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    Will Morocco Normalize Relations With Israel?

    Commentators from major news outlets have commented that Morocco will be among the first Arab countries to normalize relations with Israel and exchange ambassadors following the Israeli–Emirati agreement. As the former US ambassador to Morocco and having closely followed the policies and opinions of King Mohammed VI for the past 20 years, I am not so sure that Morocco will be next.

    There are two overriding issues to consider in this regard. King Mohammed VI has consistently and strongly supported a peace agreement between Israel and Palestine, and he may see a Moroccan agreement with Israel as damaging to such prospects. Also, the timing to act now, during an election year in the US, may be a deterrent for Morocco to move too hastily.

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    The king has made his viewpoint clear over the past two decades with regard to Palestine and used his position as chairman of the Al-Quds (Jerusalem) Committee of the Organization of Islamic Conference (OIC) to assert strong support for a Palestinian state. At the same time, he has expressed his support for warm and full relations with Israel and seems perfectly situated as the next peace partner with Israel, given the fact that Moroccans are the second largest ethnic group in Israel, after Russians.

    Such a move, however, will have to be balanced with the statements that King Mohammed VI has constantly committed to over the years in his support for Palestine. In November 2019, he warned that “the continuing Israeli practices in violation of international legitimacy and international humanitarian law in the occupied Palestinian territories fuel tension, violence, instability and sow the seeds of religious conflict and hatred,” The North Africa Post reports. Following the king’s comments, Moroccan diplomats reaffirmed Morocco’s steadfast and unwavering support for Palestine.

    In February of this year, a message from King Mohammed VI conveyed to the Palestinian leader, Mahmoud Abbas, by Moroccan Foreign Minister Nasser Bourita reaffirmed Morocco’s unwavering support to the Palestinian cause. The number of times the king has reiterated his support for Palestine during the past is too numerous to repeat here.

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    Since the days of King Hassan II — the reigning monarch’s father — Moroccans have been encouraged to give to the poor in Palestine and have inspired a Moroccan population deeply supportive of a Palestinian homeland. King Mohammed VI would have a hefty price to pay if he went back on his word and didn’t first extract meaningful concessions for the Palestinians before signing any agreement with Israel.

    Remember also that the king opposed Gulf countries’ pressure on Morocco to support their sanction of Qatar in 2017 and he suspended Morocco’s participation in the war in Yemen in 2019. Such stands took courage for a country so dependent on economic development from the Gulf. Analysts who predict that Morocco will be next to sign a peace accord with Israel may not understand the strength of King Mohammed’s moral compass.

    Partisanship

    The other consideration of Morocco to normalize relations with Israel is timing. There’s a joke in Morocco that says, “I’m not sure who the next US president will be, but I do know who the king’s best friend will be.” Morocco has always avoided partisan gestures during US election cycles dating back to the time when, in 1777, Sultan Mohammed III recognized the independence of the US. Morocco was the first country in the world to officially recognize the United States and was among the first countries to sign a treaty of peace and friendship between the two nations. Every monarch since has been careful to avoid the appearance of taking sides in US politics.

    Morocco understands that if it is not early to the peace party, the country will have less to gain from it. The king will have to balance that notion with his moral authority and long-held beliefs — and those of his citizens — to remain steadfast in support of a Palestinian state, as well as considering US election year timing.

    There are obvious reasons for Morocco to move quickly toward normalization given cultural and family ties with Israelis of Moroccan descent. For these and other reasons, many Morocco watchers believe that when the right concessions are made that include a serious negotiation between the parties that include a contiguous state of Palestine, based upon the 1967 borders, with Jerusalem as a capital of both Israel and Palestine — and when Morocco is not playing into election-year politics — the king will move swiftly to normalize relations.

    Many Moroccan and Israeli citizens already know through their cultural and family ties that when that day arrives, their new relationship will be a peaceful, warm and genuine one.

    *[This article was originally published by Morocco on the Move.]

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More

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    Mohammed bin Salman’s Shaky Legacy in a Troubled Saudi Kingdom

    Una Galani is the associate editor of Reuters’ Breakingviews division, which the news agency describes as “the world’s leading source of agenda-setting financial insight.” Last week, Breakingviews published her review of the book “Blood and Oil” by Wall Street Journal reporters Bradley Hope and Justin Scheck.

    The book tells the story of the rise to power of Saudi Crown Prince Mohammed bin Salman. It focuses on his audacious game plan for remodeling the Saudi economy. While presenting MBS, as the crown prince is commonly known, as a reformer ready to break with tradition, the authors reveal the darker side of his character and weigh the significant risks this entails for his own future and that of Saudi Arabia. 

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    Galani seems to go one step beyond the authors’ critical judgment when, in the title of her article, she refers to Mohammed bin Salman as “Saudi Arabia’s sharpest prince.” The epithet appears justified at least in the comparative sense that previous Saudi leaders had a reputation for being seriously dull and plodding. By way of contrast, “sharp” may seem appropriate as a description of MBS. Or perhaps Galani was thinking of the well-sharpened cutting edge of the bone saw that MBS allegedly provided to the hit squad that was sent to Istanbul to dismember journalist Jamal Khashoggi in October 2018.

    Galani writes that “it’s tempting to see [Mohammed bin Salman’s] ruthlessness as a broom to the kingdom’s problems, even as admirable,” but she avoids the temptation and entertains no illusions about his errors and failures. She lists the obvious ones: “a war in Yemen, the role of his close confidantes in the killing of journalist Jamal Khashoggi, the blockade of Qatar, and the effective kidnapping of Saad Hariri, who was Lebanon’s prime minister at the time.” Galani then highlights the fatal character flaw that explains those human disasters, explaining that “the prince’s inability to tolerate dissent and black-and-white view of the world may lie at the root of his multiple misadventures.”

    Here is today’s 3D definition:

    Misadventures:

    A serious and even dreadful crime committed by someone with money and power, just as the misadventure of a citizen with neither money nor power (especially if black) will be deemed a crime worthy of incarceration  

    Contextual Note

    Galani was undoubtedly being ironic when she characterized Mohammed bin Salman’s crimes and brazen assaults on people, nations, colleagues, family and journalists as “misadventures,” to say nothing of human rights advocates who have no place in Saudi society. At another point, she mentions his “adventures in power.” Her image of the crown prince is clearly that of a hyperreal antihero, not far from that of a cartoon character.

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    Galani rightly reserves her judgment of Mohammed bin Salman’s place in history, which she nevertheless predicts will be a “highly disruptive legacy.” At the same time, she points to his failure to achieve his primary non-controversial goal, when she observes that he “hasn’t secured the inward investment needed to underwrite his economic transformation plans.” The simple truth is that Saudi Arabia today finds itself in a deep crisis aggravated by the coronavirus pandemic.

    The image of MBS that emerges from Galani’s review and Hope and Schenck’s book contrasts singularly with the points made last week in an article on Fair Observer by award-winning Iranian journalist Kourosh Ziabari. Seeking to develop a contrast between Saudi successes and Iranian failures, Ziabari believes that “the future Saudi king has undoubtedly scored significant gains both domestically and internationally.”

    Ziabari doesn’t call MBS “sharp,” but he deems him “a strong social reformer.” He cites the “notable steps the crown prince has taken to socially liberalize a conservative country.” He mentions in passing but seriously minimizes the “misadventures” Galani ironically mentions. 

    To justify Mohammed bin Salman as a model to be emulated, Ziabari cites a statistic from May 2018, months before the assassination of Khashoggi. As he recounts it, “more than 90% of young people in Saudi Arabia between the ages of 18 and 24 endorse the crown prince’s leadership.” In terms of journalistic accuracy, Ziabari should have written “endorsed” in the past tense. He may be unaware that the level of “trust” in MBS has since seriously deteriorated throughout the region as a recent Pew poll shows (even if the poll did not sample Saudi Arabia, for the obvious reason that it would not have been allowed to conduct its survey in the kingdom). Recent events have undoubtedly shaken the confidence of a lot of young Saudis.

    Had Ziabari been interested in more recently observed trends, he might have noticed one expert’s assessment in May: “The erosion of the social contract between the rulers and the ruled will lead to serious problems, especially in a tribal society.” The expert in question, Colin Clarke of the Soufan Center think tank, described MBS in these terms: “He’s not the sophisticated operator that he portrays himself to be. He’s less like a businessman or politician and more like a gangster.”

    Historical Note

    Most people acknowledge that 2020 has become a watershed moment in history. The year 2019 now appears to represent an unrecoverable past and 2021 an utterly unpredictable future. This is true everywhere in the world, even in a despotic kingdom ruled with an iron hand by an authoritarian prince with the capacity to imprison or execute at will members of his own family. And yet, Kourosh Ziabari relies on testimony from what now appears to be the distant past to highlight the success of Mohammed bin Salman.

    He approvingly reports that “The New York Times has described the measures [MBS] introduced as ‘Saudi Arabia’s Arab Spring.’” He fails to point out two important facts: that the article was posted in November 2017 — nearly a year before the assassination of Jamal Khashoggi — and, more tellingly, that the author of that article was the comically unreliable, ever mistaken Thomas Friedman, a celebrity writer who still seems to believe the world is flat because US technology and the economic culture associated with it has become the universal parasite of state economies.

    To justify Mohammed bin Salman’s image as a reformist, Ziabari offers several quotes, all of which predate not just the current health and economic crisis, but also the Khashoggi affair. On the basis of those by now ancient remarks, he concludes that MBS has “introduced reforms that are meaningful and important in a troubled region riddled with conflict and the absence of democracy.”

    Skipping forward, he cites as proof of progress the recent decision of the supreme court to abolish flogging, as reported by the BBC. But he neglects to cite the damning conclusion in the same article: “But waves of arrests of every type of dissident under the king and the crown prince – including of women’s rights campaigners – undercut this claim, our reporter says.” 

    Ziabari’s real focus is on Iran, not Mohammed bin Salman. His wish for radical change in Iran makes perfect sense. But suggesting that the model MBS provides might be, as he claims, a “benchmark” would seem to be wishful thinking if not dangerous folly. As a point of comparison, it is historically accurate to call Benito Mussolini and Adolf Hitler modernizing reformers with ambitious programs, who were adored by a majority of their people. But no one today would treat them as role models.

    Concerning Iran, Ziabari is right to hope for a development that might “put an end to decades of hostility with the US and the West.” But, isn’t that exactly what had begun to take place when Barack Obama pushed through the Iran nuclear deal in 2015, which MBS opposed and US President Donald Trump canceled at the first opportunity?

    More realistically, Una Galani offers this assessment: “One positive for [MBS] is that it’s unclear how much of a difference the Khashoggi affair has really made. Investors were quick to mingle again with the prince, albeit somewhat more in private, but still with the hope of extracting funds.”

    Galani recognizes that it’s all about the decisions people with money make, not about the wise policies of political leaders. Ziabari seems to agree when he remarks that Mohammed bin Salman “has a favorable public image in the eyes of Western political and business elites.” Still, success with people who control piles of money should not turn him into a role model.

    *[In the age of Oscar Wilde and Mark Twain, another American wit, the journalist Ambrose Bierce, produced a series of satirical definitions of commonly used terms, throwing light on their hidden meanings in real discourse. Bierce eventually collected and published them as a book, The Devil’s Dictionary, in 1911. We have shamelessly appropriated his title in the interest of continuing his wholesome pedagogical effort to enlighten generations of readers of the news. Read more of The Daily Devil’s Dictionary on Fair Observer.]

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More

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    What Can the Gulf States Learn from the Belarus Crisis?

    It might come as a surprise that the Gulf states have more than a passing interest in events in Belarus. Beyond growing economic ties, the political drama provides valuable lessons for the region’s monarchies and their efforts to maintain standards of living for their citizens without compromising power and influence. The Belarus crisis also offers useful pointers for Gulf states in their dealings with Russia.

    Over the past three decades, Belarusian domestic politics has been defined by its predictability. Despite the emergence of opposition candidates around election time, President Alexander Lukashenko’s grip on power was such that there was only one outcome. Yet, as with so much of 2020, life as Belarusians know it has been turned on its head.

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    While the veracity of past elections has been called into question, a mixture of political complacency and COVID-19-related turmoil has breathed new life into Belarus’ opposition movement. Beyond disputing Lukashenko’s winning margin in July’s poll, hundreds of thousands of ordinary Belarusians have taken to the streets calling for change. Mostly born after the collapse of the Soviet Union, this generation does not regard the stability offered by Lukashenko as an asset. As they see it, state control of Belarus’ economy and society is incompatible with their aspirations.

    Lukashenko’s response to what has effectively become a matter of life and death for his regime has fluctuated between incoherency and heavy-handedness. The president’s disappearance from the public gaze at the start of the unrest, coupled with the disproportionate use of force against demonstrators, suggests that he did not seriously consider the possibility of mass protests. Continued police brutality and opposition candidate Svetlana Tikhanovskaya’s flight into exile make it difficult to use “external forces” as justification for the crackdown.

    “Family” Comes First

    Much like Belarus, the Gulf states have relatively young populations, particularly Saudi Arabia, where over two-thirds of citizens are under the age of 35. Many have benefited from access to higher education systems that have grown exponentially since the early 2000s, both in terms of state and private universities. With this in mind, the region’s political elites can use the lack of meaningful opportunities for so many Belarusians to underscore the importance of their development plans and national visions.

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    Designed to meet the specific needs of Gulf countries, these strategies nevertheless have several objectives in common. In an effort to counter faltering prices and technological obsolescence, the region is attempting to diversify its dependence on oil and gas revenues by facilitating high-knowledge-content jobs in different industrial sectors. Doing so also requires the greater incorporation of indigenous populations into national workforces at the expense of expatriate workers. In this respect, Kuwait’s plans to drastically reduce its migrant population offers a glimpse into the future shape of the Gulf’s workplaces. While never explicitly mentioned in strategic documents, the Gulf states anticipate that encouraging their own populations’ development will offset opportunities for the type of political dissent that’s currently gripping Belarus and which rocked Bahrain almost a decade ago.

    The Gulf’s rulers have no appetite for an Arab Spring 2.0, a scenario that some warn is a distinct possibility thanks to COVID-19. Accordingly, local development opportunities will continue to be encouraged during these chastened times. When it comes to wider political participation, Kuwait will remain something of an outlier for the foreseeable future.

    The Gulf states’ responses to COVID-19 also merit consideration. Once dismissed by Lukashenko as an ailment that can be treated with saunas and vodka, Belarus was among the last in Europe to enact lockdown measures. While it remains to be seen what impact ongoing protests will have on infection rates, a spike in cases could be used by Gulf states to justify their no-nonsense approaches to tackling the virus. Qatar, for example, was one of the first to completely lock down all but the most essential public services. The country’s return to normal rests on the public’s strict compliance with a four-phase reopening plan.

    Don’t Annoy Next Door

    International reaction to the political crisis in Belarus has so far been muted, with presidents Vladimir Putin of Russia and China’s Xi Jinping leading the congratulations for Lukashenko’s re-election. For its part, the European Union’s response has been cautiously led by the likes of Lithuania and Poland. Their approach reflects two important points. First, the protests are highly internalized and not about pivoting Belarus further East or West. Second, direct support for the opposition risks a Ukraine-type scenario whereby Moscow directly intervenes to safeguard its interests.

    Point two is of particular relevance to the Gulf states, whose economic ties with one of Russia’s closest allies continue to grow. Cooperation between Belarus and the United Arab Emirates is a case in point. According to government statistics, the volume of trade between both countries amounted to $121 million in 2019, up from $89.6 million the previous year. Minsk has also made overtures to Oman regarding joint manufacturing opportunities and the re-export of products to neighboring markets.

    Saudi Arabia undoubtedly has the most to lose from antagonizing Russia in its own backyard. Last April, the kingdom sold 80,000 tons of crude oil to Belarus. This purchase, first of its kind, not only reflects Minsk’s determination to lessen its reliance on Russian supplies, but also happened against the backdrop of faltering demand and an oil price war between Moscow and Riyadh. Since then, both sides have brokered a fragile peace designed in part to ensure that OPEC+ members respect industry-saving production cuts.

    Accordingly, the “softly, softly” approach currently being employed by the EU’s eastern flank provides a blueprint for how the Gulf states should continue to manage their responses to the Belarus crisis. Not only does it offer the best chance of maintaining economic relations irrespective of the final outcome, but it also keeps regional oil supplies in still uncharted waters at a time of great uncertainty in global markets. Antagonizing Russia with even the most tacit support for Belarus is, put simply, too risky a proposition.

    Belarus’ unfolding crisis is ultimately about replacing an unmovable political leader and system that have dominated the country for decades. In a region defined by its own version of long-term political stability, a similar scenario among Gulf states is unpalatable. Fortunately, the region still has resources at its disposal to prevent this from happening and protect much-needed economic victories in new markets. While always important, the Gulf’s indigenous populations are increasingly being reconfigured as the most essential features of the region’s future prosperity and stability.

    *[Fair Observer is a media partner of Gulf State Analytics.]

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More

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    The UAE and Israel: Not So Big a Deal

    The Abraham Accord is a grand title well in keeping with the Trump presidency’s taste for overstatement and misdirection. But the expectation that other Arab states would fall into line with the United Arab Emirates and quickly normalize relations with Israel has fallen well short of the mark. Jared Kushner’s shortcomings as a self-appointed diplomat extraordinaire solving one of the world’s most intractable conflicts were on full display in an interview he gave to The National after arriving in Abu Dhabi aboard El Al flight 971, the first-ever commercial flight to a Gulf state from Israel.

    The president’s son-in-law called the deal an “historic breakthrough” that augured well for peace. Already sensing, perhaps, that the expected avalanche of Arab states moving to normalize relations was not happening as anticipated he nonetheless enthused: “So, not just in the Middle East, are now countries who weren’t thinking of normalising relations with Israel, thinking of forming a relationship and doing things they wouldn’t have thought to do a couple of weeks ago.”

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    Kushner also claimed: “There’s a lot of envy in the region that the United Arab Emirates took this step and we now have access to Israeli agriculture technology, security business. The opportunity in tourism. And so a lot of people would like to follow that now.”

    Friends of Convenience

    Parsing those two statements, does Kushner really think that it was only “a couple of weeks ago” that MENA countries were thinking of their relations with Israel? And does he think that describing those who have not immediately jumped aboard as displaying “a lot of envy” is the way to get them to do so? Kushner displays arrogance, ignorance and the patronizing attitude with which the Trump White House views Arabs: easily exploitable as malleable friends of convenience and eager purchasers of weapons.

    US Secretary of State Mike Pompeo had already come away empty-handed from Bahrain and Oman, two Gulf Cooperation Council states that were expected, given the precarious shape of their finances, to follow immediately in the footsteps of the UAE. He also struck out in Sudan. The Saudis had allowed the El Al flight to cross their territory — another first — but despite Kushner meeting with Saudi Crown Prince Mohammed bin Salman on his way back from Abu Dhabi, they were not rushing to join the historic breakthrough either.

    Indeed, abandoning the Palestinians so utterly on a thin promise from Benjamin Netanyahu to suspend (note: not end) West Bank annexation is proving too distasteful for many Arab leaders to stomach, even though  some of them have been prepared privately to go along with Kushner’s concoction of a so-called deal of the century designed to give the Israelis virtually everything they want while denying the Palestinians a viable, territorially contiguous and independent state with East Jerusalem as its capital.

    Part of the deal with the Emiratis was supposed to be the delivery of F-35 fighter jets, long sought after by Mohammed bin Zayed, the Abu Dhabi crown prince, deputy supreme commander of the armed forces and de facto UAE ruler. Much to his chagrin, Israel invoked what is known as its qualitative military edge (QME). The QME is designed to ensure that whatever weaponry the US sells to Arab states, none of it will challenge Israel’s military supremacy. The Israelis have two combat-ready squadrons of F-35s.

    And while Kushner and Israel made much of the deal signifying a common front against the Iranian threat, it is a simple fact that despite sanctions, the UAE, and Dubai in particular, do a lot of business with the Islamic Republic of Iran and has done so for decades. Trump’s “maximum pressure” tactics have not altered in any significant way that hard reality.

    Big Gestures

    Amongst other big gestures, Kushner and the Israelis hope to bring Mohammed bin Zayed to Washington in September to sign the deal and to celebrate what he sees — and Trump will claim — as history in the making. With the election heading into its final weeks, it will be sold as a diplomatic triumph for the president, intended to appeal to his evangelical base, hence the overblown title. Whether the Abu Dhabi crown prince will go along with such a blatant electioneering ploy remains to be seen.

    The deal does deserve to be acknowledged as significant if only because a third Arab state, an increasingly powerful and influential one, joins Egypt and Jordan in recognizing Israel. That is a breakthrough. Where Kushner has stumbled is in trying to hype it and sell it as something other than what it is. The Emiratis and the Israelis have been doing business for many years, but it has been done sub rosa. Normalization acknowledges that situation. And at a time when COVID-19 is laying waste to the global economy, it does herald economic benefits for both countries with deals in defense, medicine, agriculture, tourism and technology being mooted.

    Mohammed bin Zayed, though smarting at the nixing of the F-35 deal, can still lay claim to gaining much-added influence and stature in Washington, a situation that is not likely to change should Joe Biden win the presidency. For Benjamin Netanyahu, the wins are less clear cut. The settler movement, already outraged at his failure to deliver on annexation by July 1, may decide that what they see as his latest and largest betrayal — the suspension of West Bank annexation — is sufficient grounds to bring him down and force another election, one that, should he lose, will make him ever more vulnerable to a court case that could lead to conviction and jail for Israel’s longest-serving prime minister.

    *[Correction: An earlier version of this article stated that Mauritania recognized Israel, whereas it froze diplomatic relations in 2009.]

    *[This article was originally published by Arab Digest.]

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More

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    The Next President Needs to Learn From Past Mistakes

    Thirteen years ago, in summer 2007, I wrote a memo for the future president of the United States. The one who would take office in 2020.

    At the time, I had no idea who would win the 2008 presidential election, much less an election in the distant future. In summer 2007, Hillary Clinton was the Democratic frontrunner, ahead of second-place Barack Obama by as much as double digits. Rudy Giuliani was on top of the polls for the Republican Party, with John McCain trailing behind him. I figured, wrongly, that it would stay that way.

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    One year later, in summer 2008, both Obama and McCain would come from behind to secure their parties’ nomination. And I would predict in a TomDispatch piece that Obama would win the election, serve two terms and leave the US in a perilous place in 2016 because of his policies of “muddling through.” Well, I got that part right.

    But in summer 2007, all I could focus on was the relative decline of the United States, as seen with “2020 hindsight.” The subprime mortgage crisis was unspooling that summer, the Bush administration was still sending more US troops to Iraq as part of its “surge” and the Chinese economy was growing by 14.2%.

    Casting my mind 13 years into the future, I tried to imagine which of these three factors — Iraq, financial crisis, China — would prove most salient in explaining the downward trajectory of US standing in the world.

    Here’s what I wrote back in 2007.

    Memo to the President 2020

    “As a member of the transition team, I’ve been asked to give a backgrounder on the ‘loss of global influence’ issue that played such a major role in the last election. I’ve submitted my study entitled End of Empire and I would encourage you to read my full analysis. I’ve been told that you might not have the time to read all three volumes. As a historian, I find it extraordinarily difficult to boil this question down to 750 words. But I will try. 

    Historians are divided into roughly three camps on the causes behind the end of the unipolar system headed by our country. The largest camp is the Iraq Syndrome group. They argue that the U.S. decision to invade Iraq in 2003 was the critical, history-changing moment. As you well know, the invasion turned into an unsuccessful 10-year occupation that sapped the U.S. economy and significantly eroded U.S. reputation in the world. More damaging, however, was the syndrome that followed the war. The unpopularity of the war made it increasingly difficult for the United States to launch military operations and virtually impossible to solicit international support. Although the Democrats tried to maintain high military budgets through 2010, they ultimately had to make significant cuts in order to salvage the economy. 

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    The second camp is generally called the China Rising group. These historians, influenced by the world-systems work of Wallerstein, locate the end of U.S. influence in shifting geopolitical power and particularly the growing influence of China. As of February 2019, the Chinese economy is now larger than ours, though we still maintain a lead in per-capita GNP. More importantly, China’s turn toward multilateralism in the early part of this century caught us by surprise. The transformation of the Shanghai Cooperation Organization (SCO) into the premier international security mechanism, with its own peacekeeping forces and development bank, undercut both NATO and traditional U.S. bilateral alliances. When the EU became a member of the SCO in 2014, the transatlantic alliance was effectively over. 

    The Iraq Syndrome and the China Rising arguments are familiar and persuasive. But I do not believe that they fully explain our fall. The third camp, to which I belong, is called the Subprime group. Although we are currently considered revisionist historians, I believe that my End of Empire books definitively establish that the financial crisis that the United States experienced in 2007 was the key element in destroying our position in the world. 

    As you might remember, the United States experienced a significant housing bubble beginning in 2001. Americans became obsessed with buying houses, and selling houses. The banks devised a way of lending money to people who ordinarily would not have enough credit to buy a house. This was called the sub-prime loan. Without going into the details — please see Chapters 2-8 in Volume One of End of Empire — I will simply remind you of the rising number of foreclosures in the summer of 2007, the bankruptcy of lenders, the failure of hedge funds, the collapse of retail, the devaluation of the dollar, and the coordinated global bank interventions that turned out to be only a stopgap measure. 

    At the time, U.S. economists predicted that the housing market would recover by 2009. That didn’t happen. The subprime crisis revealed not only the underlying fragility of the domestic U.S. economy but the global economy as well. It is a common fallacy to draw parallels between household economics and the functioning of the national economy. However, in this case, I have argued that the parallel did apply. Average Americans, with their large amounts of debt, had to give up their prized possessions, that cornerstone of the American dream, the house. So, too, did the United States, with its nearly $9 trillion national debt, have to give up its global position, its “house” so to speak. 

    Historians in the two other camps overlook this simple and rather elegant explanation. Yes, the Iraq War was a tremendous drain on U.S. resources and thus a classic case of imperial overstretch. Yes, China played the multilateral card at just the right time and thereby built an international reputation. But it was a handful of greedy mortgage lenders that served as the catalyst. The market correction that followed the subprime crisis in fact turned out to be a much larger geopolitical correction that restored a certain balance to international affairs. Finally, with 2020 hindsight — to use this year’s most popular catch phrase — we can see that Iraq and China pale in comparison to the cold, hard bottom line. As you repeatedly said on the campaign trail, quoting one of last century’s most enduring lines, ‘It’s the economy, stupid.’” 

    Fact-Checking the Memo

    Before evaluating my central argument, let’s see what I got right with the three factors. The occupation of Iraq was indeed unsuccessful in many respects, though it lasted officially for only eight years, not a full decade as I predicted. US troops returned in 2014 as part of the campaign against the Islamic State, and approximately 5,000 are still there today (though Trump has announced a reduction to 3,500 by November).

    The debacle of the Iraq War has deeply affected US military thinking. It has made it more difficult for the United States to mobilize popular support and international backing for military campaigns. But during the Obama era, the US largely shifted from “boots on the ground” to war at a distance through airstrikes and drone warfare. The military budget, as a result of economic pressures, peaked in 2010 at $849 billion and then began to fall (just as I predicted but not as significantly as I would have liked to see).

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    China has steadily strengthened its global position since 2007. The US economy remains larger than the Chinese economy, as measured by nominal GDP. But if you look at GDP by purchasing power parity, China surpassed the US in 2017. Either way, of course, China is still behind the United States in GDP per capita. Whether China on balance has become economically more powerful than the US remains controversial.

    What is not controversial, however, is China’s creation of a rival multilateralism. It decided to do this not through the Shanghai Cooperation Organization (SCO), as I predicted, but through a set of institutions that it could more easily control: the Asian Infrastructure Investment Bank (AIIB) and the New Development Bank it launched in 2014 and the various “One Belt, One Road” (OBOR) initiatives that it started in 2013. Many European countries, by the way, joined the AIIB, over the objections of the US. Those defections didn’t end the transatlantic relationship, but they certainly weakened it.

    At the moment, the US is focused on China’s nationalism and the more assertive foreign policy of Xi Jinping. But even as it clashes with certain of its neighbors — India, Vietnam — China remains more focused on building a web of strong economic and diplomatic relationships around the world. And that makes China a more powerful rival for global influence than the flexing of its muscles in its neighborhood.

    Finally, let’s take a look at the US economy. The subprime mortgage crisis of 2007 turned into a full-blown financial crisis the following year when Lehman Brothers collapsed in September 2008. Nearly 10 million Americans lost their houses to foreclosure between 2006 and 2014, and less than a third of them would buy another house. In 2008, 2.6 million Americans lost their jobs. The housing market didn’t recover by 2009. But the Obama administration stabilized the economy with a significant bailout of the banks, and the US economy would eventually recover.

    But the financial crisis, in part because of the bank bailouts, also helped shift enormous resources to the wealthy. The resentment that caused, in the US and elsewhere around the world, helped generate a wave of right-wing politics that eventually deposited Donald Trump in the White House.

    Trump and the Next President

    In 2007, I could not have predicted the ultimate political triumph of Donald Trump. In fact, up until election night 2016, I still expected him to go down to defeat. Instead, I predicted that the backlash to Obama’s tepid, middle-of-the-road politics would hit in 2020. America B, the large part of the country that got hit hard by the financial crisis and never recovered, was itching for revenge. As I wrote in June 2016:

    “As long as America B is left in the lurch by what passes for modernity, it will inevitably try to pull the entire country back to some imagined golden age of the past before all those ‘others’ hijacked the red, white, and blue. Donald Trump has hitched his presidential wagon to America B. The real nightmare, however, is likely to emerge in 2020 or thereafter, if a far more capable politician who embraces similar retrograde positions rides America B into Washington.”

    Today, America faces a much more serious economic crisis. The stock market has barely taken any notice, as it heads back to its historic highs. Nor has Jeff Bezos and his fellow billionaires suffered from all the business closures and surging unemployment (indeed, Bezos has benefited tremendously from it all). America B, already weakened by President Trump’s trade war with China, is getting hit by the COVID-19 pandemic both economically and medically.

    So, it turns out that my memo to the 2020 president is eerily prescient. The cratering economy is shaping up to be the downfall of Trump. Let’s assume that the Democrats win in November. If they want to save the country — and that is the goal, not restoring America to its unipolar position — they’d better not repeat the mistakes of the Obama era. The cold, hard bottom line is that stabilizing the economy is not sufficient, particularly if it means locking in the economic inequality of US society, preserving the unsustainable nature of US manufacturing and agriculture, and relying on financial services to pull the economy out of its current hole.

    The next president has to deal with all the debacles of the Trump era — the failure to contain the pandemic, the miscalculated confrontations with China, the self-defeating hostility to internationalism. But the next president must also ensure that Trumpism doesn’t return in a politically more palatable form. To do that will require the kind of economic transformation that Obama didn’t have the political nerve (or the congressional backing) to enact.

    To win in November, the Democrats have to remember that simple electoral catchphrase of the 1990s. To govern successfully and remain in charge in Washington, however, they’d better repeat to themselves an updated mantra: It’s the sustainable economy, stupid.

    *[This article was originally published by FPIF.]

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More

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    Israel and the UAE: The Myth of Normalizing Abnormalities

    As the El Al flight 971 touched down in Abu Dhabi, a number of people looking at the aircraft wondered about the significance of the message it carried. The number for what both sides claimed to be Israel’s first-ever commercial flight to the UAE was the dialing code for the Emirates, with the return flight to be 972 — Israel’s dialing code. More significantly, the aircraft’s name, clearly written on the cheek of its front fuselage, Kiryat Gat, is that of a Palestinian village, Iraq al-Manshiyya, whose population was forcibly removed by the Israeli Defense Forces in 1948 and ultimately annexed to become the Israeli city of Kiryat Gat.

    The symbolism was unmistakable. UAE’s military strongman, Crown Prince Mohammed bin Zayed, had earlier tweeted that his decision to “normalize” relations with Israel was part of a deal that will stop the annexation of the West Bank. Immediately, Israeli Prime Minister Benjamin Netanyahu responded by contradicting Bin Zayed, stating that his decision was only a temporary suspension, requested by President Donald Trump, an indication that even the suspension itself was not influenced by Bin Zayed.

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    The deal with Bin Zayed, Netanyahu affirmed, was “peace for peace.” Nothing more. The aircraft’s name was a confirmation that even as the flight carried the Arabic, English and Hebrew words for peace, it was not intended to revoke Israel’s annexation program. Ultimately, like Kiryat Gat before, the West Bank will also be annexed.

    How Normal Is Normal?

    It is the sovereign right of every country to define its relations with any other party. What Bin Zayed has done is revoke the promises made to the Palestinians by the UAE and other Arab nations, including the current undertaking, first declared in the Arab summit conference in Beirut in 2002 and reaffirmed as recently as 2017. Known as the Arab Peace Initiative, it offered normalization, but only if certain conditions were met. The UAE is a signatory to the original and subsequent declarations, including the 2017 document.

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    This and similar earlier declarations over the years by Arab governments had prevented Palestinians from seeking their own methods for liberating their lands. Negotiations, mainly controlled by Arab governments guided by their own political and economic agendas, had monopolized the Palestinian struggle for the past seven decades. In the process, Israel had become more powerful, imposing an increasing fait accompli by creating more settlements, while Palestinians still remain scattered in refugee camps, generation after generation, in hope that Arab governments will ultimately help them regain their rights. With Mohammed bin Zayed deciding to normalize relations with Tel Aviv, the question that springs to mind is how normal can relations be when one party to that normalization refuses to abide by normal behavior and in fact continues to evict, imprison, confiscate land, bulldoze houses and create more forced realities on the ground that deny the Palestinians some of the most basic human rights?

    Under what definition can a relationship between Israel and the UAE be termed “normal,” especially given Abu Dhabi’s repeated commitments to the Palestinians under the Arab League Charter and Arab summit conferences? By this normalization, Bin Zayed has unconditionally opened to Israel doors that were promised only as part of a comprehensive settlement for the Palestinians. This is not normalization. This is a sellout and betrayal of Palestinians who were denied — through Arab compromises and declarations — to seek their own route and method to a solution.

    The UAE’s abrogation of its commitments is not the first one we see. The US has abrogated its commitments under several international agreements. And the Palestinians themselves have been on the receiving end of numerous Israeli violations of their treaty commitments toward Palestinians, including many UN resolutions that obligate Israel, as a UN member, to obey. But the UAE used a pretext that the Palestinians find insulting — the claim that this normalization is part of a deal that will stop annexation of the West Bank. This claim is not only a foolhardy lie, as Netanyahu’s immediate denial shows, but also demonstrates political immaturity and lack of understanding about the 72-year Palestinian struggle.

    The Palestinian fight has never been about stopping or suspending Israel’s West Bank annexation but about the entire history of Palestinian rights that are being systematically eradicated while Arab governments continue to hijack their cause. If indeed Bin Zayed is correct that such an understanding exists, then Netanyahu’s turnaround will probably be just the first, but certainly not the last, that the UAE will experience in its dealings with Israel. The well-known Palestinian politician, Dr. Mustafa Barghouti, told RT: “The UAE will experience what we have seen many times over the years. Israel doesn’t respect any treaties, any covenants, any promises it makes.”

    Of Dying and Forgetting

    Referring to Palestinians in the diaspora, Ben Gurion, Israel’s first prime minister, had said, “The old will die. The young will forget.” More than 70 years after the creation of the state of Israel and the forced eviction of Palestinians, many of them hold the keys to their homes which are passed over to their children. Every year as Israel celebrates another anniversary of its creation, Palestinians mourn another anniversary of the Nakba — the Catastrophe — that descended upon them. The old have died, and the young refuse to forget.

    Khalid al-Sheikh Ali, a Palestinian living under Israeli occupation in Al Shaafath refugee camp, told Al Jazeera: “We live here in prison. We live in a camp while we have a plot of land inside Palestine — it is empty. You want me to be an intellectual human being, a well-informed human being, a non-violent human being and so on. But I am not living like a human being here. You go out, you see the army, the overrunning drains, the piling garbage, the humidity that is eating into us and our dwellings, the dirty drinking water. The most painful thing we suffer, everyday, is to try to go outside the barriers.”

    This misery is being inflicted upon Palestinians to force them to abandon their homeland, throw away their keys, forget and escape. Instead, they endure, passing the barbed-wire barriers that separate them from their homes the keys to which they still hold on to, sure that they will return. Indeed, given the never-ending misery Palestinians inside and outside Palestine suffer, it is impossible to imagine Ben Gurion or any of his successors ever realizing their dream. Enduring pain has its own way of sustaining memories.

    In an act that again demonstrated the inability of Arab rulers to resolve Arab problems, Iran and Turkey — repeatedly accused of interfering in Arab affairs — have been vindicated by Bin Zayed. Arabs, especially Palestinians, indeed need to look to regional solutions instead of Arab solutions. Clearly, Arab rulers have decided that self-preservation takes precedence over national preservation. The deal with Israel, supported by the US, aims at enabling Netanyahu and Trump to win elections with the quid pro quo of helping Mohammed bin Zayed push back the growing internal opposition to his rule. The security agenda in this deal unmistakably stands out by the deafening silence of the dealmakers on the subject. Going forward, this deal will result in more draconian methods to silence the growing opposition. 

    Following the arrival of flight Kiryat Gat in the UAE, two explosions erupted almost simultaneously, one in Abu Dhabi, on a road leading to the airport, and another in Dubai. The government claimed gas leaks to be the cause for both. The coincidence and the timing are an uncanny precedence, in a country where such incidents are unheard of.

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More

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    No Credible Alternative to the US Grand Strategy in Europe

    Never in the last 75 years has the US-led liberal order in Europe been intellectually more contested. Some in the United States, especially among realist and neorealist scholars, disapprove of what is commonly referred to as the West-centric institutional and rules-based order. They generally raise three interrelated, skeptical and somewhat pessimistic assumptions for growing isolationist sentiments in the US.

    First, there is are good reasons to think that the unipolar moment is coming to an end. As America’s primacy gradually declines with the rise of China, its grand strategy of liberal hegemony should also dissipate, including its institutional leg of collective security in Europe to which the US has given too much and received too little in return. Second, the Euro-Atlantic liberal order has generated more problems than solutions in the post-Cold War period. NATO expansion beyond the Iron Curtain poisoned relations with Russia and provoked unnecessary tensions in Georgia and Ukraine. The United States, so the argument goes, should gradually reduce its military presence in Europe and turn “NATO over to the Europeans.”

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    Third, Russia, in reality, is not as big a peril to European security as it is generally portrayed and perceived in the US and across Europe, for that matter. Moscow is driven more by defensive aims (or so it claims), so balancing between Russia and the European states on one hand and a restrained US foreign policy on the other is a better way forward for everyone. If we are to assume this logic is correct, then those who still prefer the liberal Euro-Atlantic unipolarity are wrong. Are they? 

    No Competitors Yet

    On first assumption, the United States is still by all major accounts the top dog on the world stage. It is wealthier, more powerful and more influential relative to any potential competitor in the international system despite an ongoing debate, additionally fueled by global disruptive events such as COVID-19. Its geography, an often-cited structural advantage, will persist despite the pandemic. While the US is flanked by two enormous oceans and surrounded by much weaker and friendly states, Russia and China, on the other hand, face balancing behavior from powerful regional rivals coupled with having ongoing territorial disputes.

    Second, Washington’s annual defense spending is at least twice as much as Moscow’s and Beijing’s — combined. America’s preponderance of power and strategic advance is far more superior considering increased military spending of its formal allies in the European and Indo-Pacific theaters. Out of 15 countries with the largest military spending, 11 are security partners of the United States. Russia and China neither have formal allies among the top 15, nor do any of their allies believe that an attack on one is an attack against all.

    Third, the US still boasts the world’s largest economy that can afford to fund the most powerful military in the world despite a disproportionately hard economic downturn triggered by the pandemic. Its global GDP share is still larger than the global GDP share of China and Russia combined, even by factoring in GDP reductions in the US this July. Moreover, the share of the global economic output by NATO members reaches more than 40% in world proportions and roughly 50% if other democratic allies in the Pacific theater are incorporated as well.

    America’s geopolitical leverage is even greater considering three additional factors. The primacy of the US dollar has not waned in 2020 just as it had not waned during 2008 financial crisis. The US also rests on soft-power capabilities. The top spots in global rankings, such as the Soft Power 30, are held by democracies — the United States was in fifth position in 2019. Russia and China are ranked far lower. And third, its population growth rate has also been relatively high.

    On the other hand, the Russian and Chinese workforce is aging, judging by all available measures. Given all these factors, it seems, as Gregory Mitrovich suggests, “wholly premature, short of a devastating major event, to claim that we are witnessing the end of America’s global dominance.” Equally premature is any call for American withdrawal from Europe, where the US is not only unchallenged but is largely accepted as benevolent.

    Whole and Free

    On second assumption, from a realist or neorealist perspective, a more powerful country does not necessarily mean a more attractive choice. What makes great powers more appealing, especially in the European theater, rests on an enduring combination of other capabilities grounded in less tangible resources. In other words, dominant powers are to be feared, but no liberal European state in the post-World War II era has ever felt a military threat from American hegemony — as Gilford John Ikenberry put it, “reluctant, open and highly institutionalized — or, in a word, liberal.” Some may correctly argue this was an act of deterrence against the common threat of the Soviet bloc in the bipolar system.

    However, when the unipolar era began, America’s liberal primacy has continued to offer system-wide benefits both within Europe’s old and new democracies with lasting and far-reaching consequences for their peace and stability. Its benevolent leadership, for example, stood shoulder to shoulder with the Germans seeking freedom and reunification despite some opposition from Paris and London. Washington also laid out its vision for Europe’s new security order and sought to keep a reunited Germany in NATO. Without such leadership, France and the United Kingdom would have been more fearful of Germany’s unilateral plans, let alone weaker neighbors that would find new realities difficult to balance against. As one senior European diplomat put it, “We can agree on U.S. leadership, but not on one of our own.”

    American leadership also persuaded Ukraine — also to a great benefit of Russia’s vital interests — to relinquish possession of nuclear arms it had inherited after the dissolution of the USSR. Without such leadership, Ukraine would probably have had second thoughts. As Ukraine’s then-Defense Minister Konstantin Morozov put it, plainly, “Ukraine would have posed no threat to anyone if, hypothetically speaking, it had possessed tactical nuclear weapons.” Had American leadership missed this opportunity, other states in the region would have also regarded their respective security distinctly from each other. Germany, for example, would have also been more tempted to contemplate nuclear deterrence at some point.

    To zoom out a little wider, American liberal hegemony in general, and the NATO alliance with its institutional and rules-based order in particular, attracted central, eastern and southeastern European countries — former illiberal states — to choose a common prescription for perennial peace and prosperity in the 1990s, 2000s and 2010s. New democracies from beyond the Iron Curtain have managed to transform themselves: Their economies have largely prospered, and their political systems liberalized despite recent authoritarian tendencies in Hungary and Poland. While some variation does exist, almost all new NATO members remain “free” according to the 2020 Freedom House scores. The only exceptions are Hungary, Montenegro and North Macedonia, which are marked as “partially free.”

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    NATO enlargement has been a net positive on security grounds as well. Europe has largely enjoyed peace and stability for the past 30 years. New allies offered themselves as foundational military partners and have willingly chosen to share the security burden to fight alongside the US. This mutual attraction within the Euro-Atlantic alliance has been so overwhelming in historical proportions that structural realists struggle to explain its extended lifespan and recent vitality. This includes the two latest enlargement rounds in southeastern Europe that happened on President Donald Trump’s watch, not sufficient but certainly greater share of collective defense burdens by European member states, regular military deployments and common military exercises all over the continent, as well as effective multilateral aid using NATO capacities during the COVID-19 crisis. This suggests, contrary to many pessimistic views, that American liberal hegemony in Europe is far from being in decline.  

    One can only imagine the different scenarios had the US decided to pursue a more restrained foreign policy in the region. Not only supporters but also critics of NATO enlargement also offered the possibility that Euro-Atlantic adversaries, namely Russia, would have been emboldened to expand the Kremlin’s sphere of influence beyond the current lines had any geopolitical vacuum existed in central and eastern Europe. J. J. Mearsheimer, for example, argues in his book that great powers “are always searching for opportunities to gain power over their rivals, with hegemony as their final goal.” Stephen M. Walt also conceded that relations with Moscow, provided Russia regained some of its former strength, “might still have worsened.”

    Counterfactuals such as these can hardly be verified. However, Russia’s brutal treatment of Georgia, Moldova and Ukraine made it very clear what actually happens with states in geopolitical gray areas. Belarus, which falls in Russia’s sphere of influence, is not happy either.

    Net Positive

    American liberal hegemony has also been a net positive when it comes to security in the Balkans — if measured by the progress on where Balkan states started from and not their distance from a liberal Western world. US leadership, for example, contained an outbreak of nationalism in the region after the EU demonstrated neither effectiveness nor capacity of preemption in the early 1990s. The Clinton administration successfully brokered the Dayton Peace Agreement in a positive-sum game whereby Republika Srpska received formal recognition as a political entity within the sovereign state of Bosnia and Herzegovina. In the post-Dayton phase, the liberal-led European order, primarily NATO and the EU, patiently put in place new structures and policies so the country can move forward with the peace process.

    Notwithstanding NATO’s intervention in Serbia in 1999 and CIA interference in 2000, the US and its allies also used an array of softer policy instruments to promote successful democratic change in Serbia. The International Republican Institute, the National Democratic Institute and former activists from new NATO members advised and supported independent civil organizations and opposition parties in Serbia to replace the “Butcher of the Balkans” Slobodan Milosevic in a democratic election. In recent years, Washington and Brussels also played an instrumental role in brokering the Prespa Agreement between Northern Macedonia and Greece. A bilateral deal between two bordering countries in 2018 put an end to the long-standing name dispute on the one hand and unlocked the Euro-Atlantic membership perspective for Northern Macedonia on the other.

    Some of these hard-won historical achievements could have not been possible had the US decided to pursue a more restrained foreign policy. In all likelihood, weaker American leadership in Europe in the post-Cold War era would have created more problems, making European states less liberal and more domestically nationalist, rendering the European periphery full of prolonged proxy wars and skirmishes.

    Russia would have also had more space to moderate such conflicts with its power-projection capabilities in the region. Likewise, absent integration into Western institutions, Europe’s soft underbelly would have exposed itself to sudden geopolitical stress bringing different local and regional powers into direct collision.

    In Russia’s Image

    On third assumption, Russian President Vladimir Putin said in his speech at the Munich security conference in 2007 that “the unipolar model is not only unacceptable but also impossible in today’s world.” Thirteen years later, speaking at the Raisina Dialogue in New Delhi, Russian Foreign Minister Sergey Lavrov endorsed a multipolar concert with new centers of influence at the international level and common geopolitical space from Lisbon to Jakarta at the wider regional level. Lavrov also stated that “Our common European home needs serious reconstruction if we want all of its residents to live in prosperity.”

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    On a mission to correct “the greatest geopolitical catastrophe of the century” — the collapse of the Soviet Union — the Kremlin is practically interested in replacing an existing liberal order, primarily the one extended beyond the Iron Curtain, with favorable and less democratic European regimes that fit Russia’s image. Second, it is also interested in replacing the hierarchic order in Europe with some unknown and certainly more anarchic multipolar structure. However, it is not surprising that the Kremlin’s foreign policy attracted limited support from the former Soviet republics and other central and eastern European countries. Most of them continue to fear Russia. Unlike their attraction to the US, their anxiety toward Moscow can be explained from their shared national memory of what can happen under the rule of an illiberal hegemon — or a potential hegemon that is, by the logic of Walt’s balance of threat theory, too close, too powerful and too offensive.

    So far, all attempts from the Kremlin to impose its own illiberal and structural order in Europe, largely constrained by its limits of hard and soft power, have only made young democracies and vulnerable countries scattered around the European periphery more divided and, eventually, more anarchic. In August 2008, Russia’s military intervention in Georgia restored the Kremlin’s geopolitical relevance in the European neighborhood. However, Georgia was divided between Russian-backed self-proclaimed republics of South Ossetia and Abkhazia on one hand and the rest of Georgia on the other.

    This small triumph encouraged Russia to bully again by lopping off Crimea from neighboring Ukraine in 2014. Ukraine was then equally forcefully divided along similar geostrategic and domestic lines between Kyiv’s Euro-Atlantic aspirations and secessionist tendencies by a pro-Russian minority in the east. Some have argued that Moscow’s incursions into Georgia and Ukraine were conducted preemptively and in reaction to perceived NATO enlargement and were therefore defensive in nature. Mearsheimer famously rejected prevailing wisdom in the West that this problem is largely the result of Russian aggression.

    Stephen F. Cohen also justified Russia’s interest in restoring traditional zones of national security on its borders, including Ukraine. However, Russia marched into Syria, dropping bunker-buster bombs on Aleppo, supported mercenaries in Libya and became increasingly offensive in the Balkans — not Russia’s “near abroad” but deep inside NATO and the EU’s eastern borders. The Kremlin has reportedly fanned the flames of internal crisis in Montenegro in 2015-16 and Northern Macedonia in 2017-18. Milorad Dodik, a pro-Russian Serb leader in Bosnia and Herzegovina called his own country “an impossible state.” In February this year, he bluntly declared: “Goodbye B&H, welcome RSexit.”

    Serbia and Russia carried out a joint Slavic Shield military exercise in 2019, including Russia’s first use of its advanced S-400 missile defense system abroad. In the meantime, Serbia also received Russian donations of MIG-29 fighter jets, T-72 tanks, BRDM-2MS armored vehicles and purchased, at Putin’s suggestion, the Pantsir S-1 air defense system in 2020. Russia’s appetite, therefore, goes well beyond its immediate neighborhood. It openly challenges the established liberal order in Europe by taking advantage of tensions between Serbia and Kosovo, Serbia and Montenegro, and different ethnicities within North Macedonia, Bosnia and Herzegovina and so on.

    This revisionist path doesn’t lead to security in Europe but rather to new skirmishes and security dilemmas in the Balkans, a region divided between rival power dyads, which is at worst all too reminiscent of the 1900s, when unintended consequences of nationalist fervor led to the murder of millions.

    Bottom Line

    Contrary to claims that the US strategy of liberal hegemony is generally a source of endless trouble, supported by real failures and terrible misadventures of social engineering in Afghanistan, Iraq or Libya, its mission in Europe was historically successful and mutually beneficial both before and after the Cold War. American leadership in Europe has been a net-positive force, essentially without US military casualties, mutually acceptable and institutional — all missing in other troubled areas. It has secured undisrupted peace dividends among major European powers, provided various public goods to newcomers from beyond the Iron Curtain, and eventually brought peace to the Balkans after the international community failed to prevent genocide in Srebrenica.

    The United States, which is still the preeminent global power, does not need to reassess this grand strategy in Europe or quit NATO, an alliance encompassing nearly a billion people and half the world’s military and economic might. Down that road lie many other long-lasting win-win outcomes as well as serious challenges that are better faced collectively.

    An alternative order that is promoted by some American realist and neorealist pundits on one side and revisionist challengers in the Kremlin on the other might have different motivations, means and ends. However, their common preference for dissolving NATO or having different poles in the European theater brings, by logic of structural realism, crosscutting relationships among different axes of conflict. That gloomy trajectory, if it ever happens, would make a perfect setting for a 21st-century Gavrilo Princip to fire his bullet again and trigger a chain of regrettable events here, there and everywhere.

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More

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    Can Colombia’s Former President Get a Fair Trial?

    On Tuesday, August 4, via a short and unassuming tweet, the former president of Colombia, Alvaro Uribe Velez, informed the world that he was placed under house arrest. The news sent shockwaves throughout South America’s political circles and sparked protests across Colombia. Uribe’s house arrest order, issued by the supreme court of justice as part of a case investigating witness tampering and false testimony, is surprising and problematic for several reasons.

    For starters, it is the first time that a former president has been deprived of personal liberty in Colombia, a country where more than one recent head of state has questionable records, such as campaign financing by major drug cartels. Secondly, since March, Colombia has been in lockdown due to the COVID-19 pandemic, which means that individuals are for the most part already confined within their residences. Moreover, as former president and senator, Uribe doesn’t go anywhere in Colombia without a substantial security apparatus.

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    Thirdly, the former president is well known both nationally and internationally, which translates to extremely low flight risk and one that could have been addressed by merely confiscating his passport. Adding to the controversy of the supreme court’s order is the fact that, as recently as last year, individuals who pose actual security and flight risks, such as Revolutionary Armed Forces of Colombia (FARC) leaders Ivan Marquez and Jesus Santrich, were not preemptively detained despite probable cause and ended up fleeing Colombia to set up a dissident guerrilla movement.

    Lastly, Uribe should be presumed innocent until proven guilty, like any other citizen, as outlined in Article 29 of Colombia’s Constitution. However, it seems that given his high profile and political history, the supreme court is treating the former president differently. This is problematic for the rule of law in Colombia.

    Irregularities in the Process

    Under Uribe’s presidency, Colombia’s security was largely restored, narco-terrorism was fought head-on by the national government, numerous FARC leaders were captured, over a thousand drug traffickers were extradited to the United States, and large paramilitary groups demobilized under the auspices of the Justice and Peace Law. Uribe’s work and legacy, much of which was implemented in close coordination with the United States at the time, is also recognized internationally. One of the global voices against Colombia’s former president’s house arrest is US Vice President Mike Pence, who, on August 14, tweeted in solidarity, asking that Uribe be allowed to “defend himself as a free man.”

    Embed from Getty Images

    Given his former status as senator, Uribe’s case, which happens to be against left-wing Senator Ivan Cepeda, had Colombia’s supreme court as its original jurisdiction, in accordance with Article 235 of the constitution. Specifically, this case began in 2012 when Uribe filed a legal complaint against Cepeda accusing him of paying bribes to imprisoned criminals in exchange for testimony that would incriminate the former president and his brother for paramilitary activities during Uribe’s time as mayor of Medellin and governor of Antioquia. In 2018, an election year in Colombia, the supreme court flipped the accusation and charged Uribe with allegedly paying witnesses to testify in his favor and against Cepeda.

    Since its inception, the process against Uribe has been overly politicized and marred by irregularities, including the admission of illegally obtained wiretap recordings as evidence in the case. Over 20,000 illegal interceptions were made to Uribe’s cellphone, under a judicial order that was supposed to tap Congressmember Nilton Cordoba, not the former president. Making matters worse, as soon as the analyst from Colombia’s attorney general’s office in charge of the wiretap realized that the cellphone belonged to Uribe and not Cordoba, he notified his superiors. However, the illegal interceptions continued for nearly a month and were eventually submitted to the supreme court as evidence.

    There is a history of animosity between the former president and members of Colombia’s supreme court of justice due to alleged wiretapping of the court’s premises as well as judges’ phones by the security services during Uribe’s presidency. Compounded by the evident lack of procedural guarantees for a fair trial, Uribe resigned his seat as senator shortly after he was placed under house arrest and triggered a jurisdictional change. His case has now been passed on to Colombia’s attorney general and a lower court, in which Uribe expects a less politicized and more fair trial.

    The Need for Judicial Reform

    Although Uribe’s house arrest remains in force until a new judge takes over the case and decides whether to revoke or maintain the preliminary detention, public outcry has been heard throughout the country. The most salient example of an institutional double standard is the recent case of FARC commanders like El Paisa, who were never placed under house arrest pending trial as part of the 2016 peace process and then escaped to take up arms again. Observing this precedent, the judicial measure against Uribe is disproportionate, particularly since the former president has attended all of his court hearings as scheduled and been responsive to judicial inquiries.

    Finally, the controversy around the judiciary’s handling of Uribe’s case has rekindled the calls for constitutional reform in Colombia. Reforming the country’s complex judicial branch seems for many to be the only way to rescue the institutional mechanisms, which are currently failing within the Colombian justice system. In this time of uncertainty, the alternative of carrying out judicial reform would give a new direction to the presidency of Ivan Duque and would provide a unique opportunity for Colombia to emerge institutionally strengthened.

    One of the main issues with Colombia’s judicial system is that the country has not one but three top courts: the supreme court of justice, the council of state and the constitutional court. Another problem lies with the fact that the members of both the supreme court and the council of state select their membership themselves, without much executive or legislative oversight, albeit in accordance with Article 231 of the constitution. Having such a closed and endogamous nature has led to judicial malpractice and corruption in Colombia’s judiciary, such as the infamous “Cartel of Robes” scandal that saw supreme court judges abuse their independence to derail cases and stifle investigations by the attorney general in exchange for hefty bribes.

    While Alvaro Uribe’s case is likely to drag on for months, there is a higher likelihood that the process will have a lower profile and a more balanced outcome now that it has left the supreme court’s docket. Nevertheless, the judicial branch will now be increasingly seen as a politicized institution, and there are important voices in the country calling for both a consolidated supreme judiciary and a more transparent selection process for its members. Already in a bind due to the pandemic and its socioeconomic fallout, Colombia’s government must now address growing calls for constitutional reform in an increasingly polarized political climate.

    The views expressed in this article are the author’s own and do not necessarily reflect Fair Observer’s editorial policy. More