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International Commercial Courts and the Interplay Between Realism and Institutionalism: A Look at China and Singapore

By: Lance Ang

The following is an edited version of a paper presented by the author on November 14, 2019, at a conference titled “Dispute Settlement in the Belt and Road Initiative (BRI)” hosted in Singapore by the Faculty of Law, National University of Singapore and organized by the EW Barker Centre for Law & Business. The author wishes to thank Ewan Smith and Caroline Alix Lasthaus for their valuable comments.

Introduction 

International commercial courts represent the next frontier in international economic law and relations, with the rapid diffusion of such courts in several jurisdictions over the last decade. Most recently, the Singapore International Commercial Court (“SICC”) was established in 2015, followed by the China International Commercial Court (“CICC”) in 2018 as part of China’s ambitious Belt and Road Initiative (“BRI”). From the perspective of enhancing international dispute settlement and facilitating cross-border trade and investment, one may ask whether the international commercial courts are a realist or institutionalist response to international economic relations. Further, where are they situated in the dispute resolution framework of international economic law and governance? This Post will explore the differences in the constitution and structure of the CICC and the SICC and analyze how they reflect the interplay between realism and institutionalism in transboundary commercial dispute settlement. This Post will also consider the broader implications for the international legitimacy and credibility of the CICC in light of China’s BRI.

“International” Commercial Courts and International Relations

International commercial courts reflect the conflicting interplay between realism and institutionalism in the forum state’s transboundary economic relations. As international economic law and relations are historically built on a realist foundation centered on the traditional Westphalian concept of sovereignty, states have sought to cannibalize and extend their market share of trade and investment flows in what is perceived to be a zero-sum game. A corollary of this framework is the decentralized manner by which international commercial disputes between private actors have been largely resolved by domestic state courts with reference to the respective forum’s conflict of law rules or alternatively by commercial arbitration.

At the same time, the increasing integration of markets and regionalism has undercut the Westphalian system and fostered competition and cooperation amongst legal systems in the setting of “global governance” standards.[1] From an institutionalist perspective, the iterated game of economic interactions amongst states and private actors have fostered the need to adhere to, as Anne-Marie Slaughter puts it, “a set of rules, norms, practices and decision-making procedures that shape expectations.” This is particularly so in light of the commercial uncertainty arising from the rising volume of cross-border transactions, which trigger the regulatory interests of more than one state and catalyze jurisdictional conflicts amongst states. Particularly at a time when corporations increasingly rival states in economic power, dispute settlement under the international framework can no longer be seen to be the exclusive domain of states and international organizations. This globalization of the marketplace has generated a need for the “global governance” of transboundary private commercial dispute settlement between commercial parties in accordance with the institutionalist tradition in international relations. This is best exemplified by the conclusion of the Convention on the Recognition and Enforcement of Foreign Judgments in Civil or Commercial Matters and Hague Convention on Choice of Court Agreements in 2019 and 2005 respectively, which aim to promote international trade and investment by providing greater certainty for commercial parties involved in international litigation and encouraging judicial cooperation through uniform rules on jurisdictional agreements and the enforcement of foreign judgments.

At the same time, in the absence of an international treaty establishing a genuinely “international” (or supranational) commercial court in the truest sense of the word,[2] international (or what may be more appropriately termed “transnational”) commercial courts (“ICCs”) have been set up by individual states to fill in the void. Being “particularly attuned to the needs and realities of international commerce”, as the Singapore Chief Justice Sundaresh Menon has noted, ICCs purport to administer rules and decision-making procedures to mitigate the effects of economic anarchy in an otherwise realist framework. In theory, depending on how it is constituted, such an “international” or “transnational” dispute resolution framework can serve to overcome the transaction costs that undermine commercial cooperation between corporations across borders. Depending on the extent of their international capabilities, they potentially mitigate the transaction and litigation risks inherent in any cross-border commercial transaction,[3] in respect of their capacity to adjudicate disputes on the basis of the appropriate governing law by way of international jurists as a neutral preferred third-party forum in accordance with the parties’ expectations. This mitigates commercial uncertainty and contributes to the efficient supply of goods, services, and capital across borders. In this sense, ICCs are akin to the institutionalist school of thought in international relations insofar as they serve (or purportedly serve) to facilitate the governance of cross-border private transactional relations between state nationals and to indirectly enhance trade, investment, and welfare gains between states. As a rational economic actor, however, what is the forum state’s interest in assuming jurisdiction for disputes to which it would otherwise have little connection?

Strategic Objectives Of The China International Commercial Court

Observers have noted that the China International Commercial Court serves to safeguard local industries from legal risks by foreign competitors, and at the same time encourage trade and investment flows across its borders as part of the BRI’s objectives. These twin realist and institutionalist aims have filtered into the design and constitution of the CICC itself, which may be viewed in the context of a rising China as an increasingly assertive economic actor on the world stage. One may argue that the CICC, along with the BRI, is China’s institutionalist contribution to “global governance” by facilitating inclusive cooperation between public and private actors in the areas of policy coordination, facility connectivity, trade and investment, financial integration, and people-to-people bonds, which are the official objectives of the BRI. In 2015, the Supreme People’s Court of China (“SPC”) issued an opinion calling upon Chinese courts to improve their adjudicatory functions under the BRI; in particular, it committed the adjudication of international commercial disputes to the principle of “equal protection of the lawful rights and interests of Chinese and foreign parties.” On this basis, the CICC may thus be viewed as a Chinese institutional investment in view of its objectives of increasing regionalism in East Asia and Central Asia, and promoting interregional cooperation and coordination, both of which are integrated into the BRI.

At the same time, China – as an important economic player and exporter of capital – faces an increasing risk of international disputes and conflicts in the near future, in light of the BRI (and its discontents) and its experience with the U.S.-China trade war. Notably, China ranked second in foreign direct investment outflow in 2018 and needs to safeguard its economic investments and assets overseas. Consequently, the CICC has a strategic role for China in safeguarding the interests of domestic firms, particularly its SOEs, and relocating “the locus of China-related (and Belt & Road) dispute resolution to China.” As relatively new entrants to the international commercial litigation system, Chinese companies fear being placed in a disadvantageous position particularly as overseas investors have previously avoided submitting commercial disputes with Chinese firms to the jurisdiction of Chinese courts, and have instead relied on litigation or arbitration outside China. Short of an explicit policy pronouncement, the CICC, therefore, may be inferred to be part of the forum state’s initiative to underwrite the transaction risks of the large numbers of Chinese firms actively participating in BRI trade and investment projects, under which it can design rules and procedures suited for Chinese interests. In short, the CICC is an insurance policy to mitigate the legal risks for Chinese businesses arising from the BRI and to enhance their bargaining power in the litigation of disputes.

Comparison with the Singapore International Commercial Court

One may juxtapose the CICC with its Asian counterpart, the SICC, which was set up three years earlier in 2015 and served as a model for the CICC. As compared with the relatively opaque objectives of the CICC, the SICC was set up for the clear purpose of positioning Singapore as a center for commercial dispute resolution and as a reputable neutral forum that could serve as an alternative to international arbitration, in view of the surge in trade and investment in Asia. As a small trading state, Singapore has aimed to position itself as both a strident defender of the international rule of law and a beneficiary of the international dispute settlement process. Notably, while both China and Singapore are highly dependent on trade and investment, given the relative disparity in size between both economies, Singapore is much more vulnerable to protectionist measures and is highly dependent on the inflow and outflow of goods and services. Singapore, in fact, imports more services than it exports and is ranked as the most open and competitive economy in the world. The institutional design of the SICC itself reflects the open characteristics of Singapore’s economy and outlook.

Jurisdiction

A few observations may be made about the CICC’s jurisdiction which is as yet not entirely clear. Its jurisdictional ambit stems from a judicial interpretation issued by the SPC and is hence technically subject to the overarching civil procedural rules under the Chinese Civil Procedure Law. Under Article 2 of the Provisions of the Supreme People’s Court on Several Issues Concerning the Establishment of the International Commercial Courts (CICC Provisions), the CICC has jurisdiction over five types of cases:

  • First instance international commercial cases in which the parties have chosen the jurisdiction of the SPC according to Article 34 of the Civil Procedure Law, with an amount in dispute of at least 300,000,000 Chinese yuan;
  • First instance international commercial cases which are subject to the jurisdiction of the higher people’s courts who nonetheless determine that the cases should be tried by the SPC, for which permission has been obtained;
  • First instance international commercial cases that have a nationwide significant impact;
  • Cases involving applications for preservation measures in arbitration, for setting aside or enforcement of international commercial arbitration awards according to Article 14 of these Provisions;
  • Other international commercial cases that the SPC considers appropriate to be tried by the CICC.

On a plain reading, these provisions reflect forum centricity by largely requiring cases to have an actual connection with China, notwithstanding the broad definition of an “international commercial case” under Article 3 of the CICC Provisions.[4] With respect to Article 2(1), notwithstanding a consensual agreement between the parties, the CICC is only seized of jurisdiction if Article 34 of the Civil Procedure Law is complied with. The latter provision requires the court chosen by the parties to have a connection with the dispute depending on “where the defendant is domiciled, where the contract is performed, where the contract is signed, where the plaintiff is domiciled or where the subject matter is located, etc.” Similarly, with respect to Article 2(2), the wording appears to presuppose that the high people’s court’s jurisdiction at the provincial level must be seized in the first instance. Hence, the CICC’s jurisdiction appears to be subject to the Civil Procedure Law, under which, in cases where a foreign defendant is involved, the people’s court must have a connection with the dispute depending on, inter alia, where the contract was executed or performed, or where the subject matter of the action is located. With respect to Article 3(3), it is not clear what “a significant impact on the country” is intended to refer to, but it similarly suggests an actual connection with the forum in line with similar language under Article 20 of the Civil Procedure Law. This departs from the position under the Hague Convention on Choice of Court Agreements, under which where the CICC is designated as the forum in an exclusive choice of court agreement, it shall have jurisdiction to decide a dispute to which it applies, unless the agreement is null and void under Chinese law, and shall not decline to exercise jurisdiction on the basis that the dispute should be decided by a court of another state.

In contrast, the SICC departs from the narrow conception of the forum non conveniens principle and does not require the dispute to have an actual connection with the forum, in view of its objective to compete with other courts for dispute resolution business. Under the Supreme Court of Judicature Act and the Rules of Court, the SICC has jurisdiction where:

  • all of the following requirements are met:
  • the action is international[5] and commercial in nature;
  • the action is one that the High Court may hear and try in its original civil jurisdiction;
  • the original plaintiffs and defendants have all submitted to the SICC’s jurisdiction under a written jurisdiction agreement; and
  • the parties do not seek any relief in the form of, or connected with, a prerogative order;
  • the case is transferred from the High Court;
  • an originating summons is sought for leave to commit a person for contempt in respect of any judgment or order made by the SICC; or
  • the case involves proceedings relating to international commercial arbitration that the High Court may hear and that satisfy such conditions as the Rules of Court may prescribe.

In particular, the SICC is restricted from declining to assume jurisdiction “solely on the ground that the dispute between the parties is connected to a jurisdiction other than Singapore, if there is a written jurisdiction agreement between the parties.” Further, the Singapore Court of Appeal has held that the possibility of transferring a case to the SICC is a relevant consideration for the Singapore High Court in determining whether it should exercise international jurisdiction under a broad application of the forum non conveniens principle. In principle, therefore, Singapore may assume international jurisdiction which it would not otherwise have had (such as in circumstances where Singapore law is not involved) based on the international capabilities of the SICC, which includes the presence of international judges and the possibility of determining foreign law on the basis of submissions instead of proof.

Foreign Judges

The judges appointed to the CICC are restricted to current judges of the Chinese courts and Chinese nationals, who must have experience in international commerce, along with the ability to work in both English and Chinese. Instead of foreign judges, the CICC has constituted an “International Commercial Expert Committee” (“ICEC”) consisting mainly of foreign legal experts from other jurisdictions along the “Belt and Road.” With the establishment of the ICEC, the SPC seeks to involve foreign legal experts in the dispute settlement process, who will provide advice and assist CICC judges in ascertaining the content of foreign laws and preside over mediation.

The SICC, by comparison, prides itself on its unique mix of eminent international jurists from common and civil law jurisdictions, along with judges of the Singapore Supreme Court. Currently, foreign judges make up 17 out of the 40 judges on the SICC panel of judges, including former Delaware Supreme Court Justice Carolyn Berger. They enjoy certain constitutional safeguards such as judicial immunity and restrictions on removal. This large proportion of foreign judges is intended to enhance the international credibility of the SICC and strengthen its ability to handle offshore matters.

Legal Representation and Procedure

Consistent with the international character of the SICC, parties to SICC proceedings may be represented by registered foreign lawyers who can make submissions on foreign law in offshore cases with no substantial connection to Singapore. In such cases, foreign law may be determined on the basis of submissions alone instead of formal expert evidence. If the parties agree, foreign rules of evidence may be substituted for Singapore evidence law. In comparison, the CICC’s procedural rules largely reflect forum-centricity insofar as they were drafted in accordance with the Chinese Civil Procedure Law, with the limited concession for evidence to be submitted in English without a Chinese translation where the parties agree. Parties to a dispute before the CICC can only be represented by Chinese law-qualified lawyers, as foreign lawyers do not have a right of audience in Chinese courts. In any event, Chinese procedural law restricts the language of court proceedings to Chinese, unlike most international commercial courts including the SICC, which uses English. As part of the SPC, CICC judgments cannot be appealed from, but are subject to possible “retrial” under the Civil Procedure Law. In contrast, as part of the Singapore High Court, SICC decisions at the first instance are generally appealable to the Court of Appeal, subject to any written agreement between the parties to waive, limit, or vary the right to appeal.

The following table provides a non-exhaustive summary of the salient differences between the CICC and the SICC.

Table 1: Summary of Key Differences between the SICC and the CICC

Jurisdiction International Judges Foreign Lawyers Language of Proceedings Appeal
SICC Not forum-centric Yes Yes English Yes
CICC Forum-centric No No Chinese No

Conclusion

The above are but a few of the salient differences between the CICC and SICC, and the scope of inquiry may be extended to include further issues such as judicial quorum and legal reasoning, the enforceability of judgments, the types of cases brought before the courts, and the relationship with the state’s arbitration and mediation processes. Broader questions may also be raised about whether the CICC meets “global governance” standards – particularly China’s WTO obligations under its Protocol of Accession to provide an impartial system of administration of laws and judicial review in trade and intellectual property matters. Further, foreign skepticism about the Chinese state’s intentions, as well as China’s rule of law and judicial system itself, remains entrenched and is difficult to assuage in the immediate future. Given its conservative design – particularly in comparison with the SICC – the CICC is arguably less of an international or transnational commercial court than an extension of its domestic court, which runs counter to the ostensibly globalist objectives of the BRI. While it is a step toward increasing integration of the Chinese judicial system with the international political economy, it is relatively parochial and protectionist, and is consistent with Chinese realist views of its sovereignty and foreign interference. While purporting to commit the adjudication of international commercial disputes arising from the BRI to the principle of “equal protection,” it remains to be seen if the forum-centric nature of the CICC, the relative lack of party autonomy in its procedures, and the challenges faced by China’s legal system go far enough in mitigating the transaction risks of international investors participating in the BRI, which may in turn affect investor confidence of whether to submit to the CICC’s jurisdiction. At the same time, the CICC is clearly a work in progress and its continuing reforms and greater internationalization would influence and determine the international legitimacy and credibility of the CICC and the BRI in the long term.

Lance Ang is currently a Research Associate at the Centre for Asian Legal Studies at the National University of Singapore Faculty of Law and an Associate Editor of the Asian Journal of Comparative Law. Ang has practised corporate law in the area of mergers & acquisitions and previously served as a legal counsel at an international bank.

[1] See Matthias Herdegen, Principles of International Economic Law 22-23 (2016).

[2] See Maren Heidemann, Transnational Commercial Law 19 (2019). The establishment of a “European Commercial Court” has been mooted by some in the post-Brexit era: https://www.law.ox.ac.uk/business-law-blog/blog/2018/11/towards-european-commercial-court

[3] See Richard Fentiman, International Commercial Litigation  3-4 (2015).

[4] A commercial case with one of the following circumstances may be determined to be an “international” commercial case as referred to in the CICC Provisions: (i) one or both party/-ies is/are (a) foreigner(s), stateless person(s), or foreign enterprise(s) or organization(s); (ii) the habitual residence(s) of one or both party/-ies is/are outside the territory of the People’s Republic of China; (iii) the subject property is outside the territory of the People’s Republic of China; (iv) the legal facts that generated, changed, or eliminated the commercial relationship occurred outside the territory of the People’s Republic of China.

[5] The action is “international” if (i) the parties to the claim have their places of business in different States; (ii) none of the parties to the claim have their places of business in Singapore; (iii) at least one of the parties to the claim has its place of business in a different State from — (A) the State in which a substantial part of the obligations of the commercial relationship between the parties is to be performed; or (B) the State with which the subject matter of the dispute is most closely connected; or (iv) the parties to the claim have expressly agreed that the subject-matter of the claim relates to more than one State.

Content, Online Scholarship, Perspectives

International Tax Law: Adopting the OECD Model in Light of Recent Empirical Findings

By: Naseem “Naz” Khan

An insightful May 2019 analysis by Elliott Ash and Omri Marian provided a strong contribution to the compelling debates around international tax law. The title of their article, “Who is Making International Tax Law,” is deceptive, in the sense that one might assume something as important as international tax “law-making” is undertaken in accordance with a set of universally accepted rules. This Ash and Marian “second take” provides ample confirmation that little, if anything, associated with this tax law framework has evolved in an orderly, pre-determined fashion. A single, provocative question drives the following commentary: does a customary international law of taxation actually exist, and should it?

The Current State of Play

Unlike other international lawmaking institutions, such as the World Trade Organization, the United Nations (the “UN”), or the supranational European Union, there is no equivalent World Tax Organization whose rules are accepted by and binding on its membership. It might be argued that given the over 3,000 tax treaties now negotiated across the international community, the treaty processes are a de facto lawmaking mechanism. After all, once a nation makes a treaty commitment, customary international law on treaty-making, as reflected in the 1969 Vienna Convention, requires all “contracting States” to implement the treaty’s terms into the relevant domestic legal frameworks.

This process is further supplemented by the fact that representative international institutions (notably the UN and the Organization for Economic Co-operation and Development (“OECD”)) have published and regularly updated model tax treaties that are gaining near universal acceptance as appropriate international tax law standards. Ash and Marian provide a careful and irrefutable comparison of the key words used in all tax treaties enacted since the 1960s. Their data confirms that over the past 20 years, there has been an increasing similarity in tax treaty language irrespective of which countries are crafting their treaty terms. Particular praise is directed towards the OECD model, one that they describe as “. . . the key institutional source of the consensus building process” that is ongoing across the world.

An Ephemeral Customary Tax Law

When these initial reactions to the Ash and Marian analysis are collectively assembled, a less informed, but still reasonable observer might conclude that whilst perhaps not perfect, current international tax law evolution suggests a customary law of taxation does exist. Ash and Marian rightly make a more nuanced observation — no matter how popular the OECD model may be in terms of its broader international community uptake, the fact remains that absent a legal obligation to adopt the OECD version, there is no customary law that binds every State.

If one accepts this proposition as accurate, the first part of the question posed above is clear — a customary law of taxation does not exist. At most, there might be a “coherent” international tax regime, or tax “soft law” that tends to promote convergence in the ways that States now approach taxation issues, but these concepts fall well short of binding legal obligations.

Ash and Marian offer a sensible justification for this view. They note that unlike many other international treaties with a common State interest (such as defense, environmental protection standards, or intellectual property rights), tax treaties are uniquely negotiated. The nations pairing themselves in these agreements each have unique economic, social, and cultural circumstances that militate more strongly in favor of each party adopting positions that best serve their overarching national interests. Ash and Marian cite the example of State A being a net capital exporter in relation to treaty partner State B, but having a capital importer advantage when compared with another partner (State C). Their scenario reinforces a crucial point when assessing this entire topic: It is likely impossible to ever reconcile the respective A, B, and C negotiating positions such that a common tax framework could ensure fair treatment for each State’s interest in every circumstance.

But Should A Customary International Tax Law Exist?

This question is arguably more intriguing. Consider the individual taxpayer, who is arguably the most affected by the lack of binding legal obligations. They might say, “If there is no customary law, there ought to be! Taxation is too important to leave to individual States. Only a comprehensive approach can possibly make things fair and consistent for taxpayers and the entire international community!”

Indeed, there are various criticisms about globalization forces having encouraged a “race to the bottom” amongst States competing for highly desired foreign investment. Commentators have noted that States will often lure prospective investors with promises of low (or no) corporate tax rates, in combination with reduced workplace health and safety protections, or modified environmental compliance requirements. A single and defined global corporate tax rate might level the foreign investment playing field and at the same time protect weaker nations from being dominated by stronger investors, who are largely based in the developed world and essentially extort tax concessions from vulnerable individual taxpayers.

The ever-increasing public fury directed at transnational corporations (“TNCs”), such as Google, Amazon, Starbucks, and Netflix, and their ability to structure different intra-company networks that create tax losses to offset profits, is another powerful justification for a single international tax law framework. These enterprises are extremely profitable, and given that a typical individual taxpayer might have as much as 60 percent of their available income to pay in various taxes such as value-added and municipal-based taxes, TNCs who pay little or no tax properly prompt calls for global tax law reform.

Loopholes and Information Exchanges

The now infamous 2016 Panama Papers confirmed that wealthy individuals and corporations alike have often adopted remarkable strategies to hide their money in tax-free offshore accounts, shielded from their own national revenue agencies. There is compelling empirical evidence that these tax avoidance efforts remove billions of dollars from essential national revenue collection efforts. Further, the costs incurred by States to track and trace where these assets are hidden would likely have been reduced if a single international system was adopted.

The 2017 European Court of Justice (“ECJ”) case — Berlioz Investment Fund SA v Director of the Direct Taxation Administration, Luxembourg is instructive. The ultimate ECJ ruling is less important to the present commentary than how the relevant national authorities were required to spend considerable time, effort, and plainly finite national resources just to deal with issues arising from requests for tax information sent by another Member State under Directive 2011/16. Further, as Steichen and Bieber astutely point out, the ECJ decision arguably strikes a blow against a global tax law, as the Court appears to favor what these authors describe as the “rule of law triumphing over the essential State need” to exchange information that is necessary to catch tax cheats.

By extension, if protection is afforded to individual privacy rights over State power to regulate, investigate, and prosecute cross-border related tax offenses, the notion that an international law in this area will be more successful strains credulity. There are simply too many variables that impact how countries pursue taxation strategies.

Is There A Solution?

Reading the Ash and Marian blog post in conjunction with their larger, more extensive academic article, these experts appear untroubled by the fact that a truly international customary tax law system has not yet evolved. Too often, the legal world becomes transfixed with the concept of ongoing law reform. It is not enough that the particular legal area seems to be developing in ways that appear logical, or that through simple, ongoing evolutionary forces the law is developing in what appears to be positive directions. This topic is a perfect example of what might be characterized as change for change’s sake. The “race to the bottom,” aggressive TNC tax avoidance practice, and patchwork enforcement quilt are legitimate concerns. However, in the face of ongoing OECD and similar model tax law success, what real additional benefits will be realized if — somehow — an enforceable global tax convention was devised, debated, and ratified by the international community? Such a process seems doomed to fail given the current global geopolitical climate, one punctuated by tensions between China and the United States that will almost certainly doom any effort to give current tax treaty models binding effect. The better and ultimately less contentious path — when considered from a global perspective — is to encourage the OECD and other tax policymaking bodies to keep promoting their models. The Ash and Marian analysis is especially cogent in this respect. The continued emphasis on model tax treaties is an equally good, if not perfect, assurance that most States will adhere to these commonly-employed, OECD-endorsed, tried and tested tax law approaches. In these uncertain times, such an outcome is likely the best one available.

Naseem “Naz” Khan is an LL.M. candidate at Durham University in England, where he is studying taxation and international human rights law.

Content, Online Scholarship, Perspectives

The Legacy of the Libertad Act: Defeating Title III Claims and Protecting International Comity

By: Jason Rotstein

Introduction

On April 17, 2019, United States Secretary of State Michael R. Pompeo announced the full implementation of the Cuban Liberty and Democratic Solidarity (Libertad) Act, or the Helms-Burton Act. “For the first time,” as of May 2, 2019, “claimants [can] . . . bring lawsuits [under Title III] against persons trafficking in property . . . confiscated by the Cuban regime.”

The announcement represented the first time a presidential administration did not suspend Title III’s private right of action, since the enactment of the Libertad Act on March 12, 1996.[1] This administration’s stated policy goal in effectuating Title III was to increase global pressure on the promotion of democracy in Cuba and the region.  The announcement coincided with the administration’s increased efforts to stifle support, including Cuba’s support, for the Maduro Government in Venezuela.

Specifically, the statute invites a federal private right of action: (1) by U.S. nationals, (2) who acquired ownership prior to enactment (March 12, 1996) of a claim to property, which was expropriated by the Cuban Government between January 1, 1959 and March 12, 1996; (3) and the claim must be brought (a) against persons who have trafficked or are trafficking in the confiscated property and (b) no later than two years after the trafficking giving rise to the action ceased to occur. “Trafficking” is defined as the use of, the participation in the use of or  transfer of the expropriated property or the deriving of a commercial benefit from activity involving the property.

The potential specter of liability and scourge of Title III—the Department of State reports that there are at least 200,000 potential claims under Title III—has concerned stakeholders since enactment. Title III’s definition of “trafficking” reaches an endless causal chain of transactions and/or benefits involving property, including securities, in Cuba. No attenuation principle or defenses to trafficking are available under the statute, and the act of state doctrine is declared inapplicable. Therefore, for more than twenty years, defeating a Title III claim has been seen as a legal puzzle.

The global legal community received Title III as a violation of international law.[2] Foreign governments—Canada, Europe, and Mexico—enacted “blocking statutes” to protect their nationals’ interests.

This Post analyzes the purpose and effectiveness of a blocking statute, and the role of a blocking statute in a litigation defense based on international comity doctrines such as foreign compulsion. The Post examines, in particular, the EU blocking statute and its import within a Title III litigation strategy; and the Post proposes that one of the legacies of the Libertad Act—before the Act is repealed or suspended again—may be as a vehicle for further defining the contours of the foreign sovereign compulsion doctrine. Title III litigation can serve as a barometer for the viability of sustaining an international comity defense in an era characterized by the expansion of the extraterritorial application of U.S. law. As the jurisdictional reach and extraterritorial application of U.S. law expands, how will courts react to a defense based on blocking statutes and the doctrine of foreign sovereign compulsion? Will the doctrine and jurisprudence evolve to avoid international discord and promote comity?

Blocking Statutes and the Foreign Sovereign Compulsion Doctrine

Blocking statutes are foreign countermeasures: foreign laws that conflict with and attempt to counteract the effect of the extension of U.S. law beyond its borders. Defenses based on blocking statutes almost uniformly fail, however, in U.S. courts.

Since Société Nationale Industrielle Aérospatiale v. U.S. District Court for S. Dist. of Iowa, 482 U.S. 522, 555 (1987), which held that a French Blocking statute “does not deprive an American court of the power to order a party subject to its jurisdiction to produce evidence even though the act of production may violate the statute,” “U.S. courts have ordered foreign parties to break their own countries’ laws with increasing frequency” and “almost all of the U.S. court-ordered violations of foreign law contravene foreign ‘blocking statutes.’”

Blocking statutes are treated by U.S. courts as issues of international comity, choice of law, and the deference to be afforded to a foreign sovereign and its laws. On balance are U.S. interests, the foreign interests, the litigants’ interests and, in the discovery context, the degree to which alternative procedures are viable. Courts typically consider four factors, which usually militate against the viability of a foreign blocking statute defense: (1) the fact that federal law governs matters of procedure, including discovery procedures;[3] (2) the severity and enforcement history of sanctions under a foreign blocking statute—i.e. are the sanctions real?; (3) temporality—whether the foreign law was enacted post-hoc; and, relatedly, (4) whether the foreign law pertains to the original, underlying conduct at issue in the litigation.

A litigation defense based on a blocking statute is often characterized as a foreign sovereign compulsion or international comity defense. It asks courts to consider “the political questions raised by one sovereign adjudicating the acts and/or laws of another.” The foreign sovereign compulsion doctrine, as detailed in the Restatement (Third) of the Foreign Relations of the United States § 443 (1986), recognizes that a foreign party should not be caught “between the rock of its own law and the hard place of U.S. law” and provides reasonable “protection from being caught between the jaws of this [U.S.] judgment and the operation of laws in foreign countries.” In practice the scope of the defense is narrow, especially as applied most frequently in the antitrust context: the defendant’s act (e.g., anticompetitive behavior) challenged as a violation of U.S. law must have been compelled in the first instance by a foreign sovereign within that sovereign’s jurisdiction and the refusal to comply must trigger the imposition of severe sanctions.

The EU Blocking Statute and the Libertad Act

The EU Blocking Statute, Council Regulation (EC) No 2271/96 of November 1996 aims, among others, at counteracting the extra-territorial application of U.S. laws. It provides that “EU Operators [including nationals, residents and legal persons incorporated in the European community] shall not comply with the listed extra-territorial legislation, or any decision, ruling or award based thereon.” Under the statute, “business decisions [should] remain free” and not be “forced upon EU operators by the listed extra-territorial legislation which the Union law does not recognise as applicable to them.”

Since the full implementation of the Helms-Burton Act in May 2019, multiple Title III lawsuits have been filed against French, German, and Spanish operators. By merely participating in the litigation, these EU operators are confronted with the prospect of violating Articles 5 and 9 of the Blocking Statute, which prohibit compliance with U.S. extra-territorial sanctions, (“whether directly or through a subsidiary or other intermediary”), including requests by courts. These violations are to be enforced by sanctions and penalties implemented by each Member State that are “effective, proportional, and dissuasive.” Meanwhile, non-appearance in a Title III suit in the U.S. could result in a default judgment and have other knock-on effects such as an exclusion from entering the United States and doing business in the United States under Title IV of the Libertad Act.[4] How then will a U.S. court rule when faced with a Title III EU operator defendant’s dilemma?

Predicting How a Court Will Rule

Recent case law on foreign sovereign compulsion and blocking statutes suggest a renewed focus on fairness and the protection of international comity. At its essence, an international comity defense asks a court to determine whether a defendant “is subject to conflicting legal obligations under two sovereign states” and whether “compliance with the laws of both countries is . . . impossible.”

The characterization of the EU blocking statute therefore is crucial. To sustain a viable defense, a defendant must show that it cannot comply with both the blocking statute and the requirements of Title III. The EU blocking statute conflicts with Title III in two ways: (1) it approves of “trafficking,” business interests with Cuban property—the underlying conduct which is the focus of Title III; and (2) it compels an EU operator defendant to abstain from complying with Title III litigation by sanctioning compliance with Title III litigation.

But other considerations relating to international comity must also be taken into account. For example, the Guidance Note 2018/C 277 I/03 to the EU Regulation, which states: “In 1998, the Union and the U.S. signed a Memorandum of Understanding by which the U.S. administration suspended the application of certain provisions of the Cuba extra-territorial sanctions ‘as long as the EU and other allies continue their stepped up efforts to promote democracy in Cuba.’” Importantly, Pompeo’s announcement on April 17, 2019 did not reference this Memorandum and did not suggest that operators from the EU and other allies were punished for their sovereign’s failure to uphold its commitment to promote democracy in Cuba.

Therefore, a court deciding a Title III action against an EU operator and resolving to abstain may rely on the compulsion experienced by a defendant in its home jurisdiction—to not comply with the requirements of Helms-Burton Act (including through the participation in Title III litigation)—as well as on the need to maintain “reciprocal tolerance” and “amicable working relationships between nations.” Recent case law suggests that courts are more likely to focus on the former. In In re Vitamin C Antitrust Litig., 837 F.3d 175, 194 (2d. Cir. 2016) the court boiled international comity to a true or pure conflict analysis and noted “that while we abstain from adjudicating Plaintiffs’ claims with respect to the Defendants’ conduct, the Plaintiffs are not without recourse to the executive branch, which is best suited to deal with foreign policy, sanctions, treaties, and bi-lateral negotiations.”

Conclusion

Cases that turn on considerations of international comity often raise fraught political issues. Title III of the Helms-Burton Act is an object lesson: for years, it seemed a non-administrable law, confirmed by presidential practice suspending its application. Now that it has taken effect, defendants find themselves caught, in some instances, between conflicting legal obligations under two sovereigns.

The effectuation of the Helms-Burton Act can be seen as apiece with the expanding jurisdictional reach of U.S. law. The Helms-Burton Act, therefore, provides a fruitful context to test and clarify the scope and parameters of international comity and the comity doctrine of foreign sovereign compulsion. The atmospherics surrounding the Helms-Burton Act suggest that international comity may evolve to meet the challenge of Title III.

Even if a defense fails based on a government interest analysis—i.e. the interests of the U.S. sovereign prevail over those of the foreign state—a judge may be sympathetic to the defendant caught between conflicting obligations. A judge may also abstain to preserve international harmony. A settlement or damage award in a Title III suit would likely set off parallel litigation under the EU Blocking Statute and other reciprocal treatment. Under Article 6, EU operators can bring a parallel private right of action against persons who cause damage to them through the extraterritorial application of U.S. law, such as a Title III lawsuit. A judge may abstain therefore to avoid internecine international conflicts. The evolution of jurisprudence in the Helms-Burton context could thus have a broader impact on the international comity doctrine beyond defeating the albatross of Title III.

Jason Rotstein is an associate at Arent Fox LLP in Washington, D.C., practicing litigation, trade, and international arbitration. He counsels parties in complex cross-border disputes and international litigation, including Helms-Burton Act litigation. He also writes commentary on developments in public international law, particularly the interaction between international tribunals and courts. The views expressed in this Post are his alone and do not reflect the opinion of Arent Fox LLP or its clients. 

[1] The story of Title III of the Helms-Burton Act reads as the stuff of legend, especially for international lawyers: personal vendettas, punitive measures, and, potentially, internecine international conflicts. In one camp are Nicholas Gutierrez and Ignacio Sanchez, who participated in the drafting of the legislation and shepherded the transfer of claims to U.S. nationals. (Title III retroactively provides rights to persons who transferred or assigned a claim to ownership of expropriated Cuban property to a U.S. national prior to enactment.) For them and potential claimants, the announcement represented the end of a road. In another camp are the scores of potential defendants, for which the mechanics of Title III have been a source of perplexity and perturbation.

[2] See U.S. Department of State, Legal Considerations Regarding Title III of the Libertad Bill, 141 Cong. Rec. S15106-01, 1995 WL 600630 (daily ed. Oct. 12, 1995) (“The LIBERTAD bill would be very difficult to defend under international law, harm U.S. businesses exposed to copy-cat legislation in other countries, create friction with our allies, fail to provide an effective remedy for U.S. claimants and seriously damage the interests of FCSC certified claimants. It would do so by making U.S. law applicable to, and U.S. courts forums in which to adjudicate claims for, properties located in Cuba as to which there is no United States connection other than the current nationality of the owner of a claim to property.”); see also Vaughan Lowe, U.S. Extraterritorial Jurisdiction: The Helms-Burton and D’Amato Acts, 46 Int’l Comp. L.Q., 378, 384 (1997); Andreas F. Lowenfeld, Agora: The Cuban Liberty and Democratic Solidarity (LIBERTAD) Act, 90 Am. J. Int’l L. 419, 429-430 (1996); Robert L. Muse, A Public International Law Critique of the Extraterritorial Jurisdiction of the Helms-Burton Act (Cuban Liberty and Democratic Solidarity (Libertad) Act of 1996), 30 Geo. Wash. J. Int’l L. & Econ. 207 (1996); August Reinisch, Widening the US Embargo Against Cuba Extraterritorially: A Few Public International Law Comments on the ‘Cuban Liberty and Democratic Solidarity (LIBERTAD) Act of 1996’, 7 Eur. J. Int’l L. 545, 550 (1996).

[3] Blocking statute litigation frequently arises in discovery disputes. Discovery is sought in a foreign country and a foreign blocking statute mandates alternative procedures.

[4] Although Title IV is an administrative sanction, a Title III and a Title IV action may happen in parallel. The actions are often complementary and the pressures to settle concomitant.

Content, Essays, Online Scholarship

Rule of Law on the Silk Road: History, Culture, Perspectives

By: Gerard J. Sanders

The following is an edited version of the keynote address given by the author, on October 19, 2018, at a conference titled “Rule of Law on the Silk Road,” hosted in Adelaide by the Asia-Pacific Law Forum 2018 and organized by the University of South Australia.

Adelaide and the Silk Road

It is a wonderful treat to be in Adelaide. As everyone knows, this beautiful and historic city is named after the early nineteenth century queen consort of the United Kingdom and much younger wife of the late-marrying William IV. Contemporary accounts describe their domestic living arrangements, both in Hanover and later in England, as “parsimonious,” even “boring.” There is no accounting for being dull, but parsimony may have been explained by William having to support ten children from an earlier relationship with an actress. Or perhaps it owed more to parliament voting for such a small allowance to support the marriage that William thought of calling it off. In any event, we can imagine their frugal homes would have boasted little by way of expensive imports from the Far East, whether porcelain, lacquer, or items of gold and silver, still less the much-coveted luxury commodity that lent its name to the Silk Road.

But the gentry and well-healed merchant classes of Europe would have been accustomed to exotic goods from the furthest eastern reaches of Asia. Economic historians tell us that in Queen Adelaide’s time, on the eve of the Opium Wars, China was the world’s largest economy. It must naturally have been the source of many imports to Europe, although foreign trade played only a limited role in China’s economy. This was so even after recognizing commerce with both tribute-paying neighboring states and merchants from Europe operating under privileged arrangements through coastal cities. Canton was the most important of these for onward shipping, with seaborne trade with Europe having long surpassed in importance transit across the Eurasian landmass, the route most closely associated with what, in 1877, German geographer, Ferdinand von Richthofen, dubbed the Silk Road.

The Demise of the Ancient Silk Road and the Discovery of New Ideas

Difficulties in traversing the land path made more urgent the search for ever more efficient sea routes, particularly from China and South-East Asia to Europe. The voyages of the European seafarers are well known. But they were not alone. For example, in the early fifteenth century, Admiral Zheng He sailed his junks from China to the Persian Gulf and the coast of Africa, returning we are told with a giraffe on board. Possibly he traveled as far as Australia. These expeditions heralded what became known in Europe as the Age of Discovery, sparking a renewed interest in science and enquiry, especially that informed by the observation of nature and reasoning, opening up into the Enlightenment.

This period, the Age of Reason, is closely associated with the birth, or perhaps more accurately, the articulation, particularly in England and France, of liberal conceptions of the rule of law. These were forged by political events and philosophical reflections of contemporaries that are as well-known as they are seminal.

Revolution and Governmental Constraint

In England, the civil war and its aftermath, the Glorious Revolution, the Act of Settlement and the Bill of Rights, together established parliament’s supremacy over the king; that is to say that the monarch, and in the modern sense, the executive, was subject to the law. Echoes of this can be seen in the Magna Carta, many centuries earlier, in 1215, where the king conceded that his powers were not unlimited, and that the exercise of certain sovereign authority was constrained. Some of this authority touched on what we would today understand as human rights, including what can be understood as a right to due process. This is not just very old history. The constitutional subordination of the executive to parliament was only recently reaffirmed by the Supreme Court of the United Kingdom in a proceeding brought to challenge the government’s proposal to initiate the UK’s withdrawal from the European Union without first seeking parliamentary approval.

The judges on the Supreme Court’s panel accepted as a priori the view expressed, in the late nineteenth century, of the constitutional theorist, A.V. Dicey, a jurist who had helped popularize the term “rule of law,” that parliament is sovereign. This is an uncontroversial view today when understood as the UK parliament’s authority in relation to that of the executive. Earlier attempts, most famously by Chief Justice Coke in the seventeenth century in Dr. Bonham’s case, to assert the supremacy of the common law, never gained much traction in English law nor the laws of the Commonwealth generally.

By contrast, in the United States the notion that all authority should be constrained by law took root early. This was achieved at the start of the republic’s history, not only through a formal separation of powers in the constituent document, but by the judicial branch of government early on, in 1803, aggregating to itself, in the case of Marbury v. Madison, the power to determine the constitutionality of decisions of the political branches.

The course taken by the United States in establishing, through its Constitution of 1789, a government of laws and not of men, as John Adams famously stated, followed on from the Declaration of Independence a few years earlier, in 1776. This document and the French Declaration of the Rights of Man and of the Citizen, of 1789, are sometimes together thought of as the two great legal “moments” of the Enlightenment, where the right to revolt against oppression, and to enjoy liberties that are universal, are predicated on natural law.

Although natural law has had its detractors, with Jeremy Bentham having decried natural rights to be “nonsense upon stilts,” the notion has exerted a significant influence on understandings of human rights. The Magna Carta, the English Bill of Rights, the French Declaration of the Rights of Man, and the U.S. Bill of Rights all directly inspired the United Nations Universal Declaration on Human Rights of 1948, a document of immeasurable importance and influence.  Of particular note is the third paragraph of the preamble to the Declaration, which recites that “it is essential, if man is not to be compelled to have recourse, as a last resort, to rebellion against tyranny and oppression, that human rights should be protected by the rule of law.”

Rule of Law Rhetoric

This reference to rule of law appears in many documents of the United Nations, often in the context of human rights. The World Conference on Human Rights in Vienna in 1993 saw the General Assembly give renewed prominence to the rule of law. By 2005 the United Nations World Summit was calling for “universal adherence to and implementation of the rule of law at both the national and international levels” and committed its members to “an international order based on the rule of law and international law.” In 2012, a High-level Meeting on the Rule of Law held by the General Assembly resulted in a Declaration on the Rule of Law which provided the most comprehensive treatment of the subject to date. It asserted that “the rule of law and development are strongly interrelated and mutually reinforcing” and that “the advancement of the rule of law at the national and international levels is essential for sustained and inclusive economic growth, sustainable development, the eradication of poverty and hunger and the full realization of all human rights and fundamental freedoms.”  More recently, Goal 16 of the 2030 Agenda, adopted by the UN General Assembly in 2015, places rule of law at the heart of the world’s shared development agenda.

Other organizations outside of the UN system also devote much energy to the rule of law. For example, among policy-oriented international organizations the Venice Commission, established by the Parliamentary Assembly of the Council of Europe, provides legal technical assistance to measure and enhance the rule of law. The Council’s members include countries along or near to the modern Silk Road, including Azerbaijan, Georgia, Kazakhstan, Kyrgyzstan, Russia, Turkey, Ukraine, and Uzbekistan.

Other policy-oriented organizations engaged in the delivery of rule of law technical assistance include the International Development Law Organization (“IDLO”), which is the only global inter-governmental body dedicated to promoting the rule of law. IDLO’s work program illustrates the breadth of activity that can fall within the rubric of rule of law, with its advocacy and advisory work extending across such diverse spheres as gender justice, food security, rights awareness, and fair trade.

Pursuit of the rule of law has also informed the research and operational policies of other global institutions that foster development. The World Bank’s Doing Business Reports reveal the state of national development using measures that reflect different dimensions of the rule of law. Commercial and financial law surveys of the European Bank for Reconstruction and Development (“EBRD”), which despite its name is active in Central Asia, territory at the heart of the Silk Road, support the EBRD’s view that political and economic openness are positively correlated, advancing and regressing together. Outside of the international financial institutions, other organizations having a global reach also engage in quantitative assessments that bear on the rule of law. Two are well-known. One is Transparency International, which measures the state of corruption worldwide. The other is the World Justice Project whose surveys measure, across most countries, the state of the rule of law with reference to accountability, just laws, open government, and accessible and impartial dispute resolution.

Support on the part of international organizations, including international financial institutions that finance development along the new Silk Road, reflects the enthusiasm of their membership generally for all things rule of law. States and other subjects of international law everywhere profess their adherence to it, often proclaiming the rule of law to be not only essential for sound government and the betterment of the citizenry, but also the panacea for all manner of economic and social ills. This has been possible because the rule of law means different things to different people. Indeed, for some it is an empty slogan. Judith Shklar has said that, at least in an Anglo-American setting, the rule of law “has become meaningless thanks to ideological abuse and general over-use.” And that was in 1987 before what Thomas Carothers has called “the rule of law revival” was in full swing. Unheeded has gone Shklar’s admonition that “no intellectual effort need…be wasted on this bit of ruling-class chatter.”

Among the many people persevering is Brian Tamanaha, who maintains that the meaning of the rule of law is “elusive” and “is like the notion of ‘the good.’” “Everyone is for the good, although we hold different ideas about what the good is.” Nonetheless, some scholars question this, objecting that the uniformity of treatment that rule of law implies operates to reinforce biases, for example about gender and race, and to entrench privileged positions. Still, the elusiveness in meaning has enabled rule of law to be embraced by both the Left and the Right. Simon Chesterman, in an article questioning whether there is such a thing as international rule of law, cites as examples the Marxist historian E. P. Thompson calling it an “unqualified human good” and Hayek giving rule of law a central place in development policy. Similarly, Rachel Kleinfield writes that what can be learned from a study of the academic literature is that the rule of law “emerges looking like the proverbial blind man’s elephant – a trunk to one person, a tail to another.”

Hence, we see for example that in October 2014 the 4th Plenary Session of the 18th Central Committee of the Communist Party of China dealt with the rule of law, the first time in party history that a meeting with the authority of a plenary session considered the subject in any detail. The resultant Communique refers to building a “socialist rule of law with Chinese characteristics” and to the Communist Party “leadership” of the rule of law. This is an expression of the rule of law that many would see as located in a specific place and time. However, the document also calls for “a law-abiding government” and enhanced “protection of human rights in judicial procedures,” concepts familiar to rule of law discourse more broadly. Bound up in these expressions are competing views of what, when reduced from the abstract to the specific, the rule of law means in practice and what it requires. This poses two further questions: does use of the term “rule of law” imply a particular content? and, whatever its content, need the rule of law be universal?

Thin and Thick Conceptions of the Rule of Law and the Power of Language

Addressing the first question, about content, inevitably leads to a discussion about “thin” and “thick” conceptions of the rule of law. The thinnest conception calls for the government and its officials to abide by known rules, equally applicable to all, with state institutions enforcing compliance. Critics argue, as Theo Angelis and Jonathan Harrison do, that this definition “threatens to legitimate governments that are absolutist, but not arbitrary; ruled by means of public and general, but unjust, rules; and supported by a powerful majority, but oppressive to a powerless minority.” Of course, history also throws up examples of where governments oppressing a minority were elected or where the government oppressed the powerless majority. Kenneth Keith, New Zealand’s leading international jurist and a former member of the International Court of Justice, cites Nazi Germany and apartheid South Africa as cases in point.

This kind of criticism of thin conceptions of the rule of law implies, as the UN Declaration on Human Rights and the international and regional standards it has inspired make express, that law-making must implicate the citizenry in some meaningful engagement and that the laws they make must have some minimum moral content. However, those who take issue with such thick conceptions of rule of law reject the inclusion of democracy and human rights. The argument is that rule of law is concerned with legality alone; by contrast democracy is a system and human rights are about standards. It should not be used, as Chesterman analogizes, as a “Trojan horse to import other political goals.”

Nonetheless, thick conceptions of the rule of law are embraced by liberal democratic governments and promoted by their development arms and the international organizations they dominate, including the United Nations and the major development banks. However, all states borrow from the lexicon of thick conceptions of the rule of law; hence we see terms like accountability, transparency, democracy, human rights and, indeed, rule of law itself, consciously appropriated and then assimilated into the language of government, sometimes after being infused with new meanings, ones that better approximate the interests of the ruling elites.

Universality, Cultural Relativism, and “Asian Values”

This use of rule of law language brings us to a second question, namely whether the rule of law should be understood as universal. Certainly, the theorists and statemen of the Enlightenment professed as much, although talk of rights never or barely extended to the least powerful groups who together made up the majority: men without property, all women, and, especially in the New World, indigenous people and slaves. Perhaps we should not be overly critical. After all, the Magna Carta too has left an enduring legacy, but the barons who exacted concessions from a reluctant King John were hardly representative of the marginalized in society and were acting in their own interests. Still, the vision of universalism has long been the dominant one among those articulating and promoting rule of law and human rights.

However, universalism has its critics. Most vocal are those who see the rule of law and rights generally as being properly defined relative to the culture of the host state. What has been referred to as “Asian values” is perhaps the best-known expression of the cultural relativity school. This view of rights holds that the imperative of economic development, where the entire population stands to benefit, trumps any selfish concern of the individual about their professed entitlements. Furthermore, it engenders formal respect for the authority of the government in ensuring stability while delivering progress. As Nadège Rolland’s research implies, relativism allows for a differing vision of international relations than that sponsored by the West and it further allows for a concomitant rhetoric. Thus, to join the Belt and Road project, states need not embrace any particular political ideologies, like accountable government or human rights adherence, but may be “values-free.” According to this vision, development, not democracy, leads to stability and peace. Rules-based governance gives way to a rule of virtue.

This cultural relativism has found some expression in regional legal instruments. Most notably, the Bangkok Declaration adopted by the Regional Meeting for Asia of the World Conference on Human Rights in 1993, while nodding to the universality of human rights, stated that they must be “considered” against a background of “national and regional particularities and various historical, cultural and religious backgrounds.” This reflects a view that “western” notions of rule of law, at least in part, may be alien to the Asian experience and perspective. This retreat from universality has, in its turn, been critiqued by those who argue that cultural relativism assumes a flawed view of Asia or the existence of an Asian cultural homogeneity that does not exist. For example, Alice Erh-Soon Tay, an Australian academic who once headed the Australian Human Rights and Equal Opportunity Commission, said that it would be “either condescending or ignorant to treat “democracy” and the rule of law as unfamiliar to Asian states or as totally new concepts there, having no roots or soil in Asian societies.” In noting that cultural relativism is often invoked by autocratic governments, she goes on to say that the “emergence of human rights as a body of customary international law applicable to all nations means that no nation can hide from it, no nation is safe from charges of abuse.”

Conceptions of Asia

This debate about Asian values references only a small part of the geographical area of Asia. The statistical division of the United Nations has Asia extending west all the way to include Cyprus, a member of the European Union having the euro as its currency. The charter of the Asian Infrastructure Investment Bank (“AIIB”) defines Asia to include Oceania and the entirety of Russia, including the area that a cartographer would locate in Europe.

Whatever its precise geographical boundaries, the territory of Asia – the home of the Silk Road – is vast, accounting not only for much of the world’s land area but also its population and economy and a myriad of its cultures. (Generalizations, therefore, about the meaning of Asian values need to be treated cautiously, perhaps skeptically.)  It is in Asia too where the first civilizations emerged, around the Euphrates delta, where written languages were invented and recorded history began, where the great world religions emerged, and where the first written laws were made.

The Nature of Early Laws

The oldest surviving of those laws date to Mesopotamia, to around 2100–2050 BC. The laws of the Babylonian kings provide prescriptive rules, in particular prohibitions and punishments. Meanwhile, at the other end of the Asian continent, laws were emerging in China, with legal codes first appearing in the sixth century B.C. These are located in a period of Chinese legal history, between the eighth and third century B.C., where Confucianism and what is known as Chinese Legalism sparred, with the former emphasizing formal reliance on virtue and role obligations and the latter on regulating behavior, especially through punishment.

These laws, like other ancient laws that appeared in subsequent centuries, are sometimes viewed as “rules of man” or “rule by law.” The Ten Commandments, mentioned in the Old Testament books of Exodus and Deuteronomy, might be understood as rules, not of man, but of God issued on Mt. Sanai. But they too cannot be conflated with the rule of law, the idea that law-making is constrained in some manner. Of course, readers of the Bible are taught that God is merciful; but that implies more the temperate exercise of divine discretion than any inherent limitation of divine power. Adherents to Islam also had one of the earliest systems based on the rule of law: rulers must rule in accordance with the law of God, which is interpreted not by the rulers themselves but by theologians.

In any event, religious and similar views continue to animate thinking about the rule of law everywhere, including along the modern Silk Road.

The Belt and Road

What, then, do we mean by the modern Silk Road? Rolland recounts the many attempts that followed the end of the Cold War to revitalize the route, or perhaps more accurately to invoke its name in support of political projects to connect countries along its path.

The current Chinese lead is known as the Belt and Road Initiative (“BRI”), which dates from 2013. The “belt” refers to the land route of the Silk Road of ancient times and the “road” to the complementary maritime route; hence the earlier, now less-favored name, “One Belt, One Road.” There is no one authoritative definition of BRI, with the contours and boundaries remaining amorphous, perhaps deliberately so in order to retain conceptual fluidity and the prospect of inclusivity.

There is much written about the purpose of the BRI, in particular China’s objectives in launching it.  Rolland estimates that in China alone more than one hundred dedicated BRI research institutes and centers have been founded in Chinese universities and think tanks. She cites the China Academic Journals Full-text Database as revealing no less than 8,400 BRI-related articles having been published by Chinese scholars in 2015 alone.

Financing the Belt and Road Initiative 

The ambition of the BRI is huge. The Asian Development Bank estimates the infrastructure needs of Asia at $26 trillion dollars from 2016 to 2030 (or $1.7 trillion per year). Substantial amounts of funding for projects along the BRI are being provided by the multilateral development banks (although the amounts are modest relative to bilateral lending from national development and export-supporting institutions). While the MDBs were not established to finance the BRI, they all express support for the initiative as being consistent with their respective mandates and many of the projects that they do finance are in BRI countries.

This embrace is reflected in public pronouncements. For example, in 2017 the major MDBs active in Asia signed an MOU with the Chinese government to forge a “closer partnership for interconnected development.” All of them participate in BRI initiatives, most recently the Belt and Road Forum for International Cooperation, which attracted not only the chiefs of those organizations but the 29 heads of state and government and representatives from more than 130 countries. This underscores the political importance that many states, who together heavily influence the direction, policy choices, and operational priorities of the MDBs, attach to the BRI.

These institutions view investment that supports the BRI as advancing their respective development mandates. Critically, those mandates are furthered for the collective benefit of the membership of these institutions, not the interests solely of those countries who stand to benefit most from implementing the BRI or financing any given project within it. This contrasts with the motivations of individual states, who often provide financial support through their development and export-supporting arms. Understandably those agencies are advancing state interests in accordance with domestically set policy objectives and national laws and standards. Of course, cross-border investment activity of the state can also serve a wider or higher purpose. But the distinction is important because it helps explain why MDBs are different.

International Financial Institutions and the Rule of Law

An important difference is how the rule of law speaks to the governance and operations of those institutions financing projects along the BRI. Turning first to governance, it is important to note first that multilateral development banks are creations of, and therefore governed by, public international law and the terms of the treaties that establish them. To the extent that public international law imposes limitations on how subjects of international law may behave – something which the rule of law operating at the international level seeks to achieve – those constraints apply to international organizations. For example, rule of law principles that are embodied within customary international law bind those organizations directly. Furthermore, while treaties rarely include international financial institutions as parties, such organizations will not do anything that their members themselves would be treaty-constrained from doing. This explains why multilateral development banks avoid working with countries or individuals that are sanctioned by their members generally, even though the particular international law instrument establishing the sanctions regime may not bind the organization.

Most governance constraints on international financial institutions, though, derive not from public international law but from the specific terms of the treaties establishing them. While operational limits are a common feature of the charters of international financial institutions, also appearing occasionally are affirmative obligations of the sort familiar to rule of law discourse. The most striking appear in the charter of the EBRD where the institution is confined to operating in countries “committed to the fundamental principles of multiparty democracy, the rule of law, respect for human rights and market economics.” By contrast, the charters of the other major international financial institutions expressly prohibit consideration of the political nature of the borrowing member when making operational decisions.

But the charters do contend with issues where thicker conceptions of rule of law adherence have something to say, most notably about environmental and social issues, as well as engagement with those affected by projects the MDBs finance. All international financial institutions have adopted policies designed to ensure that projects being financed meet standards which often exceed the minimum imposed by the law of the place where the project is located. The content of prescribed standards varies considerably, but typically addresses not only environmental protection but also social issues such as those dealing with labor standards, gender issues, cultural preservation, and indigenous people.

Where project-affected persons complain that the financing institution has not complied with the international financial institution’s own environmental and social standards, mechanisms for redress are available. The content of these varies considerably but rule of law considerations heavily inform their design.

Concluding Thoughts 

How, then, does all of this impact our consideration of the rule of law and the Silk Road?  Let me conclude with four thoughts:

First, when we talk about the rule of law we need to be careful that we are not speaking at cross-purposes. While most will think of the rule of law positively, we may not be talking about the same thing. In engaging on the subject, are we clear that by the rule of law we discard mere rules of law or rule by law? The outcome worth striving for is one where governments operate under the law and not arbitrarily and where the subjects of the law can reasonably know what it is. For some this is a sufficient outcome, with the correct view of the rule of law excluding considerations regarding how governments ought to be installed and removed and the standards of behavior by which they should abide in relation to their citizenry. For others, rule of law necessarily implies a system of democracy and respect for human rights. Within that latter category, there will be those who emphasize civil and political rights; for others these are either inadequate or, at the other extreme, need to be deprioritized in favor of realizing economic and social aspirations and selected elements of the right to development. We need to consider these differences because of the magnitude of what is at stake.

Secondly, whatever our understanding of the rule of law, ought its meaning in the context of the Silk Road to be influenced by the specificities of the Belt and Road Initiative and the historical and cultural particularities of the countries that run along its route? Does the sheer ambition and impact of the BRI challenge the dominant view of the rule of law as being universal, that is, applicable at all times and everywhere, irrespective of circumstances? Or do we view a universal rule of law as an irreplaceable mechanism that facilitates the proper design, financing, and implementation of projects along the route while protecting the interests of those affected by them? The operating modalities of the Multilateral Development Banks reflect the latter view, but most financing along the BRI is provided from other sources where practices vary. But collectively, all of us would benefit from uniformly high standards. This ought to be a goal to which we aspire.

Thirdly, when we think expansively about the rule of law and the Silk Road, a birds-eye view of a high ideal and of an overarching political initiative may obscure what can be seen and experienced from the ground. When the building of a rural road somewhere along the BRI is being considered, then it is right that we look to the correct processes for ensuring that the project is properly selected, suitably designed, appropriately implemented, and in every manner sustainable. A by-product of this is that local use of these processes can help build development capacity. The most valuable benefit, though, will be in enabling farmers, fishermen, and small producers to get their goods to market faster and fresher, making them more competitive, thereby raising their living standards and creating jobs; reducing the danger to vulnerable people walking long distances to collect water; enabling pregnant women and those with emergency needs to have a level of health care that would otherwise be denied them; and enabling children, including girls, to be bussed to high school for an education they would otherwise not receive. Greater safety and better health and education should lead to greater growth. But Amartya Sen, in his influential book “Development as Freedom,” helped us better realize that, even if growth is not achieved, creating a secure environment in which to live and work, improving the health of the community, and better educating children together expand freedom and are therefore worthy development outcomes. We can also see these achievements, consistent with much rule of law discourse, as better meeting economic and social aspirations and as the further realization of the right to development.

Fourthly, improved infrastructure and enhanced connectivity will not eliminate moral choices. Our rural road somewhere in the BRI may still be used to carry armies for some pernicious purpose, and the children whose busses travel along it to the nearest high school may not all go on to lead socially productive lives. So, we are left with our choices, as we always have been, something which is part of the condition of being human. That frailty, our potential as a society to not treat others the way we ought, especially when we have power or find ourselves in testing circumstances, is part of what makes the rule of law essential.

Gerard J. Sanders is the General Counsel of the Asian Infrastructure Investment Bank. The views expressed in this publication are those of the author and do not necessarily reflect the views of the Bank or its Members. The author wishes to acknowledge the invaluable contributions of Xuan Gao in criticizing earlier drafts, Youzhi Zhang in helping with research, and Beier Lin, Audrey Ortiz, and Steven Wang in providing editorial review. All errors are those of the author.      

Comment, Content, Online Scholarship

A Balancing Act: The Right to Peace and Justice

By: Lisa J. Laplante

Introduction

The Judicialization of Peace offers an important empirical analysis of whether and how the involvement of international courts can alter the form and substance of accountability brokered through peace agreements. Specifically, authors Courtney Hillebrecht, Alexandra Huneeus, with the collaboration of Sandra Borda, offer this analysis through the case study of Colombia, which recently negotiated the 2016 Peace Accord with the Revolutionary Armed Forces of Colombia (“FARC”). To assess the international-national dynamic of law formation, the authors divert from a traditional approach of analyzing court judgments and compliance, and instead employ a “symbolic-interactive perspective” to bring a magnifying glass to the local impact made by international courts during a peace negotiation process. Gathering rich data from a wide variety of sources that captured local debates, they illustrate how local stakeholders navigated the complicated process of brokering peace against the seemingly rigid normative backdrop that demands full criminal accountability for human rights crimes –an obligation enforced by the Inter-American Court of Human Rights (“IACtHR”) and the International Criminal Court (“ICC”). They conclude that the IACtHR and ICC exerted the most influence through their “shadow effects.”

The authors provide several illustrations of how local actors operate under this shadow. They contend that the influence of these courts arises out of the “imprint of prior litigation and the threat of future litigation” and that this in turn exerts pressure to shape domestic decision-making so as to have “judicialized” the Colombia’s peace process—all without issuing a single judgment. This judicialized process occurs through three “paths”: first, the international courts “signal” their expectations to the domestic audiences; second, state and non-state local actors bargain in the shadow of the law by using international law as political cover and to legitimate their policy preferences, while wielding the threat of international litigation to win concessions; and third, other domestic actors push back to curb or channel the influence of the international courts and even try to influence the direction of the international courts.[1]

The authors conclude that while the Colombian peace process was deeply influenced by the normative framework championed by the ICC and the IACtHR, the final outcome ran contrary to what would be expected. The Colombian Peace Accord contains a much less punitive approach to transitional justice than international law would seem to require. Although the Colombians felt compelled to abide by international law and guarantee criminal investigations and prosecutions for serious human rights violations, their “solution to the peace/justice dilemma” was to offer a bifurcated accountability process by including the possibility of lighter punishment even for the most serious crimes in exchange for the perpetrators’ involvement in satisfying the rights of victims to the truth, reparations, and non-repetition.[2] The authors state that “unprecedented concession to the politics of peacemaking represents a significant shift in TJ practice.”[3] In other words, the Colombian case represents a situation of what may be viewed as compromised justice, falling short of the absolute justice that may be expected by international law.

While this conclusion may leave the Transitional Justice (TJ) field concerned, I will offer some perspective as to why the development when viewed historically is actually encouraging. In particular, the pressure felt by local actors is a remarkable advancement from the state of affairs only thirty years ago when such actors did whatever it took to broker peace, often at the cost of any type of accountability. At the same time, I contextualize this outcome against the backdrop of a vibrant international debate on amnesties and accountability that could suggest that the case of Colombia may not be such an outlier despite the Inter-American trend to the contrary.  In fact, the Colombian Peace Accords may even present a more robust accountability model than is currently accepted practice in other corners of the world.

My commentary picks up where the authors conclude in recognizing how “legal globalization” consists of a recursive cycle of integrating global norm making and national law-making. This in turn creates intersections in which new evolutions in the law occur “where national experiences influence global norm making and global norms constrain national lawmaking, in an asymmetric but mutual fashion.”[4] As the authors recognize, the Colombian peace accords were not the result of a top down process with “pre-set constraints on peace-making” with blueprints to follow or discard.[5] Instead, Colombians constructed their own sophisticated blueprint “within bounds of reasonable if untried interpretation of the existing law and norms.”[6] In my analysis below, I unpack what I consider to be the heart of what makes the Colombian experience so impactful in the field of TJ.

I argue that the less punitive outcome in Colombia resulted not in spite of the presumed demands of the IACtHR but because of it. In response to the signaling of the IACtHR, Colombia suggested that it was poised to adjust its decade-long stance on amnesty and move toward better alignment with the growing global consensus which embraces a more nuanced approach to criminal justice in contexts where transitional justice might be adopted. What is remarkable, and not fully discussed by the authors, is that the IACtHR gave the Colombians a novel legal basis for creating a less punitive version of TJ that does not depend entirely on IHL or the initial self-identification of an internal armed conflict. Instead, it is framed by another human right—the right to peace. Thus, it is not just the fact that Colombia opted for a less punitive approach that presents a radical shift in the TJ paradigm, but rather that it did so relying entirely on dicta from the IACtHR 2012 Mozote Massacre Case.[7] Indeed, the Colombians ran with the IACtHR’s invitation to justify its compromised justice based on the right to peace, which until now has never factored into a transitional justice process as an explicit goal and is not even hard law.

While the authors make parenthetical reference to this development, they contend that it merely illustrates the influence of politics in approaching the question of justice. Instead, I argue that on the contrary the introduction of this new right into the TJ paradigm further legalizes the balancing test between peace and justice.[8] As I will discuss, it took human rights (particularly the victims’ right to justice) to sway the pendulum of the peace v. justice debate towards justice, and the only way that it could legitimately swing back towards the middle is through a competing human right, which in this case is the right of every member of society to peace.

Historical Perspective: The Peace v. Justice Debate

It is easy to lose sight of historical advances in the evolution of international law, especially concerning the ideals of justice. It is worth pausing for a moment to appreciate that Colombia reached a negotiated peace agreement without resort to blanket amnesties. This development signals a remarkably fast movement toward new customary international law as well as the dynamic, fast evolving nature of the field of TJ given that only three decades ago most governments could issue any kind of amnesty without worrying about international legal consequences.

Indeed, the field of TJ arose largely in response to criminal justice being foreclosed for the many thousands of victims of serious human rights violations living under the fist of repressive regimes in the Southern Cone. Criminal prosecutions of perpetrators were crippled or blocked by amnesty laws in Argentina and Chile,[9] followed by a long line of other countries in the region making amnesties a signature feature of political transitions in Latin America.[10] At that time, political leaders never questioned their unqualified right to issue these types of laws nor did they worry that they would ever be held accountable for their crimes or be challenged by international enforcement bodies. Impunity was a normal state of affairs.

This comfort with impunity was reasonable given that amnesties constituted a sovereign right from time immemorial, with roots tracing back to biblical and medieval historical accounts.[11]   Amnesties even played a role in the formation of the modern nation state system through the 1648 Westphalian peace agreements which provided that all “Violences, Hostilitys, Damages and Expences, without any respect to Persons or Things, shall be entirely abolish’d in such a manner that all that might be demanded of, or pretended to, by each other on that behalf, shall be bury’d in eternal Oblivion.”[12] Certainly, the Westphalian notion of statehood rests on the core principle that sovereign states enjoy the presumption against intervention and the unfettered prerogative to manage their internal affairs—which includes facilitating or blocking criminal justice. For most of history, no positive international law prohibited resort to amnesties and by default permitted impunity.

Not all sectors of these societies accepted justice foreclosed as a forgone conclusion.  Rather, victims, their families, and advocates took to the streets in protest to demand justice. Academics and practitioners began a systematic attack against the normative reality of using amnesty laws in the name of peace. Interestingly they dedicated less energy to contesting the assumption that amnesties were required for peace and focused instead on how international law limited the State’s discretion to apply amnesties. They argued that human rights law established a state duty to investigate and prosecute which corresponded to a victim’s rights to justice.[13] This strategic challenge to the status quo gave rise to what famously came to be known as the peace v. justice debate that largely shaped the field’s discourse, and which Hillebrecht and Huneeus use to frame their own understanding of the significance of Colombia’s less punitive approach to justice.[14]

The peace v. justice debate is best captured by the now famous exchange in 1991 between Diane F. Orentlicher and Carlos S. Nino in the Yale Law Journal. Each present two equally valued realities that were viewed as diametrically opposed and mutually exclusive.[15] While Orentlicher systematically presented the human rights law justification for the State’s duty to prosecute serious human rights violations, Nino stated that if we want peace in turbulent, fragile, post-conflict settings, we need amnesties. In teaching this debate, I have often been struck by the differences of approach of each esteemed jurist. Orentlincher appears to work much harder to make her case through many more pages and footnotes given that at the time her argument was largely aspirational and, from Nino’s viewpoint, unrealistically idealistic. Indeed, Nino’s position, argued in far fewer pages, is soberingly persuasive given the stark challenges of post-conflict peacemaking. He comes across as more at ease and certain of his position. Certainly, Nino wrote from a more comfortable place than Orentlincher given that the history of amnesties had been an acceptable state practice for as long as the modern international law system had existed.

Remarkably, Nino most likely never predicted how international treaty-based bodies would erode this entrenched normative reality only a decade after he wrote his article. He may have underestimated the impact of victims and their advocates taking their street protest to the relatively new international realm of human rights enforcement bodies to demand that their quest for justice be recognized as a right. This pushback led to one of the most important international decisions on the matter issued by the Inter-American Court of Human Rights in 2001. The Barrios Altos Case analyzed the amnesty laws passed by former Peruvian President Alberto Fujimori to shield himself and his co-conspirators from prosecution.[16] The IACtHR famously declared:

… all amnesty provisions, provisions on prescription and the establishment of measures designed to eliminate responsibility are inadmissible, because they are intended to prevent the investigation and punishment of those responsible for serious human rights violations such as torture, extrajudicial, summary or arbitrary execution and forced disappearance, all of them prohibited because they violate non-derogable rights recognized by international human rights law.[17]

As I argued in 2009, this international human rights body contributed significantly to shaping the TJ field by tipping the scales in the peace v. justice debate towards accountability. Criminal law became not only an accepted feature of transitional justice but also suddenly a required one.[18]  The IACtHR continued to uphold this seminal holding through subsequent decisions finding similar amnesties in five other countries unlawful.[19] With amnesties rendered “unlawful” in Latin America, member states began to overturn or reform their own laws. This resulted in many human rights perpetrators being brought to justice in a phenomenon that Kathryn Sikkink referred to as a “justice cascade.”[20]

Running parallel to the development in the Americas, pronouncements, guidelines, resolutions, and other sources were issued by other regional and universal bodies also limiting the application of amnesties.[21] Significantly, many of these different norm generating institutions cited to each other, engaging in an important formation of custom that culminated into what today has hardened into positive international law restricting the unfettered use of amnesties.  Finally, the quest by victims for justice is not just aspirational, it is the law. This is a remarkable achievement less than thirty years since the Orentlincher-Nino debate and fifteen years since the IACtHR Barrios Altos ruling.

The Judicialization of Peace reflects this new normative universe in which international law sets hard limits to the use of amnesties and alters the behavior of countries, like Colombia, as they embark on transitional justice processes. The article provides an invaluable peek into what it means to negotiate peace “in the shadow” of international law. The authors describe how local political actors relied on the omnipotent courts to negotiate within the parameters of what was acceptable within an “externally imposed notion of accountability.”[22] Reading this account makes one wonder if the authors were simply describing the desired effects of a well-functioning system of the rule of law, although in this case global rule of law where international courts, such as the IACtHR and the ICC, exert normative influence without ever needing to issue a decision on a particular dispute.[23] In reality, the global rule of law works best in these shadows given that most disputes will never reach an international court, as the authors recognize. It is thus more efficient to influence state behavior towards this decentralized enforcement of human rights. But, for this localized compliance to work, domestic actors must not only be cognizant of these international norms but also worry about them.

I bore witness to this kind of worry in Colombia in 2014 when I was invited by the government to deliver a talk about reparations, after which I was approached by government representatives involved in the peace negotiations in Havana, Cuba. They were working within the special unit specifically dedicated to the inclusion of a transitional justice roadmap that would assure the rights of the millions of victims in Colombia and they were eager to talk to me about the Barrios Altos case given my own writing on the case. At that time, I was struck by the fact that they were asking me about a compromised justice approach. They clearly felt bound by the international law on amnesties pronounced by the IACtHR and were trying to find some flexibility while still staying within the confines of international law.

In particular they wanted to talk to me about the recently issued IACtHR decision as a solution to the peace v. justice dilemma. Indeed, in the Mozote Case, the IACtHR created an opening in its otherwise uncompromising jurisprudence on amnesty.  In that case, the IACtHR found El Salvador’s Law of General Amnesty for the Consolidation of Peace, passed following that country’s negotiated peace agreement in 1992, to be contrary to the American Convention on Human Rights. The IACtHR nevertheless recognized that the situation in El Salvador occurred during an internal armed conflict and required the application of International Humanitarian Law.[24] In particular, the Court relied on Article 6(5) of Protocol II Additional to the 1949 Geneva Conventions and interpretations of it by the International Committee of the Red Cross, which establishes that broad amnesties may follow the end of conflict except in cases of war crimes, crimes against humanity, and genocide.[25]

I realize now that my Colombian colleagues were acting within the very shadow effect that The Judicialization of Peace discusses, relying heavily on the Mozote Case to justify a less punitive approach. Yet, significantly they were not just passive subjects to the shadow effect, but rather creative norm entrepreneurs.   Specifically, they focused squarely on the concurring opinion in the Mozote Case written by Judge Diego García-Sayán to justify their less punitive approach.

As a side note, Diego García-Sayán also happened to be a part of the transitional justice government in Peru serving as the Minister of Justice in 2001 when that government sought the judicialization of peace through the Barrios Altos case. Peru gambled that the Court would take a hard line on amnesties. Its strategy paid off and Peru won the remarkable declaration that amnesties were no longer available in the dictator’s toolbox.[26] In contrast with the Colombians, the Peruvians were not interested in a less punitive model of transitional justice that included amnesties, because the opponents (Shining Path) were already in jail. In fact, they were deeply afraid of calling their situation an internal armed conflict given the risk of Shining Path receiving a possible “get out of jail free” card based on Article 6.5 of Protocol II. The IACtHR did not choose to view Peru’s situation as such. It is thus perhaps ironic that Judge García-Sayán would be the one to open the door to a more flexible approach to amnesties within the Inter-American System given that he had been part of an effort to create a more rigid standard of accountability when he was a local political actor.

However, ten years later in 2012 Judge García-Sayán was not writing in a bubble, but rather wrote his opinion against the backdrop of a vibrant debate on amnesties.  In fact, upon writing my own article on Barrios Altos in which I argued that amnesties were unlawful, I quickly discovered that I had joined one of the most contentious and unsettled areas of international law scholarship, and often found myself in the minority against an ever growing united front advocating for the retention of amnesties for brokering peace. Outside of the regional system that shaped my views existed a contemporary milieu of scholars who argued that some amnesties are still legal, especially in light of the lack of uniform and consistent state practice.[27]  Today, legal scholars take a far more nuanced and flexible approach to the topic of amnesties, often producing criteria and factors for figuring out the right balance of peace and justice.[28]

Thus, Judge Diego García-Sayán’s concurring opinion could be viewed as a bridge to close the gap in what would arguably be regional exceptionalism.[29] It may have also been a type of system correction to address what perhaps has become too rigid a standard of accountability tipping the scales too far towards an absolutism that contradicts the very essence of TJ, which arose as a field based on the notion of flexibility and alternative paths to justice.

The New TJ Reality: Peace and Justice

In his concurring opinion in the Mozote Case, García-Sayán seeks a nuanced position with regard to compromised justice, recognizing that even if blanket amnesties, especially connected to repressive dictators, may no longer be used, more lenient criminal justice schemes may be acceptable when attempting to broker peace after a war. Yet he recognizes that “[t]here is no norm in positive international law that has explicitly prescribed any kind of amnesty.”[30] Instead, the context dictates what makes sense and what is permissible.  He explains:

in the specific context of processes of widespread violence and non-international armed conflicts, amnesties may lead, at least in theory and according to the specific case or circumstance, in different directions. Consequently, this creates a whole range of possible outcomes that can delimit the exercise of assessing the interests at stake in order to combine the aim of investigating, punishing, and repairing gross human rights violations, on the one hand, with that of national reconciliation and a negotiated solution to a non-international armed conflict, on the other. There is no universally applicable solution to the dilemmas posed by these opposing forces, because it depends on the specific context, although there are guidelines that must be taken into account.[31]

This passage resonates with the Nino-like stance of needing to recognize the realities on the ground in deciding what measures of justice are possible. Judge García-Sayán’s instructions reflect the organizing principle of transitional justice that the configuration of justice is context specific, but adheres to the more recently recognized baseline rules, including accountability and justice. At the same time, he suggests that how we view justice can vary and also depends on a more balanced approach that weighs conflicting rights.[32] His rationale resonates with Nino’s as he claims this approach will assure that peace negotiations “conclude a conflict and put an end to future serious human rights violations.”[33] Yet, where he differs from Nino is that he does not frame peace as a policy preference of a government, but rather as a human right of other members of the society.  In doing so, he introduces a new competing right into the TJ justice equation. As he explains:

States have a legal obligation to address the rights of the victims and, with the same intensity, the obligation to prevent further acts of violence and to achieve peace in an armed conflict by the means at its disposal. Peace as a product of a negotiation is offered as a morally and politically superior alternative to peace as a result of the annihilation of the opponent. Therefore, international human rights law should consider that peace is a right and that the State must achieve it.[34]

In his call to recognize the right to peace, Judge García-Sayán leaves ambiguous how it would become part of human rights law. Yet, he gives a provocative invitation to countries like Colombia to pursue this recommendation, and seems to suggest that if they take this path and wind up back at the IACtHR, they may encounter a friendly reception. Indeed, it is exactly that type of legal “transaction” that would be needed to transform the soft law of peace into the binding hard law that would greatly impact the field of Transitional Justice.

Judge García-Sayán employs the less mandatory word “should” when calling for the recognition of the right to peace because, as of now, the right has yet to be fully recognized in international law. In fact, for the most part, it has been overlooked by the transitional justice movement.[35] Moreover, the right to peace has been minimally studied or focused on in international law. Philip Alston is one of the few scholars to offer early commentary on the right to peace, making the case in 1980 that this often-ignored right was not only the raison d’etre of the international law system but also a recognized human right, proclaiming that the “broad outline” of the right was at that time firmly established.[36] To make this assertion, he relied on soft law instruments such as the Declaration on the Preparation of Societies for Life in Peace (Res. 33/73), adopted by the United Nations General Assembly in 1978, which recognizes peace as both “mankind’s paramount value” and a right.[37]

Yet, Alston interrogated the question as to whether the right to peace is “a viable juridical proposition” that could be “usefully integrated into the present framework of international law.” [38] He expressed concern that the precise content of the right had not reached a sufficient degree of certainty that would be required to guide states on how it should be protected and promoted.[39] While some elements were already discernible, he predicted that other elements would need to evolve through “lengthy and subtle process of customary formation in the international arena.”[40]

By the 1990s, Alston lamented that the right to peace had “failed to capture the global imagination” and had been “dropped like a stone” within the United Nations.[41] Focus on the right only reemerged in the last decade through the concerted advocacy work of the Spanish Society for International Human Rights Law, a Spanish NGO,[42] whose advocacy helped to push the Human Right Council (“HRC”) to create an Advisory Committee on the Right to Peace. This committee eventually drafted the UN Draft Declaration on the Right to Peace in which Article 1 establishes the peoples’ right to peace as “universal, indivisible, independent and interrelated.”[43]  In July 2016, just months before the Colombian peace agreement was finalized, the HRC adopted the Declaration by a majority of its Member States and then proposed it to the United Nations General Assembly, which approved it in December of that same year.[44] After an extensive preamble, the Declaration consists of only five articles, leading with Article 1 stating: “Everyone has the right to enjoy peace such that all human rights are promoted and protected and development is fully realized.”[45]

While a significant development, this soft law instrument still leaves unsettled Alston’s original concern of whether the right is juridically viable since it had not been subject to enforcement analogous to other human rights. Worse yet, its viability as hard law could be undermined by the fact that some states continue to resist the idea that peace is a right as opposed to a political goal.[46] Most interesting for the purpose of this commentary, there is still limited jurisprudence on the right to peace coming from international human rights monitoring bodies such as the IACtHR—making the concurring opinion of Judge García-Sayán all the more relevant as a foreshadowing of what may lay ahead. The only explicit ruling on the right to peace arose in a case where the IACtHR recognized that the mismanagement of the environment can exacerbate tensions and lead to war, which would thus constitute a violation of the right to peace.[47] It has yet to rule on a case on how the right to peace impacts the use of amnesty or other measures which limit criminal investigations and trials in peacemaking processes that also involve transitional justice.

For that reason, Colombia would serve as a particularly interesting case to test the juridical viability of the right to peace, especially as to whether it legally justifies a less punitive approach to transitional justice. As I will discuss next, Colombia also presents an ideal case to test this new right given its long-standing recognition of the right to peace.

The Case of Colombia: Elevating the Right to Peace

The Colombian Constitutional Court (“CCC”) has produced what it recently characterized as “prolific constitutional jurisprudence” on the right to peace, viewing it as a “defining element” of the country’s constitutional law.[48] Indeed, this right is enshrined in Article 22 of the nation’s 1991 Constitution, which itself was conceived as a type of “peace treaty” since it emerged out of efforts at that time to bring an end to Colombia’s decades-long conflict.[49] Not long after the Constitution was promulgated, the CCC recognized the right to peace “as a right that belongs to every person” and which gives individuals the power to demand compliance from both the State and individuals.[50] This position seems to give the right to peace equal stature to other human rights.

Over the last three decades, the CCC has continued to expand upon the right to peace, particularly as it related to the country’s ongoing efforts to broker peace in order to end one of the region’s most enduring internal armed conflicts.  In all of these decisions, the CCC has consistently balanced the right to peace with justice to justify arrangements that amount to a compromise to absolute criminal justice.[51] At the same time, the CCC has engaged with international law as it developed its jurisprudence on the right to peace, arguing that it could be recognized as a human right (although until recently based only on soft law instruments).[52]

One of the most recent examples of how the CCC balanced the right to peace with the right to justice occurred when reviewing the constitutionality of Justice and Peace Law 975 of 2005, which created a legal framework to demobilize illegally armed groups through reduced and qualified punishments—an arrangement viewed as an indulto velado (veiled pardon) by the plaintiffs.[53] In Gustavo Gallón Giraldo v. Colombia, the CCC sought to resolve the inherent tension between “finding peace by establishing juridical mechanisms to disarticulate armed groups” and “the interests of justice” under human rights, international criminal law, and international humanitarian law.[54] Notably, in applying a balancing approach to reconcile the right to peace and the right to justice, the CCC avoided characterizing the right to peace as an “absolute value” which would justify no criminal justice, and instead subjected peace to the consideration of other constitutional rights like victims’ right to truth, justice, reparations and the non-repetition of violence—rights that bind the court through the international law.[55]

In regard to the assertions made by the authors in The Judicialization of Peace, the Justice and Peace Law was created in the shadow of the IACtHR but without the assurances that compromised justice would withstand the scrutiny of the international body. Indeed, in August 2005, soon after the Justice and Peace Law was signed, victims’ representatives in Mapiripán v. Colombia, which was already pending when the law passed, asked the IACtHR to consider whether Law 975/05 interfered with the victims’ right to a remedy.[56] The Court granted this motion of “supervening event,” in accordance with Article 44.3 of the court’s procedures, and responded by simply referring to its “jurisprudence constante”:

domestic legal provision of law can impede compliance by a State with the obligation to investigate and punish those responsible for human rights violations. Specifically, the following are unacceptable: amnesty provisions, rules regarding extinguishment and establishment of exclusions of liability that seek to impede investigation and punishment of those responsible for grave human rights violations—such as those of the instant case, executions and forced disappearances. The Court reiterates that the State’s obligation to adequately investigate and to punish those responsible, as appropriate, must be carried out diligently to avoid impunity and repetition of this type of acts…[57]

This pronouncement was not all that surprising given that it was issued just several years after Barrios Altos had been decided. Interestingly, the IACtHR did not discuss whether Colombia’s situation amounted to an internal armed conflict triggering the IHL framework and thus justifying a less punitive approach, nor did it discuss the right to peace. In fact, as The Judicialization of Peace notes, the IACtHR had up to seventeen opportunities in its contentious judgments concerning the human rights violations occurring during Colombia’s conflict to discuss whether IHL applied or if the right to peace should be balanced with the right to justice.[58] Yet, it always demanded full justice. Thus, up until recently, the CCC never included reference to the IACtHR jurisprudence in its decision to balance the competing rights and justify any compromise of justice. As will be discussed, only with the 2016 Peace Accords has the CCC been able to reference the IACtHR to justify a compromise between peace and justice in Colombia’s effort to broker peace.

Peace Accords and The Integral System of Truth, Justice, Reparation, and Non-Repetition

As of the time of writing, the CCC has issued five decisions regarding different aspects of The Sistema Integral de Verdad, Justicia, Reparación y no Repetición (Integral System of Truth, Justice, Reparation and Non-Repetition) created through the 2016 Peace Accords.[59] Specific to the aspect of amnesty, pardon, and special criminal treatments, the CCC issued a decision in March 2018 concerning the Law 1820 of 2016 which implements the less punitive approach discussed in The Judicialization of Peace.[60] Unlike in its past decisions on the right to peace, the CCC engages directly with the jurisprudence of the Inter-American Court of Human Rights to justify adopting a complementary approach to reconcile seemingly contradictory norms arising out of international human rights law, international humanitarian law, and international criminal law.[61] Undertaking what it deems to be an “ambitious analysis” of the question of amnesty, the CCC seeks to harmonize seemingly diverging law on amnesties in the context of peace negotiations.[62]

To begin, the CCC recognizes the baseline normative limit set by the IACtHR with regard to its general prohibition of amnesties, citing to the now famous passage of the 2001 Barrios Altos case.[63] It then refers to the more recent decision in the Mozote Case in which the IACtHR distinguishes Barrios Altos’s bright line rule. Specifically, it notes that this ban refers to self-amnesties issued in transitions from repression and not necessarily to countries transitioning from internal armed conflict, which is instead regulated by IHL. In particular, Article 6 of Protocol II of 1977 calls for the widest possible amnesty at the cessation of hostilities.[64] The CCC seizes upon the IACtHR’s suggestion that the components of justice may be more flexible in circumstances of war in which not all amnesties or limits to prosecution are prohibited.

Significantly, the CCC clarifies that while it is bound by Article 6 of Protocol II, it does not consider the directive on amnesties to be a “peremptory norm” that obligates governments to offer amnesties, but rather is discretionary and only relevant to political crimes which can be defined by the State.[65] Thus, the CCC views amnesty as a valid tool for achieving reconciliation and stable peace, but limited in scope. IHL amnesties are valid as long as they meet two conditions. First, they are never issued for the most serious crimes such as war crimes, genocide, and crimes against humanity. Second, they are complemented by the most extensive rights to truth, justice, and reparations.[66]  In establishing these conditions, the CCC stresses that it is adopting the IACtHR’s notion that the right to peace and the right to justice are interdependent and indivisible in nature and thus require a “holistic approach” in their application.[67] The CCC also applies the complementary approach when reviewing the Special Jurisdiction for Peace established to apply the alternative sentencing and amnesties, finding it constitutional given that it was designed to guarantee all fundamental rights, “namely, the right to peace and the rights of victims to the truth, to justice, to reparation and the non-repetition.”[68]

A Delicate Balancing Act: Reconciling the Right to Peace and the Right to Justice

The CCC’s latest jurisprudence squarely engages with and challenges the framing of Transitional Justice to suggest it is time to abandon the pretext of a peace versus justice debate and instead to recognize that it should be a dialogue about peace and justice.[69] Recognizing the historical tendency to pit justice against peace and “enter into unsalvageable tensions” because of the assumption that securing peace always means “sacrificing” justice, the CCC asserts that the demands of peace and justice are complementary and it must strive to find ways to enforce the two rights mutually.[70] As the CCC explains, “within the constitutional order it is not possible to speak of peace without justice, nor to speak of justice without peace.”[71] Yet, in asserting a modified hierarchy of TJ goals, the CCC places the right to peace at the top, naming the primary aims to be:

  1. Respond to generalized peace and assure the right to peace
  2. Guarantee the victims right to truth, justice, reparations, and non-repetition of violence
  3. Strengthen the rule of law and democracy
  4. Promote social reconciliation.[72]

Thus, although embracing a holistic approach to balance the different rights at play, the CCC suggests that peace is a condition for the exercise of all other rights, stating:

Peaceful coexistence is a basic goal of the State and must be the ultimate motive of the forces of constitutional order. Peace is also a presupposition of the democratic process, free and open, and a necessary condition for the effective enjoyment of fundamental rights.[73]

As I have noted in the past with regard to the CCC’s jurisprudence, there is great significance of elevating the right to peace to this stature since it radically alters the approach to amnesties and other measures that may compromise now well-established rights of victims to justice.[74] Namely, in the historical evolution of the peace vs.  justice debate, the arguments made by the proponents of justice won mostly because victims’ rights trumped States’ political/policy aims of peace. Yet, when peace is elevated to being recognized as a right it dramatically alters the equation since it requires the balancing of competing fundamental rights. The rights of victims to justice can no longer trump a state’s political quest for peace because these rights must now be balanced with the competing human right to peace which belongs to all members of the society (victim or not).[75] Moreover, it would be unlikely that either side of this equation could “win” in favor of absolute justice or absolute impunity. A compromise must always be struck. Framing peace as a right provides a stronger normative basis for accepting compromised justice in the form of amnesties, pardons, and alternative sentencing. This reformulation presents a radical new direction in transitional justice, prompted by an international court that was once viewed as reversing the historical trend of impunity.

Indeed, one remarkable aspect of Colombia’s efforts to revise the goals of TJ and in effect dismantle the peace vs. justice debate is that it was done in the shadow of the IACtHR. The 2016 Peace Accords cite to the Mozote Case to highlight the State’s duty to protect the right to peace, even emphasizing that it should be viewed in “same intensity” to the duty to attend victims’ rights.[76] In turn, the CCC very purposefully cites to the Mozote Case to support the balancing approach struck by the 2016 Peace Accords, seeming to respond directly to Judge García-Sayán’s invitation to integrate the right to peace into the international human rights law. In a way, Colombia has presented a counter-offer to the IACtHR to bring some hard law edges to what has been a largely soft law notion of peace as a human right—should the IACtHR be called upon to review Colombia’s less punitive approach to TJ, as The Judicialization of Peace speculates may very well occur.

Prosecutorial Discretion: Balancing Justice and Peace

In promoting a balancing approach to the right to peace and the right to justice, the Colombians swung the peace vs. justice pendulum back towards the middle, away from a hard stance on criminal justice and toward a more balanced approach that renders compromises in criminal justice lawful, at least some of the time. While it goes beyond the scope of this Comment to fully explore the implications of this pendulum swing, I will speculate on some preliminary directions it might take the field.

To begin, the field of TJ has evolved to require a minimum of criminal justice to prohibit absolute impunity, as was the practice thirty years ago with the use of blanket amnesties. Now, it is understood that lasting peace may not be possible without a baseline of accountability. Yet, the ideals of criminal justice also are not absolute, despite prior interpretations of the IACtHR’s jurisprudence up until now. On this point, Judge García-Sayán observed in his concurring opinion in the Mozote Case:

…in certain transitional situations between armed conflicts and peace, it can happen that a State is not in a position to implement fully and simultaneously, the various international rights and obligations it has assumed. In these circumstances, taking into consideration that none of those rights and obligations is of an absolute nature, it is legitimate that they be weighed in such a way that the satisfaction of some does not affect the exercise of the others disproportionately. Thus, the degree of justice that can be achieved is not an isolated component from which legitimate frustrations and dissatisfactions can arise, but part of an ambitious process of transition towards mutual tolerance and peace.[77]

This approach reflects a comprehensive concept of justice that shifts away from pure retribution as the means for assuring it. Indeed, the CCC recognizes that “certain facets” of justice and peace may cause inevitable, even irresolvable, tension, when the equation of justice is strictly focused on retribution through penal punishment which overlooks the many other forms of punishment.[78] This new reality might look like reduced and alternative penalties in order to assure the victims’ rights to an effective remedy, which may entail alternative mechanisms such as truth commissions, reparations, and other TJ processes.

Along these lines, Judge García-Sayán does not abandon the three elements of a state’s obligation to take actions aimed at investigating and establishing the facts, identifying individual responsibilities, and applying punishments proportionate to the gravity of the violations.[79] Yet he recognizes that “[e]ven though the aim of criminal justice should be to accomplish all three tasks satisfactorily, if applying criminal sanctions is complicated, the other components should not be affected or delayed.”[80] He points out that the right of both victims and society to access the truth may require that justice not be antagonistic to the transitional justice required in peace and reconciliation processes. In that context, “specific guidelines can be designed for processing those responsible for the most serious violations, opening the way, for example, to giving priority to the most serious cases as a way to handle a problem which, in theory, could apply to many thousands of those held for trial, dealing with less serious cases by other mechanisms.”[81]

In particular wanting to assure that combatants choose peace and submit to justice, García-Sayán argues that it is necessary to devise ways to process those accused of committing serious crimes. He proposes that:

routes towards alternative or suspended sentences could be designed and implemented; but, without losing sight of the fact that this may vary substantially according to both the degree of responsibility for serious crimes and the extent to which responsibility is acknowledged and information is provided about what happened. This may give rise to important differences between the “perpetrators” and those who performed functions of high command and gave the orders.[82]

In essence, he is describing a situation that may be analogous with ordinary prosecutorial discretion. In fact, an emerging line of scholarship has begun to explore how the concept of prosecutorial discretion should be embraced in TJ as it is in any domestic criminal law situation where justice is nuanced.[83] Indeed, prosecutors always have discretion in any legal system. But concessions that they make such as guilty pleas, exchanges of information for lighter sentences, and other compromises to absolute justice are made within the state’s criminal justice system and thus do not undermine the rule of law.[84] Given that no TJ experience could ever possibly prosecute all the potential perpetrators (given that they are often not even identifiable), this approach assures the prioritization of the cases most likely to succeed in court while also preserving the basic rights of victims to truth and reparations.

Conclusion

Time will tell whether Colombia’s less punitive model of transitional justice coupled with alternative approaches to accountability struck the right balance between peace and justice. If the principle of non-repetition, commonly referred to as “nunca mas”/never again, is the measure of success, we can only continue to observe whether the longest internal armed conflict in the region has been brought to a final end. While some may argue that the only measure of success is the cessation of violence between the FARC and the government, others may demand broader measures of success, especially in light of the continued killing of human rights activists and violence in territories fueled by narcotrafficking. Arguably, guaranteeing the right to peace requires much more than a bargain between peace and justice. Indeed, it has been steadily recognized by the TJ field that lasting peace requires more systematic and structural reforms to the socio-economic realities of the country to address some of the underlying causes of the violence. With regard to these types of essential reforms, neither the IACtHR nor the ICC will have much “shadow effect” over national politics.

Lisa J. Laplante is Professor of Law and Director of the Center for International Law and Policy at New England Law in Boston. The author would like to thank Louise Mallinder for her thoughtful comments regarding this commentary.

[1] Courtney Hillebrecht & Alexandra Huneeus, with Sandra Borda, The Judicialization of Peace 59 Harv. Int’l L. J. 279, 294 (2018).

[2] Id. at 318, 322.

[3] Id. at 322.

[4] Id. at 330 (Referencing Terence Halliday & Bruce G. Carruthers, The Recursivity of Law: Global Norm Making and National Lawmaking in the Globalization of Corporate Insolvency Regime, 112(4) Am. J. Soc. 1135, 1138 (2007).)

[5] Id. at 329.

[6] Id.

[7] Massacres of El Mozote and Nearby Places v. El Salvador, Preliminary Exceptions, Merits, Reparations and Costs, Judgment, Inter-Am. Ct. H.R. (ser. C) No. 292 (Oct. 25, 2012).

[8] Hillebrecht and Huneeus, supra note 1, at 320 (“Once you have two rights that are in tension but of equal importance, we are back in the realm of balancing, and ultimately, politics.”).

[9] In Chile, General Pinochet passed Decree no. 2191 of April 19, 1978 to grant his administration a self-amnesty for the crimes committed by the army and the security forces who helped enforce his authoritarian regime. Argentina attempted prosecutions when its conflict ended but the Ley de Punto Final in 1986 and the Ley de Obediencia Debida in 1987 severely limited prosecutions which were eventually pardoned by the subsequent administration.  The experiences in these two countries is often explained as the rise of truth commissions and other non-judicial, restorative measures to assure some accountability for the past.

[10] Some examples include amnesties passed in El Salvador (Decree no. 805 of October 28, 1987), Brazil (Act no. 6683 of August 28, 1979, covering the period from 2 September 1961 to 15 August 1979), Uruguay (Act no. 15848 from 1986), Peru (General Amnesty Act no. 26479 on June 14, 1995).

[11] R.C. Slye, The Legitimacy of Amnesties Under International Law and General Principles of Anglo-American Law: Is a Legitimate Amnesty Possible?, 43 Va. J. Int’l L 173 (2002).

[12] The “Treaty of Westphalia” is the Peace Treaty Between the Holy Roman Emperor and the King of France and Their Respective Allies, Oct. 24, 1648, available at http://avalon.law.yale.edu/17th_century/westphal.asp

[13] See Lisa J. Laplante, Outlawing Amnesty: The Return of Criminal Justice in Transitional Justice Schemes, 49 Va. J. Int’l 915 (2009).

[14] See Chandra Lekha Sriram, Confronting Past Human Rights Violations:  Justice v. Peace in Times of Transition (2004).

[15] See generally Diane F. Orentlicher,  Settling Accounts: The Duty To Prosecute Human Rights Violations of a Prior Regime, 100 Yale L. J. 2537 (1991); Carlos S. Nino, The Duty to Punish Past Abuses of Human Rights Put Into Context: The Case of Argentina, 100 Yale L. J.  2619 (1991).

[16] Barrios Altos v. Peru, Merits, Judgment, Inter-Am. Ct. H.R. (ser. C) No. 75 (Mar. 14, 2001).

[17] Id. ¶ 41.

[18] See Laplante, supra note 13.

[19] See Alexandra Huneeus, Courts Resisting Courts:  Lessons from the Inter-American Court’s Struggle to Enforce Human Rights, 44 Cornell Int’L L. J. 493, 502-03 (2011).

[20] Kathryn Sikkink, The Justice Cascade:  How Human Rights Prosecutions are Changing World Politics (2011).

[21] See Reta E. Raymond, When Two Elephants Fights, It’s the Grass that Suffers: Proposed Amnesty Legislation for Peace and Justice, 40 Syracuse J. Int’l L. Comm. 407 (2013).

[22] Hillebrecht and Huneeus, supra note 1, at 303.

[23] See Lisa J. Laplante, The Domestication of International Criminal Law: A Proposal for Expanding the International Criminal Court’s Sphere of Influence 43 John Marshall L. Rev. 635 (2010).

[24] IACtHR’s reasoning rested on the fact that the General Assembly had passed the blanket amnesty law after the peace agreement and work of the truth commission and actually contradicted the provisions in the peace agreement which called for criminal investigations. See Massacres of El Mozote and Nearby Places v. El Salvador, Preliminary Exceptions, Merits, Reparations and Costs, Judgment, Inter-Am. Ct. H.R. (ser. C) No. 292 (Oct. 25, 2012)  ¶¶ 287-89.

[25] Id. at ¶¶ 285-286 (referring to Protocol Additional to the Geneva Conventions of 12 August 1949, and relating to the Protection of Victims of Non-International Armed Conflicts art. 6.5, June 8, 1977 [hereinafter Protocol II]).

[26] Barrios Altos v. Peru, Merits, Judgment, Inter-Am. Ct. H.R. (ser. C) No. 75 (Mar. 14, 2001).

[27] Raymond, supra note 21, at 800.

[28] See, e.g., The Transitional Justice Institute, The Belfast Guidelines on Amnesty and Accountability (2013).

[29] Louise Mallinder, The End of Amnesty or Regional Overreach? Interpreting the Erosion of South America’s Amnesty Laws, 65 Int’l Comp. L. Q. 645 (2016).

[30] Massacres of El Mozote and Nearby Places v. El Salvador, Preliminary Exceptions, Merits, Reparations and Costs, Judgment, Inter-Am. Ct. H.R. (ser. C) No. 292 (Oct. 25, 2012) ¶17.

[31] Id. ¶ 20.

[32] Id. ¶ 27.

[33] Id.

[34] Id. ¶ 37 (italics added).

[35] In writing this Comment, I conducted a search of the field’s main journal, The International Journal of Transitional Justice, and I discovered only one reference to the right to peace, which appeared in a footnote. See Catherine Turner, Delivering Lasting Peace, Democracy and Human Rights in Times of Transition: The Role of International Law, 2 Int’l J. Trans. Just. 126, fn 27 (2008) (“Indeed, Franck envisaged that this could ‘readily be shown to be an important subsidiary of the community′s most important norm: the right to peace.’”).

[36] Philip Alston, Peace as Human Right, 11 Security Dialogue 319, 328 (1980).

[37] Id. at 319, 324–25.

[38] Id. at 319.

[39] Id. at 325.

[40] Id.

[41] Philip Allston, Peoples’ Rights 279, 281 (2005). That said, attention did not totally disappear.  For example, the 1984 UN General Assembly Resolution on Declaration on the Right to Peoples to Peace establishes a duty on states to fulfill the right.  See G.A. Res. 39/11, Declaration on the Right to Peoples to Peace (Nov. 12, 1984).  UNESCO also focused on the right in UNESCO Report by the Director-General on the Human Right to Peace, doc. 29 C/59 (1997).  The U.N. General Assembly recognized the right to peace in resolutions A/RES/57/216 of February 2003, A/RES/60/163 of 2 March 2006, and A/RES/63/189 of 18 March 2009, in which the General Assembly declared “that the peoples of our planet have a sacred right to peace and that the preservation and promotion of peace constitutes a fundamental obligation of each State.”

[42] Cecilia M. Bailliet, Normative Foundation of the International Law of Peace, in Promoting Peace Through International Law 43, 56–57 (Cecilia Marcela Bailliet & Kjetil Mujezinovic Larsen eds., 2015).

[43] Right to Peace, Human Rights Council (Apr. 16, 2014), https://www.ohchr.org/EN/HRBodies/HRC/AdvisoryCommittee/Pages/RightToPeace.aspx.

[44] G.A. Res. 71/189 (Dec. 19, 2016).

[45] Id. ¶ 1.

[46] Ola Engdahl, Protection of Human Rights and the Maintenances of International Peace and Security: Necessary Precondition or Clash of Interests? in Promoting Peace Through International Law 109, 120 (Cecilia Marcela Bailliet & Kjetil Mujezinovic Larsen eds., 2015).

[47] The Environment and Human Rights (State Obligations in Relation to the Environment in the Context of the Protection and Guarantee of the Rights to Life and to Personal Integrity (Arts. 4(1) and 5(1) American Convention on Human Rights)), Advisory Opinion OC-23/18, Inter-Am. Ct. H.R., (ser. A) No. 23, ¶ 66 (Nov. 15, 2017).

[48] Corte Constitucional [C.C.] [Constitutional Court], agosto 15, 2018, Sentencia C-080/18, Gaceta de la Corte Constitucional [G.C.C.] (p. 186) (Colom.).

[49] La Constitución Política de Colombia de 1991, art. 22 (“La paz es un derecho y un deber de obligatorio cumplimiento.”).

[50] Corte Constitucional [C.C.] [Constitutional Court], marzo 10, 1993, Sentencia T-102/93, Gaceta de la Corte Constitucional [G.C.C.] (p. 13).

[51] The CCC recognizes this trend when discussing the development of its jurisprudence. See Sentence C-080/18.

[52] See Corte Constitucional [C.C.] [Constitutional Court], mayo 18, 2006, Sentencia C-370/2006, Gaceta de la Corte Constitucional [G.C.C.] ¶4.1.5. (citing UNESCO Director-General, Report of the Director-General on the Human Right to Peace, presented to the Secretary-General and the Minister of Foreign Affairs and Ministers of Education of Member States, U.N. Doc. 29 C/59 (Oct. 29, 1997)).

[53] See Lisa J. Laplante & Kimberly Theidon, Transitional Justice in Times of Conflict: Colombia’s Ley de Justicia y Paz, 28 Mich. J. Int’L L. 49, 83–85 (2006); see also Law No. 975 of July 22, 2005, arts. 3, 29; O.G. No. 45.980, July 25, 2005 (incorporating an “alternative” sentence which could include the suspension of previously existing sentences and proceedings that would be replaced with imprisonment of five to eight years for beneficiaries who comply with the basic demobilizing requirements).

[54] Sentencia C-370/2006 at 26.

[55] Corte Constitucional [C.C.] [Constitutional Court], marzo 1 2018, Sentencia C-007/18, Expediente RPZ-001, Gaceta de la Corte Constitucional [G.C.C.] ¶ 125 (“Por medio de la cual se dictan disposiciones sobre amnistía, indulto y tratamientos especiales y otras disposiciones.”).

[56] Case of the Mapiripán Massacre v. Colombia, Merits, Reparations and Costs, Judgment, Inter-Am. Ct. H.R. (ser. C) No. 134, ¶ 301 (Sep. 15, 2005).

[57] Id. ¶ 304.

[58] Hillebrecht and Huneeus, supra note 1, at 295.

[59] Corte Constitucional [C.C.] [Constitutional Court], octubre 10, 1993, Sentencia C-630/17, Gaceta de la Corte Constitucional [G.C.C.]; Corte Constitucional [C.C.] [Constitutional Court], noviembre 14, 1993, Sentencia C-674/17, Gaceta de la Corte Constitucional [G.C.C.]; Corte Constitucional [C.C.] [Constitutional Court], marzo 1, 2018, Sentencia C-007/18, Gaceta de la Corte Constitucional [G.C.C.]; Corte Constitucional [C.C.] [Constitutional Court], marzo 21, 2018, Sentencia C-017/18, Gaceta de la Corte Constitucional [G.C.C.]; Corte Constitucional [C.C.] [Constitutional Court], agosto 15, 2018, Sentencia C-080/18, Gaceta de la Corte Constitucional [G.C.C.].

[60] See Sentencia C-007/18.

[61] Id., at ¶¶ 130–31.

[62] Id.

[63] Id. at ¶¶ 139–40.

[64] Id. at ¶ 144.

[65] Id. at ¶ 135–38.

[66] Id. ¶ 146.

[67] Id. ¶ 128.

[68] Corte Constitucional [C.C.] [Constitutional Court], agosto 15, 2018, Sentencia C-080/18, Gaceta de la Corte Constitucional [G.C.C] (p. 185, 274) (citing to the Declaration on the Right to Peace, among other U.N. sources).

[69] Sentencia C-007/18 ¶122.

[70] Id. ¶ 114.

[71] Sentencia C-080/18 ¶ 189–90 (citing to the Declaration on the Right to Peace, among other U.N. sources).

[72] Sentencia C-007/18 ¶ 118.

[73] Id. ¶ 104 (citing to Sentencia T-102 de 1993).

[74] Writing on this decision in 2007, my colleague Kimberly Theidon and I noted, “This treatment of the right to peace presents an interesting new angle to transitional justice paradigms. The detailed presentation of the legal doctrine underlying the right to peace suggests an intention to elevate it beyond a mere political prerogative. If given equal standing with other fundamental rights such as justice, the right to peace could trigger the application of a proportionality test. If left as only a political aspiration, the right to peace would lose out to more commonly recognized human rights.” Laplante and Theidon, supra note 53, at 100.

[75] García-Sayán also recognized this paradigmatic shift, writing, “A negotiated solution to the internal armed conflict raises several issues regarding the weighing of these rights, within the legitimate discussion on the need to conclude the conflict and put an end to future serious human rights violations. States have a legal obligation to address the rights of the victims and, with the same intensity, the obligation to prevent further acts of violence and to achieve peace in an armed conflict by the means at its disposal. Peace as a product of a negotiation is offered as a morally and politically superior alternative to peace as a result of the annihilation of the opponent.” Massacres of El Mozote and Nearby Places v. El Salvador, Preliminary Exceptions, Merits, Reparations and Costs, Judgment, Inter-Am. Ct. H.R. (ser. C) No. 292 (Oct. 25, 2012), Concurring Opinion of Judge Diego Garcia-Sayan, ¶ 17.

[76] Final Agreement to End the Armed Conflict and Build a Stable and Lasting Peace, Nov. 24, 2016, 153, available at: especiales.presidencia.gov.co/Documents/20170620-dejacion…/acuerdo-final-ingles.pdf.

[77] Massacres of Mozote, García-Sayán Concurring Opinion, ¶ 38.

[78] Corte Constitucional [C.C.] [Constitutional Court], marzo 1 2018, Sentencia C-007/18, Expediente RPZ-001, Gaceta de la Corte Constitucional [G.C.C.] ¶ 123.

[79] Massacres of Mozote, García-Sayán Concurring Opinion, ¶ 28.

[80] Id.

[81] Id. ¶ 29.

[82] Id. ¶ 30.

[83] Ronald Slye, The Legitimacy of Amnesties Under International Law and General Principles of Anglo-American Law: Is a Legitimate Amnesty Possible? 43 Va. J. Int’L. L. 173, 184–86 (2002); Mariano Gaitan, Prosecutorial Discretion in the Investigation and Prosecution of Massive Human Rights Violations:  Lessons from Argentine Experience, 32 Am. U. Int’l L. Rev. 539 (2017).

[84] In taking this position, I recognize that there is always the risk that this discretion can be abused. But under ideal conditions, it is a normal aspect of criminal justice.

Online Scholarship, Perspectives

Options for Protecting Refugees in South Asia

By Nafees Ahmad

South Asia is home to over 2.5 million refugees (75,927 in Afghanistan, 932,209 in Bangladesh, 197,122 in India, 21,467 in Nepal, 1,393,132 in Pakistan, and 820 in Sri Lanka). This poses unprecedented challenges to a region ill-equipped to deal with the contemporary refugee crisis. Conflicts in China, Iran, Myanmar, and other neighboring states have contributed to the displaced population. Also, a large number of refugees fleeing ethnic and racial conflicts in Afghanistan—the nation with the second largest population of refugees after Syria—pass through the region as they move towards Europe, with many choosing to settle in South Asia.

This Post examines the genesis, current scenario, and options for protecting refugees in South Asia in a legally-binding regional framework. Primarily, it focuses on the South Asian Association for Regional Cooperation (“SAARC”) as a forum to address the legally and socio-politically complex issues of refugees’ resettlement in South Asia.

The idea of refugee protection in South Asia is fluid and complex. Generally, the international refugee law (“IRL”) framework consists of international human rights law (“IHRL”), customary international law (“CIL”), international humanitarian law (“IHL”), and United Nations High Commissioner for Refugees (“UNHCR”) guidelines, along with the 1951 UN Convention relating to the Status of Refugees (“Refugee Convention”) and 1967 Additional Protocol. There have been many attempts by the SAARC scholars to establish regional refugee protection frameworks to manage the tide of refugee migration in South Asia. However, all such efforts have been stalled due to national security concerns, far-right nationalist propaganda, and religious discrimination, all of which undermine human security imperatives. Thus, there is clear need for a regional governance structure for refugee protection.

Global Refugee Protection Instruments

Nation-states have extended protection to people fleeing persecution since antiquity. The post-World War-II UN framework, as well as IHRL, aims to protect refugees. Article 14 (1) of the Universal Declaration of Human Rights (“UDHR”) stipulates the right to seek and enjoy asylum in other countries. Subsequently, regional refugee protection arrangements like Article 22 (7) of the American Convention on Human Rights and Article 12 (3) of African Charter on Human and Peoples’ Rights have extended similar protections.

Nevertheless, the Refugee Convention remains the principal international instrument that offers a dominant refugee definition. The Refugee Convention also establishes the core principle of non-refoulement, which prohibits states from returning refugees to their home countries if they are likely to face threats to their life or liberty. Furthermore, regional human rights treaties and national legislation have developed refugee status determination (RSD) procedures. However, these refugee instruments have their limitations, as every legal question in international refugee law has political ramifications.

The recent adoption of the Global Compact on Refugees (“GCR”) has presented many challenges to developing countries, which presently host 84% of refugees.  SAARC countries already observe many IHRL instruments like the Convention on the Elimination of All Forms of Discrimination Against Women, Convention on the Rights of the Child, and Convention on the Elimination of All Forms of Racial Discrimination, all of which protect refugees in specific categories. The time has come for SAARC nations to also accede to the UN Convention Relating to Status of Stateless Persons and UN Convention on the Reduction of Statelessness.

Furthermore, no SAARC member state—other than Afghanistan—has become a party to the Refugee Convention and many of them wrongly perceive the Refugee Convention as an inappropriate imposition of a western model of refugee protection that does not fit well with South Asian refugee dynamics. The refugee scenario in South Asia does have distinct characteristics. South Asia witnessed a mass influx/exodus of refugees following the partition of Indian sub-continent in 1947 and that, subsequently, induced cycles of religious riots.

However, the current refugee situation requires the immediate ratification of the Refugee Convention by all SAARC states. The Convention remains the most comprehensive collection of international refugee norms in a legally-binding instrument. SAARC countries have been improperly treating refugees by not acceding to the Refugee Convention.

There are some challenges associated with ratifying the Refugee Convention. Ratification would necessitate a massive infrastructural build-up for refugee protection obligations. Some also argue that the radicalization of refugees has become the most visible challenge and that refugees have abused the Refugee Convention in the Global North by raising funds and building terror networks in their countries of origin. Further, Global North countries have arguably neglected the core principles of refugee protection due to the emergence of the right-wing nationalism. Citing these arguments, SAARC states contend that ratification to the Refugee Convention would not improve refugee protection.

However, several prominent scholars in South Asia have publicly called for ratification, including B.S. Chimni—who changed his old position of opposing the Refugee Convention in its current form and now advocates for ratification. He argues that acceptance of the Refugee Convention will boost refugee protection in the wake of India’s signing the GCR. Chimni is correct that the Refugee Convention, while imperfect, should be part of the refugee protection regime in South Asia.

A New Regional Instrument

There is also an urgent need for a focused, balanced, and diversified South Asia-specific regional refugee protection framework, focused on human rights and regional solidarity. It must incorporate the experiences of other regional structures on refugees. In South Asia, refugees are often discussed as a political issue rather than a humanitarian issue, making them vulnerable to targeted religion-driven hatred from a variety of actors. Therefore, I argue that such a regional legal framework must provide a South Asian-specific definition of refugee:

  1. Any person who is rendered homeless or stateless owing to well-established fear of being persecuted or displaced, on the grounds or reasons of gender, age, caste, creed, ethnicity, race, religion, social origin, language, nationality, political opinion, regionalism, natural calamities, indigenous existence, membership of a minority or a social group, socioeconomic ostracism, economic status or environmental conditions, militancy, insurgency, terrorism, organised & generalised violence, cultural intolerance, communalism, internal & external armed conflicts or external aggression,  massive or serious violations of human rights, foreign domination or international intervention, or other events profoundly  disrupting public order in either part or whole of his or her country of origin, nationality or homeland, out of country of origin or domicile, shall be a refugee.
  2. A person shall be a refugee if abused or deprived of life and personal liberty and rendered homeless or stateless contrary to his/her free will except according to the procedure and due process established by law.

There are a number of existing instruments in South Asia that could serve as building blocks for a broader regional framework. Many SAARC states have entered bilateral agreements, including the Rohingya refugee repatriation agreement between Bangladesh and Myanmar, a contract between India and Bangladesh on Chakma refugees, and a 1993 agreement between Afghanistan and Pakistan on Afghan refugees. Further, regional consultations on refugee protection were initiated in the 1990s by an Eminent Person Group (“EPG”) headed by late Chief Justice of India P.N. Bhagwati. These discussions resulted in a draft regional framework called the South Asian Declaration on Refugee and Migratory Movements in South Asia (“SADRMM”) in 2004. Unfortunately, SAARC governments did not show any serious interest in the SADRMM. Thus, they have been dealing with refugee protection needs under ad hoc and temporary arrangements, which hinders their ability to adhere to global standards of human rights.

I propose the development of a new refugee protection instrument, modeled off the SADRMM, entitled the South Asian Regional Framework Convention on Refugees (“SARFCR”).

Such an instrument could be based off of those adopted in other regions. For example, the Asian-African Legal Consultative Organization adopted the non-binding Bangkok Principles on Status and Treatment of Refugees in 1966. The Council of Europe System comprises relevant provisions of the European Convention on Human Rights, case law developed by the European Court of Human Rights, and EU Asylum Regulations and Directives collectively known as the Asylum Acquis.  In Latin America, the 1984 Cartagena Declaration was adopted as a non-binding instrument for refugees.

The SARFCR should take into account the following recommendations.

  • SARFCR must involve non-governmental organizations (“NGOs”), civil society organizations (“CSOs”), academics, governments, and other stakeholders in the process of researching and developing policies to protect all classes of refugees.
  • SARFCR should combine elements of the Refugee Convention and GCR to create a hybrid model that addresses the regional peculiarities of South Asia. The Refugee Convention talks only of the rights of refugees and obligations of states, whereas GCR fills the gaps in the Refugee Convention by institutionalizing the core principles of humanity, global solidarity, burden-sharing, and supporting host countries.
  • Under SARFCR, there should be a proactive review process to ensure protection of all classes of refugees, which should be carried out by a new South Asian Refugee Consultation & Review Group. This process must also be annually evaluated to document the success of protection practices.
  • By utilizing academic expertise in IHRL, IRL, IHL, and CIL, SARFCR should also encourage the development of refugee leadership programs that provide specialized outreach tools to refugees of all classes.
  • SARFCR should create a South Asian Regional Refugee Database that follows international data protection policies and is accessible to refugee rights stakeholders.
  • Refugee protection research should be funded in institutes and universities in South Asia, with the aim of producing findings that are applicable both within and beyond South Asia.

Reforming Domestic Laws

In addition to ratifying these regional and global instruments, South Asian countries should also reform their domestic refugee protection laws. There is a growing global trend of negative, far-right perceptions about refugees, and South Asia is part of this phenomenon. Many South Asian governments have adopted religiously discriminatory refugee policies. Refugees from religious minorities are branded as a threat to internal security, political stability, and majority communities in SAARC states.

It is national protection that guarantees the human dignity of refugees under IHRL. In principle, a comprehensive and consolidated National Refugee Protection Act must address the plight of all displaced persons, including climate refugees. In the 1990s, several steps were taken at the NGO level when UNHCR formed the EPG for South Asia in 1994. UNHCR also started Annual Regional Consultations to develop the contours of a regional refugee regime. The aims and objectives of these regional consultations were to provide a platform for members of South Asian states to deliberate regional and national approaches for bolstering refugee protection.

At the 1996 Consultation in New Delhi, EPG made a case for a Model National Law (“MNL”) on refugees. At the 1997 Consultation in Dhaka, EPG approved the MNL as a stepping-stone for building a consensus to resolve the plight of refugees in the SAARC region. The MNL envisaged fair treatment to refugees based on the Third World Approaches to International Law, expansion of asylum grounds, and the emplacement of implementing machinery. The MNL improved significantly upon the 1951 Refugee Convention by incorporating additional grounds from other regional frameworks. The MNL also provides an enforcement body for refugee protection headed by the Refugee Commissioner and an appellate body called the Refugee Committee, as well as rules for RSD.

The MNL contemplates the rights and duties of refugees and provides appropriate procedures for managing the mass influx of refugees. It is imperative that all SAARC countries adopt the MNL.

Conclusion

SAARC states have historically opposed providing refugee protection under the Refugee Convention. As a result, South Asian refugee policy suffers from multi-layered protection gaps due to refugee policy volatility. This increases the urgency for adopting a new regional refugee protection framework, which I have laid out here as the SARFCR. Both the Refugee Convention and GCR must be regarded as blueprints for achieving SARFCR. Moreover, SAARC states need to reform their domestic laws to protect refugees by adopting the MNL put forward by the EPG.

The enormity of the refugee crisis in South Asia has been increasing daily and is likely to become a permanent feature of South Asian society. However, with these challenges come the potential for changes that might provide a better life for refugees in the region. NGOs and CSOs have been spearheading refugee protection leadership in the SAARC region. By engaging with SAARC governments, they could institutionalize their refugee protection vision through the adoption of SARFCR.

Nafees Ahmad is a Senior Assistant Professor in the Faculty of Legal Studies at South Asian University, New Delhi. 

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