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Ed Webb

More schools that forced American Indian children to assimilate revealed - The Washingt... - 0 views

  • bringing the number of known Indian boarding schools in the country to 523 in 38 states. In addition to the federally supported schools tallied by the Interior Department, the coalition identified 115 more institutions that operated beginning in 1801, most of them run by religious groups and churches.
  • Tens of thousands of American Indian children attended these schools, although no one knows the exact number. Thousands are believed to have died
  • many of the children likely died of malnutrition, abuse, tuberculosis or typhoid
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  • “Federal Indian boarding school policies have impacted every Indigenous person I know,” Haaland, the nation’s first Native American to serve as a Cabinet secretary, said in a statement. “Some are survivors, some are descendants, but we all carry this painful legacy in our hearts and the trauma that these policies and these places have inflicted.”
  • At the Carlisle Indian Industrial School in Pennsylvania, one of the first federal boarding schools in the United States, the remains of five Native American students found at a cemetery near the school will be disinterred and returned to their families for burial this fall, according to officials from the U.S. Army, which now has a war college on the site. The students died between 1880 and 1910.
Ed Webb

The Post-WWI Migrations That Built Yugoslavia and Turkey Have Left a Painful Legacy - N... - 0 views

  • the religious, ethnic and linguistic diversity that characterized their territories in the Middle East and Eastern Europe no longer chimed with the new world order being organized around nation-states
  • Designing measures such as the Greek-Turkish population exchange of 1923, the League of Nations legitimized demographic engineering policies and made migration an intrinsic part of nation-building. With international encouragement, the states with Muslim minorities in the Balkans devised multipronged policies to push out the citizens they saw as undesirable. Turkey became the only destination for Balkan Muslims, even when they were not Turkish.
  • in 1938 Belgrade and Ankara concluded a little-known agreement to transfer 200,000 Yugoslav citizens to Turkey. The transfer did not materialize because of the start of World War II, but the migrations did eventually take place and continued into the 1950s. For both Yugoslavia and Turkey, new states created in the aftermath of World War I, migration was an important part of nation-building.
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  • took as its model another such deal between Turkey and Romania in 1936 as well as the better-known Greek-Turkish population exchange of 1923
  • Forced processes of homogenization are still part of the repertoire of nation-state building, and continue to shape our understanding of world order. Muslim presence in the southeastern periphery of Europe likewise continues to be viewed as problematic and even dangerous: As Piro Rexhepi observed in the book “White Enclosures,” their integration continues to be desirable for security but impossible racially.
  • Focus on religious identity allowed for a formal incorporation of these rather diverse populations into the Turkish national body. The asylum policy and the settlement laws defined migrants as Turks and those “affiliated with Turkish culture” to encompass all the Slav, Albanian and Greek Muslims, making Turkey­­ a safe haven for Muslim minorities fleeing oppressive regimes.
  • Dispossession, expulsions and massacres of diverse Muslim populations were already a grim reality of nation-building in southeastern Europe in the 19th century, when Greece, Montenegro, Serbia, Romania and Bulgaria were carved out of Ottoman provinces. In fact, the conquests of Ottoman Europe after 1699 normalized expulsion and compulsory conversion of local Muslims in the lost territories
  • During the Balkan Wars (1912-1913) Serbia, Montenegro, Greece and Bulgaria invaded the remaining Ottoman territories in Europe. Within several months, an estimated 1 million Muslims vanished, murdered and expelled from the regions taken over by these states. The shocking magnitude of the violence, which continued into World War I, made many Muslims wary of their future in the new nation-states and incited migration to the Ottoman Empire, itself in the midst of conflict.
  • 19th-century definitions of South Slavic brotherhood envisioned Slav Muslims as potentially assimilable, distinguishing between “the Turks” as the non-Slavic Ottomans and “our Turks,” that is, Slav Muslims
  • In the 1920s, Catholic missionaries working in neighboring Kosovo, a former Ottoman province inhabited by Albanian Muslim and Christian populations and similarly incorporated into Southern Serbia, sent reports of massacres, assassinations, imprisonment and forced labor in a memorandum to the League of Nations, receiving no response.
  • so-called reform also included the vast properties of the Islamic pious endowments. Schools, mosques and Sufi lodges lost the land and incomes that were used to operate educational, religious and community services. Some land appropriations were symbolic: The 15th-century Burmali Mosque that visually defined Skopje’s main thoroughfare was simply torn down
  • Ivo Andric, an admired novelist and Yugoslav Nobel laureate, was also one of the highest-ranking Yugoslav diplomats in the interwar period. Eager to finalize the population transfer agreement with Turkey, he advised the government in Belgrade that Turkey was not only interested in the small group of ethnic Turks in Yugoslavia but also populations akin to Turks in their “mentality.” Repeating a constant theme in almost all of Andric’s novels, Muslims were described in his diplomatic correspondence as alien to the Balkans. For Andric, they were “Turks leftover in the territories of our Kingdom.”
  • over 2,000 Bosnians were settled along with Greek Muslims in the town of Izmir.
  • Turkish officials, faced with the constant influx of migrants, pursued agreements with the Balkan states that would offset the costs of migrant settlement. The 1934 Balkan Pact included minority clauses that allowed Turkish citizens to sell their properties in their former homelands. Turkish administrators also considered requesting an estimated payment from the Balkan nation-states to match the value of the properties that Balkan Muslims were forced to leave behind.
  • The Turkish Republic saw population growth as beneficial for economic development and national defense in the long term, as it worked to populate its eastern and western borderlands. Moreover, many of Turkey’s early administrators, as migrants and children of migrants themselves, understood these new waves of migration from a personal perspective.
  • Laws barred those speaking languages other than Turkish from settling in groups and limited the “foreign” presence to no more than 10% of a municipality, though the realities of the period frequently made these laws impossible to execute. The locals took on much of the burden of helping newcomers, begrudgingly sharing public resources. At the same time, the immigrants provided necessary manpower and introduced new methods in agriculture and certain industries. While Balkan languages largely disappeared with the following generation, enduring legacies, such as Balkan cuisine and music evoking the most personal memories of exile, acquired a place in the Turkish national heritage.
  • Today, no official recognition of the violent policies of “unmixing” exists, and barely anyone has heard of Yugoslavia’s attempted population transfer of 1939.
  • the international community’s preferred solutions to “ethnic conflicts” in Bosnia-Herzegovina and Kosovo remain equally tied to principles of nationalist homogenization and demarcation. A century after the foundation of modern Turkey and the first Yugoslavia, the legacies of that era’s mass migration and state violence persist.
Ed Webb

More than Genocide - Boston Review - 0 views

  • Mass state violence against civilians is not a glitch in the international system; it is baked into statehood itself. The natural right of self-defense plays a foundational role in the self-conception of Western states in particular, the formation of which is inseparable from imperial expansion. Since the Spanish conquest of the Americas starting in the sixteenth century, settlers justified their reprisals against indigenous resistance as defensive “self-preservation.” If they felt their survival was imperiled, colonizers engaged in massive retaliation against “native” peoples, including noncombatants. The “doctrine of double effect” assured them that killing innocents was permissible as a side effect of carrying out a moral end, like self-defense.
  • By the nineteenth century, the Christianizing mission had been augmented by a civilizing one of the “savage” natives. More recently, this colonial ideology has manifested itself in the project of “bringing democracy to the Arab world,” with Israel designated as the “the only democracy in the Middle East,” the proverbial “villa in the jungle.”
  • Without imperial possessions and the lucrative trade in sugar and other commodities predicated on the Atlantic slave trade, European states would not have generated the surpluses necessary to pay for their military establishments and the bureaucratic apparatuses required to sustain them. And while European powers and settlers in their colonies did not set out to exterminate the peoples they conquered, they killed any who resisted, claiming that their hands were forced.
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  • Throughout the five-hundred-year history of Western empires, the security of European colonizers has trumped the security and independence of the colonized.
  • The historical record shows that, however terrible, violent anticolonial uprisings were invariably smashed with far greater violence than they unleashed. The violence of the “civilized” is far more effective than the violence of the “barbarians” and “savages.”
  • civilian destruction tends to be greatest when security retaliation reaches the level of what I have called “permanent security”—extreme responses by states to security threats, enacted in the name of self-defense. Permanent security actions target entire civilian populations under the logic of ensuring that terrorists and insurgents can never again represent a threat. It is a project, in other words, that seeks to avert future threats by anticipating them today.
  • Indigenous and occupied peoples, then, are placed in an impossible position. If they resist with violence, they are violently put down. If they do not, states will overlook the lower-intensity but unrelenting violence to which they are subject
  • to ensure that Palestinian militants can never again attack Israel, its armed forces are subjecting two million Palestinians to serial war crimes and mass expulsion
  • If Western states support this solution for Israeli permanent security—as the United States appears to be with its budgeting of refugee support in neighboring countries under the guise of a “humanitarian” gesture—they will be continuing a venerable tradition. During, between, and after both twentieth-century world wars, large-scale population transfers and exchanges took place across the Eurasian continent to radically homogenize empires and nations. Millions of people fled or were expelled or transferred from Turkey, Greece, Austria, Italy, India, Palestine, Central and Eastern Europe. Progressive Europeans reasoned then that long-term peace would be secured if troublesome minorities were removed. This ideology—which the governments of Russia, China, Turkey, India, and Sri Lanka share today—maintains that indigenous and minority populations must submit to their subordination and, if they resist, face subjugation, deportation, or destruction. Antiterrorism operations that kill thousands of civilians are taken to be acceptable responses to terrorist operations that kill far fewer civilians
  • Jabotinsky’s famous “Iron Wall” argument from 1923, in which the Revisionist Zionist leader argued that Palestinian resistance was understandable, inevitable—and anticolonial. Speaking of Palestinians, Jabotinsky wrote that “they feel at least the same instinctive jealous love of Palestine, as the old Aztecs felt for ancient Mexico, and their Sioux for their rolling Prairies.” Because Palestinians could not be bought off with material promises, Jabotinsky wanted the British Mandate authorities to enable Zionist colonization until Jews, then a tiny minority of Palestine, reached a majority. “Zionist colonisation must either stop, or else proceed regardless of the native population,” he concluded. “Which means that it can proceed and develop only under the protection of a power that is independent of the native population—behind an iron wall, which the native population cannot breach.”
  • Hamas thus reasons that Palestinians have nothing to gain by conforming to a U.S.-led “rules-based international order” that has forgotten about them.
  • When state parties to the UNGC negotiated in 1947 and 1948, they distinguished genocidal intent from military necessity, so that states could wage the kind of wars that Russia and Israel are conducting today and avoid prosecution for genocide. The high legal standard stems from the restrictive UNGC definition of genocide, which was modeled on the Holocaust and requires that a perpetrator intend to “destroy, in whole or in part, a national, ethnical, racial or religious group, as such” (the dolus specialis) in at least one of five prescribed ways (the actus reus). The words “as such” are widely regarded as imposing a stringent intent requirement: an act counts as genocide only if individuals are targeted solely by virtue of their group membership—like Jews during World War II—and not for strategic reasons like suppressing an insurgency.
  • Together, the United States and Russia have killed many millions of civilians in their respective imperial wars in Korea, Vietnam, and Chechnya; so have postcolonial states like Nigeria and Pakistan in fighting secessions. Genocide allegations were leveled in some of these cases in global campaigns like the one we see now, but none stuck, and they are largely forgotten in the annals of mass violence against civilian
  • Adding to the difficulty of establishing genocidal intent is the uncertainty in international humanitarian law about the legality of civilians killed “incidentally” in the course of attacking legitimate military targets. While the majority of international lawyers agree that civilian deaths are acceptable so long as they are not disproportionate in relation to the military advantage sought, others argue that bombing crowded marketplaces and hospitals regardless of military objective is necessarily indiscriminate and thus illegal.
  • They go far in excusing all Israeli conduct in the name of its legitimate self-defense; the US even seems to have demurred on whether the Geneva Conventions are applicable to Palestinian territories. It is thus unsurprising that they have not pressed the Israeli government to explain how cutting off water, food, and power to Gaza—a “war of starvation” as the Euro-Med Human Rights Monitor put it—is a legitimate military tactic, one not covered by the UNGC, which declares one genocidal predicate act to be “deliberately inflicting on the group conditions of life calculated to bring about its physical destruction in whole or in part.” But if so-called humanitarian pauses are occurring to allow in a little, if grossly inadequate, aid, and the “total siege” is lifted after the military defeat of Hamas (should it happen), it will be difficult to argue in a legal context that Israel’s strangling of Gaza was a genocidal act.
  • the “Dahiya Doctrine,” which, they argue, dictates “disproportionate attacks, including against *civilian* structures and infrastructure.” This is clearly illegal.
  • Excessive reprisals, we should recall, are a staple of colonial warfare and state consolidation
  • Since genocide is a synonym for the destruction of peoples, whether the killing and suppression of their culture is motivated by destruction “as such” or by deterrence, the experience is the same: a destructive attack on a people, and not just random civilians. But the UNGC does not reflect the victim’s perspective. It protects the perpetrators: states that seek permanent security.
  • Unless the conditions of permanent insecurity are confronted, permanent security aspirations and practices will haunt Palestinians and Israelis.
Ed Webb

Florida's Black history standards are even worse than reported - TheGrio - 0 views

  • White people think they know history.
  • when theGrio examined the FDOE’s full “African American History Strand,” we discovered that the “trade-school-for-enslaved people” narrative wasn’t even the most egregious part of Florida’s new academic curriculum standards. The state guidelines include multiple examples of historical fiction, including some that perpetuate misconceptions, conservative ideology and long-held white falsehoods about Black history. Many of the requirements simply reflect ahistorical conservative talking points that often are regurgitated whenever someone brings up inequality.
  • There is not a single skill developed during the period of legal, race-based chattel slavery that a free person could not have learned. The American experiment nearly failed, ultimately devolving into cannibalism and welfare, precisely because the first Virginia colonizers were inept at… well, everything needed to survive. They could not farm. They could not build things. They had no skills.
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  • The word “racism” appears once. The phrase “white supremacy” or any of its variations does not appear in the entire guide. 
  • 3. There’s a lot missing Florida’s white history mandate: While it is impossible to teach all of Black history, perhaps the most significant thing about Florida’s guidelines is the stuff that is intentionally left out. There is nothing about redlining and how its residual effects still shape the lives of African Americans. There are eight mentions of “race riots” but only three “massacres” and a single “lynching.” 
  • Florida’s Caucasian Race Theory mischaracterizes Black freedom fighters’ intentions by ascribing free white men’s values to a few cherry-picked Black individuals. The correct way to teach this would be to simply teach the facts. Approximately five thousand Black men fought for America in the Revolutionary War; more than 20,000 fought against America. Even the Black Loyalists in the American Revolution were not fighting to preserve the British empire. They were fighting for their freedom.
  • More than one benchmark requires students to learn about “Judeo-Christian values and Christianity’s impact on American society” and only lists Black Christian churches, even though scholars estimate that as many as 30 percent of enslaved Africans practiced Islam. The omission leaves students unaware that many of their religious traditions have roots in Africa and the Caribbean, including the ring shout, gospel music and four of the ten largest Christian denominations in the United States. 
  • AP African American Studies is banned in Florida, partly because it makes white people uncomfortable. Florida’s STOP WOKE Act prohibits classroom instruction that makes white people “feel guilt, anguish, or other forms of psychological distress, because of actions, in which the individual played no part, committed in the past by other members of the same race.” 
  • Like the legislation, the new curriculum standards are for white people. Everyone except white people believes that increased public attention to the history of racism is good for society. While 62% of Black people and 58% of Hispanics want schools to teach children about the ongoing effects of slavery and racism, most white people do not. How history is taught in schools has always given Black people anguish and psychological distress; white people are perfectly comfortable with Black people’s discomfort. 
Ed Webb

Monthly Review | China: Imperialism or Semi-Periphery? - 0 views

  • although China has developed an exploitative relationship with South Asia, Africa, and other raw material exporters, on the whole, China continues to transfer a greater amount of surplus value to the core countries in the capitalist world system than it receives from the periphery. China is thus best described as a semi-peripheral country in the capitalist world system.
  • if China does manage to become a core country, the extraction of labor and energy resources required will impose an unbearable burden on the rest of the world. It is doubtful that such a development can be made compatible with either the stability of the existing world system or the stability of the global ecological system.
  • In 2016–17, China consumed 59 percent of the world total supply of cement, 47 percent of aluminum, 56 percent of nickel, 50 percent of coal, 50 percent of copper, 50 percent of steel, 27 percent of gold, 14 percent of oil, 31 percent of rice, 47 percent of pork, 23 percent of corn, and 33 percent of cotton.1
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  • In chapter 7 of Imperialism, the Highest Stage of Capitalism, Lenin defined the five “basic features” of imperialism: (1) the concentration of production and capital developed to such a high stage that it created monopolies which play a decisive role in economic life; (2) the merging of banking capital with industrial capital, and the creation, on the basis of this “finance capital,” of a financial oligarchy; (3) the export of capital as distinguished from the export of commodities acquires exceptional importance; (4) the formation of international monopolist capitalist associations which share the world among themselves, and (5) the territorial division of the whole world among the biggest capitalist powers is completed.8
  • Marxist theories of imperialism (or concepts of imperialism inspired by the Marxist tradition) that evolved after the mid–twentieth century typically defined imperialism as a relationship of economic exploitation leading to unequal distribution of wealth and power on a global scale.9
  • In chapter 8 of Imperialism, Lenin further argued that export of capital was “one of the most essential bases of imperialism” because it allowed the imperialist countries to “live by exploiting the labour of several overseas countries and colonies.” The superprofits exploited from the colonies in turn could be used to buy off the “upper stratum” of the working class who would become the social base of opportunism in the working-class movement: “Imperialism means the partition of the world, and the exploitation of other countries besides China, which means high monopoly profits for a handful of very rich countries, creating the economic possibility of corrupting the upper strata of the proletariat.”14
  • imperialism must be a system where a small minority of the world population exploits the great majority. It cannot possibly be a system in which the majority exploits the minority.
  • From 2004 to 2018, China’s total foreign assets increased from $929 billion to $7.32 trillion. During the same period, China’s total foreign liabilities (that is, total foreign investment in China) increased from $693 billion to $5.19 trillion.16 This means China had a net investment position of $2.13 trillion at the end of 2018. That is, China has not only accumulated trillions of dollars of overseas assets but also become a large net creditor in the global capital market. This seems to support the argument that China is now exporting massive amounts of capital and therefore qualifies as an imperialist country.
  • Rather than “exploiting” the developed capitalist countries, such capital flight in fact transfers resources from China to the core of the capitalist world system.
  • while foreign investment in China is dominated by direct investment, an investment form consistent with the foreign capitalist attempt to exploit China’s cheap labor and natural resources, reserve assets account for the largest component of China’s overseas assets.
  • the United States and other developed capitalist countries simply do not have the production capacity to produce within a reasonable period of time the extra goods and services that may correspond to the more than three trillion dollars of foreign exchange reserves held by China
  • From the U.S. point of view, China’s accumulation of foreign exchange reserves (mostly in dollar-denominated assets) has essentially allowed it to “purchase” trillions of dollars’ worth of Chinese goods largely by printing money without providing any material goods in return. China’s reserve assets, rather than being a part of China’s imperialist wealth, essentially constitute China’s informal tribute to U.S. imperialism by paying for the latter’s “seigniorage privilege.”
  • An average rate of return of about 3 percent on China’s overseas investment obviously does not constitute “superprofits.” Moreover, foreign capitalists in China are able to make about twice as much profit as Chinese capital can make in the rest of the world on a given amount of investment.
  • China’s total stock of direct investment abroad in 2017 was $1.81 trillion, including $1.14 trillion invested in Asia (63 percent), $43 billion invested in Africa (2.4 percent), $111 billion invested in Europe (6.1 percent), $387 billion invested in Latin America and the Caribbean (21 percent), $87 billion invested in North America (4.8 percent), and $42 billion invested in Australia and New Zealand (2.3 percent).
  • China’s massive investments in Hong Kong, Macao, Singapore, Cayman Islands, and British Virgin Islands (altogether $1.41 trillion or 78 percent of China’s direct investment abroad) are obviously not intended to exploit abundant natural resources or labor in these cities or islands.
  • Much of the Chinese investment in these places may simply have to do with money laundering and capital flight
  • the structure of China’s overseas assets is very different from the structure of foreign assets in China. Out of China’s total overseas assets in 2018, 43 percent consists of reserve assets, 26 percent is direct investment abroad, 7 percent is portfolio investment abroad, and 24 percent is other investment (currency and deposits, loans, trade credits, and so on). By comparison, out of total foreign investment in China in 2018, 53 percent is foreign direct investment, 21 percent is foreign portfolio investment, and 26 percent is other investment.
  • about $158 billion (8.7 percent of China’s total stock of direct investment abroad or 2.2 percent of China’s total overseas assets) invested in Africa, Latin America, and the rest of Asia. This part of Chinese investment no doubt exploits the peoples in Asia, Africa, and Latin America of their labor and natural resources. But it is a small fraction of China’s total overseas investment and an almost negligible part of the enormous total wealth that Chinese capitalists have accumulated
  • Marxist theorists of imperialism already realized that, in the postcolonial era, imperial exploitation of underdeveloped countries mainly took the form of unequal exchange. That is, underdeveloped countries (peripheral capitalist countries) typically export commodities that embody comparatively more labor than the labor embodied in commodities exported by developed capitalist countries (imperialist countries). In the twenty-first century, global outsourcing by transnational corporations based on the massive wage differentials between workers in imperialist and peripheral countries may be seen as a special form of unequal exchange.22
  • if a country receives substantially more surplus value from the rest of the world than it transfers, then the country clearly qualifies as an imperialist country in the sense of being an exploiter country in the capitalist world system. On the other hand, if a country transfers substantially more surplus value to the imperialist countries than it receives from the transfer of the rest of the world, the country would be either a peripheral or a semi-peripheral member of the capitalist world system (depending on further study of the country’s position relative to other peripheral and semi-peripheral countries).
  • even if in the unlikely event that China turns out to be extremely successful in its effort to promote electric cars, it would at best replace no more than one-tenth of China’s current oil consumption.
  • Being a leading imperialist country, the United States benefits from its “seigniorage privilege.” Because of the other countries’ need to hold massive amounts of foreign exchange reserves in the form of dollar-denominated assets, the United States can “purchase” trillions of dollars of goods simply by printing money without providing material goods in return. The labor embodied in the U.S. “trade deficits” therefore should be treated essentially as unilateral transfers from the rest of the world and included in the unequal exchange.
  • Sources: “World Development Indicators,” World Bank, accessed May 31, 2021. Net labor transfer is defined as the difference between the total labor embodied in a country’s imported goods and services and the total labor embodied in the country’s exported goods and services. If the difference is positive, it constitutes a net labor gain; if negative, it constitutes a net labor loss.
  • in the neoliberal era, Chinese capitalism has functioned as a crucial pillar for the global capitalist economy by transferring surplus value produced by tens of millions of workers to the imperialist countries. At its peak, China’s net labor loss equaled 48 percent of China’s industrial labor force in 2007
  • Had there not been unequal exchange, the massive amounts of material goods currently supplied to the United States by the rest of the world would have to be produced through domestic production to maintain existing levels of U.S. material consumption. About sixty million workers (38 percent of the total U.S. labor force) would have to be withdrawn from service sectors and transferred to material production sectors. This would result in a massive reduction of services output (by about two-fifths of U.S. GDP) without raising levels of material consumption.
  • By 2015–17, while it would still take about five units of Chinese labor to exchange for one unit of U.S. labor and four units of Chinese labor to exchange for one unit of labor from other high-income countries, China had clearly established exploitative positions in South Asia and sub-Saharan Africa. One unit of Chinese labor can now be exchanged for about two units of labor from sub-Saharan Africa or four units of labor from South Asia. One unit of Chinese labor is roughly on a par with one unit of labor from the low- and middle-income countries of Latin America, Caribbean, Middle East, North Africa, Eastern Europe, and Central Asia. In addition, China has also established a significant advantage relative to other East Asian low- and middle-income countries.
  • The core countries specialize in quasi-monopolistic, high-profit production processes, and the peripheral countries specialize in highly competitive, low-profit production processes. Surplus value is transferred from the peripheral producers to the core producers, resulting in unequal exchange and concentration of world wealth in the core. By comparison, semi-peripheral countries have “a relatively even mix” of core-like and periphery-like production processes.23
  • From 1870 to 1970, the share of the world population that lived in countries with per capita GDP greater than 75 percent of the imperial standard varied between 10 percent (in 1950) and 17 percent (in 1913). This is a range consistent with the population share of “a handful of exceptionally rich and powerful states” suggested by Lenin.
  • reasonable to use 75 percent of the imperial standard as the approximate threshold between the core of the capitalist world system and the semi-periphery. It is important to note that this is only an approximate threshold and other important characteristics (such as state strength, degree of political and economic independence, technological sophistication, and so on) also need to be considered when deciding whether a country is a member of the core or simply has a core-like income level. For example, in 1970, among the wealthiest countries were rich oil exporters such as Qatar, Kuwait, United Arab Emirates, and Venezuela that clearly do not qualify as core countries.
  • From 1870 to 1970, the share of the world population that lived in countries with per capita GDP less than 25 percent of the imperial standard increased from 57 percent to 66 percent, suggesting widening global inequalities. I use 25 percent of the imperial standard as the approximate threshold between the periphery and the semi-periphery.
  • by 2017, as China’s per capita GDP advanced to 31 percent of the imperial standard, the structure of world income distribution was radically transformed. The share of the population that lived in countries with per capita GDP less than 25 percent of the imperial standard fell to 50 percent (the lowest since 1870). The share of the population that lived in countries with per capita GDP higher than 75 percent of the imperial standard narrowed to 12 percent. At the same time, the share of the population that lived in countries with per capita GDP between 25 and 75 percent of the imperial standard expanded to 38 percent (almost double the historical semi-peripheral share of the world population).
  • Neither capitalism nor imperialism is compatible with an arrangement where the majority of the world population exploits the minority, or even with a situation where a large minority exploits the rest of the world. Given the size of the Chinese population (almost one-fifth of the world population), if China were to advance into the core, the total core population would have to rise to about one-third of the world population. Can the rest of the world afford to provide sufficient surplus value (in the form of labor embodied in commodities) as well as energy resources to support such a top-heavy capitalist world system?
  • South Asia has recently overtaken China to become the largest source of net labor transfer in the global capitalist economy. In 2017, South Asia suffered a net labor loss of 65 million worker-years. All the low- and middle-income countries combined provided a total net labor transfer of 184 million worker-years in 2017
  • Assuming that China’s average labor terms of trade rises from the current level of about 0.5 (one unit of Chinese labor exchanges for about half of a unit of foreign labor) to about 2 (one unit of Chinese labor exchanges for about two units of foreign labor, similar to the current average labor terms of trade of the non-U.S. high-income countries), then the total labor embodied in China’s imported goods and services would have to rise to about 180 million worker-years. Rather than providing a net labor transfer of nearly 50 million worker-years, China will have to extract 90 million worker-years from the rest of the world. The total shift of 140 million worker-years represents about three-quarters of the total surplus value currently received by the core and the upper-level semi-periphery from the rest of the world and is roughly comparable to the total net labor transfer currently provided by all the low- and middle-income countries (excluding China).
  • to replace China’s current annual car production by electric vehicles would require the consumption of 120,000 metric tons of lithium annually. World total lithium production in 2018 was only 62,000 metric tons. Therefore, even if China uses up the entire world’s lithium production, it would only be sufficient to replace about one-half of China’s conventional car production.27
  • China was a typical peripheral country in the 1990s. In the early 1990s, China’s labor terms of trade was about 0.05. That is, one unit of foreign labor could be exchanged for about twenty units of Chinese labor. Since then, China’s labor terms of trade has improved dramatically. By 2016–17, China’s labor terms of trade rose to about 0.5. That is, two units of Chinese labor could be exchanged for about one unit of foreign labor. On balance, China remains an economy exploited by the imperialist countries in the capitalist world system, although the degree of exploitation has declined rapidly in recent years.
  • The world population in 2018 was 7.59 billion. Using the more generous 1.4 trillion metric tons as the global emissions budget for the rest of the twenty-first century, an average person in the future is entitled to an average annual emissions budget of about 2.3 metric tons per person per year (1.4 trillion metric tons / 80 years / 7.6 billion people). By comparison, China’s per capita carbon dioxide emissions in 2018 were 6.77 metric tons and the U.S. per capita carbon dioxide emissions were 15.73 metric tons.
  • From 1990 to 2013, China’s per capita carbon dioxide emissions surged from 2.05 metric tons to 6.81 metric tons. If this trend were to continue, China’s per capita carbon dioxide emissions would rise to 12.85 metric tons when China’s per capita GDP rises to $37,734 (75 percent of the imperial standard). If every person in the world were to generate this level of emissions every year between now and the end of the century, global cumulative emissions over the last eight decades of this century would amount to 7.8 trillion metric tons, leading to 5.5 degrees Celsius of additional warming (using the approximate calculation that every one trillion tons of carbon dioxide emissions would bring about 0.7 degrees Celsius of additional warming).
  • China’s current per capita carbon dioxide emissions are substantially above what would be predicted by the cross-country regression given China’s current income level. Using the cross-country regression, if China’s per capita GDP were to rise to $37,734, China’s per capita carbon dioxide emissions should be 8.67 metric tons. If every person in the world were to generate emissions of 8.67 tons every year between now and the end of the century, global cumulative emissions over the last eight decades of this century would amount to 5.3 trillion metric tons, leading to 3.7 degrees Celsius of additional warming. As the global average temperature is already about one degree Celsius higher than the preindustrial level, global warming by the end of the century would be 4.7 degrees Celsius. This will lead to inevitable runaway global warming and reduce the areas suitable for human inhabitation to a small fraction of the earth’s land surface.
  • In other words, climate stabilization and global ecological sustainability can be accomplished if every country either accepts a massive reduction of per capita income to peripheral levels or stays with the peripheral levels.
  • The currently available evidence does not support the argument that China has become an imperialist country in the sense that China belongs to the privileged small minority that exploits the great majority of the world population. On the whole, China continues to have an exploited position in the global capitalist division of labor and transfers more surplus value to the core (historical imperialist countries) than it receives from the periphery. However, China’s per capita GDP has risen to levels substantially above the peripheral income levels and, in term of international labor transfer flows, China has established exploitative relations with nearly half of the world population (including Africa, South Asia, and parts of East Asia). Therefore, China is best considered a semi-peripheral country in the capitalist world system.
  • Given its enormous population, there is no way for China to become a core country without dramatically expanding the population share of the wealthy top layer of the world system. The implied labor extraction (or transfer of surplus value) demanded from the rest of the world would be so large that it is unlikely to be met by the remaining periphery reduced in population size. Moreover, the required energy resources (especially oil) associated with China’s expected core status cannot be realistically satisfied from either future growth of world oil production or conceivable technical change. In the unlikely event that China does advance into the core, the associated greenhouse gas emissions will contribute to rapid exhaustion of the world’s remaining emissions budget, making global warming by less than two degrees Celsius all but impossible.
Ed Webb

Tom Stevenson · Empires in Disguise · LRB 4 May 2023 - 0 views

  • The great powers of the present were the great continental empires of the 18th and 19th centuries. The borders of Russia today are similar to those of the Russian empire in the 1750s. The territory of modern China largely resembles that of the Qing empire in 1760, the main difference being the loss of Mongolia. The United States approached its current mainland form in the 1880s. This may be an age of states, but some of them are so big that global politics is for the most part still a game for subcontinental powers.
  • After 2800 bcE there was never again a time without an empire of some sort, and after 600 bcE one or more of them always controlled an area of at least 2.5 million square kilometres. After 1600 CE the figure increased to at least ten million square kilometres: about the size of the US or China today.
  • In 19th-century Europe the ratio between the population of the greater and lesser states was about ten to one. Today the ratio between the population of India or China and the average small member of the United Nations is closer to forty or fifty to one.
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  • The largest states in the world have the scale of empires but, Roberts suggests, they are a new breed. They are ‘superstates’, distinct from their neighbours ‘by expanse of territory, number and diversity of people, and social and economic complexity’. They aren’t quite empires and they aren’t all superpowers. Instead they represent a more recent development in a linear history: ‘The age of empires gave way to the age of states and next to the age of superstates.’
  • The main problem with the four superstate model is what to do about Russia. Roberts excludes what is territorially the biggest state in the world from his quadrumvirate because its population has collapsed and its economy is much smaller than that of the US, China or the EU. But India’s economy, too, is dwarfed by the others.
  • The EU has the dual distinction of being the only polity that is regularly referred to as a superstate and the only one that arguably shouldn’t be considered a state at all. Its economic power in the global system is undeniable, but in every other sense its power is much less certain. The EU’s formal structure, which seems to embody both postmodern technocratic management and premodern oligarchy, evades comparison
  • om Nairn argued that the EU suffers from a condition that also characterised the pre-First World War multinational empires: uneven development generates subtle forms of nationalist resistance which frustrate supranational designs. The EU has a fearsome border control agency, Frontex, but no central security apparatus. Can you have a superstate without an army, or rather an army of one’s own? The only centralised pan-European army is that of the United States, which has around a hundred thousand military personnel deployed across Europe.
  • The geographical division of the country remains an operative reality for alchemical electioneers, but talk of geographical divisions also serves as a convenient distraction from class divisions. Both Republican and Democratic administrations have talked of small government while increasing federal spending and the number of federal employees. But since the late 1970s they have succeeded in transferring trillions of dollars from the poor to the rich. One problem with calling the continental US a superstate is that it deliberately erases US overseas possessions – Guam, Puerto Rico etc. Another is that it distracts from the fact that so much of the energy of the US state apparatus is involved in its global posture.
  • Roberts stresses that empires need to justify themselves with a noble creed, both to propagandise to conquered peoples and to bolster the self-delusion of elite cadres. It’s easier to assert yourself if you’re convinced you’re bringing either civilisation or salvation.
  • All today’s superstates exhibit a resurgence of something like nationalism. China has Xi Jinping thought, India has Hindutva, US presidents will make America great again and the EU, according to Josep Borrell, is a garden surrounded by perilous jungle
  • Superstates or no, the five largest economies in the world are all either currently involved in a war, rearming, or making preparations.
Ed Webb

Survivors of Kissinger's Secret War in Cambodia Reveal Unreported Mass Killings - The I... - 0 views

  • Survivors from 13 Cambodian villages along the Vietnamese border told The Intercept about attacks that killed hundreds of their relatives and neighbors during Kissinger’s tenure in President Richard Nixon’s White House. The interviews with more than 75 Cambodian witnesses and survivors, published here for the first time, reveal in new detail the long-term trauma borne by survivors of the American war. These attacks were far more intimate and perhaps even more horrific than the violence already attributed to Kissinger’s policies, because the villages were not just bombed, but also strafed by helicopter gunships and burned and looted by U.S. and allied troops.
  • U.S. troops implicated in killing and maiming civilians received no meaningful punishments
  • Experts say Kissinger bears significant responsibility for attacks in Cambodia that killed as many as 150,000 civilians — six times more noncombatants than the United States has killed in airstrikes since 9/11.
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  • “You can trace a line from the bombing of Cambodia to the present,” said Greg Grandin, author of “Kissinger’s Shadow.” “The covert justifications for illegally bombing Cambodia became the framework for the justifications of drone strikes and forever war. It’s a perfect expression of American militarism’s unbroken circle.”
  • Grandin estimated that, overall, Kissinger — who also helped to prolong the Vietnam War and facilitate genocides in Cambodia, East Timor, and Bangladesh; accelerated civil wars in southern Africa; and supported coups and death squads throughout Latin America — has the blood of at least 3 million people on his hands
  • In his 2003 book, “Ending the Vietnam War,” Kissinger offered an estimate of 50,000 Cambodian civilian deaths from U.S. attacks during his involvement in the conflict — a number given to him by a Pentagon historian. But documents obtained by The Intercept show that number was conjured almost out of thin air. In reality, the U.S. bombardment of Cambodia ranks among the most intense air campaigns in history. More than 231,000 U.S. bombing sorties were flown over Cambodia from 1965 to 1973. Between 1969 and 1973, while Kissinger was national security adviser, U.S. aircraft dropped 500,000 or more tons of munitions. (During all of World War II, including the atomic bombings, the United States dropped around 160,000 tons of munitions on Japan.)
  • Ray Sitton, a colonel serving the Joint Chiefs of Staff, would bring a list of targets to the White House for approval. “Strike here in this area,” Kissinger would tell him, and Sitton would backchannel the coordinates into the field, circumventing the military chain of command. Authentic documents associated with the strikes were burned, and phony target coordinates and other forged data were provided to the Pentagon and Congress.
  • Kissinger was the chief architect of U.S. war policy in Southeast Asia, achieving almost co-president status in such matters. Kissinger and Nixon were also uniquely responsible for attacks that killed, wounded, or displaced hundreds of thousands of Cambodians and laid the groundwork for the Khmer Rouge genocide.
  • For decades, the U.S. government has shown little interest in examining allegations of civilian harm caused by its military operations around the world. A 2020 study of post-9/11 civilian casualty incidents found that most have gone completely uninvestigated, and in those cases that have come under official scrutiny, U.S. investigators regularly interview American military witnesses but almost totally ignore civilians — victims, survivors, family members, and bystanders — “severely compromising the effectiveness of investigations,” according to researchers from the Center for Civilians in Conflict and the Columbia Law School Human Rights Institute. The U.S. military rarely conducted investigations of civilian harm allegations in Cambodia and almost never interviewed Cambodian victims. In all 13 Cambodian villages I visited in 2010, I was the first person to ever interview victims of wartime attacks initiated 9,000 miles away in Washington, D.C.
  • The Defense Department has been clear that it isn’t interested in looking back. “At this point we don’t have an intent to re-litigate cases,” Defense Secretary Lloyd Austin told Rep. Sara Jacobs, D-Calif., when she asked last year whether the Pentagon was planning to revisit past civilian harm allegations from the forever wars. The possibility that the Defense Department will investigate civilian harm in Cambodia 50 years later is nil.
  • trauma can have intergenerational effects; it can be passed on, whether genetically or otherwise. Even at this late date, the pain of America’s war in Cambodia lives on
  • survivors believed that more than half of all the villagers living in Doun Rath during the late 1960s and early 1970s were either killed or wounded by American attacks
  • Both Vuth and her sister, 72-year-old Vuth Thang, broke down as soon as I explained the purpose of my reporting. They were away from their home in the village of Por when a B-52 strike wiped out 17 members of their family. “I lost my mother, father, sisters, brothers, everyone,”
  • Villagers said that when they first saw American aircraft overhead, they were awestruck. Having never seen anything like the giant machines, people came out to stare at them. Soon, however, residents of Mroan learned to fear them. Cooking rice became dangerous as Americans flying above would see the smoke and launch attacks. Helicopters, survivors said, routinely strafed both the nearby fields and the village itself, then comprised of about 100 homes. “This one was the most vicious,” said Sheang, pointing at a photograph of a Cobra gunship among pictures of other aircraft I provided. When the “coconut shell” helicopter, a U.S. Army OH-6 or “Loach,” marked an area with smoke, villagers recalled, the Cobra would attack, firing rockets that set homes ablaze. “During the American War, almost all houses in the village were burned,” said Sheang.
  • in May 1971, U.S. helicopter gunships shot up a Cambodian village, wounding a young girl who couldn’t be taken for treatment because a U.S. officer overloaded his helicopter with a looted motorcycle that was later gifted to a superior, according to an Army investigation and exclusive follow-up reporting by The Intercept. The Cambodian girl almost certainly died from her wounds, along with seven other civilians, according to previously unreported documents produced by a Pentagon war crimes task force in 1972.
  • As Cambodians lay wounded and dying, the ARVN Rangers looted the village, grabbing ducks, chickens, wallets, clothing, cigarettes, tobacco, civilian radios, and other nonmilitary items, according to numerous American witnesses. “They were stealing everything they could get their hands on,” Capt. Thomas Agness, the pilot of the helicopter that carried Brooks and some of the ARVN, told me. Brooks, however, had the biggest score of all. With the help of South Vietnamese troops, he hauled a blue Suzuki motorcycle onto a helicopter, according to Army documents.
  • While court martial charges were filed against Brooks, his commanding general dismissed them in 1972, instead giving him a letter of reprimand. Records indicate that no other troops were charged, let alone punished, in connection with the massacre, the looting, or the failure to render aid to wounded Cambodian civilians.
  • In late 1978, Vietnamese troops invaded Cambodia to oust the Khmer Rouge from power, driving Pol Pot’s forces to the Thai border. The U.S., however, threw its support behind Pol Pot, encouraging other nations to back his forces, funneling aid to his allies, helping him keep Cambodia’s seat at the United Nations, and opposing efforts to investigate or try Khmer Rouge leaders for genocide.
  • Kissinger’s mammoth memoir, “White House Years” was published. As journalist William Shawcross pointed out, Kissinger failed to even mention the carnage in Cambodia because “for Kissinger, Cambodia was a sideshow, its people expendable in the great game of large nations.”
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