goods. In the West, we are dependent on our thriving oil-driven economies, where the transport of goods and services are very closely linked to oil prices. So when global oil prices rise or fall, foreign and domestic businesses transfer the added costs downstream to consumers who feel the impact. Or, in cases where the added expense cannot be borne by consumers, businesses may either attempt to reduce wages or absorb the price shocks internally, which can lead to downsizing and layoffs. When the prices of consumer goods increase, we also use more of our income to pay for oil-derived products, and as a result our spending on other goods and services declines. This means that demand for many types of non-essential goods and services drops, including holiday travel, dining out, new cars, computers and more expensive homes. These impacts have a compound effect on prospects for a speedy economic recovery, making it more difficult for growth to be restored post-crisis and threatening longer-term stability.

    Betting on volatility

    It may be a coincidence that at the height of the most recent stock market crash in July 2008, oil prices skyrocketed to $147 dollars per barrel. However, it wouldn’t seem so on the basis of an article in the Guardian published one month earlier, in which billionaire hedge fund manager George Soros , predicted that the price of oil had become a bubble that could trigger a stock market crash. On 3 June, Soros informed the US Senate commerce committee that oil had been ‘pushed to its $135 a barrel mark’ – at that time a record high – by a ‘new wave of speculators’. Soros claimed that the doubling in the price of oil from 2006-08 was partly due to investment institutions, such as pension funds, channelling money into indexes that link to the cost of crude. Soros proceeded to warn the committee that, “there could be very serious consequences for global stock markets if the institutions suddenly began betting on a fall in the oil price.” Finally, he compared the speculative pressures being forced by institutional investors on oil prices in 2008 with the stock market crash of 1987, which was partly caused by a sudden rush of money into portfolio insurance – which institutions used to hedge themselves against a fall in share prices. According to Soros, institutional investors have been engaged in propping up one side of the market so as to give them sufficient weight to unbalance it if so decided. “If the trend were reversed and the institutions as a group headed for the exit as they did in 1987 there would be a crash”, he said.

    A more recent example of energy market manipulation on a regional scale is that of Barclays’ involvement in manipulating California power markets. The U.S. Federal Energy Regulatory Commission has recently proposed a total $470 million fine on Barclays for its actions – the largest ever by the agency – revealed partly on the basis of communications by four traders at Barclays’ West Coast power desk. The trading activity allegedly took place over two years from late 2006, in which the team exchanged messages explaining how they would ‘crap on’ prices in one market in order to profit in another. The traders stand accused of having wilfully manipulated energy prices, i.e. ‘driving up or down physical power prices to make money with their financial swap positions’. Their actions, if proven true, may have resulted in losses for other traders amounting to $139 million, netting Barclays gains upwards of $34.9 million.

    Unsustainable finance and the threat to energy security

    The critical importance of predictable access to reliable energy supplies to meet electricity and fuel demand have been well documented in previous articles published by SustainableSecurity.org contributors. Economic recession, while potentially offsetting oil demand, could stand to make diminishing supplies last longer, buying time for other alternative clean energy sources to comprise a wider portion of overall generation. But economic recession also has another more subtle impact on energy production – it rattles investor confidence in innovative technologies that might otherwise stand to make oil-dependent economies more energy secure. Currently, a hot debate is raging in the UK and US on the future of conventional oil and gas, as well as nuclear energy, in curbing global demand for fossil fuels. This added uncertainty deters renewable energy investments while forecasts for economic recovery remain dismal. General volatility in financial markets, fuelled by irresponsible lending and trading practices, has an effect on oil prices as well, which further stifles economic growth. While the complexity of global markets demands wider investigation into the causes and effects of finance in relation to oil prices, evidence of market manipulation is unsettling. A sustainable and secure future, where a wider energy mix has been developed to meet rising demand, will no doubt require a more sustainable financial system which can service the real needs of citizens.

    Phillip Bruner is Founder of the Green Investment Forum and a guest lecturer in global political economy at the University of Edinburgh

    Image source: Heatingoil

  • Drone Strikes and Never-Ending Wars

    Drugs and Drones: The Crime Empire Strikes Back

    Ever advancing remote warfare technology is being increasingly used by law enforcement agencies to counter drug trafficking. In response, drug cartels are also adopting new technology to smuggle and distribute drugs. However, the technological superiority of law enforcement-military actors is also causing criminal and militant groups to adapt by employing the very opposite tactic, by resorting to highly primitive technology and methods. In turn, society is doing the same thing, adopting its own back-to-the-past response to drug trafficking and crime.

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    From Surveillance to Smuggling: Drones in the War on Drugs

    In Latin America drones are being used as part of the War on Drugs as both regional governments and the US are using surveillance drones to monitor drug trafficking and find smuggling routes.. However, as drones are increasingly being used by drug cartels themselves to transport drugs between countries, could Latin America find itself at the forefront of emerging drone countermeasures?

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    Losing control over the use of force: fully autonomous weapons systems and the international movement to ban them

    Later this month, governments will meet in Geneva to discuss lethal autonomous weapons systems. Previous talks – and growing pressure from civil society – have not yet galvanised governments into action. Meanwhile the development of these so-called “killer robots” is already being considered in military roadmaps. Their prohibition is therefore an increasingly urgent task.

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    Too Quiet on the Western Front? The Sahel-Sahara between Arab Spring and Black Spring

    While the world’s attention has been focused on the US-led military interventions in Iraq and Syria a quieter build-up of military assets has been ongoing along the newer, western front of the War on Terror as the security crises in Libya and northeast Nigeria escalate and the conflict in northern Mali proves to be far from over. In the face of revolutionary change in Burkina Faso, the efforts of outsiders to enforce an authoritarian and exclusionary status quo across the Sahel-Sahara look increasingly fragile and misdirected.

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    Drone-tocracy? Mapping the proliferation of unmanned systems

    While the US and its allies have had a monopoly on drone technology until recently, the uptake of military and civilian drones by a much wider range of state and non-state actors shows that this playing field is quickly levelling. Current international agreements on arms control and use lack efficacy in responding to the legal, ethical, strategic and political problems with military drone proliferation. The huge expansion of this technology must push the international community to adopt strong norms on the use of drones on the battlefield.

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  • PEGIDA: Germany’s Anti-Islamic Street Movement

  • UN Peacekeeping and Counter-Terrorism

    Too Quiet on the Western Front? The Sahel-Sahara between Arab Spring and Black Spring

    While the world’s attention has been focused on the US-led military interventions in Iraq and Syria a quieter build-up of military assets has been ongoing along the newer, western front of the War on Terror as the security crises in Libya and northeast Nigeria escalate and the conflict in northern Mali proves to be far from over. In the face of revolutionary change in Burkina Faso, the efforts of outsiders to enforce an authoritarian and exclusionary status quo across the Sahel-Sahara look increasingly fragile and misdirected.

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    The Costs of Security Sector Reform: Questions of Affordability and Purpose

    In considering security sector reform, questions of affordability have often been subordinated to questions of effectiveness and expediency. A recent series of reviews of security expenditures by the World Bank and other actors in Liberia, Mali, Niger and Somalia has highlighted several emerging issues around the (re)construction of security institutions in fragile and conflict-affected states.

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